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Summary Nelson Peltz’s 13F portfolio value decreased from $4.55B to $3.80B this quarter. The number of positions remained steady at 8. Trian Fund Management decreased Ferguson plc and Sysco during the quarter. The top three positions are Ferguson plc, Invesco Ltd., and Janus ...
Summary 2022 is the first year since 2019 that I have been able to resume extensive international travel, and so a good time to refresh my "World Tour of Blue Chips". In this article, I highlight one of my top picks from each of 10 countries where I'm seeing opportunities. Of these ...
Unilever (NYSE: UL) stock is down more than 20% from its peak levels in 2019 and is still off by more than 8% so far in 2022, even after a big price rebound in recent weeks. There are valid reasons to be worried about the company's near-term performance given it is in the middle of a corpor...
Unilever (NYSE: UL) may be a consumer products behemoth with its brands sold across the globe, but its stock is unloved today. The shares are down 23% from their 2020 highs and trading at around the same level as about five years ago. However, some promising changes are afoot at...
Summary Tweedy, Browne Company LLC provides investment advisory services. The Company offers portfolio management, financial planning, and consulting services for individuals, institutions, partnerships, pension and profit-sharing plans, charitable foundations, trusts, and offshore fu...
Summary Gardner Russo & Quinn’s 13F portfolio value decreased from $8.94B to $8.27B. Russo increased Netflix and Ashtead Group plc while reducing Comcast and dropping Alibaba Group Holdings during the quarter. The top three 13F stakes are Berkshire Hathaway, Nestle,...
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 Inflation and (expected) actions by the Federal Reserve continue to dominate market movements. Markets remain very volatile following record inflation readings paired with an aggressive Fed and negative consumer sentiment. US-China relations remain tense but so far don...
Summary Unilever PLC is a great long-term, slow-growth, bond-equivalent name. Cost inflation fears and currency have hit the ADRs hard this year, sending Unilever stock's P/E ratio to its lowest level in years. Unilever has managed itself well through this challenging operatin...
Summary Imagine that you are building your retirement portfolio and you aim to pick 10 dividend growth stocks. In this analysis, I will present 10 dividend growth stocks that could be excellent choices in order to invest for your retirement. In order to diversify your portfoli...
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Shares of Unilever PLC (NYSE: UL) traded at a new 52-week high today and are currently trading at $60.41. So far today, approximately 984.58k shares have been exchanged, as compared to an average 30-day volume of 2.47M shares. Unilever PLC operates as a fast-moving consumer goods company. It ...
2024-07-25 15:32:00 ET Shares of Unilever (NYSE: UL) were marching higher today after the consumer packaged goods giant posted strong results in its second-quarter earnings report. As a result, the stock was up 5.4% as of 1:58 p.m. ET. Unilever, which owns brands like Ben & ...
2024-07-25 05:44:00 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...