Fundamentals - This stock should be prices at 30(50%) up according to the previus pricing logic with the forward earnings. - I think that this stock is pressed down because an institutional buyer that left to rapid, I don't know what the motives are. (Mabey the lost of 50% in 2 years did.) (Or if you see the traditional models, growing cashflow and earnings...
Motives - Stock is bullish, buyers are making the price. - Company has great earnings and earings growth spiral. - Company has a great growth outlook plus a big macro tailwind. If I were a big boy I would load this stock up. It should priced at 175 in within 3 years without tailwind.
Motives - Stock has a very bullish setup. - Stock is a great grower breaking out new highs with higher volume and strong momentum. I think these setup are big runners.
Fundamental - Stock is outperforming the market, building on new highs, I expect this will continue to at least 300 or ~10 near. - Company's selling goes up. - Company has a strong cashflow position. - Investors very want the company at the moment. - Company has great price/earnings growth spiral, wich makes dedicated traders want it, this explains the rise...
Financials - Looking to a good year of growth, - Good reachable expectations. Technical - Good bottom zone, with a very attractive price at the moment. - Sellers have made the market but I expect this to flip because you already see the buys rejecting the bottom level. - Riskreward setup for at least 1/4 so attractive to speculators and traders. ...
Motives - Decease in FCF, bad business climate for unilever. - Bearish momentum upcoming. - (Opinion) The price is too high now compared to the numbers. Please discuss with me about the situation, yes the macro environment is favor for CG. FMCG, but Uni is in a segment where the buyers are pressured by inflation. I see this as a thread for the performance....
Strategic - A lot of funds enter positions. - Stock is gaining momentum. - Company did strategic purchases wich higher the earnings in the future. - Strategic position in the market. - Free cashflow is high. (and increasing) if you would make a model for that, you will see that this will predict that the stockprice will increase. Financials - Earnings...
Financial - Company has grown fast. - Outperforming the market in general. - Good outlook for the coming time. Techinical - Good risk-reward setup. - Sector is in favor by many investors. - Other stocks in the sector are just like this stock outperforming the market and I think this will continue for a while.
Financial - Company shows great results. - Company passed the Hanhart fundamental growth test. - Earnings + outlook + 10%. - Growth outlook is one of the bests in these times. Marco - Company seems to perform well in most market conditions that are coming up. Techincal - Company is outperforming the market for a longer time. - Buyers are making the...
Financials - Stock is gaining a lot of growth. - stocks that I recommend have excellent earnings growth. Technical - Stock trading on a bottom. - Stock is gaining momentum.
Financial Stock came on sight because of earning growth. There is momentum in the stock. I'm getting into it.
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Fundamentals - Growth expectations look strong. - EPS rises, in the time span of a year/quarter it looks good. - Compared to where you would expect the price it's low compared where it's been. - Year-over-year earnings expectations grew 100% coming month. Technical - Price smashed too hard making it a good risk/reward setup at the moment. - Strong buyers...
Fundamental - Stock has great fundamentals, good earnings growth. - You could expect this stock to trade near 85. Technical - Good risk reward setup possible. - Buyers making the market move. Strategic - Winter is coming with inflation + volatility pushing commodity prices up so I expect this earnings to be even better
Fundamental - Company is growing fast. - The last earnings surprise was intense. Technical - Stock is very underpriced compared to the price paid on the day earnings came out. - If the liquidity on the upside remains this low, one big rational buyer will aim for the 38 zone as a target. Macro - The company will profit more if interest rates go down,...
Arguments 1. Price is currently at a small discount due to market stress. 2. Positive earnings prices spiral. 3. Diverse fundamental growth factors. Risks 1. Impact full reaction on market stress wich could increase the current time. getting out during these periods is very important. 2. Past year reports do have a exceptional previous year, while the...
Financials - Earnings are rising, good outlook, bright expectations - Stock is at a low point, trading under its book values. Techincal - Stock is picking up momentum. - Stock is at a great R/R point. Strategic - Stock should be priced way higher in an investment of lowering interest rates
Stategic - This company is growing, expect rapid growth of more then 20% the coming 5 years. - This company performance is pressed down with the high interested rates that are coming down so this should create a spiral that has a positive outcome on the company. - In my opinion this company is still recovering from covid, what makes the upside around 200% on...