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Viatris: Indore Plant Could Boost 2026 Numbers (NASDAQ:VTRS)
Seeking Alpha· 2025-09-25 17:16
Conservative Income Portfolio targets the best value stocks with the highest margins of safety. The volatility of these investments is further lowered using the best priced options. Our Enhanced Equity Income Solutions Portfolio is designed to reduce volatility while generating 7-9% yields.On our last coverage of Viatris Inc. (NASDAQ: VTRS ), we gave the complete record of the company's hits (less of these) and misses (way more of these). We also warned those trying to bottom fish at the first dayTrapping V ...
AerCap: Still Has Plenty Of Upside Ahead (NYSE:AER)
Seeking Alpha· 2025-09-24 13:17
AerCap Holdings N.V. ( AER) has had a nice run so far in 2025, up 27% and outpacing the index despite value stocks in general getting trounced by technology stocks.Individual investor and family office principal with over 20 years of investment experience. I favor fundamental analysis and look for individual issues and asset classes that are out of favor and represent a good risk/reward trade off. I often employ options strategies, covered calls on companies I own that have gotten ahead of themselves, and w ...
Is the Worst Over for UnitedHealth Group Stock?
Yahoo Finance· 2025-09-24 11:10
Key Points UnitedHealth has been in a tailspin this year as the company's performance has fallen well short of analyst expectations. The company, however, recently reaffirmed its guidance for the year, suggesting that perhaps there is finally some more stability ahead. 10 stocks we like better than UnitedHealth Group › The problem with trying to buy a stock at its low is that you'll only know whether it has bottomed out after it has done so. When it's in the midst of a sell-off, it's impossible to ...
WTV: Value Stocks Could Lead Into Year-End As Inflation Runs Hot
Seeking Alpha· 2025-09-21 03:50
The 1970s’ vibe is alive, at least among some investor types. The Fed appears poised to run the economy hot for the next few quarters, much to the appreciation of the Trump administration, and that stirs inflation concerns.Freelance Financial Writer | Investments | Markets | Personal Finance | RetirementI create written content used in various formats including articles, blogs, emails, and social media for financial advisors and investment firms in a cost-efficient way. My passion is putting a narrative to ...
Are Magnificent 7 stocks overpriced? Here are alternatives.
Yahoo Finance· 2025-09-19 09:03
辉煌七巨头市场表现 - 辉煌七巨头(亚马逊、苹果、Alphabet、Meta、微软、英伟达和特斯拉)在2015年至2024年间累计收益达698%,同期标普500指数收益为178% [1] - 七巨头在标普500指数中的市值占比从2015年的12%大幅提升至2025年的34% [2] - 2025年英伟达股价年内上涨28%,Meta上涨31%,Alphabet上涨32% [8] 估值水平分析 - 标普500指数的周期调整市盈率(CAPE比率)达到39.7,显示股价相对盈利处于高位 [5] - 七巨头多数个股的市盈率高于标普500整体水平,表明存在历史性高估 [5] - 先锋集团预测美国成长股(七巨头主导类别)未来十年年化增长率仅1.9%-3.9% [6] 市场结构影响 - 典型标普指数基金中约340美元(占34%)投资于七巨头,其中仅英伟达、微软和苹果就占标普指数基金价值的20%以上 [14] - 七巨头成功重塑股市结构,形成高度集中的市场格局 [13] - 投资者原有60%股票/40%债券的配置可能因股票超额收益变为70%/30%配置 [15] 投资替代方案 - 价值股预计年化收益5.8%-7.8%,小型股预计年化收益5%-7% [18] - 发达国家市场非美股票预计年化收益8.1% [18] - 美国高收益公司债券预计年化收益4.7%-5.7%,整体美国债券收益4%-5% [18] 机构观点分歧 - 摩根士丹利认为七巨头是"英雄"且不建议出售 [3] - 莫特利愚人将Alphabet和亚马逊列入十大长期持有股票清单 [8] - 七巨头被认可因其技术创新、全球影响力、品牌认知度、强劲营收和盈利以及适应市场变化的多元化业务 [9]
The Best Value Stocks to Buy Now
ZACKS· 2025-09-16 22:36
Key Takeaways How to screen for stocks that offer value and improving earnings outlooks.Ranger Energy has soared over 400% in five years, yet it's a great value stock.The S&P 500, the Nasdaq, and the Dow all hit fresh all-time highs after Oracle bolstered the case for the artificial intelligence spending boom last week. A large portion of stock market gains this year have been fueled by the bullish outlook for AI spending that’s leading to massive earnings growth.The other pillar of the stock market, along ...
12 Best NASDAQ Penny Stocks to Buy According to Hedge Funds
Insider Monkey· 2025-09-14 18:50
小盘股主动管理表现 - 研究发现主动小盘股经理在价值股主导时期相对长期表现强劲 58%的5年滚动周期中Small Blend类别平均表现超越Russell 2000指数[2][3] - 价值主导周期中主动管理超额收益概率达82% 而增长主导周期中仅15% 且65%观察周期属于价值主导[3] - 当Russell 2000五年年化回报率处于5-10%区间时 价值股超越增长股的概率达70% 这与当前市场预期相符[4] 纳斯达克低价股筛选方法 - 筛选标准为股价低于5美元且市值最大的纳斯达克上市公司 按对冲基金持仓数量升序排列[7] - 采用Insider Monkey对冲基金数据库 数据更新至2025年第二季度 统计日期为9月12日[8] - 跟踪对冲基金持仓因历史数据显示模仿顶级对冲基金选股可超越市场基准表现[9] Prospect Capital Corporation(PSEC) - 股价2.79美元 获11家对冲基金持有 近期完成对The Ridge的1800万美元投资[10] - 通过高级担保定期贷款和股权投资支持高端成瘾治疗设施 业务涵盖解毒到门诊服务[11][12] - 净债务与总资产比率达30.4% 正战略退出收益率4.5%的地产投资 但获得48家银行122亿美元融资承诺[13] - 主营私营企业贷款和投资 通过债务与股权投资获取当期收益和长期资本增值[14] Tilray Brands(TLRY) - 股价1.12美元 获12家对冲基金持有 旗下Breckenridge Distillery与丹佛野马队进入第五年合作期[15][16] - 推出限量版烈酒系列包括蜂蜜威士忌和伏特加奶油苏打水等四款主题产品[17][18] - 因美国大麻从一级管制调整为二级管制 杰富瑞将目标价从1.5美元上调至2美元维持买入评级[19] - 主营生活方式消费品 通过四大业务板块(饮料/大麻/分销/健康)从事医用大麻研发种植与分销[20]
Should Invesco Large Cap Value ETF (PWV) Be on Your Investing Radar?
ZACKS· 2025-09-12 11:21
基金概况 - Invesco Large Cap Value ETF(PWV)是一只被动管理型交易所交易基金 于2005年3月3日推出 旨在为美国大盘价值股领域提供广泛投资敞口[1] - 该基金由Invesco发起 管理资产规模超过12亿美元 属于该领域中等规模的ETF产品[1] 投资策略与特点 - 大盘价值股类别公司通常市值超过100亿美元 现金流更可预测 波动性低于中小盘公司[2] - 价值股具有低于平均水平的市盈率和市净率 但销售和盈利增长率也较低 长期表现优于成长股 但在强劲牛市中成长股更可能领先[3] 成本结构 - 该基金年运营费用率为0.53% 属于同类产品中较昂贵的 其12个月追踪股息收益率为2.22%[4] 资产配置与持仓 - 金融行业配置权重最高 约占投资组合的31.5% 其次是能源和医疗保健行业[5] - 最大持仓为高盛集团 占总资产约3.76% 其次是强生公司和思科系统 前十大持仓合计占管理总资产的35.09%[6] 业绩表现 - 该基金追踪Dynamic Large Cap Value Intellidex指数表现 今年以来上涨15.75% 过去一年上涨约17.11%(截至2025年9月12日)[7] - 过去52周交易价格区间为52.26美元至64.99美元[7] 风险特征 - 三年期贝塔值为0.82 标准差为14.35% 属于中等风险选择 通过约52只持仓有效分散个股风险[8] 同类产品比较 - 施瓦布美国股息股票ETF(SCHD)管理资产722.8亿美元 费用率0.06% 先锋价值ETF(VTV)管理资产1471.4亿美元 费用率0.04%[10] - 这两只ETF跟踪相似指数 是该领域的替代选择[10]
Should Vanguard S&P 500 Growth ETF (VOOG) Be on Your Investing Radar?
ZACKS· 2025-09-12 11:21
基金概况 - 先锋标普500成长ETF(VOOG)为 passively managed 交易所交易基金 于2010年9月9日推出 旨在追踪美国大盘成长股市场 [1] - 基金资产管理规模超过200.5亿美元 是美国大盘成长股市场中规模最大的ETF之一 [1] 投资策略与特点 - 投资大盘成长型公司 通常指市值超过100亿美元的企业 具有稳定性高 风险较低及现金流更稳定的特点 [2] - 成长型股票具有高于平均水平的销售和收益增长率 估值较高但风险较大 在强劲牛市中可能跑赢价值股 但价值股在多数市场中历史回报更优 [3] - 年度运营费用率为0.07% 属同类产品中最低成本水平 另具0.49%的12个月追踪股息收益率 [4] 资产配置与持仓 - 信息技术行业占比最高 约42.1% 电信和可选消费行业位列第二和第三 [5] - 第一大持仓英伟达公司(NVDA)占总资产14.89% 微软(MSFT)和Meta平台(META)紧随其后 [6] - 前十大持仓合计占管理总资产约41.77% [6] 业绩表现 - 年初至今收益达17.4% 过去一年涨幅约30.01%(截至2025年9月12日) [7] - 52周价格区间为299.15美元至428.71美元 [7] - 三年期贝塔系数为1.11 标准差20.13% 属中等风险等级 通过217只持仓有效分散个股风险 [8] 同业比较 - 获Zacks ETF评级1级(强力买入) 基于预期资产类别回报 费用比率和动量等因素 [9] - 同类产品先锋成长ETF(VUG)资产规模1911.9亿美元 费用率0.04% Invesco QQQ(QQQ)规模3690亿美元 费用率0.2% [10] 行业趋势 - 被动管理型ETF因低成本 高透明度 灵活性和税收效率 日益受到机构及个人投资者青睐 成为长期投资的优质工具 [11]
BGC or MKTX: Which Is the Better Value Stock Right Now?
ZACKS· 2025-09-11 16:41
核心观点 - BGC集团在估值指标和盈利前景改善方面优于MarketAxess 提供更好的价值投资机会 [1][7] 估值指标对比 - BGC集团远期市盈率为8.50 MarketAxess为24.68 [5] - BGC集团PEG比率为0.40 MarketAxess为3.58 [5] - BGC集团市净率为4.3 MarketAxess为4.99 [6] - 估值指标显示BGC集团价值评级为B级 MarketAxess为D级 [6] 投资评级表现 - BGC集团获Zacks排名第2位(买入) MarketAxess获第3位(持有) [3] - Zacks排名系统重点关注盈利预测上调的公司 BGC集团盈利前景改善程度更大 [3]