With the earnings season looming, investors are scrambling to identify the best long-term stocks to buy. Hopes for a soft landing for the economy have largely faded away after the third consecutive 75-basis-point interest rate hike by the Federal Reserve. Meanwhile, other than the energy sector, recession fears have restrained forward-looking guidance for most companies. Many Wall Street names will likely find it difficult to outpace previous earnings reports. As a result of the gray clouds over the economy, the benchmark S&P 500 Index has lost over a quarter of its value year to date. While stocks can still decline from these levels, many of the best long-term stocks to buy are currently trading close to their 52-week lows. History has repeatedly shown that while the stock market goes down faster than it goes up, in the long-run broader indices go up more than they go down. Therefore, the recent market downturn represents an important buying opportunity for patient investors with a long-term horizon.
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ASML stock is down over 45% on the fear that there might be a decrease in semiconductor equipment spending.
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Apple Inc. is backing off plans to increase production of its new iPhones this year after an anticipated surge in demand failed to materialize, according to people familiar with the matter.
The Cupertino, California-based electronics maker has told suppliers to pull back from efforts to increase assembly of the iPhone 14 product family by as many as 6 million units in the second half of this year, said the people, asking not to be named as the plans are not public. Instead, the company will aim to produce 90 million handsets for the period, roughly the same level as the prior year and in line with Apple’s original forecast this summer, the people said.
Demand for higher-priced iPhone 14 Pro models is stronger than for the entry-level versions, according to some of the people. In at least one case, an Apple supplier is shifting production capacity from lower-priced iPhones to premium models, they added.
Apple shares fell as much as 3.3% in pre-market trading on Wednesday.
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ASML enjoys a monopoly position by being the only supplier of cutting-edge lithography systems. Read why we are happy to remain shareholders of ASML stock.
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Baron Funds, an asset management company, released its “Baron Opportunity Fund” second quarter 2022 investor letter. A copy of the same can be downloaded here. Baron Opportunity Fund (the “Fund”) fell sharply and significantly lagged the broader market during the second quarter and first half of the year. For the quarterly period, the Fund dropped […]
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ASML Holding N.V. (NASDAQ:ASML) specializes in making semiconductor equipment systems for the manufacturers of logic boards and memory chips. Headquartered in the Netherlands, the company has operations in the U.S., Europe, Japan, Taiwan, Singapore, South Korea, and multiple other countries. ASML is a well-rooted company in the semiconductor space, and its solid growth prospects could attract prospective investors. In the past five years, shares of this $188.2 billion company have surged 183.9%. However, the stock lost 44% in the past year due to industry headwinds like cost inflation and supply-chain bottlenecks.
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Someone with a lot of money to spend has taken a bearish stance on ASML Holding (NASDAQ: ASML ). And retail traders should know. We noticed this today when the big position showed up on publicly available options history that we track here at Benzinga. Whether this is an institution or just a wealthy individual, we don''t know. But when something this big happens with ASML, it often means somebody knows something is about to happen. So how do we know what this whale just did? Today, Benzinga ''s options scanner spotted 10 uncommon options trades for ASML Holding. This isn''t normal. The overall sentiment of these big-money traders is split between 40% bullish and 60%, bearish. Out of all of the special options we uncovered, … Full story available on Benzinga.com
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American Trust acquired a new position in shares of ASML Holding during the first quarter, according to the company in its most recent 13F filing with the Securities and…
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China sanctions are aiding Chinese equipment companies as HoH growth is 4x greater than non-Chinese equipment companies. Read more here.
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ASML has already had difficulties fulfilling orders to China, but further restrictions might be in the works.
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The Dutch firm continues to acknowledge mainland China’s important position in the global semiconductor industry, despite rising tensions between Beijing and Washington.
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ASML Holding N.V. (NASDAQ:ASML) and Applied Materials, Inc. (NASDAQ:AMAT) are the two semiconductors companies in the United States that have solid prospects and could appear interesting to prospective investors. This is because semiconductor companies in the U.S. have now started to strengthen their manufacturing capabilities to resolve the ongoing issue of chip shortages. Not only this, even the U.S. government has shown its seriousness toward this grave problem by introducing the CHIPS Act, which majorly focuses on boosting the manufacturing of semiconductor chips in the country. A pictorial representation of stakeholders’ views on ASML and AMAT is provided below. This chart is designed using the TipRanks'' Stock Comparison tool.
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ASML Holding NV (NASDAQ:NASDAQ:ASML) Citi 2022 Global Technology Conference September 8, 2022 9:00 AM ET Company Participants Skip Miller - VP, IR Worldwide Conference Call Participants…
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Applied Materials reported strong earnings, but a hawkish Federal Reserve was enough to send these cyclical stocks lower.
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ASML Holding N.V. (NASDAQ:ASML) marked $469.92 per share on Thursday, down from a previous closing price of $489.94. While ASML Holding N.V. has underperformed by -4.09%, investors are advised to look at stock chart patterns for technical insight. Within its last year performance, ASML fell by -44.20%, with highs and lows ranging from $895.93 to […]
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Futures Head For Another Monthly Drop, As Oil Slumps, Yields And Dollar Rise After three days of steep declines, S&P futures traded between modest gains and losses as global markets headed for the third consecutive weekly decline and another monthly drop on concerns that aggressive central bank tightening will push the global economy into a hard recession. At 7:15am ET, futures were up 0.2% and Nasdaq futures rose 0.7%, after trading both higher and lower earlier in the session. The dollar rose, Treasury yields jumped after another record CPI print in Europe, while the bizarre oil slump extended. In premarket trading, Bed Bath& Beyond plunged after the home-goods retailer filed a form to sell an unspecified number of shares. HP also fell 6.8% after the company reported quarterly sales that missed estimates and cut its annual profit forecast as demand for personal computers and printers slowed. Analysts noted that the PC maker will need a couple of quarters to correct its inventory. Here are other notable premarket movers: Robinhood (HOOD US) falls 2.3% as Barclays cut its rating to underweight from equal weight ChargePoint (CHPT US) shares rose as much as 2.1% in US premarket trading, after the electric vehicle charging network operator’s second-quarter revenue came in ahead of estimates, with analysts positive on the company’s gross margin performance amid supply-chain woes HP Enterprise (HPE US) narrowed its full-year adjusted earnings per share forecast and reported in-line revenue for the third quarter.
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The National Grid has drawn up emergency plans to reduce power demand from factories across Britain as the winter crisis bites. The post National Grid to pay factories for gas cuts in emergency plans to fight winter crisis appeared first on CityAM .
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The National Grid has drawn up emergency plans to reduce power demand from factories across Britain as the winter crisis bites.
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Over the four days, in September, experts will wargame what will happen if gas supplies are reduced which could trigger a need to ration electricity.
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SYRACUSE, N.Y. , Aug. 22, 2022 /PRNewswire/ -- Niagara Mohawk Power Corp. (the "Company"), an indirect subsidiary of National Grid USA ("National Grid"), announced that its Board of Directors has declared dividends for the period July 1, 2022 through Sept. 30, 2022 at the following rates for all outstanding series of its preferred stock: … Full story available on Benzinga.com
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Headlines.ng Experts in the electricity Industry have knocked the National Union of Electricity Employees (NUEE) for shutting down the National Grid between 16-17 August to push for their demands at the Transmission Company of Nigeria (TCN) Experts: Shutting down national grid act of sabotage CONTINUE READING» The post Experts: Shutting down national grid act of sabotage appeared first on Headlines Nigeria .
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Experts in the electricity Industry have knocked the National Union of Electricity Employees (NUEE) for shutting down the National Grid between 16-17 August to push for their demands at the Transmission Company of Nigeria (TCN) The decision of the union to deliberately shut down the national grid and even make viral videos while doing it is not only reckless but also a threat to national security and livelihoods, experts said. An expert on power infrastructure, Engr Oluwole Kayode, said no nation can allow such abuse of labour laws to happen without consequences, adding that the unions have chosen the wrong means of expressing their grievances. “What happened between Tuesday and Wednesday is unacceptable. The electricity workers union must change its ways and stay clear of tempering with crucial national infrastructure like the national grid from being used to labour politics,” he said Kayode also called on the Federal Government to prosecute all those found to have played a role in shutting down the national grid and make sure that they face justice through fair trial.
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Tribune Online National grid restored with over 4,000MW ― TCN The national grid has been restored with over 4,000MW aftermath of Wednesday’s strike action embarked by electricity workers in the Transmission Company of Nigeria (TCN). The striking workers under the aegis of the National Union of Electricity Employees (NUEE) had a shutdown of the national grid leading to a blackout across the country. As a […] National grid restored with over 4,000MW ― TCN Tribune Online
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THE electricity national grid yesterday began a slow recovery process hitting 3,772.60 Megawatts at 4pm yesterday following the suspension of industrial action embarked upon by workers of the Transmission Company of Nigeria, TCN. The post Electricity: National grid recovers to 3,700MW after shutdown appeared first on Vanguard News .
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(Reuters) – UK’s National Grid on Thursday signed contracts with British power generator Drax Group and nuclear generator EDF to extend the life of coal-fired power plants for the upcoming winter.
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Nationwide Power Outage As Striking Workers Shutdown National Grid Striking workers of the Transmission Company of Nigeria, TCN, Wednesday shutdown the electricity national grid causing blackouts across the country. The strike by the workers under the aegis of the National Union of Electricity Employees (NUEE) was triggered by the directive of the TCN Board […] The post Nationwide Power Outage As Striking Workers Shutdown National Grid appeared first on Economic Confidential .
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New Jersey, USA -- ( SBWIRE ) -- 08/17/2022 -- The latest study released on the Global Gold Mining Market by AMA Research evaluates market size, trend, and forecast to 2027. The Gold Mining market study covers significant research data and proofs to be a handy resource document for managers, analysts, industry experts and other key people to have ready-to-access and self-analyzed study to help understand market trends, growth drivers, opportunities and upcoming challenges and about the competitors. Key Players in This Report Include: Newmont Mining United States), Coeur Mining (United States), Freeport-McMoRan (United States), North Bloomfield Mining and Gravel Company (United States), Gold Reserve (United States), Golden Star Resources (Canada), NovaGold Resources (Canada), Royal Gold (United States), Homestake Mining Company (United States), Delta Consolidated Mining Company (United States), Dakota Territory Resource Corp [United States], Download Sample Report PDF (Including Full TOC, Table & Figures) @ https://www.advancemarketanalytics.com/sample-report/11351-global-gold-mining-market Definition: The global Gold Mining market is expected to witness high demand in the forecasted period due to an increase in demand for gold and an increase in the use of gold in various industries.
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Every little helps for cutting electricity and gas bills - and tech’s role in energy security
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Every little helps for cutting electricity and gas bills - and tech’s role in energy security
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National Grid (NGG) said on Tuesday it had located "robust stocks" of renewable natural gas and green hydrogen for potential use by customers in New York and Massachusetts, which it…
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WALTHAM, Mass. and BROOKLYN, N.Y., Aug. 16, 2022 /PRNewswire/ -- National Grid has located robust stocks of renewable natural gas (RNG) and hydrogen potentially available for its customers in Massachusetts and New York through the Company''s first-of-its kind Northeast clean energy request…
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LONDON (Reuters) – Britain’s National Grid has issued a capacity market notice for for 1800 local time on Thursday.
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All figures are in United States dollars and all production figures are on a 100%-basis and continuing operations basis, unless otherwise stated. This news release contains forward-looking information regarding Centerra Gold’s business and operations. See “Caution Regarding Forward-Looking Information” in Centerra Gold’s Management’s Discussion & Analysis for the three and six months ended June 30, 2022 (“MD&A”) included in this press release. All references in this document denoted with NG indicate a “specified financial measure” within the meaning of National Instrument 52-112 Non-GAAP and Other Financial Measures Disclosure of the Canadian Securities Administrators. None of these specified measures is a standardized financial measure under International Financial Reporting Standards (“IFRS”) and these measures might not be comparable to similar financial measures disclosed by other issuers. See “Non-GAAP and Other Financial Measures” in the MD&A included in this press release for a discussion of the specified financial measures used in this document and a reconciliation to the most directly comparable IFRS measure.
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Nigeria’s electricity grid suffered 222 partial and total system collapses from January 2010 to June 2022. An analysis of industry data – mostly from the Nigerian Electricity Regulatory Commission, NERC – from January 2010 to September 2021 showed that the grid suffered 216 system collapses. It added that information relating to the crashes was not […] The post Electricity Supply: Nigeria’s National Grid Suffered 222 System Collapses In 12 Years – Report appeared first on Liberty TV/Radio - Voice For All! Vision For All! - News, Politics, Security, Education, Sports… .
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National Grid''s (NGG) March sale of a 60% stake in its U.K. gas transmission business will be reviewed by the U.K
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Nigeria’s electricity grid suffered 222 partial and total system collapses from January 2010 to June 2022. According to Thisday, an analysis of industry data — mostly from the Nigerian Electricity
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LONDON (Reuters) – Britain has launched an investigation under new national security rules into the sale of a 60% stake in National Grid’s gas transmission and metering business to a consortium led by Australia’s Macquarie, the Telegraph reported on Sunday.
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Britain has launched an investigation under new national security rules into the sale of a 60% stake in National Grid''s gas transmission and metering business to a consortium led by Australia''s Macquarie, the Telegraph reported on Sunday.
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ClearBridge Investments, an investment management company, published its “ClearBridge Global Infrastructure Income Strategy” second quarter 2022 investor letter. A copy of the same can be downloaded here. In the second quarter, the fund outperformed the S&P Global Infrastructure Index. You can check the top 5 holdings of the fund to know its best picks in […]
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This leading manufacturer of chip-making equipment should continue to produce strong results, even in the face of a moderate recession.
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Supply constraints have forced the chipmaking equipment manufacturer to get creative.
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ASML Holding (ASML) has shed a third of its value in 2022 amid the broader tech stock sell-off. The sell-off might have presented an attractive entry level for long-term investors eyeing exposure in the semiconductor space. The Dutch company boasts of a strong strategic advantage as it is the only company that makes machines used to produce the next generation of microchips. Chip giants like Intel (INTC) and Taiwan Semiconductor Manufacturing (TSM) are investing billions of dollars in a bid to bolster their chip production capacities. In the video, we look at how the Dutch company is at the foundation of technological innovation and an attractive investment play.
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The semiconductor bellwether has been flying high this month.
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ASML Holding reported solid Q2 results, slightly beating the top and bottom line estimates. Click here for a full investment analysis of ASML stock.
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Even ASML''s less-advanced machines are in high demand, pushing up costs for lagging-edge players like TI.
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It''s good to have a monopoly on the most important technology in the world.
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ASML''s Q2 earnings report disappointed the media. But it didn''t seem to disappoint investors, Check out whether ASML stock is a dead cat bounce.
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ASML’s revenues were impacted by supply chain issues in 2021 and a facility fire in 2022. Read what other headwinds ASML faces in the short term.
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In recent trading session, ASML Holding N.V. (NASDAQ:ASML) saw 0.98 million shares changing hands at last check today with its beta currently measuring 1.25. Company’s recent per share price level of $526.00 trading at $11.58 or 2.25% at last check today assigns it a market valuation of $195.92B. That most recent trading price of ASML’s … ASML Holding N.V. (NASDAQ:ASML) Shares Surges 15.08% In A Week – But Can It Keep Rising? Read More »
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ASML posted another strong quarter of order growth with an €8.5 billion order intake. Check out why ASML stock remains one of my highest conviction bets.
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The best Vanguard funds for aggressive investors give us an effective way to participate in strategies set by professionals. These professionals have defined a clear desired return, depending on the level of risk taken. Aggressive investors are willing to face extra risk to generate higher returns, but high volatility is not suitable for all types of investors. Vanguard has many mutual funds to suit all types of risk appetite, and the best Vanguard funds for aggressive investors focus heavily into aspects like a particular sector or geographical region, stocks that have relatively high valuations, or bonds that may fluctuate due to changes in interest rates. 7 Best AI Stocks to Buy Now My picks for the best Vanguard funds for aggressive investors have the highest risk rating on a scale of 1-5. Here is what you should know about them. VADGX Vanguard Advice Select Dividend Growth Fund $23.47 VAGVX Vanguard Advice Select Global Value Fund $22.32 VAIGX Vanguard Advice Select International Growth Fund $14.28 VCMDX Vanguard Commodity Strategy Fund Admiral Shares $31.48 VTCAX Vanguard Communication Services Index Fund Admiral Shares $50.32 VCDAX Vanguard Consumer Discretionary Index Fund Admiral Shares $128.50 VTMGX Vanguard Developed Markets Index Fund Admiral Shares $13.25 Vanguard Advice Select Dividend Growth Fund (VADGX) Expense Ratio: 0.45%, or $45 per $10,000 invested The Vanguard Advice Select Dividend Growth Fund (NASDAQ: VADGX ) has an active management style and invests in mid- and large-capitalization with a dividend rate that is expected to increase over time.
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Related Stocks: ASML , HRB , KR , ODFL , EQT ,
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But supply issues are forcing the lithography system giant to defer revenue past 2022 While sales are starting to wane for certain chips like GPUs, Dutch semiconductor equipment supplier ASML is seeing extraordinary demand for its chipmaking machines, even as the company deals with its own supply constraints that are delaying shipments. …
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The post ASML Stock Drops. The Chip Supplier Slashes Sales Outlook Amid Delays. appeared on BitcoinEthereumNews.com . Text size ASML’s machines are key to the global chipmaking industry. Courtesy Bart van Overbeeke/ASML ASML beat expectations for second-quarter earnings, but shares in the critical supplier of manufacturing equipment…
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ASML Holding N.V. (NASDAQ:ASML) traded at $514.26 at last check on Wednesday, July 20, made an upward move of 3.19% on its previous day’s price. Looking at the stock we see that its previous close was $498.36 and the beta (5Y monthly) reads 0.98 with the day’s price range being $484.05 – $500.9099. The company … ASML Holding N.V. (NASDAQ:ASML) Slides 3.19 Percent In Recent Trade, What Can We Expect Next? Read More »
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(Wednesday Market Open) The European Commission (EU) has asked its 27 member nations to reduce their natural gas consumption by 15% between August and March 2023. The announcement turned U.S. equity index futures from positive to negative. Potential Market Movers Russian energy giant Gazprom said it cannot fulfill gas contracts with the EU, which prompted a swift response from the commission. Russia appears to be striking back against EU sanctions by tightening gas exports. The commission said that Russian President Vladimir Putin is “blackmailing” EU members and “using energy as a weapon.” It’s difficult to know how feasible the EU’s move will be as the group of nations are already experiencing energy shortages that have prompted the reopening of old coal plants and new construction on nuclear facilities. Additionally, Europe is experiencing a record heat wave which underscores the urgency of energy issues now and in a few months when the region could face a repeat of last year’s heating struggle.
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ASML could lose up to $2 billion in revenue a year if sales of DUV systems to China are restricted, analyst says.
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ASML Holding (NASDAQ: ASML ) is set to give its latest quarterly earnings report on Wednesday, 2022-07-20. Here''s what investors need to know before the announcement. Analysts estimate that ASML Holding will report an earnings per share (EPS) of $3.81. ASML Holding bulls will hope to hear the company to announce they''ve not only beaten that estimate, but also to provide positive guidance, or forecasted growth, for … Full story available on Benzinga.com
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