Street Earnings Overstated for 67% of S&P 500 Companies in 1Q22
Five S&P 500 companies with overstated Street Earnings and an Unattractive-or-worse Stock Rating.
Kyle Guske II, Senior Investment Analyst, MBA
Street Earnings Understated for 30% of S&P 500 Companies in 1Q22
Five S&P 500 companies with understated Street Earnings and a Very Attractive Stock Rating.
Kyle Guske II, Senior Investment Analyst, MBA
Focus List Stocks: Short – Update 5/27/22
We’ve made the following update to our Focus List Stocks: Short Model Portfolio as of May 27, 2022.
Kyle Guske II, Senior Investment Analyst, MBA
Dividend Growth Stocks Model Portfolio: May 2022
Platinum Members and higher can access May's Dividend Growth Stocks Model Portfolio as of Friday, May 27.
Kyle Guske II, Senior Investment Analyst, MBA
S&P 500 & Sectors: Price-to-Economic Book Value Looks Cheaper But Still Not Cheap (Free, Abridged)
This report is an abridged and free version of S&P 500 & Sectors: Price-to-Economic Book Value Looks Cheaper But Still Not Cheap.
Kyle Guske II, Senior Investment Analyst, MBA
S&P 500 & Sectors: Price-to-Economic Book Value Looks Cheaper But Still Not Cheap
This report analyzes the trailing PEBV ratio for the S&P 500 and each of its sectors based on financial filings through the first quarter of 2022.
Kyle Guske II, Senior Investment Analyst, MBA
S&P 500 & Sectors: Free Cash Flow Is Up But Prices Are Down (Free, Abridged)
This report is an abridged and free version of S&P 500 & Sectors: Free Cash Flow Is Up But Prices Are Down.
Kyle Guske II, Senior Investment Analyst, MBA
S&P 500 & Sectors: Free Cash Flow Is Up But Prices Are Down
This report analyzes, free cash flow, enterprise value, and the trailing FCF yield for the S&P 500 and each of its sectors through 1Q22.
Kyle Guske II, Senior Investment Analyst, MBA
S&P 500 & Sectors: ROIC Hits New Peak, but Can It Last? (Free, Abridged)
This report is an abridged and free version of S&P 500 & Sectors: ROIC Hits New Peak, but Can It Last?.
Kyle Guske II, Senior Investment Analyst, MBA
S&P 500 & Sectors: ROIC Hits New Peak, but Can It Last?
This report presents the drivers of economic earnings for the S&P 500.
Kyle Guske II, Senior Investment Analyst, MBA
S&P 500 & Sectors: Beware the GAAP Gap in S&P 500 Earnings (Free, Abridged)
This report is an abridged and free version of S&P 500 & Sectors: Beware the GAAP Gap in S&P 500 Earnings.
Kyle Guske II, Senior Investment Analyst, MBA
S&P 500 & Sectors: Beware the GAAP Gap in S&P 500 Earnings
This report analyzes the Core Earnings and GAAP earnings of the S&P 500 and each of its sectors.
Kyle Guske II, Senior Investment Analyst, MBA
Featured Stock in May’s Safest Dividend Yields Model Portfolio
Seven new stocks make our Safest Dividend Yields Model Portfolio this month. Get a free look at one of the stocks in this month's portfolio.
Matt Shuler, Investment Analyst II
Vive la Hydrocarbons, Vive la Petrochemicals
While benefitting from higher oil prices brought on by Russian oil sanctions, this company offers investors much more than a short-term oil play.
Matt Shuler, Investment Analyst II
Tesla’s Fall & Better Stocks in Today’s Market: Bloomberg Quicktake
We joined Bloomberg Quicktake to discuss the combination of events driving Tesla’s (TSLA) stock price down and more.
Kyle Guske II, Senior Investment Analyst, MBA
The Music Is Ending For This Once High-Flyer
The company’s current fundamentals cannot justify the expectations baked into its stock price, especially given slowing growth and weak guidance.
Kyle Guske II, Senior Investment Analyst, MBA
Stick a Pin in It – This Growth Story Is Over
This company’s current fundamentals cannot justify the expectations baked into its stock price.
Kyle Guske II, Senior Investment Analyst, MBA
Podcast: Why These Once High-Flyers Are Still in The Danger Zone
CEO David Trainer sat down with Chuck Jaffe of Money Life to talk about our Danger Zone picks this week: Stick a Pin in It – This Growth Story Is Over and The Music Is Ending on This Once High-Flyer
Kyle Guske II, Senior Investment Analyst, MBA
Model Portfolio Performance Through 1Q22
Our Model Portfolios offer clients multiple strategies to outperform in good and bad markets. See the performance of these model portfolios through 1Q22.
Kyle Guske II, Senior Investment Analyst, MBA

















