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Summary Halvorsen's 13F portfolio value decreased marginally from $21.86B to $21.66B this quarter. The number of positions increased from 82 to 88. Viking Global increased Elevance Health, Visa, and McKesson while decreasing T-Mobile US, Parker Hannifin, and Fortive. They also dropped A...
Summary Lone Pine Capital’s 13F portfolio value remained almost steady at $10.61B this quarter. They increased PayPal and added Autodesk and TransDigm Group while dropping Alphabet, Atlassian, and ServiceNow. The top three positions are Workday, Amazon, and PayPal. They add u...
Summary Fisher’s 13F portfolio value decreased from ~$141B to ~$133B in Q3 2022. They added Charles Schwab and increased Nvidia, Morgan Stanley, and Goldman Sachs while decreasing Salesforce, Visa, Alibaba Group Holdings, Novartis, Verizon, and Tencent Holdings. The top...
Summary HDFC Bank delivered another stellar quarter of loan and deposit growth. The bank’s NIM expansion has also remained solid, supporting industry-leading profitability through the cycles. The stock trades at a book value discount to historical levels as well, and pa...
HDFC Bank press release ( NYSE: HDB ): Q2 GAAP EPS of ₹ 19.00 . Core net revenue of ₹28,869.8 crore (+18.3% Y/Y). Net interest income grew by 18.9% Y/Y to ₹ 21,021.2 crore. The total credit cost ratio was at 0.87%, as compared to 1.30%...
Summary Halvorsen's 13F portfolio value decreased from $24.74B to $21.86B this quarter. The number of positions increased from 56 to 82. Viking Global added McKesson, American International Group, and Intuit while decreasing T-Mobile US, General Electric, and Brookfield Asset Mana...
HDFC Bank likely has a long runway of growth ahead, as a rather direct play on the economic machine of India. Bank of America is cheap with a strong balance sheet and already had its third-worst drawdown within the past decade. Simon Property Group is left half-for-dead, but the r...
Fisher’s 13F portfolio value decreased from ~$165B to ~$141B in Q2 2022. Johnson & Johnson and Capital One Financial were increased while reducing Eli Lilly and Novo Nordisk this quarter. The top three positions are Apple, Microsoft, and Amazon. They add up to ~15% of t...
Ave Maria Mutual Funds is a U.S. mutual fund family that takes a pro-life and pro-family approach to investing, with a proprietary screening process. We focus on good investment opportunities for the long-term. For the three months ended June 30, 2022, the total return on the Ave Mari...
HDFC Bank maintains consistently high shareholder returns by having sustainable interest margins and operational efficiency. The bank has consistently maintained a positive ROE that is also significantly above the industry average over the four years ending 2022. HDFC Bank’...
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2024-06-22 03:52:00 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...
2024-05-21 14:02:00 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...