5G Model Portfolio
A model portfolio has been created from the investment table in the Special Report. The 5G Model Portfolio is a group of stocks that meet all of the ISN inclusion criteria. Fair value, rank high on long-term fundamentals, rank high on shorter term-fundamental changes. The current model includes 6 stocks, 4 USA, 1 Sweden and 1 S Korea, 3 Networks, 3 Hardware.
Investment Strategy Today – January 30
Consumer confidence is increasing in most of the globe, except Japan, while inflation remains under control. USA housing market has softened slightly but remains healthy. Earnings and dividend rankings continue to move downward for most, but there are still some exceptional stocks with increasing rankings.
Special Report on 5G Investment Opportunities
Welcome to the presentation on Fifth Generation Mobile Communications or commonly referred to as 5G, presented by Investment Strategy Network. This presentation is about investing in the technology, not about developing the technology. We will review the history, some important terms you will need to understand the environment that 5G operates in, why 5G is important, tremendous advancements that are possible with 5G, some difficulties, when 5G will start to appear to consumers and where investment opportunities exist.
Investment Strategy Today – January 25
European PMI soft while French and German PMI moves up. Russia sees some welcome relief in PPI, and USA enjoys some of the best employment numbers in the counry’s history. Twelve stocks receive changes in Fair Value, 11 down, 1 up. Mostly due to lower earnings and dividend ratings. CBS, CE and DAL become BUY considerations while APEI and NFLX move in to SELL category.
Investment Strategy Today – January 23
Canadian manufacturing and wholesale sales slow, Japan and Spain experience trade deficits, UK enjoys a continuing improvement in unemployment rate. U.S. existing home sales continue to slow. More stocks return to Buy Watch consideration.