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Fisher’s 13F portfolio value increased from ~$159B to ~$161B in Q3 2021. Advanced Micro Devices, Facebook, and Lam Research were increased while reducing Visa this quarter. The top three positions are Apple, Microsoft, and Amazon. They add up to ~14% of the portfolio. ...
ClearBridge is a leading global asset manager committed to active management. Research-based stock selection guides our investment approach, with our strategies reflecting the highest-conviction ideas of our portfolio managers. The catalyst of Vaccine Monday, valuation extremes betwee...
ClearBridge is a leading global asset manager committed to active management. Research-based stock selection guides our investment approach, with our strategies reflecting the highest-conviction ideas of our portfolio managers. The Strategy was held back by weakness among our emerging...
ClearBridge is a leading global asset manager committed to active management. Research-based stock selection guides our investment approach, with our strategies reflecting the highest-conviction ideas of our portfolio managers. The Strategy was held back by weakness among our emerging...
Harding Loevner is an investment manager that invests primarily in publicly traded global equities. We were founded in 1989 by former managers for the Rockefeller family. Total return for Harding Loevner International Equity Fund net of fees was 5.43% vs. MSCI All Country World ex-US ...
Harding Loevner is an investment manager that invests primarily in publicly traded global equities. We were founded in 1989 by former managers for the Rockefeller family. Harding Loevner is a Delaware limited partnership. We operate independently of Affiliated Managers Group. The Glob...
Coty has been a really bad investment for over 5 years. Investors from peak to trough have lost over 80%. Why invest now? Several years, and several executives later, I see the first positive results from operational changes. Market share gains are starting to happen whilst margin...
EL's rebound continued in Q4 FY21, with sales 10% higher than pre-COVID levels; full-year FY21 EPS was 21% higher than FY19. Sales recovery was led by China and Skincare already significantly surpassing 2018 levels, with plenty of potential left in other areas. Growth in China is ...
Identifying travel-related trends can help investors capture the global recovery from the pandemic mobility shutdown in diverse sectors. In the US, a major milestone was reached over the July 4 holiday as passengers screened at US airports exceeded pre-pandemic levels for the same wee...
InvestorPlace - Stock Market News, Stock Advice & Trading Tips The pandemic has flipped the script of several aspects of our lives, and the cosmetic industry is no exception. An array of new beauty trends have emerged in the past year, which have compelled cosmetics businesses to reeva...
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Turnstone Biologics Corp. (TSBX) is expected to report $-0.73 for Q4 2023 Exro Technologies Inc (EXROF) is expected to report for Q4 2023 Boyd Gaming Corporation (BYD) is expected to report $1.43 for Q4 2023 Onto Innovation Inc. (ONTO) is expected to report $0.99 for Q4 2023 Motor...