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"title": "EVP - Chief People Officer Heidi Capozzi Sells 688 Shares of McDonald's Corp",
"description": "On October 2, 2023, Heidi Capozzi, the Executive Vice President and Chief People Officer of McDonald's Corp (MCD), sold 688 shares of the company. This mov",
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"snippet": "On October 2, 2023, Heidi Capozzi, the Executive Vice President and Chief People Officer of McDonald's Corp ( MCD, Financial), sold 688 shares of the company. T...",
"url": "https://www.gurufocus.com/news/2098045/evp-chief-people-officer-heidi-capozzi-sells-688-shares-of-mcdonalds-corp",
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"symbol": "BA",
"name": "The Boeing Company",
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"highlight": "Prior to joining McDonald's, Capozzi spent more than two decades at <em>The</em> <em>Boeing</em> <em>Company</em>, where she served as the Senior Vice President of Human Resources. At McDonald's, Capozzi is responsible for the company's global human resources operations and strategies.",
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"title": "HR Analytics Market to cross $11 Bn by 2032, Says Global Market Insights Inc.",
"description": "Major HR analytics market participants include SAP SE., Infor, Cegid, IBM Corp., Visier, Inc., Konor, Oracle Corp., Sage Software Solutions Pvt. Ltd.,...",
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"snippet": "Selbyville, Delaware, Oct. 03, 2023 (GLOBE NEWSWIRE) --\n\n\n\nThe HR analytics market valuation is expected to exceed USD 11 billion by 2032, as reported in a rese...",
"url": "https://www.globenewswire.com/news-release/2023/10/03/2754236/0/en/HR-Analytics-Market-to-cross-11-Bn-by-2032-Says-Global-Market-Insights-Inc.html",
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"title": "Global Impact Modifiers Market Size to Reach USD 7,183.59 Million in 2032 | Emergen Research",
"description": "Growth of the packaging industry and increasing demand for impact-resistant plastics are some key factirs driving global impact modifiers market growth ...",
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"snippet": "Vancouver, Oct. 03, 2023 (GLOBE NEWSWIRE) -- The global impact modifiers market size is expected to reach USD 7,183.59 Million at a steady CAGR of 5.1% in 2032,...",
"url": "https://www.globenewswire.com/news-release/2023/10/03/2753825/0/en/Global-Impact-Modifiers-Market-Size-to-Reach-USD-7-183-59-Million-in-2032-Emergen-Research.html",
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"highlight": "Some prominent players operating in the impact modifiers market are:\n\nArkema SA\n\nFormosa Plastics Corporation\n\n<em>Wacker</em> <em>Chemie</em> <em>AG</em>\n\nDow Inc.\n\nLG Chem Ltd.\n\nMitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\nKaneka Corporation\n\nShandong Novista Chemicals Co. Ltd.",
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"highlight": "Direct Order Can Be Placed Through This Link [Exclusive Copy] @ https://www.emergenresearch.com/select-license/588\n\nSome Key Highlights in the Report\n\nIn January 2021, <em>Dow</em> <em>Inc</em>. entered into a partnership with Callaway Golf to use Dow’s PARALOID impact modifiers for performance enhancement of new balls manufactured by Callaway Golf.",
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"highlight": "., Canada, Mexico, Germany, UK, France, Italy, Spain, Sweden, BENELUX, China, India, Japan, South Korea, Brazil, Saudi Arabia, UAE, South Africa, Israel Key companies profiled Arkema SA, Formosa Plastics Corporation, Wacker Chemie AG, <em>Dow</em> <em>Inc</em>., LG Chem Ltd., Mitsubishi Chemical Corporation, Lanxess AG, Mitsui Chemicals, Kaneka Corporation, and Shandong",
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"highlight": "Some prominent players operating in the impact modifiers market are:\n\nArkema SA\n\nFormosa Plastics Corporation\n\nWacker Chemie AG\n\n<em>Dow</em> <em>Inc</em>.\n\nLG Chem Ltd.\n\nMitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\nKaneka Corporation\n\nShandong Novista Chemicals Co. Ltd.",
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"highlight": "Direct Order Can Be Placed Through This Link [Exclusive Copy] @ https://www.emergenresearch.com/select-license/588\n\nSome Key Highlights in the Report\n\nIn January 2021, <em>Dow</em> <em>Inc</em>. entered into a partnership with Callaway Golf to use Dow’s PARALOID impact modifiers for performance enhancement of new balls manufactured by Callaway Golf.",
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"highlight": "., Canada, Mexico, Germany, UK, France, Italy, Spain, Sweden, BENELUX, China, India, Japan, South Korea, Brazil, Saudi Arabia, UAE, South Africa, Israel Key companies profiled Arkema SA, Formosa Plastics Corporation, <em>Wacker</em> <em>Chemie</em> <em>AG</em>, Dow Inc., LG Chem Ltd., Mitsubishi Chemical Corporation, Lanxess AG, Mitsui Chemicals, Kaneka Corporation, and Shandong",
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"highlight": "Some prominent players operating in the impact modifiers market are:\n\nArkema SA\n\nFormosa Plastics Corporation\n\n<em>Wacker</em> <em>Chemie</em> <em>AG</em>\n\nDow Inc.\n\nLG Chem Ltd.\n\nMitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\nKaneka Corporation\n\nShandong Novista Chemicals Co. Ltd.",
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"highlight": "., Canada, Mexico, Germany, UK, France, Italy, Spain, Sweden, BENELUX, China, India, Japan, South Korea, Brazil, Saudi Arabia, UAE, South Africa, Israel Key companies profiled Arkema SA, Formosa Plastics Corporation, <em>Wacker</em> <em>Chemie</em> <em>AG</em>, Dow Inc., LG Chem Ltd., Mitsubishi Chemical Corporation, Lanxess AG, Mitsui Chemicals, Kaneka Corporation, and Shandong",
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"highlight": "Some prominent players operating in the impact modifiers market are:\n\nArkema SA\n\nFormosa Plastics Corporation\n\n<em>Wacker</em> <em>Chemie</em> <em>AG</em>\n\nDow Inc.\n\nLG Chem Ltd.\n\nMitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\nKaneka Corporation\n\nShandong Novista Chemicals Co. Ltd.",
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"highlight": "., Mitsubishi Chemical Corporation, Lanxess AG, Mitsui Chemicals, <em>Kaneka</em> <em>Corporation</em>, and Shandong Novista Chemicals Co. Ltd.",
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"highlight": "Mitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\n<em>Kaneka</em> <em>Corporation</em>\n\nShandong Novista Chemicals Co. Ltd.\n\nStrategic Development\n\nIn January 2021, Dow Inc. entered into a partnership with Callaway Golf to use Dow’s PARALOID impact modifiers for performance enhancement of new balls manufactured by Callaway Golf.",
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"highlight": "., Canada, Mexico, Germany, UK, France, Italy, Spain, Sweden, BENELUX, China, India, Japan, South Korea, Brazil, Saudi Arabia, UAE, South Africa, Israel Key companies profiled Arkema SA, Formosa Plastics Corporation, Wacker Chemie AG, <em>Dow</em> <em>Inc</em>., LG Chem Ltd., Mitsubishi Chemical Corporation, Lanxess AG, Mitsui Chemicals, Kaneka Corporation, and Shandong",
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"highlight": "Some prominent players operating in the impact modifiers market are:\n\nArkema SA\n\nFormosa Plastics Corporation\n\nWacker Chemie AG\n\n<em>Dow</em> <em>Inc</em>.\n\nLG Chem Ltd.\n\nMitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\nKaneka Corporation\n\nShandong Novista Chemicals Co. Ltd.",
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"highlight": "Strategic Development\n\nIn January 2021, <em>Dow</em> <em>Inc</em>. entered into a partnership with Callaway Golf to use Dow’s PARALOID impact modifiers for performance enhancement of new balls manufactured by Callaway Golf.",
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"highlight": "Direct Order Can Be Placed Through This Link [Exclusive Copy] @ https://www.emergenresearch.com/select-license/588\n\nSome Key Highlights in the Report\n\nIn January 2021, <em>Dow</em> <em>Inc</em>. entered into a partnership with Callaway Golf to use Dow’s PARALOID impact modifiers for performance enhancement of new balls manufactured by Callaway Golf.",
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"highlights": [
{
"highlight": "., Canada, Mexico, Germany, UK, France, Italy, Spain, Sweden, BENELUX, China, India, Japan, South Korea, Brazil, Saudi Arabia, UAE, South Africa, Israel Key companies profiled Arkema SA, <em>Formosa</em> <em>Plastics</em> <em>Corporation</em>, Wacker Chemie AG, Dow Inc., LG Chem Ltd., Mitsubishi Chemical Corporation, Lanxess AG, Mitsui Chemicals, Kaneka Corporation, and Shandong",
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"highlight": "Some prominent players operating in the impact modifiers market are:\n\nArkema SA\n\n<em>Formosa</em> <em>Plastics</em> <em>Corporation</em>\n\nWacker Chemie AG\n\nDow Inc.\n\nLG Chem Ltd.\n\nMitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\nKaneka Corporation\n\nShandong Novista Chemicals Co. Ltd.",
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"highlight": "., Mitsubishi Chemical Corporation, Lanxess AG, Mitsui Chemicals, <em>Kaneka</em> <em>Corporation</em>, and Shandong Novista Chemicals Co. Ltd.",
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"highlight": "Mitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\n<em>Kaneka</em> <em>Corporation</em>\n\nShandong Novista Chemicals Co. Ltd.\n\nStrategic Development\n\nIn January 2021, Dow Inc. entered into a partnership with Callaway Golf to use Dow’s PARALOID impact modifiers for performance enhancement of new balls manufactured by Callaway Golf.",
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"highlight": "., <em>LG</em> <em>Chem</em> <em>Ltd</em>., Mitsubishi Chemical Corporation, Lanxess AG, Mitsui Chemicals, Kaneka Corporation, and Shandong Novista Chemicals Co. Ltd.",
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"highlight": "<em>LG</em> <em>Chem</em> <em>Ltd</em>.\n\nMitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\nKaneka Corporation\n\nShandong Novista Chemicals Co. Ltd.\n\nStrategic Development\n\nIn January 2021, Dow Inc. entered into a partnership with Callaway Golf to use Dow’s PARALOID impact modifiers for performance enhancement of new balls manufactured by Callaway Golf.",
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"highlight": "., <em>LG</em> <em>Chem</em> <em>Ltd</em>., Mitsubishi Chemical Corporation, Lanxess AG, Mitsui Chemicals, Kaneka Corporation, and Shandong Novista Chemicals Co. Ltd.",
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"highlight": "<em>LG</em> <em>Chem</em> <em>Ltd</em>.\n\nMitsubishi Chemical Corporation\n\nLanxess AG\n\nMitsui Chemicals\n\nKaneka Corporation\n\nShandong Novista Chemicals Co. Ltd.\n\nStrategic Development\n\nIn January 2021, Dow Inc. entered into a partnership with Callaway Golf to use Dow’s PARALOID impact modifiers for performance enhancement of new balls manufactured by Callaway Golf.",
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"title": "TSMC: Near-Term Downside Is Highly Probable (Rating Downgrade) (NYSE:TSM)",
"description": "TSMC's DCF analysis shows impressive upside potential, but AI chip demand may limit growth. Click here to read an analysis on TSMC stock now.",
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"snippet": "Annabelle Chih\n\nThesis\n\nIn a time characterized by both technological innovation and economic uncertainty, Taiwan Semiconductor Manufacturing Company Limited (N...",
"url": "https://seekingalpha.com/article/4638808-tsmc-near-term-downside-is-highly-probable-rating-downgrade",
"image_url": "https://static.seekingalpha.com/cdn/s3/uploads/getty_images/1473841497/image_1473841497.jpg?io=getty-c-w1536",
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"name": "Taiwan Semiconductor Manufacturing Company Limited",
"exchange": null,
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"highlights": [
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"highlight": "Annabelle Chih\n\nThesis\n\nIn a time characterized by both technological innovation and economic uncertainty, <em>Taiwan</em> <em>Semiconductor</em> <em>Manufacturing</em> <em>Company</em> <em>Limited</em> (<em>NYSE:TSM</em>) stands as a pivotal player at the crossroads of opportunity and challenge.",
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"highlight": "TSMC: Near-Term Downside Is Highly Probable (Rating Downgrade) (<em>NYSE:TSM</em>)",
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"title": "XAR: Not The Best Bet On A $175 Billion Defense Market (NYSEARCA:XAR)",
"description": "There has been a surge in defense contract awards as during 2023 concluded. Does that make SPDR® S&P Aerospace & Defense ETF a good buy? Click for my take on XAR.",
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"snippet": "guvendemir\n\nOn the 30th of September, the financial year 2023 ended for the Department of Defense. As usual, the conclusion of the financial year also brought a...",
"url": "https://seekingalpha.com/article/4638807-xar-not-best-bet-on-175-billion-defense-market",
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"published_at": "2023-10-03T22:21:56.000000Z",
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"entities": [
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"exchange_long": null,
"country": "us",
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"industry": "Industrials",
"match_score": 18.469797,
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"highlights": [
{
"highlight": "Ticker Weight Covered by The Aerospace Forum NORTHROP GRUMMAN CORP NOC 4.5% ✅ GENERAL DYNAMICS CORP GD 4.4% ✅ TEXTRON INC TXT 4.4% ✅ L3HARRIS TECHNOLOGIES INC LHX 4.4% ✅ BWX TECHNOLOGIES INC BWXT 4.4% HEICO CORP HEI 4.2% ✅ WOODWARD INC WWD 4.2% ✅ CURTISS WRIGHT CORP CW 4.2% ✅ LOCKHEED MARTIN CORP LMT 4.2% ✅ HUNTINGTON INGALLS INDUSTRIE HII 4.1% ✅ <em>HOWMET</em>",
"sentiment": 0.4278,
"highlighted_in": "main_text"
},
{
"highlight": "<em>AEROSPACE</em> <em>INC</em> HWM 4.1% ✅ TRANSDIGM GROUP INC TDG 4.1% ✅ HEXCEL CORP HXL 4.0% ✅ AXON ENTERPRISE INC AXON 3.9% SPIRIT AEROSYSTEMS HOLD CL A SPR 3.8% ✅ BOEING CO/THE BA 3.8% ✅ RTX CORP RTX 3.7% ✅ MERCURY SYSTEMS INC MRCY 3.3% ✅ VIRGIN GALACTIC HOLDINGS INC SPCE 3.3% ARCHER AVIATION INC A ACHR 3.1% ✅ ROCKET LAB USA INC RKLB 3.1% ✅ AEROVIRONMENT INC AVAV",
"sentiment": 0.347,
"highlighted_in": "main_text"
}
]
},
{
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"name": "AAR Corp.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Industrials",
"match_score": 11.629864,
"sentiment_score": 0.50985,
"highlights": [
{
"highlight": "3.9% SPIRIT AEROSYSTEMS HOLD CL A SPR 3.8% ✅ BOEING CO/THE BA 3.8% ✅ RTX CORP RTX 3.7% ✅ MERCURY SYSTEMS INC MRCY 3.3% ✅ VIRGIN GALACTIC HOLDINGS INC SPCE 3.3% ARCHER AVIATION INC A ACHR 3.1% ✅ ROCKET LAB USA INC RKLB 3.1% ✅ AEROVIRONMENT INC AVAV 2.8% ✅ MOOG INC CLASS A MOG.A 2.8% ✅ KRATOS DEFENSE + SECURITY KTOS 2.2% ✅ TRIUMPH GROUP INC TGI 2.0% ✅ <em>AAR</em>",
"sentiment": 0.8917,
"highlighted_in": "main_text"
},
{
"highlight": "<em>CORP</em> AIR 1.9% ✅ LEONARDO DRS INC DRS 1.5% ✅ AERSALE CORP ASLE 1.2% ✅ DUCOMMUN INC DCO 0.8% ✅ V2X INC VVX 0.6% ✅ KAMAN CORP KAMN 0.4% NATIONAL PRESTO INDS INC NPK 0.3% STATE STREET INSTITUTIONAL LIQ - 0.1% Total 100.0% 87.6% Click to enlarge\n\nI looked at the holdings of the SPDR® S&P Aerospace & Defense ETF (NYSEARCA:XAR), and it provides a fairly diversified",
"sentiment": 0.128,
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]
},
{
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"name": "BWX Technologies, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Industrials",
"match_score": 16.057716,
"sentiment_score": 0.4278,
"highlights": [
{
"highlight": "Name Ticker Weight Covered by The Aerospace Forum NORTHROP GRUMMAN CORP NOC 4.5% ✅ GENERAL DYNAMICS CORP GD 4.4% ✅ TEXTRON INC TXT 4.4% ✅ L3HARRIS TECHNOLOGIES INC LHX 4.4% ✅ <em>BWX</em> <em>TECHNOLOGIES</em> <em>INC</em> BWXT 4.4% HEICO CORP HEI 4.2% ✅ WOODWARD INC WWD 4.2% ✅ CURTISS WRIGHT CORP CW 4.2% ✅ LOCKHEED MARTIN CORP LMT 4.2% ✅ HUNTINGTON INGALLS INDUSTRIE HII 4.1%",
"sentiment": 0.4278,
"highlighted_in": "main_text"
}
]
},
{
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"name": "Virgin Galactic Holdings, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Industrials",
"match_score": 19.586075,
"sentiment_score": 0.59755,
"highlights": [
{
"highlight": "INC WWD 4.2% ✅ CURTISS WRIGHT CORP CW 4.2% ✅ LOCKHEED MARTIN CORP LMT 4.2% ✅ HUNTINGTON INGALLS INDUSTRIE HII 4.1% ✅ HOWMET AEROSPACE INC HWM 4.1% ✅ TRANSDIGM GROUP INC TDG 4.1% ✅ HEXCEL CORP HXL 4.0% ✅ AXON ENTERPRISE INC AXON 3.9% SPIRIT AEROSYSTEMS HOLD CL A SPR 3.8% ✅ BOEING CO/THE BA 3.8% ✅ RTX CORP RTX 3.7% ✅ MERCURY SYSTEMS INC MRCY 3.3% ✅ <em>VIRGIN</em>",
"sentiment": 0.347,
"highlighted_in": "main_text"
},
{
"highlight": "<em>GALACTIC</em> <em>HOLDINGS</em> <em>INC</em> SPCE 3.3% ARCHER AVIATION INC A ACHR 3.1% ✅ ROCKET LAB USA INC RKLB 3.1% ✅ AEROVIRONMENT INC AVAV 2.8% ✅ MOOG INC CLASS A MOG.A 2.8% ✅ KRATOS DEFENSE + SECURITY KTOS 2.2% ✅ TRIUMPH GROUP INC TGI 2.0% ✅ AAR CORP AIR 1.9% ✅ LEONARDO DRS INC DRS 1.5% ✅ AERSALE CORP ASLE 1.2% ✅ DUCOMMUN INC DCO 0.8% ✅ V2X INC VVX 0.6% ✅ KAMAN CORP",
"sentiment": 0.8481,
"highlighted_in": "main_text"
}
]
},
{
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"name": "Triumph Group, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Industrials",
"match_score": 6.761225,
"sentiment_score": 0.4531,
"highlights": [
{
"highlight": "✅ AXON ENTERPRISE INC AXON 3.9% SPIRIT AEROSYSTEMS HOLD CL A SPR 3.8% ✅ BOEING CO/THE BA 3.8% ✅ RTX CORP RTX 3.7% ✅ MERCURY SYSTEMS INC MRCY 3.3% ✅ VIRGIN GALACTIC HOLDINGS INC SPCE 3.3% ARCHER AVIATION INC A ACHR 3.1% ✅ ROCKET LAB USA INC RKLB 3.1% ✅ AEROVIRONMENT INC AVAV 2.8% ✅ MOOG INC CLASS A MOG.A 2.8% ✅ KRATOS DEFENSE + SECURITY KTOS 2.2% ✅ <em>TRIUMPH</em>",
"sentiment": 0.7782,
"highlighted_in": "main_text"
},
{
"highlight": "<em>GROUP</em> <em>INC</em> TGI 2.0% ✅ AAR CORP AIR 1.9% ✅ LEONARDO DRS INC DRS 1.5% ✅ AERSALE CORP ASLE 1.2% ✅ DUCOMMUN INC DCO 0.8% ✅ V2X INC VVX 0.6% ✅ KAMAN CORP KAMN 0.4% NATIONAL PRESTO INDS INC NPK 0.3% STATE STREET INSTITUTIONAL LIQ - 0.1% Total 100.0% 87.6% Click to enlarge\n\nI looked at the holdings of the SPDR® S&P Aerospace & Defense ETF (NYSEARCA:XAR), and",
"sentiment": 0.128,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "LHX",
"name": "L3Harris Technologies, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Industrials",
"match_score": 15.096001,
"sentiment_score": 0.4278,
"highlights": [
{
"highlight": "Name Ticker Weight Covered by The Aerospace Forum NORTHROP GRUMMAN CORP NOC 4.5% ✅ GENERAL DYNAMICS CORP GD 4.4% ✅ TEXTRON INC TXT 4.4% ✅ <em>L3HARRIS</em> <em>TECHNOLOGIES</em> <em>INC</em> LHX 4.4% ✅ BWX TECHNOLOGIES INC BWXT 4.4% HEICO CORP HEI 4.2% ✅ WOODWARD INC WWD 4.2% ✅ CURTISS WRIGHT CORP CW 4.2% ✅ LOCKHEED MARTIN CORP LMT 4.2% ✅ HUNTINGTON INGALLS INDUSTRIE HII 4.1%",
"sentiment": 0.4278,
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}
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},
{
"symbol": "TXT",
"name": "Textron Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Industrials",
"match_score": 11.487186,
"sentiment_score": 0.4278,
"highlights": [
{
"highlight": "Name Ticker Weight Covered by The Aerospace Forum NORTHROP GRUMMAN CORP NOC 4.5% ✅ GENERAL DYNAMICS CORP GD 4.4% ✅ <em>TEXTRON</em> <em>INC</em> TXT 4.4% ✅ L3HARRIS TECHNOLOGIES INC LHX 4.4% ✅ BWX TECHNOLOGIES INC BWXT 4.4% HEICO CORP HEI 4.2% ✅ WOODWARD INC WWD 4.2% ✅ CURTISS WRIGHT CORP CW 4.2% ✅ LOCKHEED MARTIN CORP LMT 4.2% ✅ HUNTINGTON INGALLS INDUSTRIE HII 4.1%",
"sentiment": 0.4278,
"highlighted_in": "main_text"
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},
{
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"name": "Moog Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Industrials",
"match_score": 11.427403,
"sentiment_score": 0.59755,
"highlights": [
{
"highlight": "INC HWM 4.1% ✅ TRANSDIGM GROUP INC TDG 4.1% ✅ HEXCEL CORP HXL 4.0% ✅ AXON ENTERPRISE INC AXON 3.9% SPIRIT AEROSYSTEMS HOLD CL A SPR 3.8% ✅ BOEING CO/THE BA 3.8% ✅ RTX CORP RTX 3.7% ✅ MERCURY SYSTEMS INC MRCY 3.3% ✅ VIRGIN GALACTIC HOLDINGS INC SPCE 3.3% ARCHER AVIATION INC A ACHR 3.1% ✅ ROCKET LAB USA INC RKLB 3.1% ✅ AEROVIRONMENT INC AVAV 2.8% ✅ <em>MOOG</em>",
"sentiment": 0.347,
"highlighted_in": "main_text"
},
{
"highlight": "<em>INC</em> CLASS A MOG.A 2.8% ✅ KRATOS DEFENSE + SECURITY KTOS 2.2% ✅ TRIUMPH GROUP INC TGI 2.0% ✅ AAR CORP AIR 1.9% ✅ LEONARDO DRS INC DRS 1.5% ✅ AERSALE CORP ASLE 1.2% ✅ DUCOMMUN INC DCO 0.8% ✅ V2X INC VVX 0.6% ✅ KAMAN CORP KAMN 0.4% NATIONAL PRESTO INDS INC NPK 0.3% STATE STREET INSTITUTIONAL LIQ - 0.1% Total 100.0% 87.6% Click to enlarge\n\nI looked at",
"sentiment": 0.8481,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "MOG-B",
"name": "Moog Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Industrials",
"match_score": 11.426119,
"sentiment_score": 0.59755,
"highlights": [
{
"highlight": "INC HWM 4.1% ✅ TRANSDIGM GROUP INC TDG 4.1% ✅ HEXCEL CORP HXL 4.0% ✅ AXON ENTERPRISE INC AXON 3.9% SPIRIT AEROSYSTEMS HOLD CL A SPR 3.8% ✅ BOEING CO/THE BA 3.8% ✅ RTX CORP RTX 3.7% ✅ MERCURY SYSTEMS INC MRCY 3.3% ✅ VIRGIN GALACTIC HOLDINGS INC SPCE 3.3% ARCHER AVIATION INC A ACHR 3.1% ✅ ROCKET LAB USA INC RKLB 3.1% ✅ AEROVIRONMENT INC AVAV 2.8% ✅ <em>MOOG</em>",
"sentiment": 0.347,
"highlighted_in": "main_text"
},
{
"highlight": "<em>INC</em> CLASS A MOG.A 2.8% ✅ KRATOS DEFENSE + SECURITY KTOS 2.2% ✅ TRIUMPH GROUP INC TGI 2.0% ✅ AAR CORP AIR 1.9% ✅ LEONARDO DRS INC DRS 1.5% ✅ AERSALE CORP ASLE 1.2% ✅ DUCOMMUN INC DCO 0.8% ✅ V2X INC VVX 0.6% ✅ KAMAN CORP KAMN 0.4% NATIONAL PRESTO INDS INC NPK 0.3% STATE STREET INSTITUTIONAL LIQ - 0.1% Total 100.0% 87.6% Click to enlarge\n\nI looked at",
"sentiment": 0.8481,
"highlighted_in": "main_text"
}
]
}
],
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{
"uuid": "b563f471-7129-426d-97c5-3e4a27a3cc34",
"title": "Global Cyclohexanone Market Driven by Growing Demand in Caprolactam Production",
"description": "/PRNewswire/ -- The",
"keywords": "Research and Markets",
"snippet": "DUBLIN, Oct. 3, 2023 /PRNewswire/ -- The \"Cyclohexanone - Global Strategic Business Report\" report has been added to ResearchAndMarkets.com's offering.\n\nThe glo...",
"url": "https://www.prnewswire.com/news-releases/global-cyclohexanone-market-driven-by-growing-demand-in-caprolactam-production-301946037.html",
"image_url": "https://mma.prnewswire.com/media/539438/Research_and_Markets_Logo.jpg?p=facebook",
"language": "en",
"published_at": "2023-10-03T22:15:00.000000Z",
"source": "prnewswire.com",
"relevance_score": null,
"entities": [
{
"symbol": "ASIX",
"name": "AdvanSix Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Basic Materials",
"match_score": 18.963568,
"sentiment_score": 0.5719,
"highlights": [
{
"highlight": "Limited, <em>AdvanSix</em>, <em>Inc</em>., Arihant Chemical, BariteWorld, ALPHA CHEMIKA, CEPSA (Compania Espanola de Petroleos SAU), Corechem Inc., and AquaPhoenix Scientific, Inc., among others.\n\nEconomic Outlook and Market Landscape\n\nThe global economic outlook is showing signs of improvement, with growth recovery expected in the near term.",
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}
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{
"uuid": "8733469d-9539-4a55-84a1-096be8fa6991",
"title": "SMIRNOFF AND LATIN URBAN ICON WISIN TEMPT MUSIC LOVERS AND SPICY ENTHUSIASTS EVERYWHERE TO 'BAILA TO THE TASTE OF SMIRNOFF'",
"description": "/PRNewswire/ -- In celebration of the power of the collective created through a medley of cultures and traditions, Smirnoff proves \"Rhythm is a We Thing\" with...",
"keywords": "Smirnoff",
"snippet": "Ahead of his highly-anticipated solo album dropping this fall, Wisin and the makers of the World's No. 1 Vodka and Smirnoff ICE, the OG of flavored malt beverag...",
"url": "https://www.prnewswire.com/news-releases/smirnoff-and-latin-urban-icon-wisin-tempt-music-lovers-and-spicy-enthusiasts-everywhere-to-baila-to-the-taste-of-smirnoff-301946384.html",
"image_url": "https://mma.prnewswire.com/media/2238151/Smirnoff_Delicious_Flavor__Rhythmic_Taste.jpg?p=facebook",
"language": "en",
"published_at": "2023-10-03T22:07:00.000000Z",
"source": "prnewswire.com",
"relevance_score": null,
"entities": [
{
"symbol": "DEO",
"name": "Diageo plc",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 26.682053,
"sentiment_score": 0.262825,
"highlights": [
{
"highlight": "Sponsor-<em>Diageo</em> Americas, Inc., New York, NY; <em>Diageo</em> Beer Company USA, New York, NY.",
"sentiment": 0,
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{
"highlight": "About <em>Diageo</em> North America\n\n<em>Diageo</em> is a global leader in beverage alcohol with an outstanding collection of brands including Johnnie Walker, Crown Royal, Bulleit and Buchanan's whiskies, Smirnoff, Cîroc and Ketel One vodkas, Casamigos, DeLeon and Don Julio tequilas, Captain Morgan, Baileys, Tanqueray and Guinness.",
"sentiment": 0.6124,
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},
{
"highlight": "<em>Diageo</em> is listed on both the New York Stock Exchange (<em>NYSE</em>: <em>DEO</em>) and the London Stock Exchange (LSE: DGE) and their products are sold in more than 180 countries around the world. For more information about <em>Diageo</em>, their people, brands, and performance, visit www.diageo.com.",
"sentiment": 0,
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{
"highlight": "Follow on Twitter and Instagram for news and information about <em>Diageo</em> North America: @Diageo_NA.\n\nMEDIA CONTACTS:\n\nNicole Anastasi\n\n<em>DIAGEO</em>\n\n[email protected]\n\n704-796-9992\n\nTAYLOR\n\n[email protected]\n\nSOURCE Smirnoff\n\n× Modal title\n\nPRN Top Stories Newsletters Sign up to get PRN’s top stories and curated news delivered to your inbox weekly!",
"sentiment": 0.4389,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "RVI",
"name": "Retail Value Inc.",
"exchange": null,
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"country": "us",
"type": "equity",
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"match_score": 8.751967,
"sentiment_score": 0.2732,
"highlights": [
{
"highlight": "Prize is inclusion in video w/o attribution or compensation of any kind and has no <em>retail</em> <em>value</em>. Subject to Rules. Sponsor-Diageo Americas, Inc., New York, NY; Diageo Beer Company USA, New York, NY.",
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{
"uuid": "b9d10ce7-6bc7-4bbf-9179-941d68c7687e",
"title": "MSCI: Better Buy Than Moody's And S&P Global (NYSE:MSCI)",
"description": "MSCI, Moody's, and S&P Global are top players in finance, with MSCI leading the pack. Click here to read an analysis on MSCI stock now.",
"keywords": "",
"snippet": "FilippoBacci\n\nInvestment Thesis\n\nAs a dividend growth investor in my 30s, my focus is on identifying blue-chip companies with substantial potential for robust a...",
"url": "https://seekingalpha.com/article/4638806-msci-better-buy-moodys-and-s-and-p-global",
"image_url": "https://static.seekingalpha.com/cdn/s3/uploads/getty_images/1451753827/image_1451753827.jpg?io=getty-c-w1536",
"language": "en",
"published_at": "2023-10-03T22:04:01.000000Z",
"source": "seekingalpha.com",
"relevance_score": null,
"entities": [
{
"symbol": "MCO",
"name": "Moody's Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 36.60836,
"sentiment_score": 0.377427,
"highlights": [
{
"highlight": "This led me to compare MSCI (NYSE:MSCI), <em>Moody's</em> (MCO) and S&P Global (SPGI). I perceive all three companies as exceptional, firmly established in their respective industries and fortified by significant competitive advantages.",
"sentiment": 0.7783,
"highlighted_in": "main_text"
},
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"highlight": "MSCI Offering (MSCI IR)\n\n<em>Moody's</em> <em>Corporation</em>\n\n<em>Moody's</em> has been a stalwart in the global financial arena, boasting a substantial market capitalization of $53 billion. Renowned for its expertise in credit ratings, research, and risk analysis, <em>Moody's</em> has earned a stellar reputation over its century-long existence.",
"sentiment": 0.3182,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Moody's</em> core competency lies in evaluating creditworthiness, a role pivotal in shaping financial decisions, promoting stability, and driving economic growth.",
"sentiment": 0.6369,
"highlighted_in": "main_text"
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{
"highlight": "<em>Moody's</em> Overview (<em>Moody's</em> IR)\n\nIn the last few years the company was undergoing a transition, stepping beyond its traditional identity as a rating agency to emerge with a more versatile product offering of financial analytics through <em>Moody's</em> Analytics.",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "In this scenario, companies like <em>Moody's</em> are well-positioned to capitalize on the growing demand for accurate assessments distinguishing strong companies from the weaker ones. The need for reliable analysis and risk management is more crucial than ever, presenting an advantageous opportunity for <em>Moody's</em> in these uncertain times.\n\nS&P Global Inc.",
"sentiment": 0.6249,
"highlighted_in": "main_text"
},
{
"highlight": "MSCI's five-year average stands at 0.88%, <em>Moody's</em> at 0.86%, and S&P Global at 0.87%.\n\nDividend Yield (Seeking Alpha)\n\nThe standout factor for all three companies lies in their dividend growth.",
"sentiment": -0.0516,
"highlighted_in": "main_text"
},
{
"highlight": "This strong performance from MSCI is understandable, given its smaller revenue size compared to <em>Moody's</em> and S&P Global. However, both <em>Moody's</em> and S&P Global have reasons to be proud as well.\n\nThey have shown steady growth, with both companies increasing their dividends at an average rate of around 16% annually over the past five years.",
"sentiment": 0.8779,
"highlighted_in": "main_text"
},
{
"highlight": "In comparison, <em>Moody's</em> decreased its shares by 14%, while S&P Global took a different approach by increasing its share count by 17.4%.",
"sentiment": 0.5267,
"highlighted_in": "main_text"
},
{
"highlight": "Looking at the FY24 Forward PE ratios, MSCI stands at 38.62x, <em>Moody's</em> at 31.42x, and S&P Global at 29.29x.\n\nForward PE (Seeking Alpha)\n\nAnalyzing the EV/EBITDA ratio provides a comparable perspective. MSCI is trading at 30.29x, <em>Moody's</em> actually positions as the cheapest at 26.78x, and S&P Global stands at 27.13x.",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "In contrast, both <em>Moody's</em> and S&P Global are trading at relatively higher levels in terms of EV/EBITDA and are either at break-even or with a smaller discount to their 5-year Forward PE averages.",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "MSCI: Better Buy Than <em>Moody's</em> And S&P Global (NYSE:MSCI)",
"sentiment": 0.4404,
"highlighted_in": "title"
}
]
},
{
"symbol": "SPGI",
"name": "S&P Global Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 62.99182,
"sentiment_score": 0.443745,
"highlights": [
{
"highlight": "This led me to compare MSCI (NYSE:MSCI), Moody's (MCO) and <em>S</em>&<em>P</em> <em>Global</em> (SPGI). I perceive all three companies as exceptional, firmly established in their respective industries and fortified by significant competitive advantages.",
"sentiment": 0.7783,
"highlighted_in": "main_text"
},
{
"highlight": "<em>S</em>&<em>P</em> <em>Global</em> <em>Inc</em>.\n\n<em>S</em>&<em>P</em> <em>Global</em> is the largest company we're analyzing today, boasting a market cap of $117 billion and employing over 39,000 professionals globally.",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "In my analysis, <em>S</em>&<em>P</em> <em>Global</em> stands out as the only company to rank among the top brands in the Commercial Services sector for 2023. It secured the ninth position, sharing the list with big names like American Express (AXP), Visa (V), and Mastercard (MA).",
"sentiment": 0.8316,
"highlighted_in": "main_text"
},
{
"highlight": "Brand Value (Brand Finance)\n\n<em>S</em>&<em>P</em> <em>Global</em> leads the pack in terms of revenue, with a reported revenue of $11.18 billion at the end of 2022.\n\nWhat sets <em>S</em>&<em>P</em> <em>Global</em> apart, in my view, is its revenue diversity. Their primary segment, Market Intelligence, contributes 35% of the total revenue in Q2 FY23, closely followed by Ratings at 26%.",
"sentiment": 0.6705,
"highlighted_in": "main_text"
},
{
"highlight": "Unlike Moody's or MSCI, <em>S</em>&<em>P</em> <em>Global</em> benefits from a larger market size and the most varied revenue sources.\n\nInterestingly, although many associate <em>S</em>&<em>P</em> <em>Global</em> with indices like the S&P 500 and Dow Jones, these indices make up only 11% of the company's total revenue. Their business scope extends far beyond what many might assume.",
"sentiment": 0.8074,
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"highlight": "MSCI's five-year average stands at 0.88%, Moody's at 0.86%, and <em>S</em>&<em>P</em> <em>Global</em> at 0.87%.\n\nDividend Yield (Seeking Alpha)\n\nThe standout factor for all three companies lies in their dividend growth.",
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"highlight": "This strong performance from MSCI is understandable, given its smaller revenue size compared to Moody's and <em>S</em>&<em>P</em> <em>Global</em>. However, both Moody's and <em>S</em>&<em>P</em> <em>Global</em> have reasons to be proud as well.\n\nThey have shown steady growth, with both companies increasing their dividends at an average rate of around 16% annually over the past five years.",
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"highlight": "In comparison, Moody's decreased its shares by 14%, while <em>S</em>&<em>P</em> <em>Global</em> took a different approach by increasing its share count by 17.4%.",
"sentiment": 0.5267,
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"highlight": "Looking at the FY24 Forward PE ratios, MSCI stands at 38.62x, Moody's at 31.42x, and <em>S</em>&<em>P</em> <em>Global</em> at 29.29x.\n\nForward PE (Seeking Alpha)\n\nAnalyzing the EV/EBITDA ratio provides a comparable perspective. MSCI is trading at 30.29x, Moody's actually positions as the cheapest at 26.78x, and <em>S</em>&<em>P</em> <em>Global</em> stands at 27.13x.",
"sentiment": 0,
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"highlight": "In contrast, both Moody's and <em>S</em>&<em>P</em> <em>Global</em> are trading at relatively higher levels in terms of EV/EBITDA and are either at break-even or with a smaller discount to their 5-year Forward PE averages.",
"sentiment": 0,
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{
"highlight": "MSCI: Better Buy Than Moody's And <em>S</em>&<em>P</em> <em>Global</em> (NYSE:MSCI)",
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"type": "equity",
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"match_score": 45.15533,
"sentiment_score": 0.656433,
"highlights": [
{
"highlight": "This led me to compare MSCI (<em>NYSE:MSCI</em>), Moody's (MCO) and S&P Global (SPGI). I perceive all three companies as exceptional, firmly established in their respective industries and fortified by significant competitive advantages.",
"sentiment": 0.7783,
"highlighted_in": "main_text"
},
{
"highlight": "Total Return (Seeking Alpha)\n\nBusiness Overview\n\n<em>MSCI</em> <em>Inc</em>.\n\nMSCI, also known as Morgan Stanley Capital International, is a truly fascinating company within the financial sector.",
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{
"highlight": "MSCI: Better Buy Than Moody's And S&P Global (<em>NYSE:MSCI</em>)",
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"title": "Cboe Global Markets and S&P Dow Jones Indices to Launch New Credit VIX Indices on October 13",
"description": "/PRNewswire/ -- Cboe Global Markets, Inc. (Cboe: CBOE), the world's leading derivatives and securities exchange network, and S&P Dow Jones Indices (S&P DJI),...",
"keywords": "Cboe Global Markets, Inc.",
"snippet": "Four new Credit Volatility Indices (Credit VIX) developed based on Cboe's proprietary VIX ® Index methodology and S&P Dow Jones Indices' CDX and iTraxx Indices...",
"url": "https://www.prnewswire.com/news-releases/cboe-global-markets-and-sp-dow-jones-indices-to-launch-new-credit-vix-indices-on-october-13-301945137.html",
"image_url": "https://mma.prnewswire.com/media/2237131/S_P_Dow_Jones_Indices_Logo.jpg?p=facebook",
"language": "en",
"published_at": "2023-10-03T15:00:00.000000Z",
"source": "prnewswire.com",
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"entities": [
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"highlight": "developed based on Cboe's proprietary VIX ® Index methodology and S&P Dow Jones Indices' CDX and iTraxx Indices\n\nIndex methodology and S&P Dow Jones Indices' CDX and iTraxx Indices Designed to provide a VIX Index-like measure for credit market volatility\n\nNew indices added to Cboe's growing volatility index suite\n\nCHICAGO, Oct. 3, 2023 /PRNewswire/ -- <em>Cboe</em>",
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"highlight": "<em>Global</em> <em>Markets</em>, <em>Inc</em>.",
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"highlight": "Cboe Media Contact\n\nS&P DJI Media Contact\n\nCboe Analyst Contact Angela Tu\n\nAlyssa Augustyn\n\nKenneth Hill, CFA +1-646-856-8734\n\n+1-773-919-4732\n\n+1-312-786-7559 [email protected]\n\n[email protected]\n\n[email protected]\n\nAbout <em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>.",
"sentiment": 0,
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em> (Cboe: CBOE), the world's leading derivatives and securities exchange network, delivers cutting-edge trading, clearing and investment solutions to people around the world.",
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"highlight": "CBOE-OE\n\nCBOE-O\n\nCboe®, <em>Cboe</em> <em>Global</em> <em>Markets</em>®, Cboe Volatility Index®, and (VIX®) are registered trademarks of Cboe Exchange, Inc. The S&P 500 Index, CDX Indices and iTraxx Indices are proprietary to S&P Dow Jones Indices LLC.",
"sentiment": 0,
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>. and its affiliates do not recommend or make any representation as to possible benefits from any securities, futures or investments, or third-party products or services. <em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>. is not affiliated with S&P.",
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"highlight": "Supporting documentation for any claims, comparisons, statistics or other technical data in this document is available by contacting <em>Cboe</em> <em>Global</em> <em>Markets</em> at www.cboe.com/contact. Past performance is not predictive of future returns.",
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>. and its affiliates, to the maximum extent permitted by applicable law, make no warranty, expressed or implied, including, without limitation, any warranties as of merchantability, fitness for a particular purpose, accuracy, completeness or timeliness, the results to be obtained by recipients of the products and services described",
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>. and its affiliates have not calculated, composed or determined the constituents or weightings of the securities that comprise the S&P indexes and shall not in any way be liable for any inaccuracies or errors.",
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"highlight": "SOURCE <em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>.",
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em> and S&P Dow Jones Indices to Launch New Credit VIX Indices on October 13",
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"highlight": "The VIX Index is based on real-time prices of options on the <em>S</em>&<em>P</em> <em>500</em>® Index (SPX) and is designed to reflect investors' consensus view of future (30-day) expected U.S. stock market volatility.",
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"highlight": "The new indices follow Cboe's recent launch of the Cboe 1-Day Volatility Index (VIX1D) and the Cboe <em>S</em>&<em>P</em> <em>500</em> Dispersion Index (DSPX), which were also developed in collaboration with S&P DJI. To learn more about Cboe Labs, visit https://www.cboe.com/labs/.",
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{
"highlight": "About S&P Dow Jones Indices\n\nS&P Dow Jones Indices is the largest global resource for essential index-based concepts, data and research, and home to iconic financial market indicators, such as the <em>S</em>&<em>P</em> <em>500</em>® and the Dow Jones Industrial Average®.",
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"highlight": "The <em>S</em>&<em>P</em> <em>500</em> Index, CDX Indices and iTraxx Indices are proprietary to S&P Dow Jones Indices LLC. S&P®, <em>S</em>&<em>P</em> <em>500</em>®, DSPX™, DSPBX™, S&P 100®, SPX®, SPY®, Select Sector®, The 500, US 500, CDX and iTraxx are trademarks of Standard & Poor's Financial Services, LLC and have been licensed for use by Cboe Exchange, Inc.",
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"highlight": "Cboe Exchange's derivatives on the S&P DJI's indices, Credit VIX, Cboe 1-Day Volatility Index (VIX1D), the Cboe <em>S</em>&<em>P</em> <em>500</em> Dispersion Index are not sponsored, endorsed, marketed or promoted by S&P Dow Jones Indices and S&P Dow Jones Indices does not have any liability with respect thereto.",
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"highlight": "S&P®, S&P 500®, DSPX™, DSPBX™, <em>S</em>&<em>P</em> <em>100</em>®, SPX®, SPY®, Select Sector®, The 500, US 500, CDX and iTraxx are trademarks of Standard & Poor's Financial Services, LLC and have been licensed for use by Cboe Exchange, Inc.",
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"match_score": 52.84077,
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{
"highlight": "Four new Credit Volatility Indices (Credit <em>VIX</em>) developed based on Cboe's proprietary <em>VIX</em> ® Index methodology and S&P Dow Jones Indices' CDX and iTraxx Indices\n\nIndex methodology and S&P Dow Jones Indices' CDX and iTraxx Indices Designed to provide a <em>VIX</em> Index-like measure for credit market volatility\n\nNew indices added to Cboe's growing volatility",
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{
"highlight": "(Cboe: CBOE), the world's leading derivatives and securities exchange network, and S&P Dow Jones Indices (S&P DJI), the world's leading index provider, today announced plans to launch four new Credit Volatility Indices (Credit <em>VIX</em>) on Friday, October 13, 2023.",
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{
"highlight": "Credit Volatility Indices (Credit <em>VIX</em>)\n\nS&P Dow Jones Indices The Credit <em>VIX</em> Indices illustrate the intensity of credit market concerns as reflected in OTC-traded options on CDX and iTraxx CDS Indices.",
"sentiment": 0.7783,
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{
"highlight": "The <em>Cboe</em> <em>Volatility</em> <em>Index</em>® (<em>VIX</em>®) is considered by many to be the world's premier barometer of U.S. equity market volatility. The <em>VIX</em> Index is based on real-time prices of options on the S&P 500® Index (SPX) and is designed to reflect investors' consensus view of future (30-day) expected U.S. stock market volatility.",
"sentiment": 0,
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{
"highlight": "The new Credit <em>VIX</em> Indices aim to provide a comparable benchmark index for the credit markets, so investors will have a broader view of volatility in this important additional asset class.",
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"highlight": "\"As we celebrate the 30th anniversary of the <em>VIX</em> Index this year, we couldn't be more excited to continue our track record of innovation and collaboration with S&P DJI by extending the <em>VIX</em> Index methodology into the fixed income space,\" said Rob Hocking, Senior Vice President and Head of Product Innovation at Cboe.",
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"highlight": "With the <em>VIX</em> family of volatility indices covering equities, credit and various other asset classes, investors can also look across our diverse product set to compare trends and correlations across different markets in a more consistent manner.\"",
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"highlight": "\"The Credit <em>VIX</em> Indices are expected to provide new clear signals on bond market sentiment, and act as a new barometer of corporate credit risk in North America and Europe.",
"sentiment": 0.6908,
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"highlight": "Similar to the <em>VIX</em> Index, the new Credit <em>VIX</em> Indices are designed to track near-term uncertainty around corporate credit risk by measuring the market's expectation of how volatile credit default swap (CDS) index spreads will be over the next 30 days.",
"sentiment": 0.5106,
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"highlight": "CBOE-OE\n\nCBOE-O\n\nCboe®, Cboe Global Markets®, <em>Cboe</em> <em>Volatility</em> <em>Index</em>®, and (<em>VIX</em>®) are registered trademarks of Cboe Exchange, Inc. The S&P 500 Index, CDX Indices and iTraxx Indices are proprietary to S&P Dow Jones Indices LLC.",
"sentiment": 0,
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"highlight": "The VIX Index is based on real-time prices of options on the S&P 500® Index (<em>SPX</em>) and is designed to reflect investors' consensus view of future (30-day) expected U.S. stock market volatility.",
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"highlight": "The <em>S</em>&<em>P</em> <em>500</em> <em>Index</em>, CDX Indices and iTraxx Indices are proprietary to S&P Dow Jones Indices LLC. S&P®, S&P 500®, DSPX™, DSPBX™, S&P 100®, <em>SPX</em>®, SPY®, Select Sector®, The 500, US 500, CDX and iTraxx are trademarks of Standard & Poor's Financial Services, LLC and have been licensed for use by Cboe Exchange, Inc.",
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"sentiment": 0,
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"highlight": "S&P®, S&P 500®, DSPX™, DSPBX™, S&P 100®, <em>SPX</em>®, SPY®, Select Sector®, The 500, US 500, CDX and iTraxx are trademarks of Standard & Poor's Financial Services, LLC and have been licensed for use by Cboe Exchange, Inc.",
"sentiment": 0,
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{
"symbol": "SPGI",
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{
"highlight": "S&P Dow Jones Indices is a division of <em>S</em>&<em>P</em> <em>Global</em> (<em>NYSE</em>: <em>SPGI</em>), which provides essential intelligence for individuals, companies, and governments to make decisions with confidence. For more information about S&P Dow Jones Indices, please visit https://www.spglobal.com/spdji/en/.",
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{
"symbol": "STQN",
"name": "Strategic Acquisitions, Inc.",
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"match_score": 7.334423,
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"highlights": [
{
"highlight": "ability to attract and retain skilled management and other personnel, including compensation inflation; increasing competition by foreign and domestic entities; our dependence on and exposure to risk from third parties; global expansion of operations; factors that impact the quality and integrity of our indices; our ability to manage our growth and <em>strategic</em>",
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{
"highlight": "<em>acquisitions</em> or alliances effectively; our ability to operate our business without violating the intellectual property rights of others and the costs associated with protecting our intellectual property rights; our ability to minimize the risks, including our credit and default risks, associated with operating a European clearinghouse; our ability",
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"highlight": "developed based on Cboe's proprietary VIX ® Index methodology and S&P Dow Jones Indices' CDX and iTraxx Indices\n\nIndex methodology and S&P Dow Jones Indices' CDX and iTraxx Indices Designed to provide a VIX Index-like measure for credit market volatility\n\nNew indices added to Cboe's growing volatility index suite\n\nCHICAGO, Oct. 3, 2023 /PRNewswire/ -- <em>Cboe</em>",
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"highlight": "<em>Global</em> <em>Markets</em>, <em>Inc</em>.",
"sentiment": 0,
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"highlight": "Cboe Media Contact\n\nS&P DJI Media Contact\n\nCboe Analyst Contact Angela Tu\n\nAlyssa Augustyn\n\nKenneth Hill, CFA +1-646-856-8734\n\n+1-773-919-4732\n\n+1-312-786-7559 [email protected]\n\n[email protected]\n\n[email protected]\n\nAbout <em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>.",
"sentiment": 0,
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em> (Cboe: CBOE), the world's leading derivatives and securities exchange network, delivers cutting-edge trading, clearing and investment solutions to people around the world.",
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"highlight": "CBOE-OE\n\nCBOE-O\n\nCboe®, <em>Cboe</em> <em>Global</em> <em>Markets</em>®, Cboe Volatility Index®, and (VIX®) are registered trademarks of Cboe Exchange, Inc. The S&P 500 Index, CDX Indices and iTraxx Indices are proprietary to S&P Dow Jones Indices LLC.",
"sentiment": 0,
"highlighted_in": "main_text"
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>. and its affiliates do not recommend or make any representation as to possible benefits from any securities, futures or investments, or third-party products or services. <em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>. is not affiliated with S&P.",
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"highlight": "Supporting documentation for any claims, comparisons, statistics or other technical data in this document is available by contacting <em>Cboe</em> <em>Global</em> <em>Markets</em> at www.cboe.com/contact. Past performance is not predictive of future returns.",
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>. and its affiliates, to the maximum extent permitted by applicable law, make no warranty, expressed or implied, including, without limitation, any warranties as of merchantability, fitness for a particular purpose, accuracy, completeness or timeliness, the results to be obtained by recipients of the products and services described",
"sentiment": 0.0648,
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>. and its affiliates have not calculated, composed or determined the constituents or weightings of the securities that comprise the S&P indexes and shall not in any way be liable for any inaccuracies or errors.",
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"highlight": "SOURCE <em>Cboe</em> <em>Global</em> <em>Markets</em>, <em>Inc</em>.",
"sentiment": 0,
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"highlight": "<em>Cboe</em> <em>Global</em> <em>Markets</em> and S&P Dow Jones Indices to Launch New Credit VIX Indices on October 13",
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"highlight": "(Cboe: CBOE), the world's leading derivatives and securities exchange network, and S&P Dow Jones Indices (S&P <em>DJI</em>), the world's leading index provider, today announced plans to launch four new Credit Volatility Indices (Credit VIX) on Friday, October 13, 2023.",
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"highlight": "VIXHY )\n\n) CDX/Cboe NA Investment Grade 1-Month Volatility Index (ticker symbol: VIXIG )\n\n) iTraxx/Cboe Europe Main 1-Month Volatility Index (ticker symbol: VIXIE )\n\n) iTraxx/Cboe Europe Crossover 1-Month Volatility Index (ticker symbol: VIXXO)\n\nThis new series of indices, jointly developed by Cboe Labs, the company's product innovation hub, and S&P <em>DJI</em>",
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"highlight": "\"As we celebrate the 30th anniversary of the VIX Index this year, we couldn't be more excited to continue our track record of innovation and collaboration with S&P <em>DJI</em> by extending the VIX Index methodology into the fixed income space,\" said Rob Hocking, Senior Vice President and Head of Product Innovation at Cboe.",
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"highlight": "The new indices follow Cboe's recent launch of the Cboe 1-Day Volatility Index (VIX1D) and the Cboe S&P 500 Dispersion Index (DSPX), which were also developed in collaboration with S&P <em>DJI</em>. To learn more about Cboe Labs, visit https://www.cboe.com/labs/.",
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"highlight": "Cboe Media Contact\n\nS&P <em>DJI</em> Media Contact\n\nCboe Analyst Contact Angela Tu\n\nAlyssa Augustyn\n\nKenneth Hill, CFA +1-646-856-8734\n\n+1-773-919-4732\n\n+1-312-786-7559 [email protected]\n\n[email protected]\n\n[email protected]\n\nAbout Cboe Global Markets, Inc.",
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"highlight": "About S&P Dow Jones Indices\n\nS&P Dow Jones Indices is the largest global resource for essential index-based concepts, data and research, and home to iconic financial market indicators, such as the S&P 500® and the <em>Dow</em> <em>Jones</em> <em>Industrial</em> <em>Average</em>®.",
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"highlight": "Since Charles Dow invented the first index in 1884, S&P <em>DJI</em> has been innovating and developing indices across the spectrum of asset classes helping to define the way investors measure and trade the markets.",
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"uuid": "6738ff73-63fe-40f1-b799-a1ea9977ff71",
"title": "October's Top 10 High Yield Stocks To Boost Your Dividend Income",
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"snippet": "Drazen_\n\nInvestment Thesis\n\nCompanies that pay a high Dividend can provide you with excellent opportunities to increase your monthly income. However, they shoul...",
"url": "https://seekingalpha.com/article/4638471-octobers-top-10-high-yield-stocks-to-boost-your-dividend-income",
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"highlight": "<em>Phillips</em> <em>66</em> (PSX).\n\nRealty Income (O).\n\nRio Tinto (RIO).\n\nRoyal Bank of Canada (RY).\n\nThe PNC Financial Services Group (PNC).\n\nUnited Parcel Service (UPS).\n\nVerizon Communications (VZ).",
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"highlight": "Overview of the 10 selected high dividend yield companies to consider investing in for October 2023\n\nMO BXP PM RIO PNC O UPS RY PSX VZ Company Altria Group Boston Properties Philip Morris Rio Tinto The PNC Financial Services Group Realty Income United Parcel Service Royal Bank of Canada <em>Phillips</em> <em>66</em> Verizon Communications Sector Consumer Staples Real",
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"highlight": "Below is a link to my detailed analysis on Royal Bank of Canada:\n\nRoyal Bank Of Canada: The Fourth Buy For The Dividend Income Accelerator Portfolio\n\n<em>Phillips</em> <em>66</em>\n\n<em>Phillips</em> <em>66</em> is a company from the Oil and Gas Refining and Marketing Industry that was founded in 1875.",
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"highlight": "When comparing <em>Phillips</em> <em>66</em> to companies such as ExxonMobil (NYSE:XOM) and Chevron (NYSE:CVX), it can be highlighted that <em>Phillips</em> <em>66</em> has the significantly lower Valuation: while <em>Phillips</em>' <em>66</em> P/E [FWD] Ratio stands at 7.34, ExxonMobil's is 12.90, and Chevron's is 12.44.",
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"highlight": "The company's Free Cash Flow Yield [TTM] stands at 13.63% and strengthens my theory that <em>Phillips</em> <em>66</em> is an attractive risk/reward pick for investors.",
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"highlight": "Below you can find the results of the Seeking Alpha Quant Ranking, underscoring my theory that this could be an excellent moment to add <em>Phillips</em> <em>66</em> to your investment portfolio. The company is ranked 4th out of 22 within the Oil and Gas Refining and Marketing Industry, and 11th out of 245 within the Energy Sector.",
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"highlight": "Within the Overall Ranking, <em>Phillips</em> <em>66</em> is ranked 72nd out of 4661.\n\nSource: Seeking Alpha\n\nVerizon\n\nWithin the past 5 years, Verizon has shown a performance of -37.92%.",
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"title": "Blockchain and Artificial Intelligence Revolutionize Brand Protection Efforts, Ensuring Transparency and Security in an Evolving Marketplace",
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"title": "Corebridge Financial: 5.8% Yield Outweighed By Drop In Profits (NYSE:CRBG)",
"description": "Corebridge Financial provides retirement solutions and insurance products in the US. Click here to read my most recent analysis of CRBG stock now.",
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"highlight": "In the case of Corebridge, it was a spinoff from larger insurer <em>American</em> <em>International</em> Group (AIG).\n\nI gave this stock a hold rating, due to having slightly more offsetting factors in my review than strengths. In fact, offsetting factors outweighed strengths by 4 to 3.\n\nIts strengths included dividends, valuation, capital and liquidity.",
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"highlight": "In the case of Corebridge, it was a spinoff from larger insurer <em>American</em> <em>International</em> Group (AIG).\n\nI gave this stock a hold rating, due to having slightly more offsetting factors in my review than strengths. In fact, offsetting factors outweighed strengths by 4 to 3.\n\nIts strengths included dividends, valuation, capital and liquidity.",
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"highlight": "Compared to its listed peer, <em>Equitable</em> <em>Holdings</em>, that firm's forward P/E is near 34% lower than the sector average, so also an undervaluation opportunity.",
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