Matthew Hogan | TalkMarkets | Page 2
Manager, M&A, Investor Relations and FP&A at Whole Earth Brands
Contributor's Links: finbox.com
Entrepreneurial finance professional with over ten years M&A experience and ~$300 million in closed deals in 2020. Founder of SaaS investment platform; built from the ground up and sold to strategic partner.

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Regeneron Pharmaceuticals: Sequencing Its Way To +30% Upside
Regeneron's stock price fall over the last 10 months is not supported by the numbers. With a broadening portfolio of drugs on the market, the company is set to prove to investors that it is not a one-trick pony.
Masonite International Opening The Door To 35% Upside
Masonite International stock looks relatively undervalued to its peers based on price multiples and EV/FCF. Wall Street analysts agree, expecting the stock to rise by 28.3%.
Molson Coors On Tap For 35% Upside
Showing over 35% upside ahead of earnings, the stock offers ample protection at recent trading levels as well as a steady dividend.
The 5 Best Big-Dividend Stocks With Upside
Escaping volatility by sidelining cash pays nothing. Instead, investors can sit in a high-yielding stock with great expectations while the market makes up its mind.
NCI Building Systems: Ready To Raise The Roof By 30%+
This year is expected to be another impressive year of growth in commercial construction.
Is Aqua America Inc. A Buy At This P/E Multiple?
Aqua America Inc. trades at a P/E multiple of 25.3x, which is higher than the Utilities sector median of 20.7x.
Oracle Corp: Tech Bounce Opportunity With 20%+ Upside
Oracle is a quality, battered company with Wall Street and quant valuation models forecasting appreciation, and negligible China exposure. Price and enterprise value multiples indicate the stock is oversold relative to its peers.
Why ABB Ltd's Dividend Potential Should Tempt Investors
ABB Ltd. is currently paying investors an above-average dividend yield of 3.7% while the Industrials sector median stands 1.5%.
Up 30% In 3 Months, Is Crocs, Inc. Still A Buy?
Crocs, Inc., a consumer discretionary company with a market capitalization of $1.1 billion, saw its share price increase by 28.6% over the prior three months.
Is Nasdaq Inc Management Utilizing Shareholder Equity Efficiently?
Nasdaq Inc delivered an above average 13.0% ROE over the past year, compared to the 8.3% return generated by the Financials sector.
Should You Buy Allergan Plc When Prices Drop?
Allergan plc investors have enjoyed seeing the stock price increase by 16.9% over the last month.
Comparable Companies Analysis Suggests You Should Buy Cooper Companies Inc.
Cooper Companies Inc. trades at an EBITDA multiple of 19.9x, which is higher than the Healthcare sector median of 16.1x.
Should Investors Be Excited About Kraft Heinz Co's Improving ROE?
KHC beat the Consumer Staples sector by 6.4% as it relates to ROE, producing a healthy 17.8% compared to the sector's 11.3%.
Should You Buy Wyndham Worldwide Corporation At This P/E Multiple?
Wyndham Worldwide Corporation trades at a P/E multiple of 13.1x, which is lower than the Consumer Discretionary sector median of 18.7x.
Time To Buy Continental Resources, Inc?
Shares of Continental Resources, Inc. are receiving a lot of investor interest as of late due to the stock's 19.1% increase over the last month.
CarMax Shows 20% Upside Ahead Of Earnings Wednesday
CarMax grew its net sales and operating revenues 11% to $4.11B in the third quarter of fiscal 2018. Comparable store used unit sales rose 2.7% YoY due to an increase in conversion which was partially offset by lower store traffic.
17 to 32 of 58 Posts