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%.

What Do You Do With Microsoft?
Microsoft’s shares have slumped more than 26% year‑to‑date, a 33% drop from the all‑time high, making it the poorest performer among the Magnificent Seven in 2026. The latest quarter marked the company’s worst results since the 2008 financial crisis and the steepest start to a year since 2000. The decline reflects both macro‑economic pressures and sector‑specific challenges, prompting investors to question whether the tech giant is fundamentally broken or merely over‑hyped. The blog post highlights these stark performance metrics and invites further analysis.
Goeasy Technologies Posts C$337 M Q4 Loss, Halts Dividend and Buybacks
Goeasy Ltd. announced a C$336.94 million (≈$249 million) net loss for the fourth quarter, driven by LendCare-related charges and higher credit losses. The board also suspended its regular dividend and share‑repurchase program indefinitely to preserve capital. The results mark a sharp reversal...
Nike Shares Slide ~10% After Weak Q3 Profit and Cautious Q4 Outlook
Nike (NYSE:NKE) saw its shares drop roughly 10% after reporting a sharply lower third‑quarter profit and warning that fourth‑quarter revenue will fall 2%‑4%. The outlook, driven by higher North American tariffs and a projected 20% slump in Greater China, rattled...
Oracle Cuts up to 30,000 Jobs to Fund $156 B AI Data‑center Buildout
Oracle disclosed a surprise layoff of 20,000‑30,000 employees – roughly 18% of its global workforce – to free $8‑10 billion for a $156 billion AI data‑center program. The cuts hit SaaS, health‑science and NetSuite teams, and the market rewarded the move with...
CGDG: Dividend Growth ETF That Offers Global Protection
The Capital Group Dividend Growers ETF (CGDG) has delivered a 15% price gain and a 16.4% total return over the past twelve months, outpacing the S&P 500 during the recent market pullback. The fund holds $4.46 billion in assets and emphasizes dividend‑paying...
Rhythm Pharmaceuticals Stock Jumps 12.6% After FDA Expands Imcivree Label
Rhythm Pharmaceuticals saw its shares rise 12.58% after the FDA approved Imcivree for acquired hypothalamic obesity, expanding the drug’s addressable U.S. market by 10,000 patients. The move follows a 46% revenue jump to $189.8 million in 2025 but comes amid recent...
Here Is Why Ocular Therapeutix (OCUL) Is Highly Favored by Hedge Funds
Ocular Therapeutix (OCUL) received upgraded price targets from Bank of America and Clear Street, raising them to $27 and $28 respectively while maintaining Buy ratings. Both firms highlighted the Phase 3 SOL‑1 trial, which demonstrated durable control of wet age‑related macular...
Soleno Therapeutics (SLNO) Still Appears Attractive Despite Slower U.S. Launch Ramp Projections
Oppenheimer kept an Outperform rating on Soleno Therapeutics but lowered its price target to $80 from $110, signaling a potential upside of more than 166%. Wells Fargo trimmed its target slightly to $110 while remaining Overweight. Both firms highlighted a slower‑than‑expected...

Sentiment Indicator Signals Approaching Market Bottom, Stay Cautious
Chart of the Week - Sentiment Shifts This week’s chart presents an unusual sentiment indicator which serves a specific purpose to a specific type of market participant. This composite indicator takes into account sentiment readings from surveys + market metrics: the VIX...
WNDR.TO Loses Appeal as Spread Narrows, Risks Rise
Time to move on here. $WNDR.TO spread has tightened from ~40% to ~13%, with shares back to prior levels. Op performance has deteriorated meaningfully, and a major early backer has fully exited. With regulatory risk still lingering, the risk/reward no longer...

Is Europe Ripe for Recovery? MoneyWeek Talks
Europe has long trailed the United States in equity performance, prompting investors to question what conditions could spark a continental rebound. In a MoneyWeek interview, Daniel Avigad, manager of the TM Lansdowne European Special Situations fund, outlines where he sees...

Stocks Excel Long-Term, Avoid for Short-Term Needs
Investing Quote of the Day: “The stock market has been the best place to be over the last 10 years, 30 years, 100 years. But if you need the money in one or two years, you shouldn't be buying stocks.”...

Don’t Sell Winners, Hold Losers—Like Watering Weeds.
“Selling your winners and holding your losers is like cutting the flowers and watering the weeds.” — Peter Lynch https://t.co/x4zJ9Znyu3

Jack Bogle’s Bogleheads Argue This 3-Fund Portfolio Strategy Is What Everyone Needs
Bogleheads are championing a three‑fund portfolio built around low‑cost index funds—a U.S. total‑stock market fund, an international stock fund, and a U.S. bond fund. Vanguard’s Admiral‑share versions (VTSAX, VTIAX, VBTLX) exemplify the approach, though comparable ETFs from Fidelity and Schwab...
RNWH H1 Cash Meets Expectations, Valuation Improves
#RNWH good H1 Update. Net Cash in line with expectations of £20m. ShareScope has fwd p/e 11.9 falling to 11.2 and fwd Divvy 2.5% rising to 2.6%. Interesting play on infrastructure rebuild. I don't hold.
Nvidia Invests $2 Billion in Marvell to Boost AI Data‑center Networking
Nvidia announced a $2 billion cash infusion into Marvell Technology, cementing a partnership to develop AI‑focused networking silicon for data‑center customers. The deal sparked a 12% jump in Marvell shares and reinforces Nvidia’s push into high‑growth networking equipment.
Vanguard Russell 2000 ETF Beats S&P 500, Nasdaq‑100 and Dow in 2026
Vanguard's Russell 2000 ETF (VTWO) has held steady through the first half of 2026, while the S&P 500, Nasdaq‑100 and Dow Jones Industrial Average each slipped more than 5% year‑to‑date. The fund’s diversified small‑cap exposure and low concentration have insulated...
T1 Energy Posts Wider Q4 Loss on Continuing Ops, Reaffirms FY26 Outlook; Shares Drop 17%
T1 Energy Inc. announced a fourth‑quarter net loss of $190.04 million, or $0.87 per share, while loss from continuing operations expanded to $153.03 million. The company reaffirmed its FY26 outlook and accelerated its U.S. solar rollout, prompting the stock to tumble about...
FCEL Stock Outlook for 2026: Data Centers, Korea, and Risks
FuelCell Energy (FCEL) reported FY2025 revenue of $158.2 million, split among product, generation, advanced‑technology and service streams. By early 2026, more than 80% of its commercial pipeline is linked to AI‑driven data‑center projects, while South Korea module commissioning lifted Q1 revenue...
BigBear.ai Clears Debt Overhang, Analysts Forecast 70% Upside
BigBear.ai (BBAI) eliminated a major financing overhang and shored up its balance sheet, prompting Wall Street analysts to assign a 70% upside target. The company now aims for FY2026 revenue of $135‑$165 million while working to shift back to higher‑margin software...

Singapore Equity Market Overhaul Aims to Build Self-Sustaining Powerhouse- #Wealth #AssetManagement #AssetFinance
Singapore has launched a sweeping overhaul of its equity capital markets, expanding the Equity Market Development Programme (EQDP) nine months ago. Early indicators show measurable traction as policymakers, fund managers, and market operators co‑ordinate around a structural reset rather than...
MSC Industrial Direct Co Inc (MSM) Q2 2026 Earnings Call Transcript
Donaldson Company posted a record $896 million in second‑quarter sales, up 3% year‑over‑year, while operating margin slipped to 14% due to gross‑margin pressure from volume deleveraging and footprint‑optimization costs. Adjusted EPS held steady at $0.83, and the company announced the Facet...
Tilray Brands Inc (TLRY) Q3 2026 Earnings Call Transcript
Tilray Brands reported Q1 FY2026 net revenue of $210 million, a 5% year‑over‑year increase, and returned to net profitability with $1.5 million net income. Gross margin slipped to 27% from 30% last year, driven by lower margins in the beverage and cannabis...
Warren Buffett on Markets, Apple, and Why He’s Holding Cash
Warren Buffett told Squawk Pod that he still can’t predict market direction and relies on business fundamentals instead. He emphasized that Berkshire’s massive cash reserves won’t be rushed into equities after the recent modest correction, as no compelling valuations have...
This Week’s Deep-Value Landscape: Acquirer’s Multiple Large-Cap Screen
The Acquirer’s Multiple® large‑cap screen highlights a stark valuation gap, with cash‑rich companies in energy, financials, housing and mature franchises trading at compressed multiples. While AI‑driven growth stocks dominate market sentiment, these deep‑value names deliver strong operating earnings, free cash...
ASHR: Paying A Premium For Great Companies May Be Worth It
The Xtrackers Harvest CSI 300 China A‑Shares ETF (ASHR) posted a 22.62% total return over the past year, driven primarily by double‑digit earnings growth among its constituents rather than multiple expansion. The fund trades at roughly a 28‑times earnings multiple, a...
How To Invest: 3 Tips On Turbulence And Turnarounds
The article outlines three practical guidelines for investing during market turbulence: watch for a follow‑through day as an early signal of a new uptrend, leverage IBD’s stock lists and screener tools to identify promising equities, and prioritize chart analysis over...

Barbell Investing: Stable ETFs Meet Compute‑Data‑Energy Winners
Thoughts? I discuss how to navigate market crashes using a barbell strategy combining stability and opportunity. We talk about building a foundation with VOO and VTI for security, while positioning for future gains in the power triad of compute, data,...

POET Technologies Q4 2025: Reading Past the Headline Loss
POET Technologies reported a Q4 2025 net loss of $42.7 million on $341 k revenue, yet its stock jumped 16.9% to $5.94 after the release. The loss was dominated by a $30.6 million non‑cash fair‑value adjustment on CAD‑denominated warrants and a $6.85 million accounting...

POET Technologies Q4 2025: Reading Past the Headline Loss
POET Technologies posted a Q4 2025 net loss of $42.7 million against $341 k of revenue, but cash outflow was only $11.6 million. The loss was dominated by a $30.6 million non‑cash warrant fair‑value adjustment and a $6.85 million acquisition charge. With $430 million in cash,...
Here Are 12 Top Tech-Themed Stock Picks From UBS Analysts
UBS analysts released a list of twelve high‑conviction technology, media and telecommunications stocks, emphasizing their differentiated research perspective. The Swiss bank highlighted Amazon as its top pick, citing Amazon Web Services (AWS) revenue growth of roughly 38% for the current...
From Quant Momentum to Buffett: Targeting Cheap Ball‑Bearing Stock
Big news: After 40 years of running quant momentum models fancier than a meat pie at a hatted restaurant, I've decided to go full Warren Buffett. I'm burning the data, binning the computer terminals, and I'm now going deep on...

Quarter-End Rebalancing Fuels Record U.S. Pension Stock Purchases
🇺🇸 Today is the last day for funds to rebalance their portfolios for the quarter-end close. Earlier, Goldman reported that by the end of the quarter, U.S. pension funds could buy equities in amounts close to a historical record as part...
TD SYNNEX Q1 Profit Surges 95% YoY, Raises Q2 Outlook on Strong Distribution Demand
TD SYNNEX Corp. posted a first‑quarter profit of $327 million, up 95% from a year earlier, and revenue of $17.16 billion, an 18.1% rise. The company also lifted its second‑quarter outlook, forecasting net income of $234‑$274 million and revenue of $16.1‑$16.9 billion, underscoring momentum...

IREN 2026 Forecast Update - Mar 31, 2026
The research team released its original 2026 IREN forecast on January 25, prompting the stock to climb from the low‑mid $50s into the low‑mid $60s. Since that release, IREN’s deeper push into artificial‑intelligence infrastructure has highlighted significant scale and cost considerations....
Where Is Our Real Mining Plan? – by Geoff Russ (Resource Works – March 30, 2026)
Canada’s mining sector remains hamstrung by investor skepticism despite abundant critical mineral resources. Exploration spending has plateaued around $3.1 billion USD from 2023 through 2025, while total mining investment dropped to roughly $9.8 billion USD in 2024, down from $11.3 billion USD a...
Systematic Strategies for Inflation‑Driven Market Regime Shift
With the recent inflation shock and a rapidly changing market landscape, it’s a good time to think more systematically. On our latest @excessreturnpod, we’re joined by @AahanPrometheus to do just that. We cover: - inflation and energy dynamics - shifting expected returns - trend following -...

Buffett Holds Record Cash, Still Waiting to Invest
Warren Buffett is not rushing to enter the market just yet. Berkshire Hathaway currently holds around $382 billion in cash - a record amount in the company’s history. Even amid the market decline, the team is not hurrying to make new purchases....
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Understanding Beta: Stock Volatility and Risk Assessment
Beta measures a stock’s price volatility relative to the broader market, with the S&P 500 serving as the benchmark at a beta of 1.0. It is a core input for the Capital Asset Pricing Model, translating systematic risk into expected returns....
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Effective Strategies for Asset Allocation in Your Portfolio
Effective asset allocation is the cornerstone of portfolio performance, often outweighing individual security selection. The article outlines six allocation frameworks—from strategic, constant‑weighting, and tactical to dynamic, insured, and integrated—each with distinct rebalancing rules and risk controls. It also provides age‑based...
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DRIP Investment: How Dividend Reinvestment Plans Boost Your Portfolio
Dividend Reinvestment Plans (DRIPs) let investors automatically use cash dividends to purchase additional shares, often without commissions and sometimes at a 3‑5% discount. By reinvesting, investors harness dollar‑cost averaging, buying more shares when prices fall and fewer when they rise,...
Micron's Drop Stems From Unrelated Blog, Not Fundamentals
Micron hit $471 eight days ago on the best earnings in its history. Revenue tripled. HBM4 sold out. Guidance raised to $33B. Today it trades at $331 — down 30%. The reason? A Google blog post about a year-old compression...
Melius Highlights FCF While Reiterating Buy on Apple
Melius analysts highlighted Apple’s strong free cash flow as a key valuation driver and reiterated a buy recommendation. The firm noted Apple’s upcoming product wave—including the iPhone 17e, refreshed iPad Air, new MacBook Air and Pro, Studio Displays, MacBook Neo,...

Stay Calm: Long-Term Value Beats Short-Term Panic
Warren Buffett reminds us that stocks might feel risky in the short term, but over the long run, they create real wealth. Even Berkshire Hathaway went through 50% drops, and Buffett stayed confident. Think like an owner, focus on value,...
IP Leakage Crucial to Valuing Anthropic and Similar AI Firms
Have been discussing how to value companies like Anthropic with some investor friends. The practical likelihood of continuous IP leakage a major factor in valuing the equity imo.

Market Oversold Yet Fundamentals Strengthen with 4.5% ERP
The matrix below shows that the market is oversold, but not to the extremes that has led to low risk contrarian plays in the past. With the P/E ratio down twice as much as price, the fundamentals are looking better...

IT Sector's Forward P/E Aligns with Market
The forward P/Es of the IT sector and the overall market have nearly converged. @augurinfinity https://t.co/AVJYMyYzGn https://t.co/F33svpKEq0

Most Magnificent Seven Stocks Enter Bear Markets, Signaling Leadership Shift
The S&P 500 is only down 9% from its January high. But 6 of the 7 members of the Magnificent Seven are already in bear markets. This is what a shift in leadership looks like. https://t.co/QcFh9RaBaK
Vox Royalty Posts Record Year, Debt-Free, Expanding Portfolio
Record year for @vox_royalty: revenue of $16.6M, record operating cash flow of $10.7M, and adjusted EBITDA of $9.3M. Also: debt gone, stock included in GDXJ, and new royalties added. 70+ royalties now, 12 producing = Vox is the royalty stock...
Europe Must Ramp Up Defense as US Pulls Back
It's pretty obvious NATO is in serious trouble. US pulling back will force European Countries to bolster there own defences hugely. Keep holding those big Defence Stock positions :-)