Bank of America by Kai Shih

Bank of America by Kai Shih

There are several risks and uncertainties facing Bank of America (BAC). These risks include the potential for increased claims, particularly from Fannie Mae, private investors, and mortgage insurers.

Breaking Up is Good To Do by Joe Cornell

Breaking Up is Good To Do by Joe Cornell

Spin-offs have been proven to be a source of significant market outperformance for investors. Various studies have shown that on average, spin-offs outperform market indexes, resulting in higher aggregate value for the constituent pieces.

Your Personal Portfolio Manager by James Cornehlsen

Your Personal Portfolio Manager by James Cornehlsen

In this presentation designed for investment professionals, James B. Cornehlsen, CFA, Portfolio Manager at Dunn Warren Investment Advisors, provides an analysis of DIRECTV (DTV), the world’s leading provider of digital television entertainment services.

Acatis by Hendrik Leber

Acatis by Hendrik Leber

ACATIS, an asset manager since 1994, follows a value philosophy in its investment strategies. The company utilizes a systematic and data-based process to identify undervalued stocks.