Showing 1 to 12 of 25 results


Resilient Banks Offer Undervalued Investment Opportunities
The Federal Reserve's June stress test demonstrated the resilience of major US banks, leading to increased dividends, share buybacks, and investor confidence, with undervalued stocks like U.S. Bancorp, PNC Financial, and Bank OZK offering attractive investment opportunities despite potential future ...
Resilient Banks Offer Undervalued Investment Opportunities
The Federal Reserve's June stress test demonstrated the resilience of major US banks, leading to increased dividends, share buybacks, and investor confidence, with undervalued stocks like U.S. Bancorp, PNC Financial, and Bank OZK offering attractive investment opportunities despite potential future ...
Progress
48% Bias Score


Market Rally Exceeds Historical Norms, but Minor Corrections Expected
Since April 21, 2025, the S\&P 500 has experienced a 25% rally exceeding historical norms, surpassing 18 prior instances of at least 24% gains since 1970; however, despite the magnitude, historical data suggests only minor corrections are likely to follow.
Market Rally Exceeds Historical Norms, but Minor Corrections Expected
Since April 21, 2025, the S\&P 500 has experienced a 25% rally exceeding historical norms, surpassing 18 prior instances of at least 24% gains since 1970; however, despite the magnitude, historical data suggests only minor corrections are likely to follow.
Progress
20% Bias Score


Three Canadian Companies Show Strong Earnings Growth and Value
Inovestor's analysis reveals three Canadian companies—Quebecor Inc., New Gold Inc., and National Bank of Canada—with upward earnings revisions exceeding 5% over 90 days, robust growth, and attractive valuations, meeting specific market capitalization and analyst coverage thresholds.
Three Canadian Companies Show Strong Earnings Growth and Value
Inovestor's analysis reveals three Canadian companies—Quebecor Inc., New Gold Inc., and National Bank of Canada—with upward earnings revisions exceeding 5% over 90 days, robust growth, and attractive valuations, meeting specific market capitalization and analyst coverage thresholds.
Progress
40% Bias Score


AI Stock Sell-Off: January 2025 Update
The January 27, 2025, sell-off in AI-related stocks, triggered by the release of a cheaper large language model, saw a median 50% drop, but recovery patterns varied depending on market conditions, with some stocks quickly rebounding, others lagging, and the long-term outcome remaining uncertain.
AI Stock Sell-Off: January 2025 Update
The January 27, 2025, sell-off in AI-related stocks, triggered by the release of a cheaper large language model, saw a median 50% drop, but recovery patterns varied depending on market conditions, with some stocks quickly rebounding, others lagging, and the long-term outcome remaining uncertain.
Progress
40% Bias Score


Top-Performing Dividend ETFs Outperform Peers Amid Market Volatility
An analysis of 217 Canadian, U.S., and global dividend income equity ETFs identified 21 top performers based on Morningstar's risk-adjusted, after-fee rating system, suggesting that a focus on consistent dividend payers can offer relative resilience during market downturns.
Top-Performing Dividend ETFs Outperform Peers Amid Market Volatility
An analysis of 217 Canadian, U.S., and global dividend income equity ETFs identified 21 top performers based on Morningstar's risk-adjusted, after-fee rating system, suggesting that a focus on consistent dividend payers can offer relative resilience during market downturns.
Progress
32% Bias Score


Canadian Companies Thrive Amidst Global Market Uncertainty
Ten Canadian companies, seven in the metals and mining sector, showed positive growth despite global market uncertainty following new tariffs, benefiting from increased gold prices and a weakening U.S. dollar; however, companies with significant U.S. revenue face exposure to trade uncertainty.
Canadian Companies Thrive Amidst Global Market Uncertainty
Ten Canadian companies, seven in the metals and mining sector, showed positive growth despite global market uncertainty following new tariffs, benefiting from increased gold prices and a weakening U.S. dollar; however, companies with significant U.S. revenue face exposure to trade uncertainty.
Progress
48% Bias Score

Fortinet Stock Drops 22% Despite Earnings Beat, but Growth Potential Remains
Fortinet (FTNT), a $58 billion cybersecurity company, experienced a 22% stock price drop on August 7th despite exceeding earnings projections, due to slightly lower-than-expected Q3 revenue guidance; however, its strong market position and integrated platform suggest potential for future growth.

Fortinet Stock Drops 22% Despite Earnings Beat, but Growth Potential Remains
Fortinet (FTNT), a $58 billion cybersecurity company, experienced a 22% stock price drop on August 7th despite exceeding earnings projections, due to slightly lower-than-expected Q3 revenue guidance; however, its strong market position and integrated platform suggest potential for future growth.
Progress
48% Bias Score

Lam Research Stock Surges 22%, Outperforming S&P 500 Amid Strong Financials
Lam Research (LRCX) stock price increased by 22% in 2024, exceeding the S&P 500's 2% gain due to strong quarterly results, high profit margins (30.8%), and robust financial health (low debt, high cash reserves); however, its valuation is moderately higher than the S&P 500, and its past downturn resi...

Lam Research Stock Surges 22%, Outperforming S&P 500 Amid Strong Financials
Lam Research (LRCX) stock price increased by 22% in 2024, exceeding the S&P 500's 2% gain due to strong quarterly results, high profit margins (30.8%), and robust financial health (low debt, high cash reserves); however, its valuation is moderately higher than the S&P 500, and its past downturn resi...
Progress
40% Bias Score

Palantir vs. Snowflake: A Comparative Investment Analysis
Palantir Technologies and Snowflake, two data-focused software companies, show contrasting financial health and growth patterns over the last year, with Palantir exhibiting stronger profitability but higher valuation, and Snowflake displaying slower growth but lower valuation.

Palantir vs. Snowflake: A Comparative Investment Analysis
Palantir Technologies and Snowflake, two data-focused software companies, show contrasting financial health and growth patterns over the last year, with Palantir exhibiting stronger profitability but higher valuation, and Snowflake displaying slower growth but lower valuation.
Progress
48% Bias Score

Over 5,700 Mutual Funds: Investor Analysis Paralysis and the Need for Due Diligence
An analysis of over 5,700 mutual funds reveals that the vast number of choices, coupled with the complexity of analyzing individual fund holdings, leads to insufficient investor analysis and potentially poor investment decisions. Top performers like GMO U.S. Opportunistic Value Fund highlight the im...

Over 5,700 Mutual Funds: Investor Analysis Paralysis and the Need for Due Diligence
An analysis of over 5,700 mutual funds reveals that the vast number of choices, coupled with the complexity of analyzing individual fund holdings, leads to insufficient investor analysis and potentially poor investment decisions. Top performers like GMO U.S. Opportunistic Value Fund highlight the im...
Progress
48% Bias Score

Ten US Companies Outperforming S&P 500 Since Trump's Inauguration
Between January 17th and May 8th, ten US companies outperformed the S&P 500, with Palantir leading at 66%, showcasing strategies in essential goods, digital infrastructure, and niche markets.

Ten US Companies Outperforming S&P 500 Since Trump's Inauguration
Between January 17th and May 8th, ten US companies outperformed the S&P 500, with Palantir leading at 66%, showcasing strategies in essential goods, digital infrastructure, and niche markets.
Progress
52% Bias Score

3M Exceeds Q1 Earnings Expectations Despite Revenue Dip; Stock Jumps 6%
3M exceeded Q1 2025 earnings expectations with adjusted EPS of $1.88 (vs. $1.77 forecast) and revenue of $5.95 billion (vs. $5.73 billion forecast), despite a 1% year-over-year revenue decline due to mixed segment performance and external factors such as supply chain disruptions and inflation; MMM s...

3M Exceeds Q1 Earnings Expectations Despite Revenue Dip; Stock Jumps 6%
3M exceeded Q1 2025 earnings expectations with adjusted EPS of $1.88 (vs. $1.77 forecast) and revenue of $5.95 billion (vs. $5.73 billion forecast), despite a 1% year-over-year revenue decline due to mixed segment performance and external factors such as supply chain disruptions and inflation; MMM s...
Progress
40% Bias Score
Showing 1 to 12 of 25 results