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The Fed is intent on raising interest rates to fight inflation and must balance the risk that creates for economic growth. In an analysis of growth versus value stocks using data since 1927, we found value had achieved greatest outperformance in periods of moderate to high inflation. ...
VLO shares have pulled back sharply in recent months, creating an attractive entry point ahead of Q2 earnings. With domestic and international demand strong for refined products, refiners should continue to experience high margins/spreads so long as China remains on the sidelines. ...
Some weakening performance in Q1. Asset quality has improved nicely. Rates rising will immediately fuel the bottom line as the bank will make more money on every loan it issues now. A good dividend. The financials sector has been hammered the last few months, along w...
If you think of all the different index providers, each has its own definition of the fundamentals that it believes denote “value.”. If stocks can experience severe reductions in their price-to-book value ratios (another way of saying an increase in book-to-price ratios)...
Earnings for the S&P 500, according to Howard Silverblatt’s work at S&P, are expected to rise 7.7% in 2022. Growth stocks were grossly overvalued going into that bear market and they took the brunt of the damage. Real estate did well last week with rates falling bac...
Unilever is one of the world’s biggest conglomerates in the consumer goods industry. The company owns a portfolio of more than 400 brands and develops, manufactures and markets products in three main categories, including Food, Home Care and Personal Care. Investors might a...
Fossil fuels still have a big future. Russian sanctions open the door for a long-term opportunity. With or without oil, global demand for energy will grow. TTE presents quality risk/reward given the company’s shares are worth $102+ even if profits fall 33% from current leve...
The year-over-year change in core CPI peaked in March and is coming down, albeit slower than we’d all like to see. The economy is slowing in some areas and inflation is still high but probably peaking. Bond yields are starting to look pretty attractive relative to stock div...
The price multiples of Walgreens are very low, and through a discounted cash flow I calculated a fair value of $78.42, well above the current $43. Walgreens management has realized that the company needs a jolt to improve its growth rates, and over the past year has decided to invest ...
In this article, I give you my opinion on one of the highest yields in the consumer sector, Hanesbrands' 5.1% yield. The company is the ultimate value stock due to very low growth, but very high cash generation used to service Hanesbrands' high dividend yield and reduce debt. HBI ...