Here we are at the beginning of March, and the stock market rally keeps going.
March, 2012 Archive
The fundamental outlook is positive, providing good potential for long-term investors, even though the low level cannot be sustained for long.
Bhargav explains how our mirrored investment account process works, and how Covestor differs from other asset management firms.
Some say manufacturing in America is going the way of the Edsel, but Nucor's (NUE) dedicated team of employees might take exception to that premise.
Pepsi is an example of a long term value.
The Opportunistic Arbitrage model gained a solid 21.4% in February versus 4.1% for the benchmark S&P 500.
If you wait for the robins, spring will be over.
The Net Payout Yields model gained a solid 4.9% in February versus 4.1% for the benchmark S&P 500.
Currently, short-term VIX futures are experiencing rolling costs (first to second month futures) greater than 10%, which is working in favor of my short iPath S&P 500 VIX short-term fund (VXX) position.
Earnings came out for Frontier Communications FTR on February 16, and the company reduced its dividend down to $0 .10 per share, helping them reduce debt, improve leverage and to put cash towards investing in their network.