Zack Miller is Covestor’s Head of Business Development. In his podcast below, Zack speaks with Theresa Hamacher and Bob Pozen, authors of a new book on the mutual fund industry. Mutual funds have introduced millions of Americans to investing in the stock market. While their popularity and usage may have […]
Monthly Archives: March 2011
For his Cash Flow portfolio, Covestor model manager Jose Betancourt conducts fundamental analysis to find companies with high free cash flow and negative net debt. Current top holdings include ChinaCast Education (CAST), Tellabs (TLAB) and Theragenics (TGX). On March 14, Betancourt added a new position in Tellabs (TLAB), which is engaged in designing and […]
Electronics contract manufacturer Jabil Circuit (NYSE: JBL) reported late Tuesday (3/22) that net income jumped 86 percent in its second fiscal quarter of 2011 to $55.4 million, or 25 cents a share, compared to $29.8 million, or 14 cents a share, in the year-ago period. Revenue increased 31 percent to […]
Private Equity investor Chris Douvos has been watching a lot of Indiana Jones movies with his kid. In his current fave, The Last Crusade, Douvos finds in the three tests Indy has to pass to obtain the Holy Grail some essential lessons for investors: Challenge #1: The Breath of God… […]
Author: Michael Arold Model: Technical Swing Disclosure: Long CCJ Cameco Corp. (CCJ) is the world’s largest uranium mining company and obviously affected by the nuclear catastrophe in Japan. The stock declined over 30% during the recent market sell-off. However, I believe that the company was overly punished and that CCJ […]
For her International Yield portfolio, Covestor model manager Vivian Lewis focuses on high yielding closed end funds, preferred shares and common shares of companies that reside physically outside of the United States. Current top holdings include Ecopetrol SA (EC), Templeton Emerging Markets Income Fund (TEI) and Ultrapar Participacoes SA (UGP). On March […]
Author: James Hofmann Model: Dividend Growth Disclosure: Long T Over the weekend AT&T (NYSE: T) the second largest wireless carrier in the US announced plans to buy T-Mobile the fourth largest carrier in the US for $39 billion. The combined company will be the largest provider in the US surpassing […]
For the Pure Growth portfolio, Covestor model manager BSG&L focuses on companies with 15% ROE, good liquidity and a PEG ratio of less than 1.25. Current top holdings include Caterpillar (CAT), Linn Energy (LINE) and Peabody Energy (BTU). On March 17, BSG&L added a position in Continental Resources (CLR), an independent crude oil and […]
The folks at GOOD collected a sample of gas prices from throughout the industrialized Western world in this infographic: Here are some more countries, via the Gasoline-Germany site: Afghanistan: $8.04 Bolivia: $2.26 Brazil: $5.99 China: $4.47 Greenland: $7.14 Hong Kong: $7.67 India: $4.57 (for 91 octane, on July 14, 2010) […]
Om Malik has been covering the telecom beat with great insight for many years and isn’t afraid to speak his mind. In the wake of the huge AT&T (NYSE: T) acquisition of T-Mobile USA, Malik weighs in, saying “it’s hard to find winners, apart from AT&T and T-Mobile shareholders.” The […]
For the Pure Growth portfolio, Covestor model manager BSG&L focuses on companies with 15% ROE, good liquidity and a PEG ratio of less than 1.25. Current top holdings include Caterpillar (CAT), Linn Energy (LINE) and Peabody Energy (BTU). On March 17, BSG&L added a position in EMC Corporation (EMC), which develops, delivers and supports […]