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7 hot stocks that can win in either a bull or bear market

7 hot stocks that can win in either a bull or bear market

可以在牛市或熊市中获胜的7只热门股票
InvestorPlace ·  2022/02/04 10:37

Hot stocks from different sectors typically get a lot of attention both in bull and bear markets. When markets are jittery, as they are now, investors look for shares with solid fundamentals and fair valuation levels.

在牛市和熊市中,来自不同行业的热门股票通常都会受到很多关注。当市场像现在这样紧张不安时,投资者会寻找基本面稳固、估值水平合理的股票。

This year is primed to see greater volatility levels. Investors are preparing for tighter monetary and fiscal policies amidst growing uncertainty about a hawkish Federal Reserve. Political tensions in Europe regarding Russia's approach to Ukraine may be another catalyst for a market correction.

今年将迎来更大的波动性水平。在美联储(Federal Reserve)鹰派立场的不确定性越来越大的情况下,投资者正在为收紧货币和财政政策做准备。欧洲在俄罗斯对乌克兰问题上的政治紧张局势可能是市场回调的另一个催化剂。

January saw a sell-off in high-growth stocks. The $NASDAQ 100 Index(.NDX.US)$ has declined roughly 10% year-to-date (YTD), while the $S&P 500 index(.SPX.US)$ is down 7% during the same period. In today's hyper-sensitive market, investors search for defensive stocks that can weather all storms.

1月份出现了高增长股票的抛售。这个$纳斯达克100指数(.NDX.US)$今年到目前为止(YTD)下降了大约10%,而$标准普尔500指数(.SPX.US)$同期下降了7%。在今天高度敏感的市场中,投资者寻找能够经受住一切风暴的防御性股票。

Meanwhile, seasoned investors also realize the importance of investing in the stock market for the long run without being affected by the short-term noise.

与此同时,经验丰富的投资者也意识到在不受短期噪音影响的情况下长期投资股市的重要性。

After all, market declines are part of the investing scene on Wall Street. Over time, though, the stock market is a great wealth creator.

毕竟,市场下跌是华尔街投资场景的一部分。不过,随着时间的推移,股市是一个巨大的财富创造者。

With that information, here are seven hot stocks, a mix of growth and income plays, that could generate solid returns both in a rally as well as a correction:

有了这些信息,以下是七只热门股票,它们是增长和收益的组合,可能会在反弹和回调中产生稳健的回报:

Hot Stocks: Baker Hughes (BKR)

热股:贝克休斯(BKR)

52-week range: $18.75 – $28.40

52周价格区间:18.75-28.40美元

$Baker Hughes(BKR.US)$ makes this hot stocks list because of its innovative high-tech oilfield services to oil and gas companies.

$贝克休斯(BKR.US)$因其为石油和天然气公司提供创新的高科技油田服务而使这只热股上榜。

From upstream to downstream, it is at the front line of technology that revolutionizes the way we find and drill for oil. Baker Hughes announced Q4 2021 results on Jan. 20. Revenue increased 8% year-over-year (YOY) to $5.52 billion.

从上游到下游,正是处于技术第一线的人彻底改变了我们寻找石油和钻探石油的方式。贝克休斯于1月20日公布了2021年第四季度的业绩,营收同比增长8%,达到55.2亿美元。

Adjusted net income was $224 million, or 25 cents per diluted share, compared to an adjusted net loss of $50 million in the prior-year quarter. Free cash flow for the quarter stood at $645 million.

调整后的净收益为2.24亿美元,或每股稀释后收益25美分,而去年同期调整后的净亏损为5000万美元。该季度的自由现金流为6.45亿美元。

In 2021, higher crude prices fueled higher drilling activity, leading to soaring demand for BKR's services and equipment. There has also been a renewed focus on U.S. shale.

2021年,原油价格上涨推动了钻探活动的增加,导致对BKR服务和设备的需求飙升。人们也重新关注美国的页岩资源。

As a result, the U.S. rig count rose 68% YOY to 586 at the end of the fourth quarter. The company reported a 28% YOY increase in orders during the recent quarter.

因此,截至第四季度末,美国钻机数量同比增长68%,至586台。该公司报告称,最近一个季度的订单同比增长了28%。

BKR stock hovers around $27, up 34% over the past 12 months. Shares have a reasonable valuation at 22.5 times forward earnings and 1.1 times trailing sales. The 12-month median price forecast for Baker Hughes stock stands at $33.

BKR股价徘徊在27美元附近,过去12个月累计上涨34%。该公司股票的合理估值为预期市盈率22.5倍,往绩销售额1.1倍。贝克休斯股票12个月的预测中值为33美元。

Biontech (BNTX)

BioNTech(BNTX)

52-week range: $90.29 – $464.00

52周区间:90.29-464.00美元

$BioNTech(BNTX.US)$ is an immunotherapy name that came into the limelight during the pandemic. The biotech company is focused on cancer treatment and infectious diseases.

$BioNTech(BNTX.US)$是一个免疫疗法的名字,在大流行期间成为聚光灯下的一个名字。这家生物技术公司专注于癌症治疗和传染病。

As many InvestorPlace.com readers may know, BioNTech produced the Covid-19 vaccine Comirnaty in a partnership with $Pfizer(PFE.US)$.

同样多的人InvestorPlace.com读者可能知道,生物技术公司与Comirnaty公司合作生产了新冠肺炎疫苗Comirnaty$辉瑞(PFE.US)$.

Biontech released Q3 2021 results on Nov. 9. Revenue came in at $6.84 billion, an eye-popping 90 times more the prior-year period. Net income stood at $3.6 billion, or $13.87 per diluted share, compared to a net loss of $235 million a year ago. Cash and equivalents ended the quarter at $2.69 billion.

11月9日,BioNTech发布了2021年第三季度的业绩。收入为68.4亿美元,是去年同期的90倍,令人瞠目结舌。净收益为36亿美元,或每股稀释后收益13.87美元,而去年同期净亏损2.35亿美元。本季度末,现金及现金等价物为26.9亿美元。

The company expects to launch a vaccine that targets the Omicron strain by the end of March. However, the World Health Organization recently warned that new variants are likely to emerge after the current omicron wave fades out.

该公司预计在3月底之前推出针对Omicron菌株的疫苗。然而,世界卫生组织最近警告说,在当前的奥米克隆波消退后,可能会出现新的变种。

A strong partnership with Pfizer could easily position BioNTech for further growth opportunities in the mRNA market. The two names are currently collaborating on a new mRNA-based shingles vaccine, the first of its kind.

与辉瑞的强大合作伙伴关系很容易使BioNTech在mRNA市场获得进一步增长的机会。这两家公司目前正在合作研制一种新的基于mRNA的带状疱疹疫苗,这是此类疫苗中的第一例。

BNTX stock currently hovers slightly below $170, up 45% over the past 12 months. The stock price has declined 24.5% YTD. Shares are trading at 4.9 times forward earnings and 2.5 times trailing sales. Finally, the 12-month median price forecast for BioNTech stock stands at $286.70.

BNTX股价目前徘徊在略低于170美元的水平,过去12个月累计上涨45%。今年以来,该公司股价下跌了24.5%。该公司股票的预期市盈率为4.9倍,往绩销售额为2.5倍。最后,BioNtech股票12个月的预测中值为286.70美元。

Equinix (EQIX)

平分线(EQIX)

52-week range: $586.73 – $885.26

52周价格区间:586.73美元至885.26美元

Dividend Yield: 1.61%

股息率:1.61%

$Equinix Inc(EQIX.US)$ is a data center real estate investment trust (REIT), specialized in digital infrastructure. The company operates about 250 data storage facilities in over a score of countries. Clients come from network service providers and IT companies.

$易昆尼克斯(EQIX.US)$是一家专注于数字基础设施的数据中心房地产投资信托基金(REIT)。该公司在20多个国家运营着约250个数据存储设施。客户来自网络服务提供商和IT公司。

The data center REIT issued Q3 results on Nov. 3. Revenue increased 10% YOY to $1.68 billion. Net income came in at $152 million, or $1.68 per share, up 121% over the previous quarter. Adjusted funds from operations (AFFO) stood at $628 million, or $6.94 per share.

数据中心房地产投资信托基金(REIT)于11月3日发布了第三季度财报,营收同比增长10%,至16.8亿美元。净利润为1.52亿美元,合每股1.68美元,较上一季度增长121%。调整后的运营资金(AFFO)为6.28亿美元,或每股6.94美元。

Equinix has delivered a remarkable growth rate that few other REITs can match. The GPX India acquisition was a significant milestone, giving it a strategic foothold in India. Overall, it reported 11 data center openings and expansions in Q3, including the key markets of Frankfurt, New York, and Singapore.

Equinix实现了令人惊叹的增长率,几乎没有其他REITs能与之匹敌。收购GPX印度公司是一个重要的里程碑,使其在印度获得了战略立足点。总体而言,该公司报告第三季度开设和扩建了11个数据中心,包括法兰克福、纽约和新加坡等关键市场。

Management now anticipates revenue to reach $6.61 – $6.63 billion for the full year. That would indicate a growth rate of over 10% YOY, one that well matches the expected growth rate worldwide in this specialized segment.

管理层现在预计全年收入将达到66.1亿至66.3亿美元。这将表明增长率超过10%,这一增长率与这一专业领域的全球预期增长率非常匹配。

Recent metrics suggest, "the global market for Internet Data Centers estimated at US$59.3 Billion in the year 2020, is projected to reach a revised size of US$143.4 Billion by 2027, growing at a CAGR of 13.4% over the period 2020-2027.

最近的指标显示,“2020年全球互联网数据中心市场规模估计为593亿美元,预计到2027年将达到1434亿美元的修正规模,在2020-2027年期间以13.4%的复合年增长率增长。

EQIX stock hovers at $712 territory, down 14% YTD. It seems like investors abandoned high-growth REITs during the recent sell-off in tech stocks. Valuation stands at 80.7 times forward earnings and 9.7 times trailing sales. The 12-month median price forecast for Equinix stock is $884.

EQIX股价徘徊在712美元区间,同比下跌14%。在最近科技股的抛售中,投资者似乎放弃了高增长的REITs。目前的预期市盈率为80.7倍,往绩销售额为9.7倍。Equinix股票12个月价格预测中值为884美元。

Invesco KBW High Dividend Yield Financial ETF (KBWD)

景顺KBW高股息收益金融ETF(KBWD)

52-Week Range: $16.65 – $21.65

52周价格区间:16.65美元至21.65美元

Dividend Yield: 7.55%

股息率:7.55%

Expense Ratio: 0.35% per year

费用比率:每年0.35%

The $Powershares Exch Traded Fd Tr Ii Kbw High Divid Yield Finl Port(KBWD.US)$ provides access to hot stocks in the U.S. financial sector with competitive dividend yields. The fund was first listed in December 2010.

这个$PowerShares Exch Traded FD Tr II KBW High Divid殖利率FIL Port(KBWD.US)$以具有竞争力的股息收益率提供对美国金融业热门股票的投资。该基金于2010年12月首次上市。

KBWD has 42 holdings and tracks the KBW High Dividend Yield Financial Index. The top 10 names account for around 40% of its $479.4 million in net assets.

KBWD持有42只股票,追踪KBW高股息收益率金融指数。在其4.794亿美元的净资产中,排名前10位的公司约占40%。

In terms of sectors, asset management and custodian banks account for the largest portion, followed by mortgage real estate investment trusts (mREITs), thrifts, and regional banks.

就行业而言,资产管理和托管银行所占比例最大,其次是抵押房地产投资信托基金(MREITs)、储蓄机构和地区性银行。

The leading holdings on the roster include the closed-end management investment names $Fisker(FSR.US)$ and $Newtek Business Services(NEWT.US)$; real estate investment trust $ARMOUR Residential REIT Inc(ARR.US)$; financial services provider $Ellington Financial(EFC.US)$; REITs $Two Harbors Investment Corp(TWO.US)$ and $PennyMac Mortgage Investment Trust(PMT.US)$.

名单上的主要持股包括封闭式管理投资公司。$Fisker(FSR.US)$$Newtek Business Services(NEWT.US)$;房地产投资信托基金$Armour Residential REIT Inc.(ARR.US)$;金融服务提供商$Ellington Financial(EFC.US)$;房地产投资信托基金$Two Harbors Investment Corp(TWO.US)$$PennyMac Mortgage Investment Trust(PMT.US)$.

KBWD gained 12% over the last 12 months and hit a 52-week high in June. The fund's forward price-to-earnings (P/E) and price-to-book (P/B) ratios stand at 11.93x and 1.46x. Interested readers could consider hitting the "buy" button for KBWD around these levels.

KBWD在过去12个月中上涨了12%,并在6月份创下52周新高。该基金的预期市盈率(P/E)和市净率(P/B)分别为11.93倍和1.46倍。感兴趣的读者可以考虑在这些水平附近点击KBWD的“购买”按钮。

NextEra Energy (NEE)

NextEra Energy(NEE)

52-week range: $68.33 – $93.73

52周区间:68.33-93.73美元

Dividend Yield: 2.12%

股息率:2.12%

$NextEra Energy(NEE.US)$ owns the regulated utility Florida Power & Light that distributes power to around five million customers in the state. With its capacity to generate power from wind, solar, water and green hydrogen, NextEra is one of the most important energy names.

$NextEra Energy(NEE.US)$拥有受监管的公用事业公司佛罗里达电力和照明公司,该公司向该州约500万客户供电。NextEra拥有利用风能、太阳能、水和绿色氢气发电的能力,是最重要的能源品牌之一。

NextEra released Q4 2021 results on Jan. 25. Revenue increased 15% YOY to $5.05 billion. Adjusted net income came in at $814 million, or 42 cents per share, compared to $785 million in the prior-year quarter. Cash and equivalents ended the period at $1.3 billion.

NextEra于1月25日发布了2021年第四季度业绩。营收同比增长15%,至50.5亿美元。调整后的净收入为8.14亿美元,或每股42美分,而去年同期为7.85亿美元。当期末现金及现金等价物为13亿美元。

"We grew adjusted earnings per share by more than 10% from 2020 and delivered a total shareholder return of more than 23%, significantly outperforming the S&P 500 Utilities Index," said CEO Jim Robo of the results.

首席执行官吉姆·罗博(Jim Robo)在谈到业绩时表示:“自2020年以来,我们的调整后每股收益增长了10%以上,实现了超过23%的总股东回报,远远超过了标准普尔500公用事业指数(S&P500 Utilities Index)。”

The utility has pledged to invest around $55 billion in new infrastructure projects between 2020 and 2022. Therefore, investors can expect growth to continue in the coming quarters.

该公用事业公司承诺在2020年至2022年期间在新的基础设施项目上投资约550亿美元。因此,投资者可以预期未来几个季度将继续增长。

NEE stock currently hovers at $75, down 20% YTD. Shares trade at 26.3 times forward earnings and 8.4 times trailing sales. The 12-month median price forecast for Nextera Energy stock stands at $91.

NEE股价目前徘徊在75美元,同比下跌20%。该公司股票的预期市盈率为26.3倍,往绩市盈率为8.4倍。NextEra Energy股票的12个月价格预测中值为91美元。

Public Storage (PSA)

公共存储(PSA)

52-week range: $226.29 – $377.36

52周价格区间:226.29美元至377.36美元

Dividend Yield: 2.22%

股息率:2.22%

$Public Storage(PSA.US)$ is currently the largest self-storage REIT worldwide. The company owns about 2,700 self-storage facilities in the U.S. and around 250 facilities in Europe.

$公共存储(PSA.US)$是目前全球最大的自储式REIT。该公司在美国拥有约2700个自助存储设施,在欧洲拥有约250个设施。

The REIT released Q3 2021 metrics in mid-October. Revenue increased 22% YOY to $895 million. Net income came in at $442 million or $2.52 per diluted share, compared to $247 million, or $1.41 per diluted share, in the previous year. Cash and equivalents ended the quarter at $958 million.

房地产投资信托基金在10月中旬发布了2021年第三季度的指标。营收同比增长22%,至8.95亿美元。净收益为4.42亿美元,或每股稀释后收益2.52美元,而上一年为2.47亿美元,或每股稀释后收益1.41美元。本季度末,现金和现金等价物为9.58亿美元。

The self-storage market worldwide "was valued at USD 48.02 billion in 2020 and is expected to reach a value of USD 64.71 billion by 2026, registering a CAGR of 5.45% over the forecast period, 2021-2026."

全球自助仓储市场“在2020年价值480.2亿美元,预计到2026年将达到647.1亿美元,在2021-2026年的预测期内,年复合增长率为5.45%。”

During the stay-at-home, work-from-home days of the pandemic, there was increased demand for self-storage. Businesses downsized and people spending more time at home saw a greater need for more space. In addition, people moved homes, an activity that always creates the need for more space.

在大流行期间呆在家里、在家工作的日子里,人们对自助存储的需求增加了。企业规模缩小,人们花更多时间呆在家里,看到了对更多空间的更大需求。此外,人们搬家,这是一种总是产生对更多空间的需求的活动。

The REIT recently announced the $1.5 billion acquisition of All Storage, which added 56 properties to its portfolio. Despite economic uncertainty, Public Storage is taking steps to grow more.

房地产投资信托基金(REIT)最近宣布以15亿美元收购All Storage,这将使其投资组合增加56处房产。尽管经济不确定,但公共存储正在采取措施实现更多增长。

PSA stock is currently priced at $367, up 59% over the past 12 months. Shares are trading at 36.1 times forward earnings and 18.8 times trailing sales. The 12-month median price forecast for Public Storage stock stands at $380. Interested readers could find better value around $350, or even below.

PSA股票目前定价为367美元,过去12个月上涨59%。该公司股票的预期市盈率为36.1倍,往绩市盈率为18.8倍。Public Storage股票的12个月价格预测中值为380美元。感兴趣的读者可以在350美元左右找到更划算的东西,甚至更低。

Texas Instruments (TXN)

德州仪器(TXN)

52-week range: $161.67 – $202.26

52周价格区间:161.67美元至202.26美元

Dividend Yield: 2.59%

股息率:2.59%

$Texas Instruments(TXN.US)$ is the market leader worldwide in analog chips and embedded processors. The semiconductor giant serves over 100,000 clients across key industries, such as automotive, electronics, and industrials.

$德州仪器(TXN.US)$是模拟芯片和嵌入式处理器领域的全球市场领先者。这家半导体巨头为汽车、电子和工业等关键行业的10万多家客户提供服务。

The chip name announced Q4 2021 numbers on Jan. 25. Revenue jumped 19% YOY to $4.83 billion. Net income came in at $2.14 billion, or $2.27 per diluted share, up 27% YOY from $1.69 billion, or $1.80 per diluted share, in the prior-year quarter. Cash and equivalents ended the period at $4.6 billion.

芯片名称于1月25日宣布了2021年第四季度的数字。营收同比增长19%,至48.3亿美元。净利润为21.4亿美元,或每股稀释后收益2.27美元,同比增长27%,较上年同期的16.9亿美元,或每股稀释后收益1.80美元增长27%。当期末现金及现金等价物为46亿美元。

"We returned $4.4 billion to owners in 2021 through dividends and stock repurchases," CEO Rich Templeton said after the announcement. "For the year, our dividend represented 62% of free cash flow, underscoring its sustainability."

首席执行官里奇·邓普顿(Rich Templeton)在宣布后表示:“我们在2021年通过分红和股票回购向所有者返还了44亿美元。”今年,我们的分红占自由现金流的62%,这突显了它的可持续性。“

Analysts expect semiconductor sales to grow by 10% in 2022. Meanwhile, Texas Instruments announced plans for the upcoming construction of two new wafer fabrication plants in Texas. The company manufactures chips on 300-millimeter silicon wafers, which helps reduce manufacturing costs.

分析师预计2022年半导体销售将增长10%。与此同时,德州仪器(Texas Instruments)宣布了即将在德克萨斯州新建两家晶圆加工厂的计划。该公司在300毫米硅片上制造芯片,这有助于降低制造成本。

Investment in long-term manufacturing capacity should further enhance this cost advantage. It would also give the company greater control of its supply chain.

对长期制造产能的投资应该会进一步增强这一成本优势。这也将使该公司更好地控制其供应链。

TXN stock currently hovers at $175 territory. Shares are trading at 21.3 times forward earnings and 9.1 times trailing sales. The 12-month median price forecast for Texas Instruments stock stands at $200. Potential investors could consider buying the dip in the chip giant.

TXN的股票目前徘徊在175美元的区间。该公司股票的预期市盈率为21.3倍,往绩市盈率为9.1倍。德州仪器(Texas Instruments)12个月股价预测中值为200美元。潜在投资者可以考虑购买这家芯片巨头的DIP。

声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
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