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The 7 Best Stocks to Buy to Tap Into a Hidden Bull Market

The 7 Best Stocks to Buy to Tap Into a Hidden Bull Market

利用隱藏的牛市買入的7只最佳股票
InvestorPlace ·  2022/09/27 07:23

InvestorPlace - Stock Market News, Stock Advice & Trading Tips

InvestorPlace-股票市場新聞、股票建議和交易提示

These are seven of the best stocks to buy that can see substantial returns in the months ahead. Despite the ongoing worries on Wall Street, seasoned investors realize that there may be a bull market in some segments of the market even during these gloomy weeks.

這是七隻最值得購買的股票,可以在未來幾個月獲得可觀的回報。儘管華爾街的擔憂仍在繼續,但經驗豐富的投資者意識到,即使在這黯淡的幾周裏,市場的某些部分也可能出現牛市。

Fears of sticky inflation and recession led to many investors reevaluating their investments or pulling their money out of the stock markets altogether. As a result, the S&P 500 index has dropped 23% year to date, while the tech-heavy NASDAQ 100 has lost close to a third of its value.

對粘性通脹和經濟衰退的擔憂導致許多投資者重新評估他們的投資,或者乾脆將資金撤出股市。因此,標準普爾500指數今年到目前為止,該指數已經下跌了23%,而以科技股為主的納斯達克100已經損失了近三分之一的價值。

However, for investors who research further, there is always a chance to find the best stocks to buy in a hidden bull market. Including several of those shares could help boost the performance of investment portfolios despite the overall market chaos.

然而,對於進一步研究的投資者來説,總有機會在隱藏的牛市中找到最好的股票來買入。儘管市場整體混亂,但納入其中幾隻股票可能有助於提振投資組合的表現。

Even in 2022, with interest rates hitting a 14-year high in the U.S. and stocks getting hammered, we are experiencing localized bull markets in the energy and utility sectors. For instance, the energy sector, overall, has returned around 18% since January.

即使在2022年,隨着美國利率創下14年來的新高,股市遭受重創,我們也正在經歷能源和公用事業板塊的局部牛市。例如,自1月份以來,能源板塊的整體回報率約為18%。

That said, here are seven of the best stocks to buy. These hidden gems could well be poised for a rally in the coming months and offer great upside potential to tap into a hidden bull market.

話雖如此,以下是七隻最值得購買的股票。這些隱藏的寶石很可能在未來幾個月出現反彈,併為進入隱藏的牛市提供巨大的上行潛力。

MO
Altria 
奧馳亞
$41.47 ASRT
41.47美元ASRT
Assertio
斷言
$2.15 IBB
2.15英鎊
iShares Biotechnology ETF
IShares生物技術ETF
$113.42 MMP
113.42美元
Magellan Midstream Partners 
麥哲倫中游合夥人
$45.69 RIO
裏約45.69美元
Rio Tinto 
力拓
$51.22 TSN
51.22美元TSN
Tyson Foods 
泰森食品
$68.95 VTV
68.95美元VTV
Vanguard
先鋒隊
Value
價值
ETF
etf
$124.96
$124.96

Altria (MO)

奧馳亞(Altria)(密蘇裏州)

Source: Shutterstock
消息來源:Shutterstock

52-week range: $40.84 – $57.05

52周範圍: $40.84 – $57.05

Altria (NYSE:MO) is the leading producer of combustible and smoke-free products. Its portfolio includes Philip Morris USA, John Middleton, U.S. Smokeless Tobacco, Helix Innovations, and the e-cigarette maker JUUL Labs.

奧馳亞(紐約證券交易所股票代碼:MO)是易燃和無煙產品的領先生產商。其投資組合包括菲利普莫里斯美國公司、約翰·米德爾頓公司、美國無煙煙草公司、Helix創新公司和電子煙製造商Juul Labs。

In the U.S., its retail market share of cigarette sales is close to 50%. Meanwhile, Altria also holds equity investments in Anheuser-Busch InBev (NYSE:BUD) and the cannabinoid company Cronos (NASDAQ:CRON), making one of the best stocks to buy for the long haul.

在美國,其零售市場佔捲煙銷售的份額接近50%。與此同時,奧馳亞還持有以下股權投資百威英博(紐約證券交易所股票代碼:BUD)和大麻素公司克羅諾斯(納斯達克:CRON),使其成為長期買入的最佳股票之一。

The tobacco play released Q2 financials on July 28. Although net revenue dropped 5.7% year-over-year (YOY), adjusted earnings increased to $1.26 per diluted share. Altria also reaffirmed its full-year 2022 guidance.

這部煙草劇於7月28日發佈了第二季度財務報告。雖然淨收入同比下降5.7%,但調整後的每股收益增加到1.26美元。奧馳亞還重申了其2022年全年的指導方針。

Meanwhile, investors have welcomed the Juul Labs settlement with 34 U.S. states and territories regarding its marketing practices for vaping products. As question marks around the operations of Juul Labs decline, Altria shares could see a new upside momentum.

與此同時,投資者對Juul Labs與美國34個州和地區就其蒸發產品營銷做法達成的和解表示歡迎。隨着圍繞Juul Labs運營的問號下降,奧馳亞的股價可能會出現新的上行勢頭。

So far this year, Altria stock has dropped 13% to hit a 52-week low in recent dates. Yet it generates a very lucrative dividend yield of 9%. In late August, management raised Altria's quarterly dividend by 4.4%.

今年到目前為止,奧馳亞的股價在最近幾天已經下跌了13%,跌至52周低點。然而,它產生了9%的非常有利可圖的股息收益率。8月下旬,管理層將奧馳亞的季度股息提高了4.4%。

The company's forward price-to-earnings (P/E) and price-to-sales (P/S) ratios are 8.33x and 3.66x, respectively. Analysts' 12-month median price forecast for MO stock stands at $46.50. Potential investors could consider buying in at the current levels, especially below $40.

該公司的預期市盈率(P/E)和市盈率(P/S)分別為8.33倍和3.66倍。分析師對MO股價未來12個月的預測中值為46.50美元。潛在投資者可以考慮在當前水平買入,特別是在40美元以下。

Assertio (ASRT)

資產(ASRT)

Source: Iryna Imago / Shutterstock.com
來源:Iryna Imago/Shutterstock.com

52-week range: $0.85 – $4.44

52周範圍: $0.85 – $4.44

Specialty pharmaceutical company Assertio (NYSE:ASRT) offers therapies mainly in the areas of neurology, pain, and diseases of the central nervous system.

專業製藥公司斷言(紐約證券交易所股票代碼:ASRT)主要提供神經學、疼痛和中樞神經系統疾病方面的治療。

The company has seven FDA-approved medications for various conditions. With a market capitalization of just over $100 million, it can be regarded as a high-risk high-return stock.

該公司有七種FDA批准的治療各種疾病的藥物。市值略高於1億美元,算是一隻高風險高回報的股票。

On Aug. 8, ASRT released better-than-expected Q2 results. Net product sales increased 40% compared to the prior-year quarter. Its gout treatments, which do not face generic competition, provide the bulk of its revenues.

8月8日,ASRT發佈了好於預期的第二季度業績。與去年同期相比,產品淨銷售額增長了40%。其痛風治療藥物不面臨仿製藥競爭,為其提供了大部分收入。

Driven by sales growth and increased profitability, the company raised its full-year revenue guidance for 2022. The drug maker is also evaluating multiple asset acquisitions to grow and diversify its current pipeline.

在銷售增長和盈利能力提高的推動下,該公司上調了2022年的全年收入指引。這家制藥商還在評估多筆資產收購,以實現其目前的渠道增長和多元化。

Recently, management issued $70 million of convertible senior notes due 2027. As a result, Assertio is redeeming earlier higher-interest notes. As the conversion is leading to stock dilution, ASRT shares have sold off, providing a better entry point for long-term investors.

最近,管理層發行了7000萬美元的2027年到期的可轉換優先票據。因此,Assertio正在贖回早先的高息票據。由於轉換導致股票稀釋,ASRT的股票遭到拋售,為長期投資者提供了更好的切入點。

ASRT stock has lost about 20% since the beginning of the year. Shares are trading at 5.61 times forward earnings and 0.75 times sales. Meanwhile, Wall Street's 12-month median price forecast for the stock is $6.

自今年年初以來,ASRT的股票已經下跌了約20%。該公司股票的預期市盈率為5.61倍,銷售額為0.75倍。與此同時,華爾街對該股12個月股價的預測中值為6美元。

Given increasing revenues and expanding margins, Assertio could also become a takeover target in the months ahead.   

鑑於不斷增加的收入和不斷擴大的利潤率,Assertio也可能在未來幾個月成為收購目標。

iShares Biotechnology ETF (IBB)

IShares生物技術ETF(IBB)

Source: Gorodenkoff / Shutterstock.com
來源:Gorodenkoff/Shutterstock.com

52-week range: $104.29 – $174.45

52周範圍: $104.29 – $174.45

Dividend yield: 0.27%

股息收益率:0.27%

Expense ratio: 0.44% per year

費用比率:年利率0.44%

Next up on our list of best stocks to buy is an exchange-traded fund (ETF), the iShares Biotechnology ETF (NASDAQ:IBB), which provides access to U.S. biotech companies. The fund was listed in February 2001.

在我們的最佳股票名單中,下一個是交易所交易基金(ETF)IShares生物技術ETF(納斯達克:IBB),提供進入美國生物技術公司的途徑。該基金於2001年2月上市。

IBB follows the ICE Biotechnology Index and has 369 holdings. The top ten holdings comprise half of its net assets of $7.4 billion. In terms of sectoral allocations, biotechnology dominates (79.5%), followed by life sciences tools & services (17.2%) and pharmaceuticals (1.9%).

IBB跟蹤洲際交易所生物技術指數,持有369只股票。前十大持有量佔其74億美元淨資產的一半。就部門撥款而言,生物技術佔主導地位(79.5%),其次是生命科學工具與服務(17.2%)和製藥(1.9%)。

Leading names on the roster are Gilead Sciences (NASDAQ:GILD), Amgen (NASDAQ:AMGN), Vertex Pharmaceuticals (NASDAQ:VRTX), Regeneron Pharmaceuticals (NASDAQ:REGN), and Moderna (NASDAQ:MRNA).

名單上的領軍人物是吉列德科學(納斯達克:GILD),安進(納斯達克:AMGN),Vertex製藥公司(納斯達克:VRTX),Regeneron製藥公司(納斯達克:REGN),以及Moderna(納斯達克:基因)。

So far in 2022, IBB has dropped more than 24%. Trailing P/E and P/B ratios stand at 12.93x and 4.16x, respectively.

2022年到目前為止,IBB已經下跌了24%以上。往績市盈率和市盈率分別為12.93倍和4.16倍。

After hitting a multi-year low in June, the biotech sector has later had a strong rally driven by new drug approvals and M&A news. Thus, IBB is well poised for a rally driven by the ongoing momentum for the remainder of the year. Potential investors could regard a decline toward $110 as a better entry point.

在6月份觸及多年低點後,生物科技板塊隨後在新藥審批和併購消息的推動下強勁反彈。因此,在今年剩餘時間持續勢頭的推動下,IBB將迎來一輪反彈。潛在投資者可能會將跌向110美元視為更好的切入點。

Magellan Midstream Partners (MMP)

麥哲倫中游合夥公司(MMP.)

Source: Casimiro PT / Shutterstock.com
來源:Casimiro PT/Shutterstock.com

52-week range: $43.58 – $53.75

52周範圍: $43.58 – $53.75

Master limited partnership Magellan Midstream Partners (NYSE:MMP) transports, stores, and distributes refined petroleum products and crude oil in central and eastern U.S.

主有限合夥麥哲倫中游合夥人(紐約證券交易所股票代碼:MMP)在美國中部和東部運輸、儲存和分銷成品油和原油。

According to Q2 metrics reported in late July, diluted net income per common unit was $1.94, up 40.5% from the year-ago period. Despite the decline in commodity prices, management kept its guidance for FY22.

根據7月下旬公佈的第二季度指標,稀釋後的單位普通股淨收入為1.94美元,同比增長40.5%。儘管大宗商品價格下跌,但管理層仍保持了對22財年的指引。

Recently, the company announced plans to expand its refined petroleum products pipeline system from the Houston area to El Paso, Texas. The increased capacity is expected to be available in early 2024.

最近,該公司宣佈計劃將其成品油管道系統從休斯頓地區擴大到德克薩斯州的埃爾帕索。增加的運力預計將於2024年初投入使用。

MMP stock is currently trading flat for the year. The company has been raising dividends for the past 19 consecutive years and pays a hefty dividend of 8.9%.

目前,MMP股今年的交易價格持平。該公司已經連續19年提高股息,並支付了8.9%的高額股息。

Shares are changing hands at 9.98x times forward earnings and 3.42 times sales. Meanwhile, analysts' 12-month median price forecast stands at $54. Interested readers should keep MMP stock on their watchlist to benefit from the next commodity bull market in the winter months.

該公司股票的預期市盈率為9.98倍,銷售額為3.42倍。與此同時,分析師對未來12個月價格的預測中值為54美元。感興趣的讀者應該將MMP股留在他們的觀察名單上,以便從冬季幾個月的下一次大宗商品牛市中受益。

Rio Tinto (RIO)

力拓(Rio Tinto)

Source: Rob Bayer / Shutterstock.com
來源:Rob Bayer/Shutterstock.com

52-week range: $51.47 – $84.01

52周範圍: $51.47 – $84.01

The U.K.-headquartered Anglo-Australian miner Rio Tinto (NYSE:RIO) has global operations covering a range of commodities, such as iron ore, copper, aluminum and uranium. It is also among the leading diamond producers worldwide making it one of the best stocks to buy in the commodities sector.

這家總部位於英國的英澳礦商力拓(紐約證券交易所股票代碼:RIO)的全球業務涵蓋一系列大宗商品,如鐵礦石、銅、鋁和鈾。它也是全球領先的鑽石生產商之一,使其成為大宗商品領域最值得購買的股票之一。

Rio Tinto's HY1 earnings fell short of analyst expectations. Consolidated sales revenue declined 10% YOY due to softer iron ore prices, which recently saw a multi-month low.

力拓HY1的收益低於分析師的預期。由於鐵礦石價格走軟,合併銷售收入同比下降10%,最近鐵礦石價格跌至數月來的最低點。

Meanwhile, the miner highlighted its focus on the long-term global strategy. These operations include Oyu Tolgoi in Mongolia and the Gudai-Darri iron ore mine in Australia as well as the early works funding at the Rincon lithium project.

與此同時,這家礦商強調了其對長期全球戰略的關注。這些業務包括蒙古的奧尤陶勒蓋和澳大利亞的Gudai-Darri鐵礦,以及林肯鋰項目的早期工程資金。

Rio Tinto is also building a new aluminum recycling facility at its Arvida Plant in Quebec to expand its supply of low-carbon aluminum solutions for the automotive, construction, and packaging markets. Thus, RIO shareholders will be paying attention to how diversifying its operations could contribute to the top line.

力拓還在其位於魁北克的Arvida工廠建設一個新的鋁回收設施,以擴大其汽車、建築和包裝市場的低碳鋁解決方案的供應。因此,力拓的股東將關注其業務多元化將如何為營收做出貢獻。

Shares of the mining giant have lost 23% YTD and hit a 52-week low in recent days. RIO stock generates a dividend yield of 13.2% at current prices.

這家礦業巨頭的股價最近幾天下跌了23%,跌至52周低點。按當前價格計算,力拓股票的股息收益率為13.2%。

Forward P/E and P/S ratios stand at 6.42x and 1.41x. Finally, Wall Street's 12-month median price forecast for Rio Tinto is $74.31. RIO stock can provide a good bet for value investors looking for potential upside along with passive income.

遠期市盈率和市盈率分別為6.42倍和1.41倍。最後,華爾街對力拓12個月股價的預測中值為74.31美元。力拓股票可以為尋求潛在上行空間和被動收益的價值投資者提供一個很好的押注。

Tyson Foods (TSN)

泰森食品(Tyson Foods)

Source: rblfmr / Shutterstock.com
來源:rblfmr/Shutterstock.com

52-week range: $68.99 – $100.72

52周範圍: $68.99 – $100.72

Tyson Foods (NYSE:TSN) is of the world's largest protein-focused food companies. Its segments include beef, pork, chicken, and prepared foods. Tyson's global sales are well over $47 billion, making it one of the best stocks to buy right now.

泰森食品(紐約證券交易所股票代碼:TSN)是世界上最大的蛋白質食品公司之一。它的細分市場包括牛肉、豬肉、雞肉和熟食。泰森的全球銷售額遠遠超過470億美元,使其成為目前最值得買入的股票之一。

The food giant posted mixed Q3 results on Aug. 8 due to inflationary headwinds. Despite double-digit sales and earnings growth in the first six months, operating income narrowed 27% YOY in Q3. Adjusted EPS of $1.94 also missed analysts' expectations.

由於通脹逆風,這家食品巨頭在8月8日公佈了喜憂參半的第三季度業績。儘管前六個月的銷售額和收益實現了兩位數的增長,但第三季度的營業收入同比下降了27%。調整後每股收益為1.94美元,也低於分析師的預期。

Management aims for over $1 billion in savings by fiscal 2024. Steps in its its productivity program include capacity expansion, supply-chain digitalization, and increased automation. Furthermore, two new plants are expected to begin operation in 2022 and six more in the fiscal year 2023. Therefore, Wall Street expects to see both revenue and margin expansion from Tyson Foods in the quarters ahead.

管理層的目標是到2024財年節省超過10億美元。ITS生產率計劃的步驟包括擴大產能、供應鏈數字化和提高自動化程度。此外,兩家新工廠預計將於2022年開始運營,2023財年還將有六家工廠開始運營。因此,華爾街預計未來幾個季度泰森食品的收入和利潤率都將擴大。

So far in 2022, TSN stock has dropped 20% and hit a 52-week low on Sept. 23. It yields a dividend of 2.63%. Shares are trading at 9.13 times forward earnings and 0.49 times sales.

2022年到目前為止,TSN的股價已經下跌了20%,並在9月9日觸及52周低點。23.它的股息為2.63%。該公司股票的預期市盈率為9.13倍,銷售市盈率為0.49倍。

Analysts' 12-month median price forecast stands at $90. Potential investors could regard a further decline toward the $67 level as an opportune entry point.

分析師對未來12個月價格的預測中值為90美元。潛在投資者可能會將進一步跌向67美元的水平視為一個合適的切入點。

Vanguard Value ETF (VTV)

價值股ETF-Vanguard(VTV)

Source: iQoncept / Shutterstock
來源:iQoncept/Shutterstock

52-week range: $125.19 – $151.89
Dividend yield: 3.31%
Expense ratio: 0.04% per year

52周範圍: $125.19 – $151.89
股息收益率: 3.31%
費用比率:年息0.04%

Our final discussion focuses on the Vanguard Value ETF (NYSEARCA:VTV). It provides exposure to large-cap U.S. companies that exhibit value characteristics. It is one of the largest value-focused ETFs with net assets of $143.4 billion.

我們最後的討論集中在先鋒隊價值etf(NYSEArca:VTV)。它提供了對錶現出價值特徵的大型美國公司的敞口。它是最大的專注於價值的ETF之一,淨資產為1434億美元。

This passively-managed fund started trading in January 2004. It tracks the returns of the CRSP US Large Cap Value Index and has 344 holdings.

這隻被動管理的基金於2004年1月開始交易。它跟蹤CRSP美國大盤股價值指數的回報,持有344只股票。

With regards to sub-sectors, we see health care (20.1%), financials (19%), industrials (13.4%), consumer staples (11.5%), and energy (8.2%), among others. The leading 10 holdings account for around 20% of the fund's portfolio.

關於次級部門,我們看到醫療保健(20.1%)、金融(19%)、工業(13.4%)、消費品(11.5%)和能源(8.2%)等。領先的10只股票約佔該基金投資組合的20%。

UnitedHealth Group (NYSE:UNH), Berkshire Hathaway (NYSE:BRK-A, NYSE:BRK-B), Johnson & Johnson (NYSE:JNJ), Exxon Mobil (NYSE:XOM), and JPMorgan Chase (NYSE:JPM) are among the most prominent names on the roster.

聯合健康集團(紐約證券交易所股票代碼:UNH),伯克希爾哈撒韋(紐約證券交易所代碼:BRK-A,紐約證券交易所代碼:BRK-B),強生(紐約證券交易所代碼:JNJ),埃克森美孚(紐約證券交易所代碼:XOM),以及摩根大通(紐約證券交易所代碼:JPM)是名單上最著名的名字之一。

VTV has lost 14% YTD and just hit a 52-week low. The fund is trading at 15.3 times trailing earnings and 2.5 times book values.

VTV今年以來下跌了14%,剛剛跌至52周低點。該基金的往績市盈率為15.3倍,賬面價值為2.5倍。

Many value names in a fund like VTV will likely be among the first to bounce back when the market recovers. Potential investors could regard the current dip in the Vanguard Value ETF as a good entry point. Current investors would also get a yield of about 2.7%.

像VTV這樣的基金中的許多有價值的公司可能會在市場復甦時首批反彈。潛在投資者可以將價值股ETF-Vanguard指數目前的下跌視為一個很好的切入點。目前的投資者也將獲得約2.7%的收益率。

On the date of publication, Tezcan Gecgil, Ph.D., did not have (either directly or indirectly) any positions in the securities mentioned in this article. The opinions expressed in this article are those of the writer, subject to the InvestorPlace.com Publishing Guidelines.

在文章發表之日,Tezcan Gecgil博士並沒有(直接或間接)持有本文提到的證券的任何頭寸。本文中表達的觀點是作者的觀點,受InvestorPlace.com發佈指南的約束。

Tezcan Gecgil has worked in investment management for over two decades in the U.S. and U.K. In addition to formal higher education in the field, she has also completed all 3 levels of the Chartered Market Technician (CMT) examination. Her passion is for options trading based on technical analysis of fundamentally strong companies. She especially enjoys setting up weekly covered calls for income generation.

Tezcan Gecgil在美國和英國的投資管理領域工作了20多年。除了該領域的正規高等教育,她還完成了特許市場技術員(CMT)考試的全部3個級別。她熱衷於基於對基本面強大公司的技術分析進行的期權交易。她尤其喜歡為創收設立每週一次的備註電話會議。

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最早出現在InvestorPlace上的7只最佳買入股票進入隱藏的牛市的帖子。

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