Agnico Eagle Mines Limited (AEM) Presents at Mining Forum Europe 2026 Transcript
Agnico Eagle Mines Limited, the world’s second‑largest gold producer, highlighted its global footprint of ten operating mines in Canada, Finland, Mexico and Australia, with 85% of output coming from its Canadian regions. The company reported $8.8 billion in EBITDA and $4.4 billion of free cash flow for the prior year, ending with a $2.7 billion net cash balance. It returned $1.4 billion to shareholders through share buybacks and dividends. Management emphasized a regional mining model that drives a $200‑$300 per ounce cost advantage over peers.
CarMax, Inc. (KMX) Q4 2026 Earnings Call Transcript
CarMax, Inc. convened its fiscal 2026 fourth‑quarter earnings call on April 14, 2026, featuring CEO Keith Barr, CFO Enrique Mayor‑Mora, interim chair Tom Folliard and other senior leaders. The call opened with standard safe‑harbor disclosures and introduced the executive team that will...
FTAI Aviation: A Multiyear Compounder
FTAI Aviation has evolved from a traditional aircraft‑leasing firm into a multi‑segment operator that combines high‑ROE leasing, a fast‑growing MRO business and a nascent power‑generation franchise. The Strategic Capital Initiative (SCI) raised $2 billion of equity, targeting up to 375 mid‑life...
TSMC: The AI Silicon Shortage Is About To Get Worse
Taiwan Semiconductor Manufacturing Co. (TSMC) has become the primary bottleneck in the AI semiconductor supply chain, with its 2 nm and 3 nm production lines fully booked through 2027. The company's advanced‑node and CoWoS packaging capacity are already operating at or above...
Dynagas LNG: Mispricing Risk, Undervaluing Cash Flow
Dynagas LNG Partners (DLNG) is trading at distressed levels because of its exposure to Russian sanctions and an aging LNG carrier fleet, yet its cash flow remains strong. The company has been actively deleveraging, redeeming $55 million of preferred stock and...
ARTY: The AI Train Powers Ahead
iShares Future AI & Tech ETF (ARTY) is reiterated as a buy after posting a strong year‑over‑year gain. The fund trades at a low 16.5× price‑to‑earnings multiple while projecting a 24.8% long‑term EPS growth rate, yielding a PEG ratio near...
Cisco: The Stock Is Building 'Cause' While Fundamentals Pivot To AI Networking And Campus Refresh
Cisco reported a 10% year‑over‑year revenue increase to $15.35 B, signaling more than a routine beat‑and‑raise. The growth was driven by a shift toward AI‑focused networking solutions and a campus‑refresh demand wave. Subscription services now generate $7.84 B, roughly half of total...
Nu Holdings: Doubling Down Despite U.S. Expansion Concerns
Nu Holdings (NU) continues to pursue aggressive growth in Latin America, leveraging its founder‑led, digital‑first model that delivers 45% FX‑neutral revenue growth and a 33% return on equity. The bank’s unit economics remain strong, with low‑cost customer acquisition and prudent...
Beyond The Magnificent Seven: Discovering Equity Opportunities In The S&P 493
The S&P 500 is now heavily concentrated, with the top ten stocks representing about 40 % of the index’s market value. Excluding the Magnificent Seven, the remaining 493 companies posted earnings growth of over 10 % in 2024, driven by renewed activity...
ONEOK: Bullish Setup Remains Despite Slower Near-Term Growth
ONEOK (OKE) retains a Buy rating despite a recent 20% rally and a downgrade from Strong Buy. The analyst cites conservative 2026 EBITDA guidance of $8.1 billion, leaving upside if oil prices stay above modeled levels. Current EV/EBITDA sits at 10.6×,...
TechnipFMC: Get Out While The Getting Out Is Good
TechnipFMC plc provides offshore and subsea services to the oil‑and‑gas sector, an industry known for sharp cycles and rapid technology shifts. Despite a long‑term trend of demand contraction, the stock trades at a premium with a price‑to‑earnings multiple above 20....
Credo: 'Optics Threat' Creates The Kind Of AI Buying Opportunity I Dream Of
Credo Technology (CRDO) has been upgraded to a strong‑buy as it offers direct exposure to the rapid expansion of data‑center capacity driven by generative AI. The stock trades around 25× forward earnings while the company projects more than 50% year‑over‑year...
CSQ: 8% Yield, 11% Discount, Much Better Payout Coverage (Rating Upgrade)
Calamos Strategic Total Return Fund (CSQ) earned a speculative‑buy rating after its distribution coverage improved to 1.21× in fiscal year 2025, accompanied by a near‑20% dividend hike and 18.7% net‑asset growth. The fund now yields roughly 8% while trading at an...
T1 Energy: Solar, AI, And Load Growth
T1 Energy’s shares have slumped more than 50% from their 52‑week peak even as the company posted record‑high fourth‑quarter revenue. The Dallas‑based G1_Dallas plant cranked out 1.13 GW of solar modules in Q4, a 64% sequential jump, with outbound shipments reaching...
How Markets Are Balancing Between External Shocks And Internal Risks
TD Asset Management’s Benjamin Gossack warned that markets are juggling external shocks—especially soaring oil prices—and internal risks such as a potential credit crunch. Investors responded by buying record volumes of equity put contracts, cushioning equity losses amid heightened geopolitical uncertainty....
A Fragile Truce
U.S. equities surged again, with the S&P 500 up 3.5% after a 3% gain last week, as a tentative cease‑fire between the U.S. and Iran eased Middle‑East tensions. The de‑escalation cooled oil markets, pulling prices from four‑year highs and alleviating fears...
Ultragenyx Pharmaceutical: The Market Is Overlooking 2026 Catalysts
Ultragenyx Pharmaceutical (RARE) remains a speculative conviction hold as its commercial base funds a late‑stage rare‑disease pipeline. The company expects multiple 2026‑2027 catalysts—including GTX‑102, DTX401 and UX111—to drive revenue growth. Conservative U.S.–only modeling projects $1.5 B‑$2.4 B peak annual revenue from these...
Gambling.com: SEO Recovery Appears Underway
Gambling.com Group (GAMB) is trading at distressed levels even though it posted record free cash flow and revenue in FY‑25. Insiders recently purchased roughly 1.5% of the float, hinting at confidence in the turnaround. The company’s marketing arm is wrestling...
Opera: AI-Driven Advertising Prospects - Upside Potential And Rich Dividend Yields
Opera Limited (NASDAQ:OPRA) is leveraging AI‑driven browser advertising, e‑commerce ad placements, and its MiniPay fintech platform to diversify revenue streams. Management’s FY2026 outlook projects solid top‑line and adjusted EBITDA growth, though elevated ad inventory costs could temper adjusted EPS. The...
RenaissanceRe: Preferred Stock Hasn't Been This Appealing In Years
RenaissanceRe’s preferred securities are exceptionally well‑covered, with dividend payouts requiring less than 1.5% of attributable net income. The insurer holds roughly $11 billion of common equity, offering a solid buffer for preferred investors. Series F preferred shares currently yield 6.75% and are...
Sezzle: Consolidation Completed, Re-Rating Ahead
Sezzle completed its consolidation, positioning the BNPL firm as a Strong Buy with a 13× forward P/E and double‑digit revenue and earnings growth. Management highlights a 96.8% repeat‑usage rate, 34% transaction growth, and net‑income margins above 29%, underscoring operational strength....
Bitmine Immersion Q2 Preview: Ethereum Thesis Facing Important Report Card
Bitmine Immersion Technologies (BMNR) has transformed from a modest Bitcoin miner into the world’s largest Ethereum treasury, targeting a 5% quarterly ETH accumulation. The company’s Q2 2026 earnings hinge on whether MAVAN staking income is recognized as operating revenue, a factor...
I Am Sharing Two Of My Retirement High-Yield Gems
Rida Morwa highlights two high‑yield retirement investments that together generate roughly 7% annual distribution yields. The first is a preferred‑share exchange‑traded fund, while the second is a short‑duration municipal bond fund offering tax‑free income. Both are positioned as steady‑income anchors...
The Software Narrative Is Leaking Badly Again Thanks To Anthropic Mythos
Anthropic unveiled its Mythos AI model, prompting a sharp sell‑off across software and SaaS equities. The model’s advanced capabilities have raised concerns about hidden vulnerabilities, dragging down cybersecurity leaders CrowdStrike and Palo Alto Networks. Access to Mythos remains limited, creating...
AVIV: Should Keep Rising If The Ceasefire Holds
Avantis International Large‑Cap Value ETF (AVIV) earned a Buy rating as it appears oversold after the Iran conflict, with a potential rebound if a cease‑fire holds. The actively managed fund charges a low 0.25% expense ratio and carries a 15%...
Even After Recent Gains, The Valuation Is Still Compelling For Lake Shore Bancorp
Lake Shore Bancorp (LSBK) remains a Buy as its 2025 earnings surged to a record $7.3 million and tangible book value per share climbed 56.4% to $18.10. The bank expanded net interest margin by 52 basis points, improved efficiency ratios, and...
BCP Investment: A Well-Covered Dividend Yield While Waiting For A Tender Offer Or Buyout
BCP Investment Corp (BCIC) is trading at a 56% discount to NAV while delivering a 14.1% dividend yield backed by 2.1× coverage. The firm recently refinanced $108 million of notes, easing refinancing risk amid broader BDC sector volatility. Potential value catalysts...
Hecla Mining: Undersupplied Silver Market To Drive Growth
Hecla Mining Company (HL) received a Buy rating as analysts anticipate a sustained silver deficit through 2026, which should lift prices. The firm projects 15.1‑16.5 million ounces of silver output next year, driven by low‑cost North American mines that generate strong...
How Energy Market Swings Are Reshaping Monetary Policy
Energy market turbulence is reverberating across the financial system, with crude‑oil price swings reigniting inflation worries and driving Treasury volatility to its highest level since the 2025 Liberation Day rally. The surge in Treasury convexity signals heightened directional uncertainty, forcing...
Commodities: Oil Supported By Ongoing Supply Risks
Oil prices rose for a second consecutive session as fresh supply‑risk concerns in the Middle East kept Brent near $96 per barrel. Attacks on Saudi and Kuwaiti infrastructure have tightened the market, preserving a geopolitical risk premium despite cease‑fire talks....
Unilever: Market Undervaluing Its Transition To A Higher-Quality HPC Business
Unilever is shedding its ice‑cream and food units to become a pure‑play Home & Personal Care (HPC) company, targeting higher growth and margins. The spin‑offs aim to eliminate the conglomerate discount and are projected to lift EBIT margins by roughly...
Genco Shipping: Why I Don't Expect Further Bids And Why I Favor Cheaper Plays
Genco Shipping (GNK) was downgraded to hold as its share price neared net asset value after a 50 % rally this year. Management turned down Diana Shipping’s $23.5 per‑share cash offer, deeming it fair but insufficient. The analyst now projects a...
PPG Industries: Upside Can Be Volatile, Looking At 2026
Analyst Wolf maintains a BUY rating on PPG Industries, citing continued upside potential despite modest overall performance. Recent price volatility has generated notable short‑term gains for investors who timed trades. The analyst’s position in PPG is smaller than his stake...
CEF Insights: New Germany Fund For European Growth Opportunities
The Closed‑End Fund Association introduced a new Germany‑focused fund targeting European growth opportunities. Portfolio manager Hansjoerg Pack highlighted a valuation gap between German and U.S. equities, ongoing fiscal stimulus, and a bullish outlook for German small‑ and mid‑cap stocks. He...
ISM Services PMI: Continued Expansion In March
The Institute for Supply Management reported a March Services PMI of 54.0, signalling continued expansion but a slowdown from February. The Prices Index rose as oil and fuel costs increased, while the Supplier Deliveries Index showed weaker performance. The Employment...
Archer Aviation: Buying The Dip Despite Manufacturing Challenges
Archer Aviation, once hailed in late 2024 for its eVTOL technology and strong regulatory momentum, has seen its share price stall after an initial surge. Over the past year the company faced shareholder dilution, production bottlenecks, and a delayed launch...
HNI Corporation: Doubling Down On Workplace Furnishings
HNI Corporation upgraded from Sell to Hold after its Steelcase acquisition drove workplace furnishings revenue up roughly 50% and delivered 8.6% organic growth. Management is pursuing more than $100 million in synergies, which could materially improve earnings. The stock now trades...
Resources Connection, Inc. (RGP) Q3 2026 Earnings Call Transcript
Resources Connection (RGP) posted third‑quarter 2026 results that beat expectations, delivering $475 million in revenue, a 6% year‑over‑year rise, and adjusted EBITDA of $115 million, representing a 24% margin. Net income climbed to $45 million, and the company lifted its full‑year revenue outlook...
VersaBank (VBNK:CA) Shareholder/Analyst Call Transcript
VersaBank held its Annual General Meeting on April 8 2026, chaired by board chair Frank Newbould. The meeting confirmed a quorum of shareholders, appointed Stacey Stokley as corporate secretary, and installed Arlene Agnew and Heather Conran as scrutineers from Odyssey Trust. All board members...
Streamex Corp. (STEX) Q4 2025 Earnings Call Transcript
Streamex Corp. (STEX) held its Q4 2025 earnings call on April 8, 2026, highlighting the company’s recent transition to a public entity and the foundational work laid for its blockchain‑based platform. Management detailed early traction for its flagship tokenized asset product, GLDY, citing...
Royal Gold: No Longer A Bargain (Rating Downgrade)
Royal Gold (RGLD) has been downgraded to Hold after a 34% share rally since its last Buy rating. The company completed a transformative year, bolstering its project pipeline and extending its five‑year GEO outlook. While fundamentals remain solid and debt...
The Fat-Tailed Economics Of AI
Anthropic announced a run‑rate revenue exceeding $30 billion, effectively adding its entire 2025 revenue each month. The figure dwarfs typical software ARR benchmarks and signals unprecedented scaling speed. The company attributes this growth to AI models whose cost curves are highly...
Multiplan Empreendimentos Imobiliários S.A. (MLTTY) Discusses Growth Strategy, Expansion Projects and Innovation in Shopping Mall Portfolio Transcript
Multiplan Empreendimentos announced a US$1.5 billion investment plan over the next five years to expand and modernize its shopping‑mall portfolio. The company highlighted a recent decline in operating expenses coupled with rising revenues, underscoring disciplined growth. Management stressed a focus on...
Invesco Health Care Fund Q4 2025 Commentary
In the fourth quarter of 2025 Invesco’s Health Care Fund lagged its sector benchmark due to stock selection in equipment, life‑sciences tools and facilities, while gains came from pharmaceuticals, biotech and services. Overweights in facilities and health‑care technology also detracted,...
Hub Group: The Error That Broke The Buy Thesis (Rating Downgrade)
Hub Group was downgraded to a sell after an accounting error revealed a $77 million understatement of accounts payable, cutting its adjusted EBITDA margin from 7.5% to 4.7%. The misstatement creates uncertainty over whether the margin pressure is a one‑off glitch...
L3Harris: The Pentagon Buys, Wall Street Follows
L3Harris stands to gain from a $1 billion preferred‑stock injection by the Pentagon, securing long‑term demand and production priority. The company balances this upside with $11.22 billion of debt and a forward EV/E of 18.14×, indicating a premium valuation. Its operational metrics...
NPFI: A Preferred ETF That Actually Behaves Like One
Nuveen Preferred and Income ETF (NPFI) provides institutional investors with actively managed preferred‑stock exposure, featuring roughly 81% investment‑grade holdings and a 51.5% non‑U.S. issuer mix. The fund’s global diversification leans heavily toward systemically important banks, delivering a 2025 return of...
Wise: Growth And Innovation From The Inside Out Should Fuel Upside
Wise plc posted a 21.4% year‑over‑year increase in underlying income for Q3 2026, underscoring its expanding global footprint and niche diversification. The company’s ultra‑low‑cost model and proprietary technology stack are preserving margins and outpacing rivals such as PayPal. Valuation remains...
VIG Isn't Missing Tech - It's Dodging The Risk
Vanguard’s Dividend Appreciation Index Fund (VIG) remains a Buy for core portfolios, especially in pressured or range‑bound markets. Its structural filters prioritize value and defensive compounding, limiting exposure to high‑beta tech and the “Mag‑7” beyond Apple and Microsoft. Despite trading...
Fidelity Freedom 2065 Fund Q4 2025 Commentary
Fidelity’s Freedom 2065 target‑date fund reported Q4 2025 outperformance, driven by active asset allocation and selective security picks. The fund’s glide‑path is being revised to raise equity exposure for younger investors and add inflation‑sensitive assets for those approaching retirement. Risk...