Latest Articles
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Buying RCL at a Discount? You Are Getting Paid to Do It
At about $260.43 a share, Royal Caribbean (RCL) is trading about 28% below its 52W high. Do you think RCL stock is a good long-term bet at current levels? What about at a 30% discount at about $180 per share? If you think that is a steal, and ha...
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Accenture Stock: Strong Cash Flow Poised for a Re-Rating?
We think Accenture (ACN) stock is worth a look: It is growing, producing cash, and available at a significant valuation discount . Companies like this can use cash to fuel additional revenue growth, or simply pay their shareholders through divide...
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CVS Health Stock Shares $24 Bil Success With Investors
In the last five years, CVS Health (CVS) stock has returned $24 Bil back to its shareholders through cold, hard cash via dividends and buybacks. Let’s look at some numbers and compare how this payout power stacks up against the market’...
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PayPal Stock Pays Out $25 Bil – Investors Take Note
In the last five years, PayPal (PYPL) stock has returned $25 Bil back to its shareholders through cold, hard cash via dividends and buybacks. Let’s look at some numbers and compare how this payout power stacks up against the market’s ...
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Intuit Stock Testing Price Floor – Buy Now?
Intuit (INTU) stock should be on your watchlist. Here is why – it is currently trading in the support zone ($364.13 – $402.47), levels from which it has bounced meaningfully before. Since it first started trading, Intuit stock receive...
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Netflix Stock Hits Key Support – Buying Opportunity?
Netflix (NFLX) stock should be on your watchlist. Here is why – it is currently trading in the support zone ($88.18 – $97.46), levels from which it has bounced meaningfully before. Since it first started trading, Netflix stock receive...
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Veeva Systems Stock Delivers Strong Cash Yield – Upside Ahead?
Veeva Systems (VEEV) could be a good pick for your portfolio, with its high cash yield, good fundamentals, and discounted valuation . Companies like this can use cash to fuel additional revenue growth, or simply pay their shareholders through div...
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Pay Less, Gain More: EQT Tops EOG Resources Stock
EQT is EOG Resources’s peer in Oil & Gas Exploration & Production industry that has: 1) Lower valuation (P/OpInc) compared to EOG Resources stock 2) But higher revenue and operating income growth This disconnect between valuatio...
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EQT Looks Smarter Buy Than Texas Pacific Land Stock
EQT is Texas Pacific Land’s peer in Oil & Gas Exploration & Production industry that has: 1) Lower valuation (P/OpInc) compared to Texas Pacific Land stock 2) But higher revenue and operating income growth This disconnect betwee...
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Time To Buy The Dip In Q2 Stock?
Q2 (QTWO) stock has fallen by 10.8% in less than a month, from $53.27 on 20th Apr, 2026 to $47.51 now. Should you buy this dip? Dip buying is a viable strategy for quality stocks that have a history of recovering from dips. As it turns out, QTWO...
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Alkami Technology Stock To $11?
Alkami Technology (ALKT) stock has fallen by 10.6% in less than a month, from $17.83 on 17th Apr, 2026 to $15.94 now. What comes next? We think that the stock could fall even more . The current correction, when put in context of our Unattractive ...
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Workday Stock To $143?
Workday (WDAY) stock has fallen by 13.3% in less than a month, from $132.26 on 2nd Apr, 2026 to $114.67 now. What comes next? We believe there is a good chance of a stock rebound considering history of recovery post-dips and our current Attractiv...
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Progress Software Stock To $19?
Progress Software (PRGS) stock has fallen by 12.3% in less than a month, from $31.32 on 20th Apr, 2026 to $27.46 now. What comes next? We think that the stock could fall even more . The current correction, when put in context of our Risky opinion...
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Time To Buy The Dip In ServiceNow Stock?
ServiceNow (NOW) stock has fallen by 19.2% in less than a month, from $104.97 on 30th Mar, 2026 to $84.78 now. Should you buy this dip? Dip buying is a viable strategy for quality stocks that have a history of recovering from dips. As it turns o...
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Stress Testing CAR: Historical Drawdowns and Macro Risks
Every seasoned investor knows that market shocks are inevitable. What matters is the depth of the hit. Historically, across 15 major crises, Avis Budget (CAR) absorbs an average drawdown of -43% vs. the S&P 500’s average decline of -16...