Today's Stock Investing Pulse
Devon Energy’s $8B Marcellus Asset Offer Signals Aggressive Growth Post-Merger
Devon Energy completed its merger with Coterra, creating a larger diversified oil and gas operator. Stone Ridge Asset Management has signaled an $8 billion opening offer for Devon’s Marcellus assets, and the combined company expects to lift its dividend by roughly 30%.
IonQ Forecasts $225‑$245 M 2026 Revenue, Backs It with Skywater Acquisition
IonQ announced 2026 revenue guidance of $225‑$245 million, a $370 million backlog and a cash pile of $3.3 billion. The company also disclosed a deal to acquire Skywater Technology, offering $15 in cash and $20 in IonQ stock per share, underscoring its aggressive expansion in hardware and services.
Featured Stock From Our Dividend Growth Stocks Model Portfolio for March 2026
NewConstructs unveiled its March 2026 Dividend Growth Stocks Model Portfolio, adding 14 new equities to the lineup. The firm highlighted one of the selections in a member‑only feature article published April 1, 2026. Access to the full report and the complete list...

This JPMorgan Income ETF Was Named One of the Best by Morningstar. Where Its Manager Is Investing Now
JPMorgan’s Dividend Leaders ETF (JDIV) earned Morningstar’s top‑ranked high‑dividend ETF badge for 2026, thanks to its rigorous bottom‑up stock selection and modest value tilt. The fund holds roughly 51% U.S. equities and the remainder across developed and emerging markets, delivering...
Kailera Plots IPO to Fuel Obesity Pipeline
Kailera Therapeutics, after raising $1 billion across a $400 million Series A and $600 million Series B, is preparing an IPO to fund its obesity drug pipeline. Its lead candidate, ribupatide, has delivered up to 23.6% weight loss in Phase 3 injectable trials and 12.1% loss...

S&P Forward P/E 19.2x; 8 Cheap Growth Stocks
The Forward P/E for the S&P 500 is now sitting at just 19.2x. 🧵Here are 8 stocks trading even lower with double digit earnings growth:
Apple’s AI Future Unlocks Upside for Investors
Happy Birthday $AAPL. After 50 years of thinking different, I believe that Apple’s most profound feature is still in the making: personalized AI. Apple + AI remains appears to be one of the most underappreciated opportunities in tech. Glad to be an...

If Value’s Back in Style, Consider This Value ETF
Value stocks have shown relative resilience this year, with the S&P 500 Value Index down less than 1% YTD while growth lagged nearly 9%. The WisdomTree U.S. Large‑Cap Dividend Fund (DLN) is up about 1% YTD, outperforming its benchmark and...
Portable Alpha Gains Momentum Amid Liquidity Challenges
State of the Portable Alpha Landscape I sit down with Shane McCarthy of LAB Quantitative Strategies for a deep dive into the portable alpha and return stacking landscape, including fresh survey data on how allocators are approaching this space today. 00:00 Welcome...
Banks Play IPO Auditions as OpenAI Valuation Soars
"Don Corleone, I am honored and grateful that you have invited me to your daughter's wedding. And I pledge my ever-ending loyalty." — Luca Brasi The big story beneath the story of OpenAI's $122 billion at an $852 billion valuation is...

2355: 2 P's on a Pod: Small Cap Investing with Paul Hill & Paul Scott
In this episode Paul Hill and equity analyst Paul Scott dive deep into the world of UK small‑cap stocks, focusing on building‑products distributors, IoT monitoring firms, and other niche sectors. They discuss recent market volatility driven by geopolitical tensions and...
SpaceX IPO Defies $1B Revenue Ceiling, Aims Massive Scale
Pretty momentous day when SpaceX files for possibly the largest IPO ever. I remember when VC colleagues used to say this company had stalled at $1B or so of revenues, and that a space taxi company could only be *this* big,...

Earnings Estimates Surge 19% Amid 9% Market Drop
For me the most interesting thing last week was that earnings estimates not only held up despite the turmoil, but accelerated higher. The 52-week rate of change for the 12-month forward EPS estimate is now up to 19% despite the...
Activist Irenic Capital Takes 2.5% Stake in Snap, Calls for Board, Cost and AI Overhaul
Irenic Capital Management disclosed a 2.5% holding in Snap Inc., demanding a board revamp, workforce reductions and a shift to AI‑driven ad monetization. The activist push sent Snap shares up more than 13% in a single session, reviving debate over...
EU Defense Small Caps Poised for Decade-Long Gains
Interesting to see recently listed EU defense small caps Gabler $X4K and Vincorion $V1NC not participating in the recent sector rally. On the other hand, nobody knows them yet. Both rapidly growing, profitable, good b/s, decent valuations. Doesn't matter whether Trump will exit...
Nvidia's Valuation Outstrips GDP of Most Nations
Nvidia's stock market valuation has now exceeded the GDP of all but 5 countries on Earth? That single company's AI chip dominance is worth more than the annual economy of France, Canada, or Italy. We're witnessing wealth creation at a...
HCW Biologics Appeals Nasdaq Notice, Targets Phase 1 Data for HCW9302 in H1 2026
HCW Biologics Inc. filed an appeal to Nasdaq over a minimum bid‑price compliance notice and announced that Phase 1 results for its lead immunotherapy HCW9302 are slated for the first half of 2026. The appeal follows a 5.56% drop in the...
Value Stocks May Be Bottoming Again, Indicator Warns
Remember March 2000? The tech-heavy indices were at a vertical limit but "unloved" value stocks like Berkshire Hathaway were actually bottoming. Are we seeing a repeat of that specific historical rhyme today? One indicator is flashing red. Read my thoughts here...
CrowdStrike: Strong Moat Justifies Buy at $390
Deep Dive Full Thesis: Is #CRWD a BUY now at $390? I’ve always loved CrowdStrike. Founder-led. Insane, unbreakable moat. Built to dominate cybersecurity for decades. And after surviving the largest IT outage in history, it just crushed it: record $5.25B ARR + 115%...
TTM Technologies Leverages $1.6B Defense Backlog as New Growth Anchor
TTM Technologies reported a $1.6 billion aerospace and defense backlog and a fourth‑quarter 2025 book‑to‑bill ratio of 1.46, positioning the defense segment as a structural growth driver. Analysts see the backlog supporting a 16.5% revenue rise to $3.39 billion in FY2026 and...

Tech Valuations Near Par with Overall S&P
S&P 500 Information Technology forward P/E has declined from a peak of 32x in 2025 to 20.9x, now nearly in line with the overall S&P 500 at 19.9x forward P/E. data from Yardeni Research. Investing

Accor’s 525-Page Filing Reveals Ennismore Is Driving Growth
Accor’s 525‑page filing shows its joint‑venture partner Ennismore delivered a breakout year in 2025, posting €205 million (≈$235 million) in EBITDA. The venture accounted for roughly 17 percentage points of Accor’s total EBITDA and now operates about 48,948 luxury and lifestyle rooms,...
3 Coal Stocks to Avoid as the Industry Battles Multiple Challenges
The Zacks research notes that U.S. coal consumption is expected to drop 7.4% in 2026 and 2.9% in 2027 as utilities shift to renewables and natural gas. The industry’s Zacks rank falls to #236, placing it in the bottom 3%...
3 Large-Cap Value Funds to Buy Amid Spiraling Economic Concerns
U.S. consumer confidence edged up to 91.8 in March, outpacing forecasts, while inflation expectations rose to 5.2% for the next year and job openings slipped, signaling lingering economic strain. Oil prices surged more than 50% amid Iran‑related tensions, fueling market...
NRP Poised for 30% Upside as Distributions Return
$NRP is up 30% over the past 12 months. With preferreds retired, the company is set to resume higher distributions. Timing has slipped, though, due to a severe soda ash downcycle forcing reinvestment into the segment. Management now guides to likely distributions...
This New Spinoff Is a Nuclear and AI Chip Beneficiary Worth Watching
Solstice Advanced Materials, a Honeywell spinoff, has surged over 50% since its October 2025 launch, driven by its unique position in two high‑growth sectors. The company operates the only U.S. uranium hexafluoride (UF₆) conversion facility, holding a backlog exceeding $2 billion...
Nike’s Price Drop Sets up a Buying Opportunity for Long-Term Investors
Nike’s shares plunged 13.5% on Wednesday, sinking to an 11‑year low after the company issued a weaker‑than‑expected sales outlook for the current fiscal quarter. CEO Elliott Hill said the turnaround plan will be completed by the end of 2026, but...

Disney Shares Are Trading at a Discount. Raymond James Says It's Time to Buy
Raymond James upgraded Disney to outperform, setting a $115 price target that suggests roughly 19% upside from the latest close. The firm argues the stock trades at a forward P/E of about 14, a sizable discount to its 10‑year median, despite...
Comprehensive Healthcare Systems: A Scalable Healthcare SaaS Platform the Market Is Still Mispricing
Comprehensive Healthcare Systems (CHS) is shifting toward a scalable SaaS model with its Novus 360 platform, highlighted by a new multi‑year contract that should boost annualized revenue by more than 25%. The company now reports a sales pipeline exceeding US$20 million,...

AI-Focused Positioning Drives Nvidia’s Massive Outperformance over AMD
Nvidia vs AMD over the last 5 years: NVDA: +1,158% AMD: +157% Same industry… completely different outcomes. The difference? Positioning around the AI boom. The market rewards companies that dominate trends—not just participate in them.

Average Investors Lag S&P; Index Funds Win
The average investor made 2.1%/yr in 1996-2015 vs 8.2%/yr for the S&P 500. This is exactly why many investors should just invest in index funds and chill. Stop gambling in individual stocks. Stop options trading. Start investing.
Nvidia Shares Surge 3% on AI Chip Demand and Easing Middle East Tensions
Nvidia Corp. stock jumped $5.63, or 3.41%, to around $170.80 after investors saw signs of de‑escalation in the U.S.–Iran conflict and continued record AI chip sales. The rally underscores the mega‑cap’s dominant position in data‑center AI hardware and its outsized...
Fundamentals Strong, S&P 2026 Target 7100 Signals 9% Gain
"Although sentiment has soured, fundamentals have remained resilient. S&P 500 2026 earnings estimates rose 2% in March, pushing consensus growth expectations up to 17% YoY. At the same time, the S&P 500's forward PE sits ~15% below its recent peak...
Dow, Nasdaq Slip Into Correction; Analysts Tout QQQ and XLE Bets
The Dow Jones Industrial Average and Nasdaq Composite fell into correction territory after recent gains, leading market strategists to recommend the Invesco QQQ Trust and the Energy Select Sector SPDR ETF as defensive plays. Analysts cite the correction, oil‑price volatility...

Geopolitical Risks Are Temporary; Stick to Fundamentals
Geopolitical Risk Is A Recurring But Temporary Driver Of Markets ➡️While recent developments such as rising oil prices, evolving tariff policy, persistent inflation... can heighten investor anxiety, the more pressing challenge for advisors is helping clients distinguish between short-term noise...

Free Portfolio Update: Recap of Q1 2026
M. V. Cunha released his Q1 2026 portfolio recap, showing a year‑to‑date return of –1.5% that still outperformed the S&P 500’s –4.4% decline. Since inception in 2024 the portfolio has generated a 432.4% gain versus the market’s 40.6% rise. Key moves included...

Broker’s Call: India Shelter Finance (Buy)
IDBI Capital initiates coverage on India Shelter Finance with a Buy rating and a target price of ₹855 (≈$10.3), above the current market price of ₹755.30 (≈$9.2). The lender’s assets under management (AUM) reached ₹9,819 crore (≈$1.2 billion) as of Dec 2025, supported...

Broker’s Call: Meesho (Buy)
Axis Securities initiates coverage on Meesho with a Buy rating and a target price of ₹195 (~$2.35), above the current market price of ₹147 (~$1.77). The platform serves roughly 250 million annual transacting users and 900,000 sellers, and aims to capture...
TODAY: Major Deregulation Wave – Is Your Portfolio Ready?
Regulators announced a sweeping deregulation wave, rolling back dozens of rules across energy, finance and other industries in a single day. The move could free up trillions of dollars in compliance costs, instantly boosting corporate efficiency and profit margins. Early...

Even Buffett Times Markets, Not Just Holds
One of the biggest adjustments I‘ve made over the last 12-18 months is becoming much more open-minded to the idea of timing. Still in the process of "getting" market timing. Buffett is arguably one of the greatest market timers in...
NVIDIA's CUDA Lock‑in Faces Erosion, Ending Its Edge
Right now, NVIDIA is the only company here that has a network effect (due to CUDA lock-in). That seems likely to change over the next 1-2 years, as CUDA lock-in erodes, reducing NVIDIA's margins. It may be that eventually none...
S&P 500 Index Investors Burned In Nightmare-Scenario Market
The S&P 500 is down about 5% year‑to‑date, yet its top‑performing sectors—energy, materials and utilities—represent only roughly 8% of the index’s market‑cap weighting. In contrast, heavyweight sectors such as information technology (33.4% weight) and financials (12.4% weight) have posted double‑digit declines,...
Buy More SpaceX Shares As Valuation Drops
SpaceX IPO likely in June. Here is how I'm thinking about participation: 1)priced at $1.75T i'll buy zero shares 2)priced at $1.5T i'll buy 25% position 3)priced at $1.25T i'll buy 50% postion 4)priced at $1T i'll buy a full position

Crocs Paid Half Its Market Cap for Tiny HeyDude Sales
Last year, the Crocs brand sold ~129 million pairs of shoes - or nearly 6x greater than the ~22 million pairs that were sold under the HeyDude brand. In early 2022, Crocs paid ~$2.5 billion for HeyDude. The company's market cap is...
Free Cash Flow: The Signal and Not the Noise
Investors are turning to free cash flow (FCF) as a clearer signal amid AI‑driven market hype that has inflated valuations and capital expenditures for the Magnificent Seven. VictoryShares highlighted its two ETFs—VFLO, which tracks large‑cap firms with strong FCF yields,...

Nike Investors Endure 74% Loss over Five Years
I don’t know what’s more painful: losing 74% of your investment from the highs, or having to sit through it for five years. Tough stretch for Nike investors $NKE https://t.co/qoshCVwoO0

46 Firms Created Half US Market Wealth; Most Stocks Lag
From 1926-2025 just 46 companies accounted for half of the $91 trillion in wealth created by the US stock market 60% of stocks underperformed T-bills Some thoughts on how to own the best stocks: https://t.co/chTC5hDP2I https://t.co/4YIroZABKD

💰 WARREN BUFFETT'S 8 RULES THAT BUILT $150 BILLION (Most People Ignore ALL of Them — Don't Be that Person)
Warren Buffett attributes his $150 billion fortune to eight disciplined investment rules, from protecting capital to investing in oneself. The core principles emphasize avoiding losses, staying within a circle of competence, and buying quality businesses at a margin of safety. Buffett’s...

Market Dips Are Normal; Volatility Fuels Long-Term Gains
Over the last 75 years, the average intra-year market drop has been 14%. If you are overly stressed out about the current 9% drawdown, the stock market isn’t for you. Downside volatility is the price investors pay for long-term outperformance....

ARK Adds Private OpenAI to ETFs, 3% Stake
ARK is going to add private co OpenAI into some of its ETFs. I believe it’s 4th ETF to do this, and def not the last. 3% weighting. Nice scoop from @shiringhaffary @isabelletanlee https://t.co/OITULFSOS1
Power Plants, Politics and Profitability: PWM Tea Break
In PWM’s latest Tea Break, a senior executive discusses her investments in energy and water companies across Brazil and the Philippines, emphasizing confidence in developing economies. She notes that emerging markets are projected to generate the majority of global GDP...