Market Trends Stories
In the world of investing, it's often said that the sky's the limit. However, for Mesa Air Group (MESA), a player in the industrials sector, specifically in the airlines industry, the sky seems to be filled with turbulence. With a market capitalization of just $32.4M and a valuation market value of $0.77, the company's financial health appears to be in a precarious state.
over six months ago at Macroaxis By Vlad Skutelnik |
This article analyzes the recent hack of cryptocurrency exchange FixedFloat, in which an attacker drained $26 million worth of bitcoin and ethereum from the platform. We argue that despite claims of empowering users through a "non-custodial" model where they control their private keys, the hack demonstrates cryptocurrency exchanges remain unable to prevent breach of customer funds.
over six months ago at Macroaxis By Michael Smolkin |
As gold continues to glitter in the investment landscape, two names to keep an eye on this March are Loncor Gold (LONCF) and Paramount Gold Nevada (PZG). Operating in the metals and mining industry, these companies have seen some turbulence recently. Paramount Gold Nevada, with a market capitalization of $20.6M, has experienced a loss in EBITDA of $6M, and a decline in quarterly revenue growth by 55%.
over six months ago at Macroaxis By Aina Ster |
By examining the basic indicators between TAL Education and SunOpta, we can compare the impact of market volatility on the prices of both companies. This analysis will also allow us to check if combining these companies in one portfolio can help diversify away market risk. Pair trading strategies can also be utilized, such as matching a long position in SunOpta with a short position in TAL Education.
over six months ago at Macroaxis By Raphi Shpitalnik |
In the ever-evolving world of health care equipment and diagnostics, Neogen (NEOG) and Guardant Health (GH) stand as prominent players. However, recent financial indicators suggest that NEOG shareholders might be better off pivoting to GH for enhanced investment opportunities. Neogen's negative quarterly earnings growth of 86% and a diluted EPS of -0.16 indicate a less than ideal financial performance.
over six months ago at Macroaxis By Nico Santiago |
In the realm of Consumer Cyclical stocks, Vince Holding Corp, a prominent player in the Apparel, Accessories & Luxury Goods sector, offers a compelling study. The company, which trades on the NYSE, has experienced a tumultuous financial journey. As of the fiscal year ending in February, the company reported a loss in EBITDA of $10.6 million and a drop in quarterly revenue growth by 15%.
over six months ago at Macroaxis By Vlad Skutelnik |
The recent rally in the stocks of Neoleukin Therapeutics (NLTX) and CbdMD (YCBD) has caught the attention of many investors. CbdMD, a player in the Drug Manufacturers - Specialty & Generic industry, has shown a price percent change of 1.52, indicating a positive momentum. However, the company's financial health is a concern, with a free cash flow of $15.7M loss and selling and marketing expenses amounting to $15.4M.
over six months ago at Macroaxis By Rifka Kats |
By examining the fundamental indicators between Arrowmark Financial and Fluent, we can assess the impact of market volatility on the prices of both companies and determine if they can mitigate market risk when combined in one of your portfolios. Pair trading strategies can also be employed, such as matching a long position in Fluent with a short position in Arrowmark Financial. For more information, please refer to our pair correlation module.
over six months ago at Macroaxis By Rifka Kats |
By examining the fundamental indicators between Arrowmark Financial and Skillful, we can assess the impact of market volatility on both companies' stock prices. This analysis can also help determine if combining these companies in a single portfolio could potentially diversify away market risk. Pair trading strategies can also be employed, such as matching a long position in Skillful with a short position in Arrowmark Financial.
over six months ago at Macroaxis By Vlad Skutelnik |
In the dynamic landscape of real estate investment trusts (REITs), the Kelly Strategic ETF (RESI) stands out as a noteworthy option for investors looking to tap into the residential and apartment real estate sector. Managed by Kelly Strategic Management, this ETF is designed to mirror the performance of a rules-based index that includes U.S. and Canada-listed companies primarily engaged in the Residential and Apartment Real Estate Business. With an asset under management value of approximately **$972,000**, RESI offers a focused exposure to this niche market.
over six months ago at Macroaxis By Gabriel Shpitalnik |