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...“Operating cash flow will likely be record-breaking — or at least very close to it — by year’s end,” said Hassan Eltorie, executive director for upstream equity research at S&P....
...Michael Dunn, theoryofknowledge.net...
...“I would say they probably represent the best opportunity to ramp up by inventory with a deal with a private,” said Raoul LeBlanc, an analyst at S&P Global....
...E&P businesses that are already public have also stepped up share sales, with six deals in September alone raising $1.5bn....
...Communications Q1 Tuesday Bank of England chief economist Huw Pill speaks at the London campus of the University of Chicago, Booth School of Business EU, France, Germany, India, Italy, Japan, UK, US: S&P...
...Q2, Texas Instruments Q4, United Airlines Q4, Verizon Communications Q4 Wednesday Canada: Bank of Canada interest rate announcement Germany: Buba monthly report EU, France, Germany, Japan, UK, US: S&P...
...To put this notion to the test, I ran screens (using S&P Capital IQ) of the S&P 500 big-cap and the S&P 600 small-cap indices....
...“The picture underneath tech has been very mixed,” said Aaron Dunn, co-head of value equity at Eaton Vance Equity....
...So far this year, the S&P banks index is down about 12 per cent, while the benchmark S&P 500 has risen more than 13 per cent. An index of regional back stocks has lost almost a quarter of its value....
...US-based storage provider Fluence Energy’s share price is up 39 per cent over the past 12 months, compared with a near 13 per cent rise in the S&P 500 index....
..., said Pavel Molchanov, an analyst who covers cleantech companies at Raymond James....
...The rate of installations grew by more than half last year, says the consultancy S&P Global Commodity Insights....
...“The tech sector has always been over-represented in ESG funds,” said Pavel Molchanov, a managing director at Raymond James, an investment bank....
...Work has already begun, with Wisley and Frank P Matthews propagating from existing stock to avoid the risk of losing cultivars they want to keep....
...That bumped the sector’s weighting in the S&P 500 back above 5 per cent, having collapsed to just over 1 per cent in 2020 when the pandemic hit....
...A rebound in commodity prices in the wake of Russia’s invasion of Ukraine and a newfound focus on balance sheet discipline has made energy the best-performing sector in the S&P 500 for the past two years...
...Oil and gas was the worst performer on the S&P in June, shedding 17 per cent as oil and gas prices slid....
...current economic conditions US, revised Q3 GDP figures Results: Hornby H1, LendInvest H1, Mulberry H1, Salesforce Q3, SAS Q4 Thursday Brazil, Q3 GDP figures EU, October unemployment rate India, S&P...
...It will also be uglier because the last few times we’ve played this game (2013, 2018, 2021) things turned out mostly fine (unlike in 2011, when US debt was downgraded by S&P, the market volatility was awful...
...Exxon shares have risen 79 per cent this year even as the broader S&P 500 index has fallen 21 per cent....
...Some $65bn worth of deals were carried out this way last year, according to Raymond James’ Cebile Capital unit. So continuation deals are a rising part of the industry....
...Expecting that the overall DRLL ETF “would double strikes me as overly ambitious”, said Pavel Molchanov, energy analyst at Raymond James. “This thing will trade in tandem with oil prices.”...
...companies abroad and foreign direct investment data UK, EY Item Club winter economic forecast for the British economy Results: Baker Hughes Q4 Tuesday Australia, Eurozone, France, Germany, Japan, UK, US: S&P...
...Now most S&P 500 companies are run with ruthless efficiency, making leveraged buyouts harder for KKR to pencil out....
...UK high street retailer John Lewis ends its 97-year-old price pledge “never knowingly undersold” Results: Ampol H1, Zoom Video Communications Q2 Tuesday Eurozone, France, Germany, Japan, UK and US: S&P...
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