ARCC and MAIN are widely regarded to be among the top blue chip BDCs and for good reason. Read more here.Read full newsRead More
MLPs demonstrated their resiliency during March, a month characterized by increased volatility in markets.Read full newsRead More
21 micro-cap energy producers were evaluated using a quality matrix with factors including P/S, YOY Revenue Growth, NIM, FCF Margin, and Total Debt/Market Cap.Read full newsRead More
Listen on the go! A daily podcast of Wall Street Breakfast will be available this morning on Seeking Alpha, iTunes, Stitcher and Spotify.Read full newsRead More
Sunnova reported YoY revenue growth of 200% for its last reported fiscal 2022 fourth quarter. Click here to read my most recent analysis of NOVA.Read full newsRead More
The market is punishing the strongest banks. Read why this presents a rare opportunity for investors who can identify top-notch financial institutions.Read full newsRead More
Catalyst watch for the week of April 2.The hosts explore the big topic of the week, nonfarm payrolls. Levi Strauss & Co. and Constellation Brands will report earnings.Read full newsRead More
Lanxess has gone from being primarily a basic chemicals to a majority specialty chemicals company over the last few years. See why we rate LNXSF stock a Hold.Read full newsRead More
Gold has been seeing a large number of contracts roll in the final day of the contract. That did not happen this month. Unlike gold, the removal of silver has continued unabated.Read full newsRead More
ESG funds, including both mutual funds and exchange-traded funds, have grown into a $400 billion market in the United States alone.Read full newsRead More
In this article, I express my opinion on why Amazon should follow the example of Alibaba and spin off its business into separate, independent segments. Read more about AMZN here.Read full newsRead More
Why the U.S. consumer continues to spend. As inventories begin to shrink, will retailers regain their pricing power and margins?Read full newsRead More
Banks are failing, creating the current banking crisis. The Fed continues to raise interest rates to tame inflation and the stock market is more volatile than ever.Read full newsRead More
The Fed added a gargantuan sum to its balance sheet in March, netting an increase of $324B.Read full newsRead More
Most readers follow my work for the extensive writing I have done referencing my aggressive growth portfolio. Read more here.Read full newsRead More
Earnings of Capital Bancorp will most probably dip slightly this year on the back of high provision and operating expenses. But read why I rate CBNK stock a Buy.Read full newsRead More
Sunnova Energy increased its revenue by 130.6% YoY to $557.6 million for FY2022, however high operating expenses continue to deepen losses. Read more about NOVA here.Read full newsRead More
AVDX's lackluster performance since the release of 4Q22 earnings is likely due to slowing B2B spending among AVDX's customer base. Read more about AVDX here.Read full newsRead More
Innovative Industrial Properties is beginning to feel some pain, with some tenants defaulting on rent. But read why I rate IIPR stock a Strong Buy.Read full newsRead More
On a year-over-year basis, the PCE price index without food and energy products ("core PCE") jumped by 4.6% year-over-year in February.Read full newsRead More