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Jane's retirement accounts generated a total of $2,205.33 of dividend income for April 2022 vs. $2,213.20 of dividend income for April 2021. Jane's Traditional IRA had a balance of $431.8K as of April 30, 2022, vs. $408.8K on April 30, 2021. The estimated annualized dividend yield is ...
Gardner Russo & Quinn's 13F portfolio value decreased from $11.21B to $10.39B. Russo increased Ashtead Group plc during the quarter. The top three 13F stakes are Berkshire Hathaway, Nestle, and Mastercard. They add up to ~41% of the portfolio. For further details see: ...
Positive development with Bunge disclosing $500 million-$1 billion out of its $2 billion growth capex pipeline is within the alternative protein. Bunge’s increasing interest/spend in plant-based protein is positive for Burcon. Bunge increased its stake in Merit JV with Burcon i...
The war in Ukraine continues to dominate market movements. I have started exiting one of my apartment REITs and predominantly focus on adding dividend income via select purchases. The combination of soaring inflation and geopolitical uncertainty has rattled markets and following t...
Fisher's 13F portfolio value decreased from ~$179B to ~$165B in Q1 2022. Nvidia, Intuit, Broadcom, Verizon, Uber, AMD, & Meta Platforms were increased while reducing Intel, Walmart, Walt Disney, Cisco, UnitedHealth, Starbucks & Visa this quarter. The top three positions ar...
The NASDAQ is finally in formal bear market territory, although, as high growth investors fully know, we have been in a brutal bear market since at least November of 2021. My aggressive growth portfolio has not been spared the extreme pain; however, I am confident in my positions once...
Colgate-Palmolive Company’s (NYSE:CL) cost increases are a worrying sign for margins across consumer products, according to Atlantic Equities analyst Edward Lewis. For its recent first quarter report, the New York-based consumer goods company saw gross margins cut by 220 basis points f...
BlackRock, champion of ESG, has been accused of greenwashing and of putting its CEO's views ahead of investors' needs. Unilever has mistaken political correctness with ESG and upset its major shareholders. Lloyds Banking Group sought to become a champion of diversity and inadverte...
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 funds. Tweedy,...
Unilever Plc (NYSE:UL) is expecting more pricing pressure ahead for consumer products. The Anglo-Dutch Dove soap manufacturer was anything but dovish about the impacts of the war in Ukraine, its impact on energy and raw material prices, and the anticipated impact for consumers globally. Durin...
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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...