If you invest, you MUST be able to identify a moat. Here are 5 powerful moat sources: INTANGIBLE ASSETS: Example: Brand, Patents, Copyrights Wide: Coca-Cola Narrow: Dr. Pepper Snapple None: United Airlines SWITCHING COSTS: It would be expensive in terms of cost, time, or training, to switch to an alternative provider. Wide: Oracle Narrow: Salesforce None: Macy's NETWORK EFFECT: A network becomes more powerful as more users join. Wide: CME Group Narrow: NYSE Euronext N...
KMI's Dax Sanders sees promise in the shift towards renewable diesel and potential conversion projects in Oregon and Washington. CEO Kim Dang is optimistic about the future of U.S. natural gas, impacting both their existing business and expansion ability.
Former President Donald Trump defeated former South Carolina Gov. Nikki Haley in Tuesday's New Hampshire primary, moving closer to a general election rematch against President Biden. The ex-president got 47.3% of the vote according to Real Clear Polling. While no one knows who will become president, some people on Wall Street are starting to envision the effects of a second Trump administration. This could have an impact...
57AB :
who cares about stocks, you are romancing with an insurrectionist because of money? indeed money is the root of all evil. an insurrectionist who has been convicted and fined for sexual violating women in broad daylight inside a store. we are talking about the chairman of the board of "jews will not replace us" inc.
71780680 :
I never in my life time though I would see so much energy, and hope to elect a person that has shown he can't tell the truth, extremely racist, has more court appearance then campaign dates. But it just showes where we are as a society.
CEO Kim Dang remains optimistic for 2024, expecting growth across all business units. Strong demand for U.S. LNG shipments to Europe and Asia, and rising exports to Mexico, will support prices and boost Kinder Morgan's pipeline and storage capacity needs.
Investors are willing to pay a premium for Kinder Morgan's stock, despite its lower growth expectations. This could risk shareholders' investments and lead to potential investors paying an unnecessary premium.
Goldman analysts forecast a positive turnaround for Chevron, Cenovus Energy, Devon Energy, SLB, and Kinder Morgan. They predict substantial yields, increased shareholder returns, operational momentum, and overall outperformance.
Kinder Morgan's shareholders, although suffered minor losses last year, have seen a 7% yearly gain over half a decade. Positive signs include EPS growth and Total Shareholder Return outperforming market return, and modest CEO remuneration.
A quick update before the market makes a decision. CPI comes out an hour before open. i do not expect good numbers, but we should soon find out. there are bearish divergences forming on the lower time frames (2 hr, 1 hr, 1/2 hr), as the market has run up overnight. i expect a pullback. What happens at the pullback is key. $纳斯达克100指数主连(2406)(NQmain.US)$ bearish MACD divergences I still expect a larger pullback towards NQ 13800 or QQQ 330, but the market moves how th...
+9
23
1
举报
intuitive Jackal_354 :
my opinion, the market does what it wants, it doesn't listen to the fed and the fed already said it would raise rates again so no surprise there
金德尔摩根股票讨论区
Here are 5 powerful moat sources:
INTANGIBLE ASSETS:
Example: Brand, Patents, Copyrights
Wide: Coca-Cola
Narrow: Dr. Pepper Snapple
None: United Airlines
SWITCHING COSTS:
It would be expensive in terms of cost, time, or training, to switch to an alternative provider.
Wide: Oracle
Narrow: Salesforce
None: Macy's
NETWORK EFFECT:
A network becomes more powerful as more users join.
Wide: CME Group
Narrow: NYSE Euronext
N...
The ex-president got 47.3% of the vote according to Real Clear Polling. While no one knows who will become president, some people on Wall Street are starting to envision the effects of a second Trump administration. This could have an impact...
5年来营收除2019和2020年外增长了3年,平均增速7%,营业利润则在波动中变化不大,净利润则受固定资产出售亏损影响在2020年几乎归零,波动很大。2022年利息费用占营业利润的38%,利息负担很重。净资产收益率8.2%也不高。
2023前3季度营收萎缩22.7%,营业利润受毛利率大幅提升影响增长7.3%,净利润萎缩3.3%。 5年来资产负债率基本在54%上下波动,应收和存货的比例和增速都正常,商誉及其他无形资产达到217.74亿,占321.14亿净资产的68%,长期借款284.03亿,占净资产的88%,实际杠杆率极高。
2023Q3现金下降到0.8亿,流动比率0.39,速动比率0.25,现金流风险很高。 5年来现金流经营净额大幅高于投资净额,产生了较多的股东盈余。 目前市盈率15.8,市盈率TTM16.2,股息率6.4%,5年平均净利17.6亿,对应市盈率为22.3,按周期股来看估值不算低,暂时吸引力不大。
CPI comes out an hour before open. i do not expect good numbers, but we should soon find out. there are bearish divergences forming on the lower time frames (2 hr, 1 hr, 1/2 hr), as the market has run up overnight. i expect a pullback. What happens at the pullback is key.
$纳斯达克100指数主连(2406)(NQmain.US)$
bearish MACD divergences
I still expect a larger pullback towards NQ 13800 or QQQ 330, but the market moves how th...
1. **地缘政治风险:** 冲突可能导致地缘政治紧张局势升级,这可能会引发投资者的不安情绪。股市通常对不稳定的地缘政治局势敏感,可能会导致股价下跌。
2. **能源价格:** 中东地区是全球重要的能源产地,特别是原油和天然气。冲突可能导致原油价格上涨,这会对能源相关行业和整个股市产生负面影响。
3. **国际关系:** 冲突可能引发国际社会的干预和外交努力,这可能会对全球经济和金融市场产生连锁反应。
4. **地区稳定性:** 中东地区的不稳定性可能对该地区的股市产生直接冲击,但也可能对全球股市产生影响,因为全球经济是相互联系的。
需要注意的是,股市的反应通常取决于多种因素,包括冲突的规模、持续时间、国际社会的反应以及投资者的情绪。因此,投资者应密切关注相关新闻,了解局势的演变,以更好地评估投资风险。此外,多样化投资组合也可以帮助降低地缘政治风险对个人投资的影响。
以色列和巴勒斯坦冲突通常会对特定类型的股票和行业产生更大的影响。以下是可能受到冲突影...
暂无评论