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With a key retail ETF near a multi-year breakout, Covestor manager Keshav Agrawal turns bearish on the U.S. consumer.

Outlook

Why retail may be at a make-or-break point

by Michael Tarsala
Published March 29, 2012
Why we’re buying GE

There are certain companies in this world that have the ability to impact virtually every aspect of human life.

Strategies

Why we’re buying GE

by Xavier Brenner
Published March 29, 2012

Fears of a China economic slowdown are weighing on metals and mining stocks, although a past pattern may provide some long-term insight.

Outlook

A long-term observation of metals and mining stocks

by Michael Tarsala
Published March 29, 2012
Costco still looks reasonably priced despite advance

It's a hugely important stock to a lot of investors. Is it time to take some profits on Costco?

Strategies

Costco still looks reasonably priced despite advance

by Robert Freedland
Published March 29, 2012
Inflation worries don’t keep me up at night

You bet the wrong way on inflation, and it may cost you your nest egg.

Strategies

Inflation worries don’t keep me up at night

by Charles Sizemore
Published March 29, 2012
The very latest as the Facebook IPO draws near

With the offering now seemingly set for May, here's a fresh look at past IPO performance, new thoughts on valuation and potential scams and fees to avoid.

Outlook

The very latest as the Facebook IPO draws near

by Michael Tarsala
Published March 28, 2012

Buying by central banks could have an impact on the 2012 gold rally, says Christopher Henwood, former VP at Goldman affiliate J.Aron, in an exclusive interview.

Outlook

Why central banks could help push gold prices higher

by Michael Tarsala
Published March 28, 2012
Estimize: First Call for the social finance age

To a fundamental investor, a company's earnings are the most important driver of valuation and stock prices. Here's a startup disrupting Wall Street's hold on earnings projections.

Outlook

Estimize: First Call for the social finance age

by Mick Weinstein
Published March 28, 2012

The declining Citigroup Economic Surprise Index may be flashing a near-term stock market warning signal.

Outlook

What a Citi index says about potential stock market weakness

by Michael Tarsala
Published March 27, 2012

As we get closer to "sell in May and go away", let's take market snapshot, then review the most cogent bullish and bearish arguments.

Outlook

Facts and fact-based opinions on future S&P 500 direction

by Michael Tarsala
Published March 27, 2012
Moore’s law and the financial markets

The pace of change in the U.S. economy has accelerated over the past few years.

Strategies

Moore’s law and the financial markets

by Daniel Beckerman
Published March 27, 2012
Why mReits aren’t as risky as you might think

The cadre of mREIT analysts is often focused on dividends and their sustainability.

Strategies

Why mReits aren’t as risky as you might think

by John Gerard Lewis
Published March 27, 2012

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