News

Oaktree trades at a 16% discount to NAV. See more on OCSL stock's risks, dividend changes, and rebound potential if portfolio ...
Q1 of 2025 started just as 2024 ended, with the S&P 500 Index in an upswing and hitting a record high in February. Click here ...
VNM ETF surges 14% YTD, boosted by infrastructure upgrades and regulatory changes. Discover risks, key drivers, and why ...
To fund Taiwan Semiconductor Manufacturing purchase, we exited our position in Entegris. Why are we bullish TSM stock? Click ...
Gulfport showed solid Q1 2025 results with rising production, lower capex, and strong free cash flow prospects. See an ...
CDZ:CA ETF has high fees, is underperforming, and a low liquidity diminishes its appeal. Read here for an analysis and why we ...
Simplify Managed Futures Strategy ETF is a superior hedge and a top-rated 'Buy' for portfolio diversification. Read here for ...
Read here for insights on Fundsmith's Q1 2025 portfolio: new stakes, key exits, major trims, and Terry Smith's disciplined ...
Discover how Horos Asset Management leverages value investing to target 130% potential returns in 3 years. Click here to read ...
PayPal's (PYPL) strong earnings growth, rising active accounts, and boosted Venmo engagement remain undervalued. Read an ...
We funded our purchase of Bruker by selling our position in Danaher. Why are we bullish BRKR stock? Click here to find out.
Davide Campari's Q1 results appeared disappointing, reflecting weaker-than-expected performance across key metrics. See more ...