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Russia's invasion on Ukraine is forcing us to adjust our portfolio strategy. Today, we're mainly investing in defensive real assets that offer inflation protection, margin of safety, and upside potential. Here's what I am buying. For further details see: The Market Is Cr...
HIPS is an income fund invested in CEFs, MLPs, REITs, and BDCs. The high yield comes with a high expense ratio and share price decay. The current distribution per share doesn’t look sustainable in the long term. An alternative high-yield strategy taking into account tot...
For the second consecutive quarter, there were no dividend cuts across Alerian’s midstream indexes for 4Q21. Multiple names that cut payouts in the past are growing or expect to grow their dividends by significant percentages off a lowered base. Comparing dividends on a yea...
High Yield investing can be very rewarding if you know what you are doing. However, successful High Yield investing is very difficult, and it is much easier to achieve substantial losses if you make a few key mistakes. We present the most common mistakes made by high yield investo...
Brent crude oil prices hit a 13-year high of $130 per barrel as the US and its allies consider a ban on Russian oil and natural gas, intending to isolate Russia from the global economy amid the ongoing Russia-Ukraine war. OPEC+ decided to stick to its plan of raising oil output by 400...
A billionaire investor just said that Russia's attack on Ukraine means World War 3 has 'likely already started.' We detail our strategy during these tumultuous times. We also offer some of our top picks of the moment. For further details see: Billionaire Investor Says Wo...
Triple-digit oil prices and inflation concerns have supported strong performance and a greater weighting to energy in broad market indexes, making energy relevant again for generalist investors. The significant rise in oil prices and the potential need to replace Russian barrels on th...
We've just confessed that we started lightening-up on our energy exposure, due to an oversized allocation, not a change of opinion! Nonetheless, we haven't slammed the door in the face of new opportunities, even if they belong to the (non-)"forbidden" fruit/sector. USDP currently ...
We've become energy uber-bulls, toward the end of Q3/2020, and we haven't pulled our leg off the energy/fuel pedal ever since. Being an "Energy Bull" during one of the strongest energy cycles ever surely gives one's portfolio wings. This, however, also creates some rich peop...
David Tepper’s 13F portfolio value decreased from $4.20B to $3.89B this quarter. Appaloosa added General Motors and increased Macy's during the quarter. Alphabet, Meta Platforms, Macy's, Micron Technology, and Amazon.com are the five largest positions. For further det...
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2024-07-19 18:40:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-07-01 06:47:00 ET Pipeline and midstream energy stocks have had a strong start to 2024. This can been seen in the performance of major sector exchange-traded funds (ETFs) such as the Alerian Energy Infrastructure ETF (NYSEMKT: ENFR) , up about 18% year to date, and the ...
2024-05-29 02:32:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...