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"uuid": "37313a4b-921f-48d7-9c9b-8120ec34025e",
"title": "What's Driving CACI International Inc's Surprising 11.59% Stock Rally?",
"description": "CACI International Inc (CACI) has experienced a notable uptick in its stock price, with a 4.65% gain over the past week and an 11.59% gain over the past three m",
"keywords": "GuruFocus, Article, News, GuruFocus Research, CACI, GLOB, PSN, SAIC",
"snippet": "CACI International Inc (CACI, Financial) has experienced a notable uptick in its stock price, with a 4.65% gain over the past week and an 11.59% gain over the p...",
"url": "https://www.gurufocus.com/news/2418328/whats-driving-caci-international-incs-surprising-1159-stock-rally",
"image_url": "https://static.gurufocus.com/images/global_logo_twitter_card.png",
"language": "en",
"published_at": "2024-04-25T15:12:22.000000Z",
"source": "gurufocus.com",
"relevance_score": null,
"entities": [
{
"symbol": "CACI",
"name": "CACI International Inc",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Technology",
"match_score": 86.87428,
"sentiment_score": 0.6774,
"highlights": [
{
"highlight": "<em>CACI</em> <em>International</em> <em>Inc</em> (CACI, Financial) has experienced a notable uptick in its stock price, with a 4.65% gain over the past week and an 11.59% gain over the past three months. The company's market capitalization stands at $8.82 billion, with the current stock price at $396.",
"sentiment": 0.7783,
"highlighted_in": "main_text"
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{
"highlight": "Introduction to <em>CACI</em> <em>International</em> <em>Inc</em>\n\n<em>CACI</em> <em>International</em> <em>Inc</em> operates within the software industry, primarily serving U.S. government agencies and departments. The company specializes in delivering information solutions and services that support national security missions and government modernization efforts.",
"sentiment": 0.7003,
"highlighted_in": "main_text"
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{
"highlight": "Conclusion\n\nIn summary, <em>CACI</em> <em>International</em> Inc's stock performance has been robust, with a significant gain over the past three months. The company is fairly valued according to the GF Value, and its profitability and growth ranks are indicative of a strong and expanding business.",
"sentiment": 0.9578,
"highlighted_in": "main_text"
},
{
"highlight": "What's Driving <em>CACI</em> <em>International</em> Inc's Surprising 11.59% Stock Rally?",
"sentiment": 0.2732,
"highlighted_in": "title"
}
]
}
],
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{
"uuid": "97f61c5e-7e84-40dd-a298-f13ce5b118de",
"title": "CEO Anthony Scott Acquires 585,748 Shares of Intrusion Inc (INTZ)",
"description": "Insider Buying Activity\n\n Anthony Scott, CEO of Intrusion Inc (INTZ), has made a significant purchase of company shares on April 22, 2024. According to the S",
"keywords": "GuruFocus, Article, News, GuruFocus Research, INTZ",
"snippet": "Insider Buying Activity\n\nAnthony Scott, CEO of Intrusion Inc (INTZ, Financial), has made a significant purchase of company shares on April 22, 2024. According t...",
"url": "https://www.gurufocus.com/news/2418319/ceo-anthony-scott-acquires-585748-shares-of-intrusion-inc-intz",
"image_url": "https://static.gurufocus.com/logos/0C00000BKU.png?12",
"language": "en",
"published_at": "2024-04-25T15:00:58.000000Z",
"source": "gurufocus.com",
"relevance_score": null,
"entities": [
{
"symbol": "INTZ",
"name": "Intrusion Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Technology",
"match_score": 90.39735,
"sentiment_score": 0.407017,
"highlights": [
{
"highlight": "Insider Buying Activity\n\nAnthony Scott, CEO of <em>Intrusion</em> <em>Inc</em> (INTZ, Financial), has made a significant purchase of company shares on April 22, 2024. According to the SEC Filing, the insider acquired 585,748 shares of the company.",
"sentiment": 0.6369,
"highlighted_in": "main_text"
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"highlight": "Company Overview\n\n<em>Intrusion</em> <em>Inc</em> (INTZ, Financial) specializes in providing cybersecurity solutions for government and enterprise sectors. The company's products and services are designed to protect organizations from a range of security threats, including malicious cyberattacks and data breaches.",
"sentiment": 0.4404,
"highlighted_in": "main_text"
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"highlight": "Insider Transaction History\n\nThe insider transaction history at <em>Intrusion</em> <em>Inc</em> (INTZ, Financial) indicates a pattern of insider confidence. Over the past year, there have been 13 insider buys and notably, no insider sales.",
"sentiment": 0.2732,
"highlighted_in": "main_text"
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"highlight": "Stock Valuation and Market Cap\n\nOn the date of the insider's recent purchase, shares of <em>Intrusion</em> <em>Inc</em> (INTZ, Financial) were trading at $1.7, resulting in a market cap of $3.932 million. The stock's valuation relative to the GuruFocus Value (GF Value) indicates a price-to-GF-Value ratio of 0.04, with the GF Value being $38.03.",
"sentiment": 0.7184,
"highlighted_in": "main_text"
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"highlight": "Conclusion\n\nThe recent insider purchase by CEO Anthony Scott may signal a belief in the potential undervaluation of <em>Intrusion</em> <em>Inc</em> (INTZ, Financial) shares. With a consistent pattern of insider buying and no selling over the past year, investors may want to monitor the company's developments closely.",
"sentiment": 0.0772,
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{
"highlight": "CEO Anthony Scott Acquires 585,748 Shares of <em>Intrusion</em> <em>Inc</em> (INTZ)",
"sentiment": 0.296,
"highlighted_in": "title"
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"uuid": "1643ddfc-02a4-454b-97cb-5d07b0265b38",
"title": "Competitor Analysis: Evaluating Cisco Systems And Competitors In Communications Equipment Industry - Cisco Systems (NASDAQ:CSCO)",
"description": "",
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"snippet": "Loading... Loading...\n\nIn today's rapidly changing and fiercely competitive business landscape, it is essential for investors and industry enthusiasts to thorou...",
"url": "https://www.benzinga.com/insights/news/24/04/38434627/competitor-analysis-evaluating-cisco-systems-and-competitors-in-communications-equipment-industry",
"image_url": "https://www.benzinga.com/next-assets/images/schema-image-default.png",
"language": "en",
"published_at": "2024-04-25T15:00:56.000000Z",
"source": "benzinga.com",
"relevance_score": null,
"entities": [
{
"symbol": "CIS.BR",
"name": "Cisco Systems, Inc.",
"exchange": null,
"exchange_long": null,
"country": "be",
"type": "equity",
"industry": "Technology",
"match_score": 78.37396,
"sentiment_score": 0.411567,
"highlights": [
{
"highlight": "In this article, we will conduct a comprehensive industry comparison, evaluating <em>Cisco</em> <em>Systems</em> CSCO against its key competitors in the Communications Equipment industry.",
"sentiment": 0.25,
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"highlight": "<em>Cisco</em> <em>Systems</em> Background\n\n<em>Cisco</em> <em>Systems</em> is the largest provider of networking equipment in the world and one of the largest software companies in the world. Its largest businesses are selling networking hardware and software (where it has leading market shares) and cybersecurity software like firewalls.",
"sentiment": 0.3612,
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"highlight": "Company P/E P/B P/S ROE EBITDA (in billions) Gross Profit (in billions) Revenue Growth <em>Cisco</em> <em>Systems</em> <em>Inc</em> 14.70 4.23 3.45 5.76% $3.7 $8.22 -5.89% Motorola Solutions Inc 34.75 79.42 5.95 109.76% $0.88 $1.46 5.25% Nokia Oyj 22.84 0.90 0.91 2.08% $0.66 $2.23 -20.34% Juniper Networks Inc 37.22 2.56 2.07 2.82% $0.19 $0.81 -5.8% F5 Inc 23.77 3.75 3.91 4.89%",
"sentiment": 0.4767,
"highlighted_in": "main_text"
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{
"highlight": "18.58 13.27 1.10 3.68% $0.02 $0.18 -6.9% Digi International Inc 71.47 2.06 2.55 -0.56% $0.01 $0.06 -2.94% Harmonic Inc 13.10 2.42 1.82 21.56% $0.01 $0.08 1.68% Clearfield Inc 36.54 1.45 2.08 -1.71% $-0.0 $0.0 -60.17% Aviat Networks Inc 26.02 1.62 1.10 1.2% $0.01 $0.04 4.8% Average 67.78 9.55 2.23 12.25% $0.18 $0.51 -8.94%\n\nUpon closer analysis of <em>Cisco</em>",
"sentiment": 0.4215,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Systems</em>, the following trends become apparent:\n\nAt 14.7 , the stock's Price to Earnings ratio is 0.22x less than the industry average, suggesting favorable growth potential.",
"sentiment": 0.6908,
"highlighted_in": "main_text"
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"highlight": "By considering the Debt-to-Equity ratio, <em>Cisco</em> <em>Systems</em> can be compared to its top 4 peers, leading to the following observations:\n\n<em>Cisco</em> <em>Systems</em> exhibits a stronger financial position compared to its top 4 peers in the sector, as indicated by its lower debt-to-equity ratio of 0.25 .",
"sentiment": 0.4588,
"highlighted_in": "main_text"
},
{
"highlight": "Key Takeaways\n\nThe PE, PB, and PS ratios for <em>Cisco</em> <em>Systems</em> indicate that the company is undervalued compared to its peers in the Communications Equipment industry. However, the low ROE suggests that the company may not be utilizing its assets efficiently.",
"sentiment": 0.3182,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Cisco</em> <em>Systems</em> may need to focus on improving its return on equity to align with its strong operational performance.\n\nThis article was generated by Benzinga's automated content engine and reviewed by an editor.",
"sentiment": 0.7269,
"highlighted_in": "main_text"
},
{
"highlight": "Competitor Analysis: Evaluating <em>Cisco</em> <em>Systems</em> And Competitors In Communications Equipment Industry - <em>Cisco</em> <em>Systems</em> (NASDAQ:CSCO)",
"sentiment": 0,
"highlighted_in": "title"
}
]
}
],
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{
"uuid": "8c84dafc-6a34-4a3d-b795-ab14be25a903",
"title": "Exploring The Competitive Space: Vertiv Hldgs Versus Industry Peers In Electrical Equipment - Vertiv Hldgs (NYSE:VRT)",
"description": "",
"keywords": "",
"snippet": "Loading... Loading...\n\nIn the dynamic and cutthroat world of business, conducting thorough company analysis is essential for investors and industry experts. In ...",
"url": "https://www.benzinga.com/insights/news/24/04/38434619/exploring-the-competitive-space-vertiv-hldgs-versus-industry-peers-in-electrical-equipment",
"image_url": "https://www.benzinga.com/next-assets/images/schema-image-default.png",
"language": "en",
"published_at": "2024-04-25T15:00:45.000000Z",
"source": "benzinga.com",
"relevance_score": null,
"entities": [
{
"symbol": "ARRY",
"name": "Array Technologies, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Technology",
"match_score": 19.804882,
"sentiment_score": 0,
"highlights": [
{
"highlight": "$0.37 $0.79 3.59% Hubbell Inc 28.37 7.44 4.01 6.08% $0.26 $0.46 10.35% nVent Electric PLC 21.88 3.89 3.80 8.38% $0.19 $0.35 16.13% Generac Holdings Inc 41.95 3.53 2.12 4.08% $0.19 $0.39 1.38% Acuity Brands Inc 21.18 3.63 2.08 4.23% $0.15 $0.41 -4.0% Atkore Inc 10.74 4.38 1.99 9.18% $0.21 $0.29 -4.24% EnerSys 13.67 2.12 1.02 4.5% $0.11 $0.25 -6.38% <em>Array</em>",
"sentiment": 0,
"highlighted_in": "main_text"
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{
"highlight": "<em>Technologies</em> <em>Inc</em> 21.84 7.16 1.18 3.63% $0.05 $0.08 -15.04% Powell Industries Inc 23.39 4.88 2.36 6.77% $0.03 $0.05 52.94% Shoals Technologies Group Inc 35.38 2.65 2.86 3.1% $0.03 $0.06 37.81% Vicor Corp 26.92 2.63 3.56 1.62% $0.01 $0.05 -12.17% Thermon Group Holdings Inc 21.56 2.24 2.17 3.48% $0.03 $0.06 11.72% Preformed Line Products Co 9.83 1.48",
"sentiment": 0,
"highlighted_in": "main_text"
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{
"uuid": "5f7108ab-8eba-4f25-b442-b8de00a2354f",
"title": "Advanced Packaging Market Aims for Remarkable Growth, Targeting USD 79.9 Billion by 2033 at 8.4% CAGR",
"description": "Advanced packaging market size from USD 35.7 billion in 2023 to USD 79.9 billion in 10 years. The increasing demand for advanced packaging solutions drives...",
"keywords": "Brainy Insights Pvt. Ltd., Advanced Packaging Market",
"snippet": "Newark, April 25, 2024 (GLOBE NEWSWIRE) -- The Brainy Insights estimates that the USD 35.7 billion advanced packaging market will reach USD 79.9 billion by 2033...",
"url": "https://www.globenewswire.com/news-release/2024/04/25/2869845/0/en/Advanced-Packaging-Market-Aims-for-Remarkable-Growth-Targeting-USD-79-9-Billion-by-2033-at-8-4-CAGR.html",
"image_url": "https://ml.globenewswire.com/Resource/Download/e0ed2f75-5061-4c4a-a30b-65427e5cc0f4",
"language": "en",
"published_at": "2024-04-25T15:00:00.000000Z",
"source": "globenewswire.com",
"relevance_score": null,
"entities": [
{
"symbol": "INCO.BR",
"name": "Intel Corporation",
"exchange": null,
"exchange_long": null,
"country": "be",
"type": "equity",
"industry": "Technology",
"match_score": 11.998115,
"sentiment_score": 0.2732,
"highlights": [
{
"highlight": "Some of the major players operating in the advanced packaging market are:\n\n\n\n● Taiwan Semiconductor Manufacturing Company Limited\n\n● <em>Intel</em> <em>Corporation</em>\n\n● Chipbond Technology Corporation\n\n● Universal Instruments Corporation\n\n● Brewer Science Inc.\n\n● Amkor Technology Inc.\n\n● Advanced Semiconductor Engineering Inc.\n\n● JCET Group Co.",
"sentiment": 0.2732,
"highlighted_in": "main_text"
}
]
}
],
"similar": [
{
"uuid": "06e7b40d-c7bb-425e-ac7b-c4b108be2845",
"title": "Competitive Intelligence Market To Reach USD 111.4 Billion By 2032 | DataHorizzon Research",
"description": "The competitive intelligence market was valued at USD 47.2 Billion in 2022 and is anticipated to grow CAGR at 9.1% to reach USD 111.4 Billion by 2032....",
"keywords": "DataHorizzon Research, Competitive Intelligence, Information Technology, Intelligence Market",
"snippet": "Fort Collins, Colorado, April 25, 2024 (GLOBE NEWSWIRE) --\n\n\n\nData analysis and intelligence drive the need for competitive intelligence software.\n\nCompetitive ...",
"url": "https://www.globenewswire.com/news-release/2024/04/25/2869411/0/en/Competitive-Intelligence-Market-To-Reach-USD-111-4-Billion-By-2032-DataHorizzon-Research.html",
"image_url": "https://ml.globenewswire.com/Resource/Download/ee0903f0-279f-4537-8a89-666461d3d324",
"language": "en",
"published_at": "2024-04-25T10:00:00.000000Z",
"source": "globenewswire.com",
"relevance_score": null,
"entities": [
{
"symbol": "ABEA.DE",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Communication Services",
"match_score": 15.433008,
"sentiment_score": 0.872,
"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "ABEC.DE",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Communication Services",
"match_score": 15.433006,
"sentiment_score": 0.872,
"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOOG",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Communication Services",
"match_score": 9.766768,
"sentiment_score": 0.872,
"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOOGL",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Communication Services",
"match_score": 15.432709,
"sentiment_score": 0.872,
"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "SEMR",
"name": "SEMrush Holdings, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Technology",
"match_score": 30.589111,
"sentiment_score": 0.5859,
"highlights": [
{
"highlight": "., Similarweb, Amazon, <em>Semrush</em> <em>Holdings</em> <em>Inc</em>., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.5859,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOOGL.MX",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Communication Services",
"match_score": 15.432117,
"sentiment_score": 0.872,
"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
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]
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{
"symbol": "GOOG.MX",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Communication Services",
"match_score": 15.432117,
"sentiment_score": 0.872,
"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOOGL.BA",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "ar",
"type": "equity",
"industry": "Communication Services",
"match_score": 15.431359,
"sentiment_score": 0.872,
"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOGLD.BA",
"name": "ALPHABET INC",
"exchange": null,
"exchange_long": null,
"country": "ar",
"type": "equity",
"industry": "N/A",
"match_score": 15.431325,
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"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
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},
{
"symbol": "GOOGL.SN",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Communication Services",
"match_score": 15.430845,
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"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOOG.SN",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Communication Services",
"match_score": 15.430845,
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"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOOGCL.SN",
"name": "Alphabet Inc.",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "N/A",
"match_score": 15.430845,
"sentiment_score": 0.872,
"highlights": [
{
"highlight": "Some prominent players in the competitive intelligence market report include <em>Alphabet</em> <em>Inc</em>., Similarweb, Amazon, Semrush Holdings Inc., Talkwalker, Klue, Octopus Intelligence, Nielsen Holdings, Contify Inc., Evalueserve, and others.\n\nLooking Exclusively For Region/Country Specific Report?",
"sentiment": 0.872,
"highlighted_in": "main_text"
}
]
}
]
}
]
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{
"uuid": "f34f8a09-d8d5-4b7e-93c4-9da278a09655",
"title": "EFA: World Equity Exposure For A Diversified Portfolio",
"description": "The iShares MSCI EAFE ETF is a cornerstone of portfolio composition, representing true global equities exposure. Read more to see our analysis on EFA ETF.",
"keywords": "",
"snippet": "Daniel Grizelj\n\nThesis\n\nThe iShares MSCI EAFE ETF (NYSEARCA:EFA) is an equity exchange-traded fund. The fund represents the main offering for EMEA equities aggr...",
"url": "https://seekingalpha.com/article/4686106-efa-world-equity-exposure-for-diversified-portfolio",
"image_url": "https://static.seekingalpha.com/cdn/s3/uploads/getty_images/1416933677/image_1416933677.jpg?io=getty-c-w1536",
"language": "en",
"published_at": "2024-04-25T14:54:25.000000Z",
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{
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"name": "ASML Holding N.V.",
"exchange": null,
"exchange_long": null,
"country": "nl",
"type": "equity",
"industry": "Technology",
"match_score": 21.63848,
"sentiment_score": 0.4767,
"highlights": [
{
"highlight": "The top-10 holdings in the fund represent 15.33% of the portfolio:\n\nTop Holdings (Fund Fact Sheet)\n\nPlease note that Novo Nordisk A/S (NVO) is a pharmaceutical company, while <em>ASML</em> <em>Holding</em> <em>N.V</em>. (ASML) is a semiconductor name.",
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"uuid": "d6258fb6-3fe1-420a-8e53-dbf1aa0bddf6",
"title": "Dividend Harvesting Portfolio Week 164: $16,400 Allocated, $1,466.94 Projected Dividends",
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"snippet": "PM Images\n\nIt feels like it's one thing after another as instability in the Middle East continues, the probability of a rate cut in May continues to decrease, a...",
"url": "https://seekingalpha.com/article/4685001-dividend-harvesting-portfolio-week-164-16400-allocated-1466-94-in-projected-dividends",
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{
"highlight": "The <em>S</em>&<em>P</em> <em>500</em> has fallen for six consecutive sessions and finished the week down -3.71%, while the Nasdaq declined by -5.89%. On Friday shares of NFLX fell -9.09% as -$55.52 was shed from its share value after disclosing that they will no longer report their subscriber numbers starting in Q1 of 2025.",
"sentiment": 0.2732,
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"highlight": "I am thinking about the Neos <em>S</em>&<em>P</em> <em>500</em> High Income ETF (SPYI) and the Neos Nasdaq 100 High Income ETF (QQQI) as they will generate significant income and follow the markets higher to a degree if the markets rally throughout earnings season.",
"sentiment": 0.2023,
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"highlight": "PM Images\n\nIt feels like it's one thing after another as instability in the Middle East continues, the probability of a rate cut in May continues to decrease, and two major companies, Netflix (NFLX) and <em>Nvidia</em> (NVDA), led the markets lower on Friday.",
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"highlight": "Shares of NVDA dropped by -$84.71 or -10% on Friday after <em>Super</em> <em>Micro</em> <em>Computer</em> (SCMI) tumbled by more than -20% as speculations regarding a slowdown in sales circulated the investment community.",
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"match_score": 6.793785,
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"highlight": "All eyes will be focused on big tech as 5 of the Magnificent 7 report over the next 2 weeks as investors hope that earnings beat all around, excluding <em>Tesla</em> (TSLA), will be enough to negate any hawkish remarks from Fed Chair Powell at the upcoming FOMC meeting on May 1st.",
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"highlight": "PM Images\n\nIt feels like it's one thing after another as instability in the Middle East continues, the probability of a rate cut in May continues to decrease, and two major companies, <em>Netflix</em> (NFLX) and Nvidia (NVDA), led the markets lower on Friday.",
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{
"highlight": "They just acquired <em>Seagen</em> and I don't see a scenario where Pfizer disappears.\n\nPfizer just backstopped the dividend by providing its 13 th annualized increase and has now gone into its 34 th year of paying a dividend.\n\nannualized increase and has now gone into its 34 year of paying a dividend.",
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"match_score": 17.393974,
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"highlight": "Steven Fiorillo, Seeking Alpha Steven Fiorillo, Seeking Alpha Steven Fiorillo, Seeking Alpha\n\nWell, it happened, and Realty Income is now part of the top-10 holdings as it has knocked out the <em>BlackRock</em> <em>Science</em> <em>and</em> <em>Technology</em> <em>Trust</em> (BST). Altria Group is still above 4.5% of the portfolio but is now the only position above 4%.",
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"keywords": "",
"snippet": "MicroStockHub\n\nThe upward market trajectory continued in March, with global stock indices recording their longest positive monthly streak since 2021. Both U.S. ...",
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"highlight": "(JPM) 2.12% 4,851 <em>Allianz</em> <em>SE</em> (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
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"highlight": "(JPM) 2.12% 4,851 <em>Allianz</em> <em>SE</em> (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
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},
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{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 <em>Unilever</em> <em>NV</em> ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
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"symbol": "ALIZF",
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"match_score": 5.864031,
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"highlight": "(JPM) 2.12% 4,851 <em>Allianz</em> <em>SE</em> (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
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{
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"match_score": 17.456474,
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"highlights": [
{
"highlight": "These numbers are exceptionally strong, but quarterly comparisons benefit from two special effects: (1) the semi-annual dividend payment of the <em>Commonwealth</em> <em>Bank</em> <em>of</em> <em>Australia</em> (OTCPK:CBAUF) and (2) Hercules Capital's odd dividend payment schedule distorts quarterly comparisons.",
"sentiment": 0.5834,
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{
"highlight": "portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's (MCD) 3.02% 6,914 Main Street Capital Corporation (MAIN) 2.48% 5,683 <em>Commonwealth</em>",
"sentiment": 0.5859,
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},
{
"highlight": "<em>Bank</em> <em>of</em> <em>Australia</em> (OTCPK:CBAUF) 2.48% 5,683 Broadcom (AVGO) 2.29% 5,234 Cisco Systems, Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
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]
},
{
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"match_score": 17.45639,
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"highlights": [
{
"highlight": "These numbers are exceptionally strong, but quarterly comparisons benefit from two special effects: (1) the semi-annual dividend payment of the <em>Commonwealth</em> <em>Bank</em> <em>of</em> <em>Australia</em> (OTCPK:CBAUF) and (2) Hercules Capital's odd dividend payment schedule distorts quarterly comparisons.",
"sentiment": 0.5834,
"highlighted_in": "main_text"
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{
"highlight": "portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's (MCD) 3.02% 6,914 Main Street Capital Corporation (MAIN) 2.48% 5,683 <em>Commonwealth</em>",
"sentiment": 0.5859,
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{
"highlight": "<em>Bank</em> <em>of</em> <em>Australia</em> (OTCPK:CBAUF) 2.48% 5,683 Broadcom (AVGO) 2.29% 5,234 Cisco Systems, Inc.",
"sentiment": 0,
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]
},
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}
]
},
{
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"match_score": 13.592003,
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{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 <em>Canadian</em> <em>Imperial</em> <em>Bank</em> <em>of</em> <em>Commerce</em> (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 Owl Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 Exxon Mobil Corporation (XOM) 0.27% 622",
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"highlighted_in": "main_text"
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},
{
"symbol": "TDBKF",
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"match_score": 19.29336,
"sentiment_score": 0.418,
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{
"highlight": "Carey (WPC), Altria (MO), Cisco Systems (CSCO), JPMorgan, <em>Toronto</em>-<em>Dominion</em> <em>Bank</em>, Bank of Nova Scotia, Stryker (SYK), Medtronic (MDT) as well as ongoing investments into stocks like Rithm Capital (RITM) and Annaly Capital (NLY), it surely is going to be a big month that should easily set a new all-time dividend record for the month of April.",
"sentiment": 0.836,
"highlighted_in": "main_text"
},
{
"highlight": "(GILD) 1.26% 2,888 <em>Toronto</em>-<em>Dominion</em> <em>Bank</em> (TD) 1.25% 2,857 Bank of Nova Scotia (BNS) 1.19% 2,727 Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 Intel Corporation (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty",
"sentiment": 0,
"highlighted_in": "main_text"
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},
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"match_score": 9.729996,
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"highlights": [
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 <em>Gladstone</em> <em>Commercial</em> <em>Corporation</em> (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
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},
{
"symbol": "TORDF",
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"exchange": null,
"exchange_long": null,
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"match_score": 19.293259,
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"highlights": [
{
"highlight": "Carey (WPC), Altria (MO), Cisco Systems (CSCO), JPMorgan, <em>Toronto</em>-<em>Dominion</em> <em>Bank</em>, Bank of Nova Scotia, Stryker (SYK), Medtronic (MDT) as well as ongoing investments into stocks like Rithm Capital (RITM) and Annaly Capital (NLY), it surely is going to be a big month that should easily set a new all-time dividend record for the month of April.",
"sentiment": 0.836,
"highlighted_in": "main_text"
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"highlight": "(GILD) 1.26% 2,888 <em>Toronto</em>-<em>Dominion</em> <em>Bank</em> (TD) 1.25% 2,857 Bank of Nova Scotia (BNS) 1.19% 2,727 Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 Intel Corporation (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty",
"sentiment": 0,
"highlighted_in": "main_text"
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]
},
{
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"match_score": 8.538534,
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"highlight": "(CSCO) 2.24% 5,130 Hercules Capital (HTGC) 2.13% 4,868 <em>JPMorgan</em> <em>Chase</em> & <em>Co</em>. (JPM) 2.12% 4,851 Allianz SE (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
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{
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"match_score": 8.538527,
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{
"highlight": "(CSCO) 2.24% 5,130 Hercules Capital (HTGC) 2.13% 4,868 <em>JPMorgan</em> <em>Chase</em> & <em>Co</em>. (JPM) 2.12% 4,851 Allianz SE (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
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"match_score": 6.904732,
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{
"highlight": "(T) 1.79% 4,109 <em>Johnson</em> & <em>Johnson</em> (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 Texas Instruments Incorporated (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 Gilead Sciences, Inc.",
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},
{
"symbol": "DJNJ3.BA",
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{
"highlight": "(T) 1.79% 4,109 <em>Johnson</em> & <em>Johnson</em> (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 Texas Instruments Incorporated (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 Gilead Sciences, Inc.",
"sentiment": 0.25,
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}
]
},
{
"symbol": "NVDA.BA",
"name": "NVIDIA Corporation",
"exchange": null,
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"country": "ar",
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"match_score": 10.376024,
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{
"highlight": "<em>Nvidia</em> CEO Jensen Huang's proclamation echoed:\n\nGenerative AI is the defining technology of our time. Blackwell is the engine to power this new industrial revolution.\"\n\nIn my view, Blackwell's arrival not only ushers in a new way of computing, but it ultimately heralds the last era of civilization.",
"sentiment": 0,
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{
"highlight": "While the future holds immense promise, in the present moment, analysts have raised their price targets for <em>NVIDIA</em>. However, the stock's response has been subdued, and that is actually a good thing to shake out some of the ecstatic euphoria. I never think or even worry about short-term fluctuations, and I am only interested in the long term.",
"sentiment": 0.8979,
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},
{
"highlight": "And if <em>Nvidia</em> can dominate the AI software space, to a moderate degree, akin to tis hardware dominance, I have no doubt to be able to witness <em>Nvidia</em> becoming the first $5T company latest by the end of this decade.",
"sentiment": -0.5267,
"highlighted_in": "main_text"
},
{
"highlight": "Portfolio Changes in March\n\nMarch saw robust investment activity as I managed to put around $1,700 into the market, mostly focusing on my go-to favorite, BDCs, despite net investments only totaling around $700 as I trimmed a share of <em>Nvidia</em> in order to take some profits.",
"sentiment": 0.8591,
"highlighted_in": "main_text"
},
{
"highlight": "I remain super confident in <em>Nvidia</em> in the long run, but it looks like the stock has lost its momentum for now, which is actually healthy, and I rather invest more into BDCs as I am hungry for cash.",
"sentiment": 0.8126,
"highlighted_in": "main_text"
},
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 <em>NVIDIA</em> <em>Corporation</em> (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "VZ.BA",
"name": "Verizon Communications Inc.",
"exchange": null,
"exchange_long": null,
"country": "ar",
"type": "equity",
"industry": "Communication Services",
"match_score": 9.024635,
"sentiment_score": 0.1366,
"highlights": [
{
"highlight": "Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892 CVS Health (CVS) 0.39% 891 Royal Bank of Canada (RY) 0.38% 863 Apple Hospitality REIT (APLE) 0.36% 831 3M Co (MMM) 0.35% 800 Annaly Capital Management (NLY) 0.35% 791 NextEra Energy Partners LP (NEP) 0.33% 764 <em>Verizon</em>",
"sentiment": 0.2732,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Communications</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "TGT.BA",
"name": "Target Corporation",
"exchange": null,
"exchange_long": null,
"country": "ar",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 6.013115,
"sentiment_score": 0.1702,
"highlights": [
{
"highlight": "2019: 142 hours GWT, $3,600 in annual net dividends\n\n2020: 152 hours GWT, $3,800 in annual net dividends\n\n2021: 180 hours GWT, $5,050 in annual net dividends\n\n2022: 229 hours GWT, $6,400 in annual net dividends\n\n2023: 272 hours GWT, $8,800 in annual net dividends\n\n2024: Targeting at least 248 hours GWT, $9,000 in annual net dividends\n\nThe overall <em>target</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "Still, as the year unfolds, I do expect to be able to pass that <em>target</em> and potentially even reach my next milestone of $10,000 as well. That would be a great achievement, but nothing I am banking on to reach this year - it would be the icing on the cake.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
},
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 <em>Target</em> <em>Corporation</em> (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PFED.BA",
"name": "PFIZER INC",
"exchange": null,
"exchange_long": null,
"country": "ar",
"type": "equity",
"industry": "N/A",
"match_score": 5.685568,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 Colgate-Palmolive Company (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 <em>Pfizer</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PEP.BA",
"name": "PepsiCo, Inc.",
"exchange": null,
"exchange_long": null,
"country": "ar",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 6.672652,
"sentiment_score": 0,
"highlights": [
{
"highlight": "Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 Intel Corporation (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty Income (O) 0.80% 1,825 Procter & Gamble (PG) 0.77% 1,759 Morgan Stanley (MS) 0.76% 1,736 <em>PepsiCo</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": ", <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "BAYN.BA",
"name": "BAYER AG",
"exchange": null,
"exchange_long": null,
"country": "ar",
"type": "equity",
"industry": "N/A",
"match_score": 6.413845,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(PFE) 0.14% 317 Alibaba Group Holding (BABA) 0.14% 312 Walgreens Boots Alliance (WBA) 0.13% 292 Goldman Sachs BDC (GSBD) 0.13% 287 BRT Apartments (BRT) 0.11% 263 ZIM Integrated Shipping Services (ZIM) 0.11% 257 Blue Owl Capital (OWL) 0.11% 244 <em>Bayer</em> <em>AG</em> (OTCPK:BAYZF) 0.07% 162 Equitrans Midstream Corporation (ETRN) 0.07% 156 Fresenius SE (OTCPK:FSNUF",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "JPMC.BA",
"name": "JPMORGAN CHASE &CO",
"exchange": null,
"exchange_long": null,
"country": "ar",
"type": "equity",
"industry": "N/A",
"match_score": 9.459385,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(CSCO) 2.24% 5,130 Hercules Capital (HTGC) 2.13% 4,868 <em>JPMorgan</em> <em>Chase</em> & <em>Co</em>. (JPM) 2.12% 4,851 Allianz SE (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GILDD.BA",
"name": "GILEAD SCIENCES",
"exchange": null,
"exchange_long": null,
"country": "ar",
"type": "equity",
"industry": "N/A",
"match_score": 9.48785,
"sentiment_score": 0.25,
"highlights": [
{
"highlight": "(T) 1.79% 4,109 Johnson & Johnson (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 Texas Instruments Incorporated (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 <em>Gilead</em> <em>Sciences</em>, Inc.",
"sentiment": 0.25,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "MSFT.SN",
"name": "Microsoft Corporation",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Technology",
"match_score": 4.855821,
"sentiment_score": 0.5859,
"highlights": [
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 <em>Microsoft</em> <em>Corporation</em> (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "HON.SN",
"name": "Honeywell International Inc.",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Industrials",
"match_score": 8.768034,
"sentiment_score": 0.5106,
"highlights": [
{
"highlight": "(PEP) 0.75% 1,718 Bank of America (BAC) 0.62% 1,410 <em>Honeywell</em> <em>International</em> <em>Inc</em>. (HON) 0.60% 1,374 Philip Morris International Inc. (PM) 0.59% 1,355 Starwood Property Trust, Inc.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "TGT.SN",
"name": "Target Corporation",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 6.013099,
"sentiment_score": 0.1702,
"highlights": [
{
"highlight": "2019: 142 hours GWT, $3,600 in annual net dividends\n\n2020: 152 hours GWT, $3,800 in annual net dividends\n\n2021: 180 hours GWT, $5,050 in annual net dividends\n\n2022: 229 hours GWT, $6,400 in annual net dividends\n\n2023: 272 hours GWT, $8,800 in annual net dividends\n\n2024: Targeting at least 248 hours GWT, $9,000 in annual net dividends\n\nThe overall <em>target</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "Still, as the year unfolds, I do expect to be able to pass that <em>target</em> and potentially even reach my next milestone of $10,000 as well. That would be a great achievement, but nothing I am banking on to reach this year - it would be the icing on the cake.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
},
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 <em>Target</em> <em>Corporation</em> (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "VZ.SN",
"name": "Verizon Communications Inc.",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Communication Services",
"match_score": 9.024551,
"sentiment_score": 0.1366,
"highlights": [
{
"highlight": "Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892 CVS Health (CVS) 0.39% 891 Royal Bank of Canada (RY) 0.38% 863 Apple Hospitality REIT (APLE) 0.36% 831 3M Co (MMM) 0.35% 800 Annaly Capital Management (NLY) 0.35% 791 NextEra Energy Partners LP (NEP) 0.33% 764 <em>Verizon</em>",
"sentiment": 0.2732,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Communications</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "TGTCL.SN",
"name": "Target Corporation",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "N/A",
"match_score": 6.013099,
"sentiment_score": 0.1702,
"highlights": [
{
"highlight": "2019: 142 hours GWT, $3,600 in annual net dividends\n\n2020: 152 hours GWT, $3,800 in annual net dividends\n\n2021: 180 hours GWT, $5,050 in annual net dividends\n\n2022: 229 hours GWT, $6,400 in annual net dividends\n\n2023: 272 hours GWT, $8,800 in annual net dividends\n\n2024: Targeting at least 248 hours GWT, $9,000 in annual net dividends\n\nThe overall <em>target</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "Still, as the year unfolds, I do expect to be able to pass that <em>target</em> and potentially even reach my next milestone of $10,000 as well. That would be a great achievement, but nothing I am banking on to reach this year - it would be the icing on the cake.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
},
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 <em>Target</em> <em>Corporation</em> (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "INTC.SN",
"name": "Intel Corporation",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Technology",
"match_score": 5.630813,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(GILD) 1.26% 2,888 Toronto-Dominion Bank (TD) 1.25% 2,857 Bank of Nova Scotia (BNS) 1.19% 2,727 Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 <em>Intel</em> <em>Corporation</em> (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "JPMCL.SN",
"name": "JPMORGAN CHASE &CO",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "N/A",
"match_score": 9.459351,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(CSCO) 2.24% 5,130 Hercules Capital (HTGC) 2.13% 4,868 <em>JPMorgan</em> <em>Chase</em> & <em>Co</em>. (JPM) 2.12% 4,851 Allianz SE (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PFECL.SN",
"name": "PFIZER INC",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "N/A",
"match_score": 5.685467,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 Colgate-Palmolive Company (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 <em>Pfizer</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "XOM.SN",
"name": "Exxon Mobil Corporation",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Energy",
"match_score": 10.838793,
"sentiment_score": 0.7579,
"highlights": [
{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 Canadian Imperial Bank of Commerce (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 Owl Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 <em>Exxon</em> <em>Mobil</em> <em>Corporation</em> (XOM) 0.27% 622",
"sentiment": 0.7579,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PEP.SN",
"name": "PepsiCo, Inc.",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 6.67239,
"sentiment_score": 0,
"highlights": [
{
"highlight": "Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 Intel Corporation (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty Income (O) 0.80% 1,825 Procter & Gamble (PG) 0.77% 1,759 Morgan Stanley (MS) 0.76% 1,736 <em>PepsiCo</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": ", <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "MSCL.SN",
"name": "MORGAN STANLEY",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "N/A",
"match_score": 7.090603,
"sentiment_score": 0,
"highlights": [
{
"highlight": "of Nova Scotia (BNS) 1.19% 2,727 Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 Intel Corporation (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty Income (O) 0.80% 1,825 Procter & Gamble (PG) 0.77% 1,759 <em>Morgan</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Stanley</em> (MS) 0.76% 1,736 PepsiCo, Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PFE.SN",
"name": "Pfizer Inc.",
"exchange": null,
"exchange_long": null,
"country": "cl",
"type": "equity",
"industry": "Healthcare",
"match_score": 5.685467,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 Colgate-Palmolive Company (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 <em>Pfizer</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "^GSPC",
"name": "S&P 500",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "index",
"industry": "N/A",
"match_score": 6.81353,
"sentiment_score": 0.8885,
"highlights": [
{
"highlight": "Both U.S. and non-U.S. stocks rose by 3% in March, and the <em>S</em>&<em>P</em> <em>500</em> index notched its best start to a year since 2019, positioning itself for further gains. Closing the month at 5,137 points, it confidently surpassed the psychologically significant 5,000-point mark. The DJIA maintained its mediocre stride, recording a modest uptick of 0.1%.",
"sentiment": 0.8885,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "^SPX",
"name": "S&P 500 INDEX",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "index",
"industry": "N/A",
"match_score": 9.393532,
"sentiment_score": 0.8885,
"highlights": [
{
"highlight": "Both U.S. and non-U.S. stocks rose by 3% in March, and the <em>S</em>&<em>P</em> <em>500</em> <em>index</em> notched its best start to a year since 2019, positioning itself for further gains. Closing the month at 5,137 points, it confidently surpassed the psychologically significant 5,000-point mark. The DJIA maintained its mediocre stride, recording a modest uptick of 0.1%.",
"sentiment": 0.8885,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "ARCC",
"name": "Ares Capital Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 18.38567,
"sentiment_score": 0.2705,
"highlights": [
{
"highlight": "My main picks were <em>Ares</em> <em>Capital</em> (ARCC), the Goldman Sachs BDC (GSBD) and Hercules Capital (HTGC), all big players in the sector alongside the leader, Main Street Capital (MAIN). They have been building up some hefty spillover dividends over the past year, which as a financial cushion.",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "Beyond that, on an annual basis, the biggest income driver is by far <em>Ares</em> <em>Capital</em> <em>Corporation</em>, a stock I am running at minimum on a bi-weekly savings plan (but most of the time I am buying stock at least once per week and sometimes daily) and where my contributions quickly translated into meaningful dividend income.",
"sentiment": 0.3182,
"highlighted_in": "main_text"
},
{
"highlight": "The importance of <em>Ares</em> <em>Capital</em> <em>Corporation</em> is clear, with a reddish circle indicating the massive jump in dividend income over the last 12 months due to heavy ongoing monthly investments, and I have no plans to stop these monthly savings plans.",
"sentiment": 0.1779,
"highlighted_in": "main_text"
},
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 <em>Ares</em> <em>Capital</em> (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "NVDA",
"name": "NVIDIA Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Technology",
"match_score": 10.375443,
"sentiment_score": 0.438133,
"highlights": [
{
"highlight": "<em>Nvidia</em> CEO Jensen Huang's proclamation echoed:\n\nGenerative AI is the defining technology of our time. Blackwell is the engine to power this new industrial revolution.\"\n\nIn my view, Blackwell's arrival not only ushers in a new way of computing, but it ultimately heralds the last era of civilization.",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "While the future holds immense promise, in the present moment, analysts have raised their price targets for <em>NVIDIA</em>. However, the stock's response has been subdued, and that is actually a good thing to shake out some of the ecstatic euphoria. I never think or even worry about short-term fluctuations, and I am only interested in the long term.",
"sentiment": 0.8979,
"highlighted_in": "main_text"
},
{
"highlight": "And if <em>Nvidia</em> can dominate the AI software space, to a moderate degree, akin to tis hardware dominance, I have no doubt to be able to witness <em>Nvidia</em> becoming the first $5T company latest by the end of this decade.",
"sentiment": -0.5267,
"highlighted_in": "main_text"
},
{
"highlight": "Portfolio Changes in March\n\nMarch saw robust investment activity as I managed to put around $1,700 into the market, mostly focusing on my go-to favorite, BDCs, despite net investments only totaling around $700 as I trimmed a share of <em>Nvidia</em> in order to take some profits.",
"sentiment": 0.8591,
"highlighted_in": "main_text"
},
{
"highlight": "I remain super confident in <em>Nvidia</em> in the long run, but it looks like the stock has lost its momentum for now, which is actually healthy, and I rather invest more into BDCs as I am hungry for cash.",
"sentiment": 0.8126,
"highlighted_in": "main_text"
},
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 <em>NVIDIA</em> <em>Corporation</em> (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "MSFT",
"name": "Microsoft Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Technology",
"match_score": 4.855176,
"sentiment_score": 0.5859,
"highlights": [
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 <em>Microsoft</em> <em>Corporation</em> (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "CSCO",
"name": "Cisco Systems, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Technology",
"match_score": 11.29983,
"sentiment_score": 0.278667,
"highlights": [
{
"highlight": "Carey (WPC), Altria (MO), <em>Cisco</em> <em>Systems</em> (CSCO), JPMorgan, Toronto-Dominion Bank, Bank of Nova Scotia, Stryker (SYK), Medtronic (MDT) as well as ongoing investments into stocks like Rithm Capital (RITM) and Annaly Capital (NLY), it surely is going to be a big month that should easily set a new all-time dividend record for the month of April.",
"sentiment": 0.836,
"highlighted_in": "main_text"
},
{
"highlight": "Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's (MCD) 3.02% 6,914 Main Street Capital Corporation (MAIN) 2.48% 5,683 Commonwealth Bank of Australia (OTCPK:CBAUF) 2.48% 5,683 Broadcom (AVGO) 2.29% 5,234 <em>Cisco</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Systems</em>, <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOOD",
"name": "Gladstone Commercial Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Real Estate",
"match_score": 9.728884,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 <em>Gladstone</em> <em>Commercial</em> <em>Corporation</em> (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GAIN",
"name": "Gladstone Investment Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 11.840811,
"sentiment_score": 0.33525,
"highlights": [
{
"highlight": "That number is significantly below December 2023 which benefitted from a massive special dividend from <em>Gladstone</em> <em>Investment</em> <em>Corporation</em> (GAIN) but up strongly on a Y/Y basis as income in March 2023 \"only\" amounted to $113 compared to $143 this year.",
"sentiment": 0.6705,
"highlighted_in": "main_text"
},
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 <em>Gladstone</em> <em>Investment</em> (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOODN",
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"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Real Estate",
"match_score": 9.728804,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 <em>Gladstone</em> <em>Commercial</em> <em>Corporation</em> (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GOODM",
"name": "Gladstone Commercial Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Real Estate",
"match_score": 9.728804,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 <em>Gladstone</em> <em>Commercial</em> <em>Corporation</em> (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GAINL",
"name": "Gladstone Investment Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 11.840696,
"sentiment_score": 0.33525,
"highlights": [
{
"highlight": "That number is significantly below December 2023 which benefitted from a massive special dividend from <em>Gladstone</em> <em>Investment</em> <em>Corporation</em> (GAIN) but up strongly on a Y/Y basis as income in March 2023 \"only\" amounted to $113 compared to $143 this year.",
"sentiment": 0.6705,
"highlighted_in": "main_text"
},
{
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"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GAINM",
"name": "Gladstone Investment Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 11.840696,
"sentiment_score": 0.33525,
"highlights": [
{
"highlight": "That number is significantly below December 2023 which benefitted from a massive special dividend from <em>Gladstone</em> <em>Investment</em> <em>Corporation</em> (GAIN) but up strongly on a Y/Y basis as income in March 2023 \"only\" amounted to $113 compared to $143 this year.",
"sentiment": 0.6705,
"highlighted_in": "main_text"
},
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 <em>Gladstone</em> <em>Investment</em> (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "DHC",
"name": "Diversified Healthcare Trust",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Real Estate",
"match_score": 10.056068,
"sentiment_score": 0.77855,
"highlights": [
{
"highlight": "BRT) 0.11% 263 ZIM Integrated Shipping Services (ZIM) 0.11% 257 Blue Owl Capital (OWL) 0.11% 244 Bayer AG (OTCPK:BAYZF) 0.07% 162 Equitrans Midstream Corporation (ETRN) 0.07% 156 Fresenius SE (OTCPK:FSNUF) 0.06% 145 Capital Southwest (CSWC) 0.06% 129 Blackstone Secured Lending Trust (BXSL) 0.05% 120 Boeing (BA) 0.05% 109 Uniti Group (UNIT) 0.04% 98 <em>Diversified</em>",
"sentiment": 0.7184,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Healthcare</em> <em>Trust</em> (DHC) 0.04% 95 The GEO Group Inc (GEO) 0.04% 94 Bank of Montreal (BMO) 0.04% 81 Fresenius Medical Care (FMS) 0.03% 68 NewtekOne (NEWT) 0.02% 50 FS KKR Capital (FSK) 0.01% 33 Service Properties Trust (SVC) 0.01% 28 Click to enlarge\n\nEditor's Note: This article discusses one or more securities that do not trade on a major U.S. exchange",
"sentiment": 0.8387,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "DHCNL",
"name": "Diversified Healthcare Trust",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "N/A",
"match_score": 10.056068,
"sentiment_score": 0.77855,
"highlights": [
{
"highlight": "BRT) 0.11% 263 ZIM Integrated Shipping Services (ZIM) 0.11% 257 Blue Owl Capital (OWL) 0.11% 244 Bayer AG (OTCPK:BAYZF) 0.07% 162 Equitrans Midstream Corporation (ETRN) 0.07% 156 Fresenius SE (OTCPK:FSNUF) 0.06% 145 Capital Southwest (CSWC) 0.06% 129 Blackstone Secured Lending Trust (BXSL) 0.05% 120 Boeing (BA) 0.05% 109 Uniti Group (UNIT) 0.04% 98 <em>Diversified</em>",
"sentiment": 0.7184,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Healthcare</em> <em>Trust</em> (DHC) 0.04% 95 The GEO Group Inc (GEO) 0.04% 94 Bank of Montreal (BMO) 0.04% 81 Fresenius Medical Care (FMS) 0.03% 68 NewtekOne (NEWT) 0.02% 50 FS KKR Capital (FSK) 0.01% 33 Service Properties Trust (SVC) 0.01% 28 Click to enlarge\n\nEditor's Note: This article discusses one or more securities that do not trade on a major U.S. exchange",
"sentiment": 0.8387,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GILD",
"name": "Gilead Sciences, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Healthcare",
"match_score": 10.472487,
"sentiment_score": 0.25,
"highlights": [
{
"highlight": "(T) 1.79% 4,109 Johnson & Johnson (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 Texas Instruments Incorporated (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 <em>Gilead</em> <em>Sciences</em>, <em>Inc</em>.",
"sentiment": 0.25,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PEP",
"name": "PepsiCo, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 6.671766,
"sentiment_score": 0,
"highlights": [
{
"highlight": "Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 Intel Corporation (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty Income (O) 0.80% 1,825 Procter & Gamble (PG) 0.77% 1,759 Morgan Stanley (MS) 0.76% 1,736 <em>PepsiCo</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": ", <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "TXN",
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"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
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"match_score": 10.749287,
"sentiment_score": 0.25,
"highlights": [
{
"highlight": "(T) 1.79% 4,109 Johnson & Johnson (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 <em>Texas</em> <em>Instruments</em> <em>Incorporated</em> (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 Gilead Sciences, Inc.",
"sentiment": 0.25,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "SVC",
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"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
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"match_score": 8.480274,
"sentiment_score": 0.63175,
"highlights": [
{
"highlight": ") 0.06% 145 Capital Southwest (CSWC) 0.06% 129 Blackstone Secured Lending Trust (BXSL) 0.05% 120 Boeing (BA) 0.05% 109 Uniti Group (UNIT) 0.04% 98 Diversified Healthcare Trust (DHC) 0.04% 95 The GEO Group Inc (GEO) 0.04% 94 Bank of Montreal (BMO) 0.04% 81 Fresenius Medical Care (FMS) 0.03% 68 NewtekOne (NEWT) 0.02% 50 FS KKR Capital (FSK) 0.01% 33 <em>Service</em>",
"sentiment": 0.91,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Properties</em> <em>Trust</em> (SVC) 0.01% 28 Click to enlarge\n\nEditor's Note: This article discusses one or more securities that do not trade on a major U.S. exchange.",
"sentiment": 0.3535,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "T",
"name": "AT&T Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Communication Services",
"match_score": 5.126546,
"sentiment_score": 0,
"highlights": [
{
"highlight": "Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 <em>AT</em>&<em>T</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "AM",
"name": "Antero Midstream Corporation",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Energy",
"match_score": 12.796425,
"sentiment_score": 0.7579,
"highlights": [
{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 Canadian Imperial Bank of Commerce (CM) 0.29% 673 <em>Antero</em> <em>Midstream</em> <em>Corporation</em> (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 Owl Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 Exxon Mobil Corporation (XOM) 0.27% 622",
"sentiment": 0.7579,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "BGS",
"name": "B&G Foods, Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 10.383764,
"sentiment_score": 0.4939,
"highlights": [
{
"highlight": "Finance (ARI) 0.23% 537 Kinder Morgan (KMI) 0.21% 476 <em>B</em>&<em>G</em> <em>Foods</em>, <em>Inc</em>. (BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 Colgate-Palmolive Company (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 Pfizer Inc.",
"sentiment": 0.4939,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "BMO",
"name": "Bank of Montreal",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 7.49662,
"sentiment_score": 0.8453,
"highlights": [
{
"highlight": "Capital (OWL) 0.11% 244 Bayer AG (OTCPK:BAYZF) 0.07% 162 Equitrans Midstream Corporation (ETRN) 0.07% 156 Fresenius SE (OTCPK:FSNUF) 0.06% 145 Capital Southwest (CSWC) 0.06% 129 Blackstone Secured Lending Trust (BXSL) 0.05% 120 Boeing (BA) 0.05% 109 Uniti Group (UNIT) 0.04% 98 Diversified Healthcare Trust (DHC) 0.04% 95 The GEO Group Inc (GEO) 0.04% 94 <em>Bank</em>",
"sentiment": 0.8519,
"highlighted_in": "main_text"
},
{
"highlight": "<em>of</em> <em>Montreal</em> (BMO) 0.04% 81 Fresenius Medical Care (FMS) 0.03% 68 NewtekOne (NEWT) 0.02% 50 FS KKR Capital (FSK) 0.01% 33 Service Properties Trust (SVC) 0.01% 28 Click to enlarge\n\nEditor's Note: This article discusses one or more securities that do not trade on a major U.S. exchange.",
"sentiment": 0.8387,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "RY",
"name": "Royal Bank of Canada",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 9.210457,
"sentiment_score": 0.1366,
"highlights": [
{
"highlight": "SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892 CVS Health (CVS) 0.39% 891 <em>Royal</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Bank</em> <em>of</em> <em>Canada</em> (RY) 0.38% 863 Apple Hospitality REIT (APLE) 0.36% 831 3M Co (MMM) 0.35% 800 Annaly Capital Management (NLY) 0.35% 791 NextEra Energy Partners LP (NEP) 0.33% 764 Verizon Communications Inc.",
"sentiment": 0.2732,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "CM",
"name": "Canadian Imperial Bank of Commerce",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 13.591743,
"sentiment_score": 0.7579,
"highlights": [
{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 <em>Canadian</em> <em>Imperial</em> <em>Bank</em> <em>of</em> <em>Commerce</em> (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 Owl Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 Exxon Mobil Corporation (XOM) 0.27% 622",
"sentiment": 0.7579,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "XOM",
"name": "Exxon Mobil Corporation",
"exchange": null,
"exchange_long": null,
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"type": "equity",
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"match_score": 10.837967,
"sentiment_score": 0.7579,
"highlights": [
{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 Canadian Imperial Bank of Commerce (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 Owl Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 <em>Exxon</em> <em>Mobil</em> <em>Corporation</em> (XOM) 0.27% 622",
"sentiment": 0.7579,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "JPM",
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"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Financial Services",
"match_score": 8.53849,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(CSCO) 2.24% 5,130 Hercules Capital (HTGC) 2.13% 4,868 <em>JPMorgan</em> <em>Chase</em> & <em>Co</em>. (JPM) 2.12% 4,851 Allianz SE (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "VZ",
"name": "Verizon Communications Inc.",
"exchange": null,
"exchange_long": null,
"country": "us",
"type": "equity",
"industry": "Communication Services",
"match_score": 9.024084,
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"highlights": [
{
"highlight": "Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892 CVS Health (CVS) 0.39% 891 Royal Bank of Canada (RY) 0.38% 863 Apple Hospitality REIT (APLE) 0.36% 831 3M Co (MMM) 0.35% 800 Annaly Capital Management (NLY) 0.35% 791 NextEra Energy Partners LP (NEP) 0.33% 764 <em>Verizon</em>",
"sentiment": 0.2732,
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{
"highlight": "<em>Communications</em> <em>Inc</em>.",
"sentiment": 0,
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},
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"symbol": "MAIN",
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"match_score": 12.971117,
"sentiment_score": 0.3282,
"highlights": [
{
"highlight": "My main picks were Ares Capital (ARCC), the Goldman Sachs BDC (GSBD) and Hercules Capital (HTGC), all big players in the sector alongside the leader, <em>Main</em> <em>Street</em> <em>Capital</em> (MAIN). They have been building up some hefty spillover dividends over the past year, which as a financial cushion.",
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{
"highlight": "Similarly striking is that net dividends from monthly dividend payers have again comfortably cleared the $100 level thanks to the big supplemental dividend from <em>Main</em> <em>Street</em> <em>Capital</em>.",
"sentiment": 0.7269,
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{
"highlight": "Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's (MCD) 3.02% 6,914 <em>Main</em>",
"sentiment": 0.5859,
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},
{
"highlight": "<em>Street</em> <em>Capital</em> <em>Corporation</em> (MAIN) 2.48% 5,683 Commonwealth Bank of Australia (OTCPK:CBAUF) 2.48% 5,683 Broadcom (AVGO) 2.29% 5,234 Cisco Systems, Inc.",
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"highlights": [
{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 <em>Colgate</em>-<em>Palmolive</em> <em>Company</em> (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 Pfizer Inc.",
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{
"highlight": "(PFE) 0.14% 317 Alibaba Group Holding (BABA) 0.14% 312 Walgreens Boots Alliance (WBA) 0.13% 292 Goldman Sachs BDC (GSBD) 0.13% 287 BRT Apartments (BRT) 0.11% 263 ZIM Integrated Shipping Services (ZIM) 0.11% 257 Blue Owl Capital (OWL) 0.11% 244 Bayer AG (OTCPK:BAYZF) 0.07% 162 <em>Equitrans</em> <em>Midstream</em> <em>Corporation</em> (ETRN) 0.07% 156 Fresenius SE (OTCPK:FSNUF",
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"match_score": 11.935385,
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{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 Canadian Imperial Bank of Commerce (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 <em>Owl</em> <em>Rock</em> <em>Capital</em> <em>Corporation</em> (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 Exxon Mobil Corporation (XOM) 0.27% 622",
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"match_score": 14.683571,
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"highlights": [
{
"highlight": "1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892 CVS Health (CVS) 0.39% 891 Royal Bank of Canada (RY) 0.38% 863 Apple Hospitality REIT (APLE) 0.36% 831 3M Co (MMM) 0.35% 800 Annaly Capital Management (NLY) 0.35% 791 <em>NextEra</em>",
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"highlighted_in": "main_text"
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{
"highlight": "<em>Energy</em> <em>Partners</em> <em>LP</em> (NEP) 0.33% 764 Verizon Communications Inc.",
"sentiment": 0,
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]
},
{
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"match_score": 7.66696,
"sentiment_score": 0.8453,
"highlights": [
{
"highlight": "Services (ZIM) 0.11% 257 Blue Owl Capital (OWL) 0.11% 244 Bayer AG (OTCPK:BAYZF) 0.07% 162 Equitrans Midstream Corporation (ETRN) 0.07% 156 Fresenius SE (OTCPK:FSNUF) 0.06% 145 Capital Southwest (CSWC) 0.06% 129 Blackstone Secured Lending Trust (BXSL) 0.05% 120 Boeing (BA) 0.05% 109 Uniti Group (UNIT) 0.04% 98 Diversified Healthcare Trust (DHC) 0.04% 95 <em>The</em>",
"sentiment": 0.8519,
"highlighted_in": "main_text"
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{
"highlight": "<em>GEO</em> <em>Group</em> <em>Inc</em> (GEO) 0.04% 94 Bank of Montreal (BMO) 0.04% 81 Fresenius Medical Care (FMS) 0.03% 68 NewtekOne (NEWT) 0.02% 50 FS KKR Capital (FSK) 0.01% 33 Service Properties Trust (SVC) 0.01% 28 Click to enlarge\n\nEditor's Note: This article discusses one or more securities that do not trade on a major U.S. exchange.",
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},
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{
"highlight": "(PEP) 0.75% 1,718 Bank of America (BAC) 0.62% 1,410 <em>Honeywell</em> <em>International</em> <em>Inc</em>. (HON) 0.60% 1,374 Philip Morris International Inc. (PM) 0.59% 1,355 Starwood Property Trust, Inc.",
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{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 Colgate-Palmolive Company (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 <em>Pfizer</em> <em>Inc</em>.",
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"highlight": "(HON) 0.60% 1,374 <em>Philip</em> <em>Morris</em> <em>International</em> <em>Inc</em>. (PM) 0.59% 1,355 Starwood Property Trust, Inc.",
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"highlight": "(PM) 0.59% 1,355 <em>Starwood</em> <em>Property</em> <em>Trust</em>, <em>Inc</em>.",
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{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 Colgate-Palmolive Company (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 <em>Pfizer</em> <em>Inc</em>.",
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"match_score": 6.904659,
"sentiment_score": 0.25,
"highlights": [
{
"highlight": "(T) 1.79% 4,109 <em>Johnson</em> & <em>Johnson</em> (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 Texas Instruments Incorporated (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 Gilead Sciences, Inc.",
"sentiment": 0.25,
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"exchange": null,
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{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 Canadian Imperial Bank of Commerce (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 <em>Owl</em> Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 Exxon Mobil Corporation (XOM) 0.27% 622",
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{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 <em>Canadian</em> <em>Imperial</em> <em>Bank</em> <em>of</em> <em>Commerce</em> (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 Owl Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 Exxon Mobil Corporation (XOM) 0.27% 622",
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{
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{
"highlight": "(JPM) 2.12% 4,851 <em>Allianz</em> <em>SE</em> (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
"sentiment": 0,
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]
},
{
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{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 Canadian Imperial Bank of Commerce (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 Owl Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 <em>Exxon</em> <em>Mobil</em> <em>Corporation</em> (XOM) 0.27% 622",
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},
{
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"highlights": [
{
"highlight": "<em>Nvidia</em> CEO Jensen Huang's proclamation echoed:\n\nGenerative AI is the defining technology of our time. Blackwell is the engine to power this new industrial revolution.\"\n\nIn my view, Blackwell's arrival not only ushers in a new way of computing, but it ultimately heralds the last era of civilization.",
"sentiment": 0,
"highlighted_in": "main_text"
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{
"highlight": "While the future holds immense promise, in the present moment, analysts have raised their price targets for <em>NVIDIA</em>. However, the stock's response has been subdued, and that is actually a good thing to shake out some of the ecstatic euphoria. I never think or even worry about short-term fluctuations, and I am only interested in the long term.",
"sentiment": 0.8979,
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{
"highlight": "And if <em>Nvidia</em> can dominate the AI software space, to a moderate degree, akin to tis hardware dominance, I have no doubt to be able to witness <em>Nvidia</em> becoming the first $5T company latest by the end of this decade.",
"sentiment": -0.5267,
"highlighted_in": "main_text"
},
{
"highlight": "Portfolio Changes in March\n\nMarch saw robust investment activity as I managed to put around $1,700 into the market, mostly focusing on my go-to favorite, BDCs, despite net investments only totaling around $700 as I trimmed a share of <em>Nvidia</em> in order to take some profits.",
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},
{
"highlight": "I remain super confident in <em>Nvidia</em> in the long run, but it looks like the stock has lost its momentum for now, which is actually healthy, and I rather invest more into BDCs as I am hungry for cash.",
"sentiment": 0.8126,
"highlighted_in": "main_text"
},
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 <em>NVIDIA</em> <em>Corporation</em> (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
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}
]
},
{
"symbol": "INL.DE",
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"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Technology",
"match_score": 3.943068,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(GILD) 1.26% 2,888 Toronto-Dominion Bank (TD) 1.25% 2,857 Bank of Nova Scotia (BNS) 1.19% 2,727 Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 <em>Intel</em> <em>Corporation</em> (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty",
"sentiment": 0,
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]
},
{
"symbol": "CIS.DE",
"name": "Cisco Systems, Inc.",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Technology",
"match_score": 11.299007,
"sentiment_score": 0.278667,
"highlights": [
{
"highlight": "Carey (WPC), Altria (MO), <em>Cisco</em> <em>Systems</em> (CSCO), JPMorgan, Toronto-Dominion Bank, Bank of Nova Scotia, Stryker (SYK), Medtronic (MDT) as well as ongoing investments into stocks like Rithm Capital (RITM) and Annaly Capital (NLY), it surely is going to be a big month that should easily set a new all-time dividend record for the month of April.",
"sentiment": 0.836,
"highlighted_in": "main_text"
},
{
"highlight": "Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's (MCD) 3.02% 6,914 Main Street Capital Corporation (MAIN) 2.48% 5,683 Commonwealth Bank of Australia (OTCPK:CBAUF) 2.48% 5,683 Broadcom (AVGO) 2.29% 5,234 <em>Cisco</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Systems</em>, <em>Inc</em>.",
"sentiment": 0,
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}
]
},
{
"symbol": "PFE.DE",
"name": "Pfizer Inc.",
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"country": "de",
"type": "equity",
"industry": "Healthcare",
"match_score": 5.685169,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 Colgate-Palmolive Company (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 <em>Pfizer</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "MSF.DE",
"name": "Microsoft Corporation",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Technology",
"match_score": 4.855125,
"sentiment_score": 0.5859,
"highlights": [
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 <em>Microsoft</em> <em>Corporation</em> (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GIS.DE",
"name": "Gilead Sciences, Inc.",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Healthcare",
"match_score": 10.469816,
"sentiment_score": 0.25,
"highlights": [
{
"highlight": "(T) 1.79% 4,109 Johnson & Johnson (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 Texas Instruments Incorporated (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 <em>Gilead</em> <em>Sciences</em>, <em>Inc</em>.",
"sentiment": 0.25,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PEP.DE",
"name": "PepsiCo, Inc.",
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"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 6.671205,
"sentiment_score": 0,
"highlights": [
{
"highlight": "Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 Intel Corporation (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty Income (O) 0.80% 1,825 Procter & Gamble (PG) 0.77% 1,759 Morgan Stanley (MS) 0.76% 1,736 <em>PepsiCo</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": ", <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "ALD.DE",
"name": "Honeywell International Inc.",
"exchange": null,
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"country": "de",
"type": "equity",
"industry": "Industrials",
"match_score": 8.764347,
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{
"highlight": "(PEP) 0.75% 1,718 Bank of America (BAC) 0.62% 1,410 <em>Honeywell</em> <em>International</em> <em>Inc</em>. (HON) 0.60% 1,374 Philip Morris International Inc. (PM) 0.59% 1,355 Starwood Property Trust, Inc.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "BAC.DE",
"name": "Verizon Communications Inc.",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Communication Services",
"match_score": 9.023912,
"sentiment_score": 0.1366,
"highlights": [
{
"highlight": "Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892 CVS Health (CVS) 0.39% 891 Royal Bank of Canada (RY) 0.38% 863 Apple Hospitality REIT (APLE) 0.36% 831 3M Co (MMM) 0.35% 800 Annaly Capital Management (NLY) 0.35% 791 NextEra Energy Partners LP (NEP) 0.33% 764 <em>Verizon</em>",
"sentiment": 0.2732,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Communications</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "DYH.DE",
"name": "Target Corporation",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 3.374071,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 <em>Target</em> <em>Corporation</em> (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
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{
"symbol": "TII.DE",
"name": "Texas Instruments Incorporated",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Technology",
"match_score": 10.748779,
"sentiment_score": 0.25,
"highlights": [
{
"highlight": "(T) 1.79% 4,109 Johnson & Johnson (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 <em>Texas</em> <em>Instruments</em> <em>Incorporated</em> (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 Gilead Sciences, Inc.",
"sentiment": 0.25,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "CPA.DE",
"name": "Colgate-Palmolive Company",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 12.304916,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 <em>Colgate</em>-<em>Palmolive</em> <em>Company</em> (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 Pfizer Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "4I1.DE",
"name": "Philip Morris International Inc.",
"exchange": null,
"exchange_long": null,
"country": "de",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 11.816238,
"sentiment_score": 0.5106,
"highlights": [
{
"highlight": "(HON) 0.60% 1,374 <em>Philip</em> <em>Morris</em> <em>International</em> <em>Inc</em>. (PM) 0.59% 1,355 Starwood Property Trust, Inc.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "MSFT.MX",
"name": "Microsoft Corporation",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Technology",
"match_score": 4.855083,
"sentiment_score": 0.5859,
"highlights": [
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 <em>Microsoft</em> <em>Corporation</em> (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "INTC.MX",
"name": "Intel Corporation",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Technology",
"match_score": 3.942913,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(GILD) 1.26% 2,888 Toronto-Dominion Bank (TD) 1.25% 2,857 Bank of Nova Scotia (BNS) 1.19% 2,727 Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 <em>Intel</em> <em>Corporation</em> (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "NVDA.MX",
"name": "NVIDIA Corporation",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Technology",
"match_score": 10.374805,
"sentiment_score": 0.438133,
"highlights": [
{
"highlight": "<em>Nvidia</em> CEO Jensen Huang's proclamation echoed:\n\nGenerative AI is the defining technology of our time. Blackwell is the engine to power this new industrial revolution.\"\n\nIn my view, Blackwell's arrival not only ushers in a new way of computing, but it ultimately heralds the last era of civilization.",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "While the future holds immense promise, in the present moment, analysts have raised their price targets for <em>NVIDIA</em>. However, the stock's response has been subdued, and that is actually a good thing to shake out some of the ecstatic euphoria. I never think or even worry about short-term fluctuations, and I am only interested in the long term.",
"sentiment": 0.8979,
"highlighted_in": "main_text"
},
{
"highlight": "And if <em>Nvidia</em> can dominate the AI software space, to a moderate degree, akin to tis hardware dominance, I have no doubt to be able to witness <em>Nvidia</em> becoming the first $5T company latest by the end of this decade.",
"sentiment": -0.5267,
"highlighted_in": "main_text"
},
{
"highlight": "Portfolio Changes in March\n\nMarch saw robust investment activity as I managed to put around $1,700 into the market, mostly focusing on my go-to favorite, BDCs, despite net investments only totaling around $700 as I trimmed a share of <em>Nvidia</em> in order to take some profits.",
"sentiment": 0.8591,
"highlighted_in": "main_text"
},
{
"highlight": "I remain super confident in <em>Nvidia</em> in the long run, but it looks like the stock has lost its momentum for now, which is actually healthy, and I rather invest more into BDCs as I am hungry for cash.",
"sentiment": 0.8126,
"highlighted_in": "main_text"
},
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 <em>NVIDIA</em> <em>Corporation</em> (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "CSCO.MX",
"name": "Cisco Systems, Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Technology",
"match_score": 11.298819,
"sentiment_score": 0.278667,
"highlights": [
{
"highlight": "Carey (WPC), Altria (MO), <em>Cisco</em> <em>Systems</em> (CSCO), JPMorgan, Toronto-Dominion Bank, Bank of Nova Scotia, Stryker (SYK), Medtronic (MDT) as well as ongoing investments into stocks like Rithm Capital (RITM) and Annaly Capital (NLY), it surely is going to be a big month that should easily set a new all-time dividend record for the month of April.",
"sentiment": 0.836,
"highlighted_in": "main_text"
},
{
"highlight": "Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's (MCD) 3.02% 6,914 Main Street Capital Corporation (MAIN) 2.48% 5,683 Commonwealth Bank of Australia (OTCPK:CBAUF) 2.48% 5,683 Broadcom (AVGO) 2.29% 5,234 <em>Cisco</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Systems</em>, <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "VZ.MX",
"name": "Verizon Communications Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Communication Services",
"match_score": 9.024023,
"sentiment_score": 0.1366,
"highlights": [
{
"highlight": "Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892 CVS Health (CVS) 0.39% 891 Royal Bank of Canada (RY) 0.38% 863 Apple Hospitality REIT (APLE) 0.36% 831 3M Co (MMM) 0.35% 800 Annaly Capital Management (NLY) 0.35% 791 NextEra Energy Partners LP (NEP) 0.33% 764 <em>Verizon</em>",
"sentiment": 0.2732,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Communications</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "XOM.MX",
"name": "Exxon Mobil Corporation",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Energy",
"match_score": 10.837685,
"sentiment_score": 0.7579,
"highlights": [
{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 Canadian Imperial Bank of Commerce (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 Owl Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 <em>Exxon</em> <em>Mobil</em> <em>Corporation</em> (XOM) 0.27% 622",
"sentiment": 0.7579,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GILD.MX",
"name": "Gilead Sciences, Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Healthcare",
"match_score": 10.466642,
"sentiment_score": 0.25,
"highlights": [
{
"highlight": "(T) 1.79% 4,109 Johnson & Johnson (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 Texas Instruments Incorporated (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 <em>Gilead</em> <em>Sciences</em>, <em>Inc</em>.",
"sentiment": 0.25,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "HON.MX",
"name": "Honeywell International Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Industrials",
"match_score": 8.76322,
"sentiment_score": 0.5106,
"highlights": [
{
"highlight": "(PEP) 0.75% 1,718 Bank of America (BAC) 0.62% 1,410 <em>Honeywell</em> <em>International</em> <em>Inc</em>. (HON) 0.60% 1,374 Philip Morris International Inc. (PM) 0.59% 1,355 Starwood Property Trust, Inc.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PFE.MX",
"name": "Pfizer Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Healthcare",
"match_score": 5.685129,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 Colgate-Palmolive Company (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 <em>Pfizer</em> <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PEP.MX",
"name": "PepsiCo, Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 6.670942,
"sentiment_score": 0,
"highlights": [
{
"highlight": "Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 Intel Corporation (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty Income (O) 0.80% 1,825 Procter & Gamble (PG) 0.77% 1,759 Morgan Stanley (MS) 0.76% 1,736 <em>PepsiCo</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": ", <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "TGT.MX",
"name": "Target Corporation",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 3.374115,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 <em>Target</em> <em>Corporation</em> (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "GEO1.MX",
"name": "The GEO Group, Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Real Estate",
"match_score": 7.666811,
"sentiment_score": 0.8453,
"highlights": [
{
"highlight": "Services (ZIM) 0.11% 257 Blue Owl Capital (OWL) 0.11% 244 Bayer AG (OTCPK:BAYZF) 0.07% 162 Equitrans Midstream Corporation (ETRN) 0.07% 156 Fresenius SE (OTCPK:FSNUF) 0.06% 145 Capital Southwest (CSWC) 0.06% 129 Blackstone Secured Lending Trust (BXSL) 0.05% 120 Boeing (BA) 0.05% 109 Uniti Group (UNIT) 0.04% 98 Diversified Healthcare Trust (DHC) 0.04% 95 <em>The</em>",
"sentiment": 0.8519,
"highlighted_in": "main_text"
},
{
"highlight": "<em>GEO</em> <em>Group</em> <em>Inc</em> (GEO) 0.04% 94 Bank of Montreal (BMO) 0.04% 81 Fresenius Medical Care (FMS) 0.03% 68 NewtekOne (NEWT) 0.02% 50 FS KKR Capital (FSK) 0.01% 33 Service Properties Trust (SVC) 0.01% 28 Click to enlarge\n\nEditor's Note: This article discusses one or more securities that do not trade on a major U.S. exchange.",
"sentiment": 0.8387,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "CL.MX",
"name": "Colgate-Palmolive Company",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 12.303383,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 <em>Colgate</em>-<em>Palmolive</em> <em>Company</em> (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 Pfizer Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "STWD.MX",
"name": "Starwood Property Trust, Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Real Estate",
"match_score": 13.286541,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(PM) 0.59% 1,355 <em>Starwood</em> <em>Property</em> <em>Trust</em>, <em>Inc</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "PM.MX",
"name": "Philip Morris International Inc.",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Consumer Defensive",
"match_score": 11.815947,
"sentiment_score": 0.5106,
"highlights": [
{
"highlight": "(HON) 0.60% 1,374 <em>Philip</em> <em>Morris</em> <em>International</em> <em>Inc</em>. (PM) 0.59% 1,355 Starwood Property Trust, Inc.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "TXN.MX",
"name": "Texas Instruments Incorporated",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "Technology",
"match_score": 10.748512,
"sentiment_score": 0.25,
"highlights": [
{
"highlight": "(T) 1.79% 4,109 Johnson & Johnson (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 <em>Texas</em> <em>Instruments</em> <em>Incorporated</em> (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 Gilead Sciences, Inc.",
"sentiment": 0.25,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "ALVN.MX",
"name": "Allianz SE",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "N/A",
"match_score": 5.863825,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(JPM) 2.12% 4,851 <em>Allianz</em> <em>SE</em> (OTCPK:ALIZF) 2.11% 4,831 Shell (SHEL) 2.11% 4,822 Stag Industrial (STAG) 2.05% 4,693 W.P. Carey (WPC) 1.94% 4,437 Home Depot (HD) 1.83% 4,184 AT&T Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "BMON.MX",
"name": "BANK OF MONTREAL",
"exchange": null,
"exchange_long": null,
"country": "mx",
"type": "equity",
"industry": "N/A",
"match_score": 7.49641,
"sentiment_score": 0.8453,
"highlights": [
{
"highlight": "Capital (OWL) 0.11% 244 Bayer AG (OTCPK:BAYZF) 0.07% 162 Equitrans Midstream Corporation (ETRN) 0.07% 156 Fresenius SE (OTCPK:FSNUF) 0.06% 145 Capital Southwest (CSWC) 0.06% 129 Blackstone Secured Lending Trust (BXSL) 0.05% 120 Boeing (BA) 0.05% 109 Uniti Group (UNIT) 0.04% 98 Diversified Healthcare Trust (DHC) 0.04% 95 The GEO Group Inc (GEO) 0.04% 94 <em>Bank</em>",
"sentiment": 0.8519,
"highlighted_in": "main_text"
},
{
"highlight": "<em>of</em> <em>Montreal</em> (BMO) 0.04% 81 Fresenius Medical Care (FMS) 0.03% 68 NewtekOne (NEWT) 0.02% 50 FS KKR Capital (FSK) 0.01% 33 Service Properties Trust (SVC) 0.01% 28 Click to enlarge\n\nEditor's Note: This article discusses one or more securities that do not trade on a major U.S. exchange.",
"sentiment": 0.8387,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "HON.L",
"name": "Honeywell International Inc.",
"exchange": null,
"exchange_long": null,
"country": "gb",
"type": "equity",
"industry": "Industrials",
"match_score": 8.7624,
"sentiment_score": 0.5106,
"highlights": [
{
"highlight": "(PEP) 0.75% 1,718 Bank of America (BAC) 0.62% 1,410 <em>Honeywell</em> <em>International</em> <em>Inc</em>. (HON) 0.60% 1,374 Philip Morris International Inc. (PM) 0.59% 1,355 Starwood Property Trust, Inc.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "0R2H.L",
"name": "Texas Instruments Incorporated",
"exchange": null,
"exchange_long": null,
"country": "gb",
"type": "equity",
"industry": "N/A",
"match_score": 10.748428,
"sentiment_score": 0.25,
"highlights": [
{
"highlight": "(T) 1.79% 4,109 Johnson & Johnson (JNJ) 1.78% 4,086 Wells Fargo & Co (WFC) 1.67% 3,827 <em>Texas</em> <em>Instruments</em> <em>Incorporated</em> (TXN) 1.66% 3,809 Rithm Capital (RITM) 1.37% 3,147 Southern (SO) 1.34% 3,070 Blackstone (BX) 1.33% 3,043 MidCap Financial Investment Corporation (MFIC) 1.30% 2,987 Altria Group (MO) 1.29% 2,952 Gilead Sciences, Inc.",
"sentiment": 0.25,
"highlighted_in": "main_text"
}
]
},
{
"symbol": "0LD8.L",
"name": "Target Corporation",
"exchange": null,
"exchange_long": null,
"country": "gb",
"type": "equity",
"industry": "N/A",
"match_score": 6.013338,
"sentiment_score": 0.1702,
"highlights": [
{
"highlight": "2019: 142 hours GWT, $3,600 in annual net dividends\n\n2020: 152 hours GWT, $3,800 in annual net dividends\n\n2021: 180 hours GWT, $5,050 in annual net dividends\n\n2022: 229 hours GWT, $6,400 in annual net dividends\n\n2023: 272 hours GWT, $8,800 in annual net dividends\n\n2024: Targeting at least 248 hours GWT, $9,000 in annual net dividends\n\nThe overall <em>target</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "Still, as the year unfolds, I do expect to be able to pass that <em>target</em> and potentially even reach my next milestone of $10,000 as well. That would be a great achievement, but nothing I am banking on to reach this year - it would be the icing on the cake.",
"sentiment": 0.5106,
"highlighted_in": "main_text"
},
{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 <em>Target</em> <em>Corporation</em> (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
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]
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"symbol": "0L9F.L",
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"exchange_long": null,
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"match_score": 13.284264,
"sentiment_score": 0,
"highlights": [
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"highlight": "(PM) 0.59% 1,355 <em>Starwood</em> <em>Property</em> <em>Trust</em>, <em>Inc</em>.",
"sentiment": 0,
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},
{
"symbol": "0P59.L",
"name": "Colgate-Palmolive Company",
"exchange": null,
"exchange_long": null,
"country": "gb",
"type": "equity",
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"match_score": 12.303715,
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"highlights": [
{
"highlight": "(BGS) 0.20% 448 Mastercard (MA) 0.19% 431 Sixt (OTCPK:SIXGF) 0.17% 378 <em>Colgate</em>-<em>Palmolive</em> <em>Company</em> (CL) 0.16% 376 Omega Healthcare Investors (OHI) 0.14% 321 Pfizer Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
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},
{
"symbol": "0JXQ.L",
"name": "Main Street Capital Corporation",
"exchange": null,
"exchange_long": null,
"country": "gb",
"type": "equity",
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"match_score": 12.971505,
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"highlights": [
{
"highlight": "My main picks were Ares Capital (ARCC), the Goldman Sachs BDC (GSBD) and Hercules Capital (HTGC), all big players in the sector alongside the leader, <em>Main</em> <em>Street</em> <em>Capital</em> (MAIN). They have been building up some hefty spillover dividends over the past year, which as a financial cushion.",
"sentiment": 0,
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"highlight": "Similarly striking is that net dividends from monthly dividend payers have again comfortably cleared the $100 level thanks to the big supplemental dividend from <em>Main</em> <em>Street</em> <em>Capital</em>.",
"sentiment": 0.7269,
"highlighted_in": "main_text"
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{
"highlight": "Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's (MCD) 3.02% 6,914 <em>Main</em>",
"sentiment": 0.5859,
"highlighted_in": "main_text"
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{
"highlight": "<em>Street</em> <em>Capital</em> <em>Corporation</em> (MAIN) 2.48% 5,683 Commonwealth Bank of Australia (OTCPK:CBAUF) 2.48% 5,683 Broadcom (AVGO) 2.29% 5,234 Cisco Systems, Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
}
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{
"symbol": "0IVR.L",
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"exchange": null,
"exchange_long": null,
"country": "gb",
"type": "equity",
"industry": "N/A",
"match_score": 11.838032,
"sentiment_score": 0.33525,
"highlights": [
{
"highlight": "That number is significantly below December 2023 which benefitted from a massive special dividend from <em>Gladstone</em> <em>Investment</em> <em>Corporation</em> (GAIN) but up strongly on a Y/Y basis as income in March 2023 \"only\" amounted to $113 compared to $143 this year.",
"sentiment": 0.6705,
"highlighted_in": "main_text"
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{
"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 <em>Gladstone</em> <em>Investment</em> (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
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"exchange": null,
"exchange_long": null,
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"type": "equity",
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"match_score": 9.210918,
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"highlights": [
{
"highlight": "SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 Gladstone Commercial Corporation (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892 CVS Health (CVS) 0.39% 891 <em>Royal</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Bank</em> <em>of</em> <em>Canada</em> (RY) 0.38% 863 Apple Hospitality REIT (APLE) 0.36% 831 3M Co (MMM) 0.35% 800 Annaly Capital Management (NLY) 0.35% 791 NextEra Energy Partners LP (NEP) 0.33% 764 Verizon Communications Inc.",
"sentiment": 0.2732,
"highlighted_in": "main_text"
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"symbol": "0IVQ.L",
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"exchange": null,
"exchange_long": null,
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"match_score": 9.727552,
"sentiment_score": 0,
"highlights": [
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"highlight": "(STWD) 0.58% 1,330 Stryker (SYK) 0.55% 1,252 Gladstone Investment (GAIN) 0.46% 1,060 <em>Gladstone</em> <em>Commercial</em> <em>Corporation</em> (GOOD) 0.45% 1,024 Target Corporation (TGT) 0.44% 1,018 The Coca-Cola (KO) 0.44% 1,012 Brookfield Renewable Partners (BEP) 0.41% 939 Sino AG (XTP.F) 0.40% 912 Unilever NV ADR (UL) 0.39% 901 AGNC Investment Corporation (AGNC) 0.39% 892",
"sentiment": 0,
"highlighted_in": "main_text"
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"symbol": "0HHP.L",
"name": "Ares Capital Corporation",
"exchange": null,
"exchange_long": null,
"country": "gb",
"type": "equity",
"industry": "N/A",
"match_score": 18.389496,
"sentiment_score": 0.2705,
"highlights": [
{
"highlight": "My main picks were <em>Ares</em> <em>Capital</em> (ARCC), the Goldman Sachs BDC (GSBD) and Hercules Capital (HTGC), all big players in the sector alongside the leader, Main Street Capital (MAIN). They have been building up some hefty spillover dividends over the past year, which as a financial cushion.",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "Beyond that, on an annual basis, the biggest income driver is by far <em>Ares</em> <em>Capital</em> <em>Corporation</em>, a stock I am running at minimum on a bi-weekly savings plan (but most of the time I am buying stock at least once per week and sometimes daily) and where my contributions quickly translated into meaningful dividend income.",
"sentiment": 0.3182,
"highlighted_in": "main_text"
},
{
"highlight": "The importance of <em>Ares</em> <em>Capital</em> <em>Corporation</em> is clear, with a reddish circle indicating the massive jump in dividend income over the last 12 months due to heavy ongoing monthly investments, and I have no plans to stop these monthly savings plans.",
"sentiment": 0.1779,
"highlighted_in": "main_text"
},
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 <em>Ares</em> <em>Capital</em> (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
"highlighted_in": "main_text"
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"symbol": "0UNI.L",
"name": "Canadian Imperial Bank of Commerce",
"exchange": null,
"exchange_long": null,
"country": "gb",
"type": "equity",
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"match_score": 13.59227,
"sentiment_score": 0.7579,
"highlights": [
{
"highlight": "(VZ) 0.33% 750 Medtronic (MDT) 0.31% 713 BASF (OTCQX:BASFY) 0.31% 700 <em>Canadian</em> <em>Imperial</em> <em>Bank</em> <em>of</em> <em>Commerce</em> (CM) 0.29% 673 Antero Midstream Corporation (AM) 0.29% 670 Dominion Energy (D) 0.28% 643 Medical Properties Trust (MPW) 0.28% 638 Owl Rock Capital Corporation (OBDC) 0.27% 626 NextEra Energy (NEE) 0.27% 623 Exxon Mobil Corporation (XOM) 0.27% 622",
"sentiment": 0.7579,
"highlighted_in": "main_text"
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"highlights": [
{
"highlight": "These numbers are exceptionally strong, but quarterly comparisons benefit from two special effects: (1) the semi-annual dividend payment of the <em>Commonwealth</em> <em>Bank</em> <em>of</em> <em>Australia</em> (OTCPK:CBAUF) and (2) Hercules Capital's odd dividend payment schedule distorts quarterly comparisons.",
"sentiment": 0.5834,
"highlighted_in": "main_text"
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{
"highlight": "portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's (MCD) 3.02% 6,914 Main Street Capital Corporation (MAIN) 2.48% 5,683 <em>Commonwealth</em>",
"sentiment": 0.5859,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Bank</em> <em>of</em> <em>Australia</em> (OTCPK:CBAUF) 2.48% 5,683 Broadcom (AVGO) 2.29% 5,234 Cisco Systems, Inc.",
"sentiment": 0,
"highlighted_in": "main_text"
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"symbol": "MSF.BR",
"name": "Microsoft Corporation",
"exchange": null,
"exchange_long": null,
"country": "be",
"type": "equity",
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"match_score": 4.853431,
"sentiment_score": 0.5859,
"highlights": [
{
"highlight": "My Dividend Calendar (Designed by author)\n\nAt the end of March, my dividend portfolio is composed as follows:\n\nCompany Name Ticker % Market Value Market Value (€) Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 <em>Microsoft</em> <em>Corporation</em> (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's",
"sentiment": 0.5859,
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"symbol": "INCO.BR",
"name": "Intel Corporation",
"exchange": null,
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"country": "be",
"type": "equity",
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"match_score": 5.630224,
"sentiment_score": 0,
"highlights": [
{
"highlight": "(GILD) 1.26% 2,888 Toronto-Dominion Bank (TD) 1.25% 2,857 Bank of Nova Scotia (BNS) 1.19% 2,727 Siemens Healthineers (OTCPK:SEMHF) 1.16% 2,650 Enbridge (ENB) 1.06% 2,418 BMW (OTCPK:BMWYY) 1.05% 2,400 <em>Intel</em> <em>Corporation</em> (INTC) 1.02% 2,330 Gladstone Capital (GLAD) 0.88% 2,010 BP2 (BP) 0.87% 1,986 BP1 (BP) 0.86% 1,972 Daimler (OTCPK:MBGAF) 0.82% 1,875 Realty",
"sentiment": 0,
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{
"symbol": "CIS.BR",
"name": "Cisco Systems, Inc.",
"exchange": null,
"exchange_long": null,
"country": "be",
"type": "equity",
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"match_score": 11.300175,
"sentiment_score": 0.278667,
"highlights": [
{
"highlight": "Carey (WPC), Altria (MO), <em>Cisco</em> <em>Systems</em> (CSCO), JPMorgan, Toronto-Dominion Bank, Bank of Nova Scotia, Stryker (SYK), Medtronic (MDT) as well as ongoing investments into stocks like Rithm Capital (RITM) and Annaly Capital (NLY), it surely is going to be a big month that should easily set a new all-time dividend record for the month of April.",
"sentiment": 0.836,
"highlighted_in": "main_text"
},
{
"highlight": "Apple (AAPL) 10.03% 22,959 NVIDIA Corporation (NVDA) 4.94% 11,322 Visa (V) 4.29% 9,818 Microsoft Corporation (MSFT) 4.24% 9,703 Ares Capital (ARCC) 3.76% 8,618 AbbVie (ABBV) 3.49% 7,981 McDonald's (MCD) 3.02% 6,914 Main Street Capital Corporation (MAIN) 2.48% 5,683 Commonwealth Bank of Australia (OTCPK:CBAUF) 2.48% 5,683 Broadcom (AVGO) 2.29% 5,234 <em>Cisco</em>",
"sentiment": 0,
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{
"highlight": "<em>Systems</em>, <em>Inc</em>.",
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"title": "Ithaka Group Q1 2024 U.S. Growth Commentary",
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"snippet": "honglouwawa\n\nMarket Review\n\nThe first quarter of 2024 saw a decoupling of the relationship between bond yields and equities, with the S&P 500 rising 10.6%, the ...",
"url": "https://seekingalpha.com/article/4686121-ithaka-group-q1-2024-us-growth-commentary",
"image_url": "https://static.seekingalpha.com/cdn/s3/uploads/getty_images/625756386/image_625756386.jpg?io=getty-c-w1536",
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"published_at": "2024-04-25T14:45:00.000000Z",
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{
"symbol": "MSF.BR",
"name": "Microsoft Corporation",
"exchange": null,
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"country": "be",
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"match_score": 7.391328,
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{
"highlight": "<em>Microsoft</em> <em>Corporation</em> (MSFT)\n\n<em>Microsoft</em> builds best-in-class platforms and provides services that help drive small business productivity, large business competitiveness, and public-sector efficiency.",
"sentiment": 0.6369,
"highlighted_in": "main_text"
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"highlight": "In the quarter, Microsoft's stock appreciated based on excitement surrounding the company's positioning in the generative AI market and its ability to monetize the coming wave of corporate investment in supercomputing and AI, which will be through both Azure and <em>Microsoft</em> Copilot, the company's new GenAI personal assistant.",
"sentiment": 0.8316,
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"title": "Dow drops more than 600 points on inflation and growth concerns, heads for biggest drop of the year: Live updates",
"description": "Stocks fell sharply Thursday after the latest U.S. economic data showed a sharp slowdown in growth and pointed to persistent inflation.",
"keywords": "Markets, Breaking News: Markets, Stock markets, Investment strategy, Wall Street, business news",
"snippet": "Traders work during the opening bell at the New York Stock Exchange. Johannes Eisele | AFP | Getty Images\n\nStocks fell sharply Thursday after the latest U.S. ec...",
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"match_score": 9.064501,
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"highlight": "<em>Microsoft</em> and Alphabet are slated to post earnings after the close Thursday.\n\n10:22 a.m.: Meta shares on pace for worst day since October 2022\n\nMeta Platforms shares plummeted 11.34% on Thursday. The losses put the stock on pace for its worst day since October 27, 2022, when Meta declined 24.56%.",
"sentiment": -0.8176,
"highlighted_in": "main_text"
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{
"symbol": "IBM",
"name": "International Business Machines Corporation",
"exchange": null,
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"type": "equity",
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"match_score": 18.759426,
"sentiment_score": -0.47785,
"highlights": [
{
"highlight": "The Dow Jones Industrial Average slid 631 points, or 1.7%, weighed down by sharp declines in Caterpillar and <em>IBM</em> . The S&P 500 dropped 1.2%, and the Nasdaq Composite lost 1.4%. U.S. gross domestic product expanded 1.6% in the first quarter, the Bureau of Economic Analysis said.",
"sentiment": -0.6597,
"highlighted_in": "main_text"
},
{
"highlight": "<em>International</em> <em>Business</em> <em>Machines</em> also fell 8% after missing consensus estimates for first-quarter revenue.",
"sentiment": -0.296,
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"title": "Unpacking the Latest Options Trading Trends in Marvell Tech - Marvell Tech (NASDAQ:MRVL)",
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"snippet": "Loading... Loading...\n\nDeep-pocketed investors have adopted a bearish approach towards Marvell Tech MRVL, and it's something market players shouldn't ignore. Ou...",
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"exchange": null,
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"highlight": "24 $10.45 $10.15 $10.22 $60.00 $157.7K 225 0 MRVL CALL TRADE BULLISH 08/16/24 $8.8 $8.65 $8.8 $62.50 $88.0K 571 0 MRVL CALL SWEEP BULLISH 01/17/25 $13.9 $13.8 $13.9 $62.50 $52.8K 715 34 MRVL CALL SWEEP BEARISH 04/26/24 $1.89 $1.88 $1.88 $65.00 $50.1K 1.1K 304 MRVL PUT SWEEP BEARISH 07/19/24 $3.05 $3.0 $3.0 $60.00 $49.2K 6.6K 14\n\nAbout Marvell Tech\n\n<em>Marvell</em>",
"sentiment": 0,
"highlighted_in": "main_text"
},
{
"highlight": "<em>Technology</em> is a fabless chip designer focused on wired networking, where it has the second-highest market share.",
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"highlighted_in": "main_text"
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{
"highlight": "Unpacking the Latest Options Trading Trends in Marvell Tech - Marvell Tech (<em>NASDAQ:MRVL</em>)",
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"uuid": "7f319eee-53cb-40c5-b7a1-343e33808b93",
"title": "IDEX Biometrics 2023 annual report and 2023 executive remuneration report",
"description": "The 2023 annual report and annual financial statements dated 24 April 2024 in pdf as well as ESEF xbrl file format, and also the 2023 executive...",
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"snippet": "The 2023 annual report and annual financial statements dated 24 April 2024 in pdf as well as ESEF xbrl file format, and also the 2023 executive remuneration rep...",
"url": "https://www.globenewswire.com/news-release/2024/04/25/2869816/0/en/IDEX-Biometrics-2023-annual-report-and-2023-executive-remuneration-report.html",
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"exchange": null,
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"type": "equity",
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"match_score": 85.087875,
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"highlight": "The reports/files are also available at the company's web site www.idexbiometrics.com\n\nFor further information contact:\n\nMarianne Bøe, Head of investor relations\n\nE-mail: [email protected]\n\nTel: +47 918 00186\n\nAbout IDEX Biometrics\n\n<em>IDEX</em> <em>Biometrics</em> <em>ASA</em> (OSE: IDEX) is a global technology leader in fingerprint biometrics, offering authentication",
"sentiment": 0,
"highlighted_in": "main_text"
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{
"highlight": "For more information, visit www.idexbiometrics.com\n\n\n\nAbout this notice\n\nThis notice was published by Erling Svela, Vice president of finance, on 25 April 2024 at 16:30 CET on behalf of <em>IDEX</em> <em>Biometrics</em> <em>ASA</em>.",
"sentiment": 0,
"highlighted_in": "main_text"
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"symbol": "IDBA",
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"highlights": [
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"highlight": "The reports/files are also available at the company's web site www.idexbiometrics.com\n\nFor further information contact:\n\nMarianne Bøe, Head of investor relations\n\nE-mail: [email protected]\n\nTel: +47 918 00186\n\nAbout IDEX Biometrics\n\n<em>IDEX</em> <em>Biometrics</em> <em>ASA</em> (OSE: IDEX) is a global technology leader in fingerprint biometrics, offering authentication",
"sentiment": 0,
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"title": "Notice of IDEX Biometrics 2024 annual general meeting on 16 May 2024",
"description": "IDEX Biometrics ASA will hold its 2024 annual general meeting on Thursday 16 May 2024 at 12.00 hours CET as an online meeting. There is no physical...",
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"snippet": "IDEX Biometrics ASA will hold its 2024 annual general meeting on Thursday 16 May 2024 at 12.00 hours CET as an online meeting. There is no physical attendance o...",
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