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Win Win
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2021-12-16
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5 Best Value Stocks in Warren Buffett’s Portfolio<blockquote>沃伦·巴菲特投资组合中5只最有价值的股票</blockquote>
In this article, we discuss the 10 best value stocks in Warren Buffett’s portfolio. Billionaire Warr
5 Best Value Stocks in Warren Buffett’s Portfolio<blockquote>沃伦·巴菲特投资组合中5只最有价值的股票</blockquote>
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2021-12-16
Yes, is great
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2021-12-16
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Why Apple Stock Rallied<blockquote>苹果股价为何上涨</blockquote>
What happened Shares of Apple(NASDAQ:AAPL)climbed nearly 3% on Wednesday, following the Federal Rese
Why Apple Stock Rallied<blockquote>苹果股价为何上涨</blockquote>
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Win Win
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2021-12-15
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非常抱歉,此主贴已删除
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Win Win
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2021-12-14
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Forget Black Friday: True Holiday Discounts May Be Coming in January<blockquote>忘记黑色星期五:真正的假日折扣可能会在一月份到来</blockquote>
Many retailers may wind up with a surplus of certain items after the holiday shopping season is over
Forget Black Friday: True Holiday Discounts May Be Coming in January<blockquote>忘记黑色星期五:真正的假日折扣可能会在一月份到来</blockquote>
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Win Win
Win Win
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2021-12-13
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非常抱歉,此主贴已删除
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Win Win
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2021-12-12
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Tesla stops taking Model S and Model X orders outside North America<blockquote>特斯拉停止接受北美以外地区Model S和Model X订单</blockquote>
Tesla announced to potential buyers today that it stopped taking new Model S and Model X orders outs
Tesla stops taking Model S and Model X orders outside North America<blockquote>特斯拉停止接受北美以外地区Model S和Model X订单</blockquote>
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Win Win
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2021-12-11
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5 Stocks To Watch For December 10, 2021<blockquote>2021年12月10日值得关注的5只股票</blockquote>
Wall Street expects Academy Sports and Outdoors, Inc. to report quarterly earnings at $1.09 per shar
5 Stocks To Watch For December 10, 2021<blockquote>2021年12月10日值得关注的5只股票</blockquote>
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Win Win
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2021-12-09
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5 Stocks To Watch For December 9, 2021<blockquote>2021年12月9日值得关注的5只股票</blockquote>
Wall Street expects Hormel Foods Corporation to report quarterly earnings at $0.50 per share on reve
5 Stocks To Watch For December 9, 2021<blockquote>2021年12月9日值得关注的5只股票</blockquote>
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Win Win
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2021-12-09
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Earnings Scheduled For December 9, 2021<blockquote>预计2021年12月9日收益</blockquote>
Companies Reporting Before The Bell • 36KR Holdings (NASDAQ:KRKR) is likely to report quarterly loss
Earnings Scheduled For December 9, 2021<blockquote>预计2021年12月9日收益</blockquote>
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Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Great","listText":"Great","text":"Great","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":1,"repostSize":0,"link":"https://laohu8.com/post/690183192","repostId":"1129001294","repostType":4,"repost":{"id":"1129001294","kind":"news","pubTimestamp":1639641362,"share":"https://www.laohu8.com/m/news/1129001294?lang=zh_CN&edition=full","pubTime":"2021-12-16 15:56","market":"us","language":"en","title":"5 Best Value Stocks in Warren Buffett’s Portfolio<blockquote>沃伦·巴菲特投资组合中5只最有价值的股票</blockquote>","url":"https://stock-news.laohu8.com/highlight/detail?id=1129001294","media":"Insider Monkey","summary":"In this article, we discuss the 10 best value stocks in Warren Buffett’s portfolio.\nBillionaire Warr","content":"<p>In this article, we discuss the 10 best value stocks in Warren Buffett’s portfolio.</p><p><blockquote>在本文中,我们讨论沃伦·巴菲特投资组合中10只最有价值的股票。</blockquote></p><p> Billionaire Warren Buffett is an American business tycoon, legendary value investor, and philanthropist, who is known for his conglomerate holding company, Berkshire Hathaway Inc. (NYSE:BRK-A), which he manages alongside Charlie Munger, who is the vice chairman of the company and the closest associate of Buffett.</p><p><blockquote>亿万富翁沃伦·巴菲特是美国商业大亨、传奇价值投资者和慈善家,他以其控股公司伯克希尔·哈撒韦公司(纽约证券交易所股票代码:BRK-A)而闻名,他与副董事长查理·芒格一起管理该公司,也是巴菲特最亲密的同事。</blockquote></p><p> Buffett manages his investments via his hedge fund,Berkshire Hathaway, which managed about $293.4 billion in 13F securities in the third quarter, gaining approximately $57 billion as compared to the prior-year quarter. Buffett’s portfolio is largely concentrated in the information technology, finance, and consumer staples sectors. The billionaire is known for following the Benjamin Graham school of thought, focusing primarily on value stocks.</p><p><blockquote>巴菲特通过他的对冲基金伯克希尔哈撒韦公司管理他的投资,该基金第三季度管理了约2934亿美元的13F证券,与去年同期相比增加了约570亿美元。巴菲特的投资组合主要集中在信息技术、金融和必需消费品领域。这位亿万富翁以追随本杰明·格雷厄姆学派而闻名,主要关注价值股。</blockquote></p><p> The legendary investor recommends low-cost index funds for a majority of investors, as some active managers charge heavy management and performance fees, and he doesn’t believe they can beat the market on a consistent basis. In his opinion, amatuer and passive investors are better off betting on an S&P 500 index fund for the long-term, since it would generate returns over the course of a decade that are higher than the returns from a basket of diversified hedge funds after the hedge fund managers are paid their share of the management fees.</p><p><blockquote>这位传奇投资者向大多数投资者推荐低成本指数基金,因为一些主动型基金经理收取高额管理费和绩效费,而且他不相信他们能够持续击败市场。他认为,业余和被动投资者最好长期押注标普500指数基金,因为它在十年内产生的回报将高于对冲基金后一篮子多元化对冲基金的回报。基金经理支付他们应得的管理费。</blockquote></p><p> Since Buffett is a long-term investor, he advises people who are starting out their investment journey to buy the stock dips, since the market is eventually going to rise again.</p><p><blockquote>由于巴菲特是一位长期投资者,他建议刚刚开始投资之旅的人逢低买入股票,因为市场最终会再次上涨。</blockquote></p><p> <img src=\"https://static.tigerbbs.com/95c29fa4a746a9be0316155793ff359c\" tg-width=\"767\" tg-height=\"843\" width=\"100%\" height=\"auto\"></p><p><blockquote></blockquote></p><p> The most notable stocks in Warren Buffett’s Q3 portfolio include Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN), in addition to others mentioned in detail below.</p><p><blockquote>沃伦·巴菲特第三季度投资组合中最著名的股票包括苹果公司(纳斯达克股票代码:AAPL)、美国运通公司(纽约证券交易所股票代码:AXP)、可口可乐公司(纽约证券交易所股票代码:KO)和亚马逊公司(纳斯达克股票代码:AMZN)),以及下面详细提到的其他股票。</blockquote></p><p> <b><i>Our Methodology</i></b></p><p><blockquote><b><i>我们的方法论</i></b></blockquote></p><p> We used the Q3 portfolio of Warren Buffett’s Berkshire Hathaway to select his top 10 value stocks. We chose stocks that had the lowest price to earnings ratio in the billionaire’s portfolio, and ranked the securities according to Buffett’s stake value in each holding.</p><p><blockquote>我们使用沃伦·巴菲特旗下伯克希尔·哈撒韦公司的第三季度投资组合来选择他的十大价值股票。我们选择了这位亿万富翁投资组合中市盈率最低的股票,并根据巴菲特在每只股票中的持股价值对证券进行排名。</blockquote></p><p> <b>Best Value Stocks in Warren Buffett’s Portfolio</b></p><p><blockquote><b>沃伦·巴菲特投资组合中最有价值的股票</b></blockquote></p><p> <b>10. Wells Fargo & Company (NYSE:WFC)</b></p><p><blockquote><b>10.富国银行公司(纽约证券交易所代码:WFC)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $31,329,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:31,329,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 0.01%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:0.01%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 88</i></b></p><p><blockquote><b><i>对冲基金持有人数量:88</i></b></blockquote></p><p> <b><i>P/E Ratio: 11.98</i></b></p><p><blockquote><b><i>市盈率:11.98</i></b></blockquote></p><p> Wells Fargo & Company (NYSE:WFC) posted its Q3 earnings on October 14. EPS in the quarter totaled $1.22, exceeding estimates by $0.28. Revenue over the period equaled $18.83 billion, outperforming analysts’ consensus estimates by $542.17 million.</p><p><blockquote>富国银行(纽约证券交易所股票代码:WFC)于10月14日公布了第三季度收益。本季度每股收益总计1.22美元,超出预期0.28美元。该期间的收入为188.3亿美元,比分析师普遍预期高出5.4217亿美元。</blockquote></p><p> Warren Buffett holds 675,054 shares in Wells Fargo & Company (NYSE:WFC), an American multinational financial services corporation, as of September this year. Buffett’s stake in Wells Fargo & Company (NYSE:WFC) amounts to $31.32 million, and it accounts for 0.01% of the billionaire’s Q3 portfolio. With a P/E ratio of 11.98, Wells Fargo & Company (NYSE:WFC) is one of the best value stocks in Warren Buffett’s portfolio.</p><p><blockquote>截至今年9月,沃伦·巴菲特持有美国跨国金融服务公司富国银行(NYSE:WFC)675,054股股票。巴菲特持有富国银行(纽约证券交易所股票代码:WFC)的股份达3132万美元,占这位亿万富翁第三季度投资组合的0.01%。富国银行公司(纽约证券交易所股票代码:WFC)的市盈率为11.98,是沃伦·巴菲特投资组合中最有价值的股票之一。</blockquote></p><p> On December 9, UBS analyst Erika Najarian called Wells Fargo & Company (NYSE:WFC) one of her “highest conviction Buy ideas”, assuming coverage of the stock with a Buy rating and a $65 price target. The analyst sees rising rates and execution of its expense plan driving return on average tangible common shareholders’ equity as attractive catalysts.</p><p><blockquote>12月9日,瑞银分析师埃里卡·纳贾里安(Erika Najarian)称富国银行(NYSE:WFC)是她“最坚定的买入想法”之一,假设该股的评级为买入,目标价为65美元。分析师认为,利率上升和费用计划的执行推动了平均有形普通股股东权益回报率,是有吸引力的催化剂。</blockquote></p><p> A total of 88 hedge funds were bullish on Wells Fargo & Company (NYSE:WFC) at the end of the third quarter, holding stakes worth $6.18 billion. This is comparable to 94 funds holding stakes valued at over $7 billion in Wells Fargo & Company (NYSE:WFC) in the previous quarter.</p><p><blockquote>截至第三季度末,共有88家对冲基金看好富国银行(NYSE:WFC),持有价值61.8亿美元的股份。与上一季度持有富国银行公司(纽约证券交易所股票代码:WFC)价值超过70亿美元股份的94只基金相比。</blockquote></p><p> Boykin Curry’s Eagle Capital Management is the largest Wells Fargo & Company (NYSE:WFC) stakeholder as of the third quarter, holding 33.74 million shares worth $1.56 billion.</p><p><blockquote>截至第三季度,博伊金·库里(Boykin Curry)的Eagle Capital Management是富国银行(NYSE:WFC)最大的股东,持有3374万股,价值15.6亿美元。</blockquote></p><p> Wells Fargo & Company (NYSE:WFC) is a notable stock from Warren Buffett’s Q3 portfolio, in addition to Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN).</p><p><blockquote>富国银行(纽约证券交易所股票代码:WFC)是沃伦·巴菲特第三季度投资组合中的一只著名股票,此外还有苹果公司(纳斯达克股票代码:AAPL)、美国运通公司(纽约证券交易所股票代码:AXP)、可口可乐公司(纽约证券交易所股票代码:KO)和亚马逊公司(纳斯达克股票代码:AMZN)。</blockquote></p><p> Hereis what Davis Global Fund has to say about Wells Fargo & Company (NYSE:WFC) in its Q3 2021 investor letter:</p><p><blockquote>以下是戴维斯全球基金在其2021年第三季度投资者信中对富国银行(NYSE:WFC)的评价:</blockquote></p><p></p><p> “…This second chart highlights that financials remain the cheapest part of the market today and continue to be extremely attractive. Strong capital ratios, conservative lending practices, already record low interest rates and now a strengthening economy, all paired with low valuations, bode well for future returns. Take our top financials holding in Wells Fargo, for instance. Wells Fargo is trading at 1.3x tangible book value, while we expect return on equity (ROE) to be in the mid-to-high teens over time. Even in this low-rate environment, the current multiple is only 12x 2021 owner earnings, and our IRR estimate is 12–13%. Wells Fargo has performed well this year, up 51% year-to-date, yet still looks very attractive, which speaks to how undervalued it was and why it is so important to be patient when investing in high-quality companies trading at low valuations. Rather than invest on the basis of unpredictable near-term catalysts, we prefer to be patient as earnings and cash build up, even if the stock price does not immediately reflect the economic reality. We continue to like our positions in financials.” <b>9. Teva Pharmaceutical Industries Limited (NYSE:TEVA)</b></p><p><blockquote>“……第二张图表强调,金融股仍然是当今市场上最便宜的部分,并且仍然极具吸引力。强劲的资本比率、保守的贷款做法、已经创纪录的低利率以及现在正在走强的经济,所有这些都与低估值相结合,预示着未来的回报。以我们持有的富国银行的顶级金融股为例。富国银行的交易价格是有形账面价值的1.3倍,而我们预计随着时间的推移,股本回报率(ROE)将处于中高水平。即使在这种低利率环境下,目前的市盈率也仅为2021年所有者收益的12倍,我们的IRR估计为12-13%。富国银行今年表现良好,今年迄今上涨了51%,但看起来仍然非常有吸引力,这说明了它的价值是多么被低估,以及为什么在投资以低价交易的优质公司时保持耐心如此重要估值。我们宁愿在收益和现金增加时保持耐心,而不是根据不可预测的近期催化剂进行投资,即使股价不能立即反映经济现实。我们继续看好我们在金融股的头寸。”<b>9.梯瓦制药工业有限公司(纽约证券交易所代码:TEVA)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $416,768,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:416,768,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 0.14%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:0.14%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 22</i></b></p><p><blockquote><b><i>对冲基金持有人数量:22</i></b></blockquote></p><p> <b><i>P/E Ratio: 12.63</i></b></p><p><blockquote><b><i>市盈率:12.63</i></b></blockquote></p><p> Teva Pharmaceutical Industries Limited (NYSE:TEVA), a pharmaceutical company from Israel specializing in generics and biopharmaceutical medicines, reported its Q3 results on October 27. Teva Pharmaceutical Industries Limited (NYSE:TEVA) posted an EPS of $0.59, missing estimates by $0.06. The Q3 revenue totaled $3.89 billion, down 2.29% year-over-year, missing estimates by $163.2 million.</p><p><blockquote>梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)是一家来自以色列的专注于仿制药和生物制药的制药公司,于10月27日公布了第三季度业绩。梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)公布的每股收益为0.59美元,比预期低0.06美元。第三季度营收总计38.9亿美元,同比下降2.29%,比预期低1.632亿美元。</blockquote></p><p> Warren Buffett holds a $416.76 million position in Teva Pharmaceutical Industries Limited (NYSE:TEVA) as of September 2021, which accounts for 0.14% of the billionaire’s total Q3 portfolio.</p><p><blockquote>截至2021年9月,沃伦·巴菲特持有梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)价值4.1676亿美元的头寸,占这位亿万富翁第三季度投资组合总额的0.14%。</blockquote></p><p> Abrams Capital Managementis one of the leading stakeholders of Teva Pharmaceutical Industries Limited (NYSE:TEVA) from the third quarter, owning over 24 million shares valued at $234.2 million.</p><p><blockquote>艾布拉姆斯资本管理公司是梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)第三季度的主要股东之一,拥有超过2400万股股票,价值2.342亿美元。</blockquote></p><p> Hedge funds increased their stakes in Teva Pharmaceutical Industries Limited (NYSE:TEVA) in the third quarter, with 22 funds holding stakes valued at $950.6 million in the company, as compared to the same number of funds being bullish on Teva Pharmaceutical Industries Limited (NYSE:TEVA) in the preceding quarter, with a total stake value of $947.1 million.</p><p><blockquote>对冲基金在第三季度增持了梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)的股份,有22只基金持有该公司价值9.506亿美元的股份,而同样数量的基金看好梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA),持股总价值为9.471亿美元。</blockquote></p><p> Raymond James analyst Elliot Wilbur on October 27 downgraded Teva Pharmaceutical Industries Limited (NYSE:TEVA) to Market Perform from Outperform without a price target, stating that near-term fundamentals are coming up short, as compared to the performance expectations from the company.</p><p><blockquote>Raymond James分析师Elliot Wilbur于10月27日将梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)的评级从跑赢大盘下调至市场表现,但没有设定价格目标,称与该公司的业绩预期相比,近期基本面未达到预期。</blockquote></p><p> <b>8. Globe Life Inc. (NYSE:GL)</b></p><p><blockquote><b>8.环球人寿公司(纽约证券交易所代码:GL)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $565,672,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:565,672,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 0.19%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:0.19%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 27</i></b></p><p><blockquote><b><i>对冲基金持有人数量:27</i></b></blockquote></p><p> <b><i>P/E Ratio: 12.45</i></b></p><p><blockquote><b><i>市盈率:12.45</i></b></blockquote></p><p> Billionaire Warren Buffett holds 6.35 million shares in Globe Life Inc. (NYSE:GL) as of September this year, worth $565.6 million, accounting for 0.19% of his total Q3 13F portfolio. Globe Life Inc. (NYSE:GL) is a Texas-based financial services holding company that specializes in life insurance, annuity, and supplemental health insurance products.</p><p><blockquote>截至今年9月,亿万富翁沃伦·巴菲特持有Globe Life Inc.(纽约证券交易所股票代码:GL)635万股,价值5.656亿美元,占其第三季度13F投资组合总额的0.19%。Globe Life Inc.(纽约证券交易所股票代码:GL)是一家总部位于德克萨斯州的金融服务控股公司,专门从事人寿保险、年金和补充健康保险产品。</blockquote></p><p> Credit Suisse analyst Andrew Kligerman on October 19 lowered the price target on Globe Life Inc. (NYSE:GL) to $130 from $135 and kept an Outperform rating on the shares, stating that despite the COVID-19 pressures on the stock, Globe Life Inc. (NYSE:GL) is trading at an attractive valuation. Globe Life Inc. (NYSE:GL) is one of the top value stocks according to Warren Buffett’s Berkshire Hathaway.</p><p><blockquote>瑞士信贷分析师Andrew Kligerman于10月19日将Globe Life Inc.(NYSE:GL)的目标股价从135美元下调至130美元,并维持该股跑赢大盘的评级,并表示尽管该股面临COVID-19压力,Globe Life Inc.(NYSE:GL)的交易估值颇具吸引力。根据沃伦·巴菲特的伯克希尔·哈撒韦公司的说法,环球人寿公司(纽约证券交易所股票代码:GL)是最有价值的股票之一。</blockquote></p><p> Globe Life Inc. (NYSE:GL) announced Q3 earnings on October 20, posting an EPS of $1.78, missing estimates by $0.11. The quarterly revenue jumped 6.93% to $1.28 billion, outperforming estimates by $15.97 million.</p><p><blockquote>Globe Life Inc.(纽约证券交易所股票代码:GL)于10月20日公布了第三季度收益,每股收益为1.78美元,比预期低0.11美元。季度营收增长6.93%至12.8亿美元,超出预期1597万美元。</blockquote></p><p> Insider Monkey tracks the movement of 867 elite hedge funds as of the third quarter, and a total of 27 funds of them reported owning stakes in Globe Life Inc. (NYSE:GL), worth $775.77 million. This is compared to 28 funds being bullish on Globe Life Inc. (NYSE:GL) in the prior quarter, with a total stake value of approximately $795 million.</p><p><blockquote>截至第三季度,Insider Monkey追踪了867只精英对冲基金的动向,其中共有27只基金报告持有Globe Life Inc.(纽约证券交易所股票代码:GL)的股份,价值7.7577亿美元。相比之下,上一季度有28只基金看好Globe Life Inc.(纽约证券交易所股票代码:GL),持股总价值约为7.95亿美元。</blockquote></p><p> In addition to Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN), elite hedge funds are piling into Globe Life Inc. (NYSE:GL).</p><p><blockquote>除了苹果公司(纳斯达克股票代码:AAPL)、美国运通公司(纽约证券交易所股票代码:AXP)、可口可乐公司(纽约证券交易所股票代码:KO)和亚马逊公司(纳斯达克股票代码:AMZN)之外,精英对冲基金也纷纷涌入Globe Life Inc.(纽约证券交易所股票代码:GL)。</blockquote></p><p> <b>7. General Motors Company (NYSE:GM)</b></p><p><blockquote><b>7.通用汽车公司(纽约证券交易所代码:GM)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $3,162,600,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:3,162,600,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 1.07%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:1.07%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 77</i></b></p><p><blockquote><b><i>对冲基金持有人数量:77</i></b></blockquote></p><p> <b><i>P/E Ratio: 8.45</i></b></p><p><blockquote><b><i>市盈率:8.45</i></b></blockquote></p><p></p><p> General Motors Company (NYSE:GM) stock represents 1.07% of Berkshire Hathaway’s Q3 portfolio, with the hedge fund holding a $3.16 billion position in the company. General Motors Company (NYSE:GM) is an American multinational automaker, with four core automobile brands including Chevrolet, Buick, GMC, and Cadillac. General Motors Company (NYSE:GM), a notable value stock from Buffett’s Q3 portfolio, is also actively working on electric vehicles, gearing up to compete with the EV market leader, Tesla, Inc. (NASDAQ:TSLA).</p><p><blockquote>通用汽车公司(纽约证券交易所股票代码:GM)股票占伯克希尔哈撒韦公司第三季度投资组合的1.07%,该对冲基金持有该公司31.6亿美元的头寸。通用汽车公司(NYSE:GM)是一家美国跨国汽车制造商,旗下拥有雪佛兰、别克、GMC、凯迪拉克等四大核心汽车品牌。通用汽车公司(纽约证券交易所股票代码:GM)是巴菲特第三季度投资组合中的一只著名价值股,也在积极开发电动汽车,准备与电动汽车市场领导者特斯拉公司(纳斯达克股票代码:TSLA)竞争。</blockquote></p><p> General Motors Company (NYSE:GM), on October 27, announced its third quarter results, posting earnings per share of $1.52, beating estimates by $0.55. The revenue fell by 24.52% year-over-year, amounting to $26.78 billion, missing estimates by $1.10 billion.</p><p><blockquote>通用汽车公司(纽约证券交易所股票代码:GM)10月27日公布了第三季度业绩,每股收益为1.52美元,超出预期0.55美元。营收同比下降24.52%,为267.8亿美元,比预期低11亿美元。</blockquote></p><p> On November 15, Wedbush analyst Daniel Ives kept an Outperform rating and a price target of $85 on General Motors Company (NYSE:GM)’s shares. The analyst stated that the vertical integration capabilities of General Motors Company (NYSE:GM) and conversion of its massive customer base to electric vehicles over the coming years represents a transformational opportunity for the company looking ahead.</p><p><blockquote>11月15日,Wedbush分析师Daniel Ives维持通用汽车公司(NYSE:GM)股票跑赢大盘的评级和85美元的目标价。该分析师表示,通用汽车公司(纽约证券交易所股票代码:GM)的垂直整合能力以及未来几年其庞大客户群向电动汽车的转变为该公司未来的转型机遇。</blockquote></p><p> Harris Associates is one of the leading General Motors Company (NYSE:GM) stakeholders from Q3, holding a $1.82 billion stake in the company, out of a total of 77 funds that were bullish on the stock in the third quarter.</p><p><blockquote>Harris Associates是通用汽车公司(纽约证券交易所股票代码:GM)第三季度的主要股东之一,在第三季度看好该股的总共77只基金中,持有该公司18.2亿美元的股份。</blockquote></p><p> Here is what Miller Value Partners has to say about General Motors Company (NYSE:GM) in its Q3 2021 investor letter:</p><p><blockquote>以下是Miller Value Partners在其2021年第三季度投资者信中对通用汽车公司(纽约证券交易所股票代码:GM)的评价:</blockquote></p><p> “Another name we’ve recently purchased and have grown incredibly excited about: General Motors (GM). GM is interesting on many levels. We see it as an attractive investment opportunity and it might be a microcosm of current markets, both past and prospective. Tesla trounced GM over the last decade. Tesla rose 15,797% crushing GM’s 238% increase, which lagged the S&P 500’s 365%. Tesla came out of nowhere creating what many said was the best car ever made. A decade ago, no one saw that coming, including GM. GM’s historical strength led to arrogance. It completely dismissed the threat of any newcomer. Where are we now? Expectations are entirely different. Tesla’s current price embeds 18 years of growth while GM embeds under one year (see a pattern in what we like?!). Tesla’s expectations look even loftier when you consider that in that 18th year, Tesla would be projected to earn $1.35 trillion revenues at very high, Ferrari-type margins. The largest automakers today generate roughly $250 billion revenues at less than half those margins. Tesla’s priced to go where no man (or woman!) has gone before. It’s impossible for Tesla to meet these expectations with auto manufacturing alone. It requires something more. Bulls believe Tesla can dominate an autonomous driving future and make significant money on software subscriptions. We don’t have a view on this other than that Tesla needs to do so to be attractive at the current price. Market expectations for GM, on the other hand, are muted. There appears to be no innovation or growth priced into the stock. Yet GM plans to launch 30 EV (electric vehicles) models globally by 2025 (Tesla has launched a total of 4). GM’s new electric vehicles, like the Hummer and Cadillac Lyric, are extremely impressive. It’s revamping its manufacturing production to be modular, allowing greater speed and adaptability. The entire culture has transformed from a stodgy, bureaucratic old manufacturer to a speedier, more innovative software-enabled automaker. GM currently employs 25,000 software engineers. GM believes it can double revenues by 2030, and improve margins through software and services. GM currently earns $2 billion of high margin software and services revenue, which is more than Tesla. Cruise, GM’s majority owned autonomous company, recently detailed why it sees the potential for $50B in revenues within 6-8 years of its 2023 launch of the Origin vehicle. BrightDrop, its autonomous commercial vehicle unit, looks promising as well with the potential for $10 billion in revenues. We don’t think this optionality is reflected in the current price. Investors started to see the potential after GM’s recent analyst day. We can easily get values for GM more than double its current price of $58. The contrast between GM and Tesla illustrates what we see more broadly in the market, which is why we see more opportunity in classic value names than in the secular growth names. After a decade of dominance, expectations for innovative and disruptive companies are quite high. Many classic value companies were caught flat-footed, but have invested heavily to catch up. Muted expectations don’t reflect their improved prospects.” <b>6. The Bank of New York Mellon Corporation (NYSE:BK)</b></p><p><blockquote>“我们最近购买了另一个名字,并对此感到非常兴奋:通用汽车(GM)。通用汽车在许多层面上都很有趣。我们认为它是一个有吸引力的投资机会,它可能是当前市场的一个缩影,包括过去和未来。特斯拉在过去十年中击败了通用汽车。特斯拉上涨了15,797%,超过了通用汽车238%的涨幅,落后于标普500的365%。特斯拉不知从哪里冒出来,创造了许多人说是有史以来最好的汽车。十年前,没有人预见到这一点,包括通用汽车。通用汽车的历史实力导致了傲慢。它完全排除了任何新来者的威胁。我们现在在哪里?期望完全不同。特斯拉目前的价格嵌入了18年的增长,而通用汽车嵌入了不到一年的增长(看到我们喜欢的模式了吗?!)。当你考虑到在第18个年头,特斯拉预计将以非常高的法拉利式利润率赚取1.35万亿美元的收入时,特斯拉的期望看起来就更高了。如今,最大的汽车制造商创造了约2500亿美元的收入,而利润率还不到一半。特斯拉被定价去没有男人(或女人!)以前去过。特斯拉不可能仅靠汽车制造来满足这些期望。它需要更多的东西。看多者认为,特斯拉可以主导自动驾驶的未来,并通过软件订阅赚大钱。除了特斯拉需要这样做才能在当前价格下具有吸引力之外,我们对此没有任何看法。另一方面,市场对通用汽车的预期却很低。该股的定价似乎没有创新或增长。然而,通用汽车计划到2025年在全球推出30款EV(电动汽车)车型(特斯拉总共推出了4款)。通用汽车的新型电动汽车,如悍马和凯迪拉克Lyric,令人印象深刻。它正在将其制造生产改造为模块化,从而实现更快的速度和适应性。整个文化已经从一个乏味、官僚的老制造商转变为一个更快、更具创新性的软件驱动的汽车制造商。通用汽车目前雇佣了25,000名软件工程师。通用汽车相信,到2030年,它可以将收入翻一番,并通过软件和服务提高利润率。通用汽车目前的高利润软件和服务收入为20亿美元,超过了特斯拉。通用汽车控股的自动驾驶公司Cruise最近详细介绍了为什么它认为Origin汽车在2023年推出后的6-8年内有可能实现500亿美元的收入。其自动驾驶商用车部门BrightDrop看起来也很有前途,收入潜力达到100亿美元。我们认为这种可选性并没有反映在当前的价格中。在通用汽车最近的分析师日之后,投资者开始看到潜力。我们可以轻松获得通用汽车目前58美元价格的两倍多的价值。通用汽车和特斯拉之间的对比说明了我们在市场上更广泛地看到的情况,这就是为什么我们在经典价值品牌中看到比长期增长品牌更多的机会。在经历了十年的主导地位之后,人们对创新和颠覆性公司的期望相当高。许多经典价值公司措手不及,但已投入巨资迎头赶上。低迷的预期并不反映他们前景的改善。”<b>6.纽约梅隆银行(纽约证券交易所代码:BK)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $3,751,012,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:3,751,012,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 1.27%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:1.27%</i></b></blockquote></p><p></p><p> <b><i>Number of Hedge Fund Holders: 46</i></b></p><p><blockquote><b><i>对冲基金持有人数量:46</i></b></blockquote></p><p> <b><i>P/E Ratio: 14.48</i></b></p><p><blockquote><b><i>市盈率:14.48</i></b></blockquote></p><p> Warren Buffett owned 72.35 million shares in The Bank of New York Mellon Corporation (NYSE:BK), worth $3.75 billion by the end of the third quarter, accounting for 1.27% of the total investment portfolio at Berkshire Hathaway. The Bank of New York Mellon Corporation (NYSE:BK) is a financial services holding company, offering a range of services including corporate banking, investment banking, global wealth management, financial analysis, and private equity.</p><p><blockquote>沃伦·巴菲特持有纽约梅隆银行公司(NYSE:BK)7235万股股票,截至第三季度末价值37.5亿美元,占伯克希尔·哈撒韦公司总投资组合的1.27%。纽约梅隆银行公司(纽约证券交易所股票代码:BK)是一家金融服务控股公司,提供一系列服务,包括企业银行、投资银行、全球财富管理、财务分析和私募股权。</blockquote></p><p> The Bank of New York Mellon Corporation (NYSE:BK) announced on October 19 its Q3 earnings. EPS in the period totaled $1.04, exceeding estimates by $0.04. The $4.04 billion revenue jumped 4.89% year-over-year, outperforming estimates by $88.43 million.</p><p><blockquote>纽约梅隆银行公司(纽约证券交易所股票代码:BK)于10月19日公布了第三季度财报。期内每股收益总计1.04美元,超出预期0.04美元。40.4亿美元的收入同比增长4.89%,超出预期8843万美元。</blockquote></p><p> Morgan Stanley analyst Betsy Graseck on December 6 downgraded The Bank of New York Mellon Corporation (NYSE:BK) to Underweight from Equal Weight with a $59 price target, citing the stock’s valuation, low loan exposure, and negative operating leverage as reasons for the downgrade.</p><p><blockquote>摩根士丹利分析师Betsy Graseck 12月6日将纽约梅隆银行(NYSE:BK)的评级从同等权重下调至跑输大盘,目标价为59美元,理由是该股估值、低贷款敞口和负运营杠杆是下调的原因。</blockquote></p><p> First Eagle Investment Management is one of the largest stakeholders of The Bank of New York Mellon Corporation (NYSE:BK) in Q3, with 16.1 million shares worth over $837 million. Overall, 46 hedge funds monitored by Insider Monkey were bullish on The Bank of New York Mellon Corporation (NYSE:BK) in the third quarter, down from 52 funds in the preceding quarter.</p><p><blockquote>First Eagle Investment Management是纽约梅隆银行公司(NYSE:BK)第三季度最大的股东之一,持有1610万股股票,价值超过8.37亿美元。总体而言,Insider Monkey监测的46只对冲基金在第三季度看好纽约梅隆银行公司(NYSE:BK),低于上一季度的52只基金。</blockquote></p><p> The Bank of New York Mellon Corporation (NYSE:BK) is a notable stock from Warren Buffett’s Q3 portfolio, just like Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN).</p><p><blockquote>纽约梅隆银行(纽约证券交易所代码:BK)是沃伦·巴菲特第三季度投资组合中的一只著名股票,就像苹果公司(纳斯达克股票代码:AAPL)、美国运通公司(纽约证券交易所代码:AXP)、可口可乐公司(纽约证券交易所代码:KO)和亚马逊公司(纳斯达克股票代码:AMZN)一样。</blockquote></p><p> <b>5. DaVita Inc. (NYSE:DVA)</b></p><p><blockquote><b>5.DaVita Inc.(纽约证券交易所代码:DVA)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $4,196,471,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:4,196,471,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 1.43%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:1.43%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 39</i></b></p><p><blockquote><b><i>对冲基金持有人数量:39</i></b></blockquote></p><p> <b><i>P/E Ratio: 12.37</i></b></p><p><blockquote><b><i>市盈率:12.37</i></b></blockquote></p><p> DaVita Inc. (NYSE:DVA) made it to our list of the best value stocks in Warren Buffett’s portfolio, with the company announcing solid Q3 earnings on October 28, posting an EPS of $2.36, beating estimates by $0.10. Revenue over the period also outperformed estimates by $23.55 million.</p><p><blockquote>DaVita Inc.(纽约证券交易所股票代码:DVA)跻身沃伦·巴菲特投资组合中最具价值股票名单,该公司于10月28日公布了稳健的第三季度收益,每股收益为2.36美元,超出预期0.10美元。该期间的收入也超出预期2355万美元。</blockquote></p><p> Deutsche Bank analyst Pito Chickering on November 17 lowered the price target on DaVita Inc. (NYSE:DVA) to $150 from $164 and kept a Buy rating on the shares after the capital markets day, stating that the company offers a longer term investment horizon than many investors can be comfortable with.</p><p><blockquote>德意志银行分析师Pito Chickering于11月17日将DaVita Inc.(纽约证券交易所股票代码:DVA)的目标股价从164美元下调至150美元,并在资本市场日之后维持对该股的买入评级,称该公司提供了更长期的投资前景比许多投资者都感到满意。</blockquote></p><p> DaVita Inc. (NYSE:DVA) is a healthcare company primarily focusing on kidney diseases and dialysis support, operating in nine countries in addition to the United States. Warren Buffett holds a $4.19 billion position in DaVita Inc. (NYSE:DVA) as of September this year, with DaVita Inc. (NYSE:DVA) stock accounting for 1.43% of the billionaire’s total investments.</p><p><blockquote>DaVita Inc.(纽约证券交易所股票代码:DVA)是一家主要专注于肾脏疾病和透析支持的医疗保健公司,除美国外,还在九个国家开展业务。截至今年9月,沃伦·巴菲特持有DaVita Inc.(纽约证券交易所代码:DVA)41.9亿美元的头寸,DaVita Inc.(纽约证券交易所代码:DVA)股票占这位亿万富翁总投资的1.43%。</blockquote></p><p> At the end of the third quarter, 39 hedge funds tracked by Insider Monkey reported owning stakes worth $4.81 billion in DaVita Inc. (NYSE:DVA). This is compared to the same number of funds holding the DaVita Inc. (NYSE:DVA) stock in the preceding quarter, with a total stake value of approximately $5.13 billion.</p><p><blockquote>截至第三季度末,Insider Monkey追踪的39家对冲基金报告称持有DaVita Inc.(纽约证券交易所股票代码:DVA)价值48.1亿美元的股份。相比之下,上一季度持有DaVita Inc.(纽约证券交易所股票代码:DVA)股票的基金数量相同,总持股价值约为51.3亿美元。</blockquote></p><p> Gates Capital Managementincreased its stake in DaVita Inc. (NYSE:DVA) by 5% in the third quarter, and is one of the leading stakeholders of the company, with a $174.1 million position.</p><p><blockquote>盖茨资本管理公司在第三季度增持了DaVita Inc.(纽约证券交易所股票代码:DVA)5%的股份,是该公司的主要股东之一,持仓量为1.741亿美元。</blockquote></p><p> <b>4. U.S. Bancorp (NYSE:USB)</b></p><p><blockquote><b>4.美国合众银行(纽约证券交易所代码:USB)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $7,514,279,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:7,514,279,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 2.52%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:2.52%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 42</i></b></p><p><blockquote><b><i>对冲基金持有人数量:42</i></b></blockquote></p><p> <b><i>P/E Ratio: 11.60</i></b></p><p><blockquote><b><i>市盈率:11.60</i></b></blockquote></p><p> U.S. Bancorp (NYSE:USB) is a Minnesota-based bank holding company that operates via its wholly owned subsidiary, U.S. Bank National Association, and offers banking, investment, mortgage, trust, and payment services to customers. As one of the best value stocks in Warren Buffett’s Q3 portfolio, U.S. Bancorp (NYSE:USB) represents 2.52% of the billionaire’s total investments. Berkshire Hathaway owns over 126 million U.S. Bancorp (NYSE:USB) shares, worth $7.51 billion.</p><p><blockquote>美国合众银行(纽约证券交易所股票代码:USB)是一家总部位于明尼苏达州的银行控股公司,通过其全资子公司美国银行全国协会运营,为客户提供银行、投资、抵押贷款、信托和支付服务。作为沃伦·巴菲特第三季度投资组合中最具价值的股票之一,美国合众银行(纽约证券交易所股票代码:USB)占这位亿万富翁总投资的2.52%。伯克希尔哈撒韦公司拥有超过1.26亿股美国合众银行(纽约证券交易所股票代码:USB)股票,价值75.1亿美元。</blockquote></p><p> On December 9, UBS analyst Erika Najarian initiated coverage of U.S. Bancorp (NYSE:USB) with a Buy rating and a $70 price target, after the 300 basis points of ROTCE outperformance by the company.</p><p><blockquote>12月9日,瑞银(UBS)分析师Erika Najarian首次对U.S.Bancorp(NYSE:USB)给予买入评级和70美元的目标价,此前该公司的ROTCE表现优于300个基点。</blockquote></p><p> U.S. Bancorp (NYSE:USB), on October 14, reported its Q3 results, posting an EPS of $1.30, beating estimates by $0.14. The $5.86 billion revenue also exceeded estimates by $105.32 million.</p><p><blockquote>美国合众银行(NYSE:USB)于10月14日公布了第三季度业绩,每股收益为1.30美元,超出预期0.14美元。58.6亿美元的收入也超出预期1.0532亿美元。</blockquote></p><p> In Q3 2021, 42 hedge funds in the database of Insider Monkey were long U.S. Bancorp (NYSE:USB), up from 41 funds in the preceding quarter.Yacktman Asset Managementis one of the leading stakeholders of U.S. Bancorp (NYSE:USB), holding a $279.3 million stake in the bank holding company.</p><p><blockquote>2021年第三季度,Insider Monkey数据库中有42家对冲基金做多U.S.Bancorp(NYSE:USB),高于上一季度的41家基金。Yacktman Asset Management是U.S.Bancorp(NYSE:USB)的主要利益相关者之一),持有该银行控股公司价值2.793亿美元的股份。</blockquote></p><p> Hereis what Mairs & Power has to say about U.S. Bancorp (NYSE:USB) in their Q4 2020 investor letter:</p><p><blockquote>以下是Mairs&Power在2020年第四季度投资者信中对U.S.Bancorp(NYSE:USB)的评价:</blockquote></p><p></p><p> “On the negative side, one of the Fund’s biggest detractor in 2020 was U.S. Bancorp (USB). Like all banks, U.S. Bank was hurt by the difficult interest rate environment and credit cycle concerns. We believe banks are strong enough to survive the current sector doldrums, and they remain some of the market’s most attractive opportunities.” <b>3. Verizon Communications Inc. (NYSE:VZ)</b></p><p><blockquote>“从负面来看,该基金在2020年最大的诋毁者之一是美国合众银行(USB)。与所有银行一样,合众银行也受到了困难的利率环境和信贷周期担忧的伤害。我们相信银行足够强大,能够度过当前的行业低迷,它们仍然是市场上最有吸引力的机会之一。”<b>3.威瑞森通信公司(纽约证券交易所代码:VZ)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $8,578,115,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:8,578,115,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 2.92%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:2.92%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 57</i></b></p><p><blockquote><b><i>对冲基金持有人数量:57</i></b></blockquote></p><p> <b><i>P/E Ratio: 9.43</i></b></p><p><blockquote><b><i>市盈率:9.43</i></b></blockquote></p><p> With a price to earnings ratio of 9.43, Verizon Communications Inc. (NYSE:VZ) is one of Warren Buffett’s top value stock picks from the third quarter, with the billionaire holding an $8.57 billion position in the company. Verizon Communications Inc. (NYSE:VZ), an American multinational telecommunications conglomerate, announced a quarterly dividend of $0.64 per share on December 2, payable on February 1 to shareholders of record on January 10. Verizon Communications Inc. (NYSE:VZ) offers a forward dividend yield of 5.10%.</p><p><blockquote>Verizon Communications Inc.(纽约证券交易所股票代码:VZ)的市盈率为9.43,是沃伦·巴菲特第三季度最有价值的股票之一,这位亿万富翁持有该公司85.7亿美元的头寸。美国跨国电信集团Verizon Communications Inc.(纽约证券交易所股票代码:VZ)于12月2日宣布派发每股0.64美元的季度股息,将于2月1日支付给1月10日登记在册的股东。Verizon Communications Inc.(纽约证券交易所股票代码:VZ)的远期股息率为5.10%。</blockquote></p><p> On October 20, Verizon Communications Inc. (NYSE:VZ) announced Q3 results, posting an EPS of $1.41, beating estimates by $0.05. The quarterly revenue amounted to $32.92 billion, missing estimates by $301.93 million. Following the Q3 performance, Cowen analyst Colby Synesael raised the price target on Verizon Communications Inc. (NYSE:VZ) to $71 from $68 and kept an Outperform rating on the shares.</p><p><blockquote>10月20日,Verizon Communications Inc.(纽约证券交易所股票代码:VZ)公布了第三季度业绩,每股收益为1.41美元,超出预期0.05美元。季度营收为329.2亿美元,比预期低3.0193亿美元。继第三季度业绩公布后,Cowen分析师Colby Synesael将Verizon Communications Inc.(纽约证券交易所股票代码:VZ)的目标股价从68美元上调至71美元,并维持该股跑赢大盘的评级。</blockquote></p><p> Verizon Communications Inc. (NYSE:VZ) was awarded two contracts worth $34.6 million by the U.S. Department of Energy. The task orders were awarded through the federal government’s Enterprise Infrastructure Solutions contract vehicle on December 1.</p><p><blockquote>Verizon Communications Inc.(纽约证券交易所股票代码:VZ)获得美国授予的两份价值3460万美元的合同。能源部。这些任务订单于12月1日通过联邦政府的企业基础设施解决方案合同工具授予。</blockquote></p><p> By the end of the third quarter, 57 hedge funds were bullish on Verizon Communications Inc. (NYSE:VZ), down from 63 funds in the preceding quarter. Jaime Sterne’s Skye Global Management is one of the leading Verizon Communications Inc. (NYSE:VZ) stakeholders from Q3, holding a $282.3 million position in the company.</p><p><blockquote>截至第三季度末,有57家对冲基金看好Verizon Communications Inc.(纽约证券交易所股票代码:VZ),低于上一季度的63家。Jaime Sterne的Skye Global Management是Verizon Communications Inc.(纽约证券交易所股票代码:VZ)第三季度的主要股东之一,持有该公司2.823亿美元的股份。</blockquote></p><p> Hereis what Miller/Howard Investments has to say about Verizon Communications Inc. (NYSE:VZ) in its Q1 2021 investor letter:</p><p><blockquote>以下是Miller/Howard Investments在其2021年第一季度投资者信中对Verizon Communications Inc.(纽约证券交易所股票代码:VZ)的评价:</blockquote></p><p> “We sold Verizon (VZ) based on concerns over how much they might spend in ongoing spectrum auctions. Management may legitimately view spending billions of dollars to expand their spectrum holdings as necessary, but we believe the payoff will be slow and will make it challenging to grow the dividend at a good pace.” <b>2. American Express Company (NYSE:AXP)</b></p><p><blockquote>“我们出售Verizon(VZ)是出于对他们在正在进行的频谱拍卖中可能花费多少钱的担忧。管理层可能合理地认为花费数十亿美元来扩大频谱持有量是必要的,但我们认为回报将是缓慢的,并且将使其具有挑战性以良好的速度增长股息。”<b>2.美国运通公司(纽约证券交易所代码:AXP)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $25,399,340,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:25,399,340,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 8.65%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:8.65%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 57</i></b></p><p><blockquote><b><i>对冲基金持有人数量:57</i></b></blockquote></p><p> <b><i>P/E Ratio: 17.45</i></b></p><p><blockquote><b><i>市盈率:17.45</i></b></blockquote></p><p> American Express Company (NYSE:AXP), a multinational payment card services company, posted on October 22 its Q3 results. EPS for the period came in at $2.27, exceeding estimates by $0.52. The revenue amounted to $10.93 billion, up 24.88% year-over-year, outperforming estimates by $382.39 million.</p><p><blockquote>跨国支付卡服务公司美国运通公司(纽约证券交易所股票代码:AXP)于10月22日公布了第三季度业绩。该期间每股收益为2.27美元,超出预期0.52美元。营收109.3亿美元,同比增长24.88%,超出预期3.8239亿美元。</blockquote></p><p> 8.65% of Berkshire Hathaway’s Q3 investments are represented by American Express Company (NYSE:AXP) stock, with Warren Buffett holding 151.6 million shares of the company, worth $25.39 billion at the end of September this year. American Express Company (NYSE:AXP) is one of the best value stocks in Warren Buffett’s portfolio.</p><p><blockquote>伯克希尔哈撒韦公司第三季度投资的8.65%是美国运通公司(NYSE:AXP)股票,沃伦·巴菲特持有该公司1.516亿股股票,截至今年9月底价值253.9亿美元。美国运通公司(纽约证券交易所股票代码:AXP)是沃伦·巴菲特投资组合中最有价值的股票之一。</blockquote></p><p> The smart money took a greater interest in American Express Company (NYSE:AXP) in the third quarter, with 57 hedge funds being bullish on the stock at September end, up from 52 funds holding stakes in American Express Company (NYSE:AXP) in the preceding quarter.Fisher Asset Management is a notable stakeholder of American Express Company (NYSE:AXP) in Q3, with 15.6 million shares valued at $2.61 billion.</p><p><blockquote>聪明的资金在第三季度对美国运通公司(纽约证券交易所股票代码:AXP)产生了更大的兴趣,截至9月底,有57家对冲基金看好该股,高于持有美国运通公司(纽约证券交易所股票代码:AXP)股份的52家基金在上一季度。费舍尔资产管理公司是美国运通公司(纽约证券交易所股票代码:AXP)第三季度的著名股东,持有1560万股,价值26.1亿美元。</blockquote></p><p> After the Q3 earnings beat, BMO Capital analyst James Fotheringham on October 25 raised the price target on American Express Company (NYSE:AXP) to $151 from $147 but kept a Market Perform rating on the shares. In addition to the strong Q3 earnings, the analyst revised his model for American Express Company (NYSE:AXP) to forecast higher net interest income, lower loan loss provisions, and lower share counts.</p><p><blockquote>在第三季度盈利超出预期后,BMO Capital分析师James Fotheringham于10月25日将美国运通公司(NYSE:AXP)的目标股价从147美元上调至151美元,但维持该股的市场表现评级。除了强劲的第三季度收益外,分析师还修改了美国运通公司(纽约证券交易所股票代码:AXP)的模型,预测净利息收入增加、贷款损失准备金减少和股票数量减少。</blockquote></p><p> Hereis what ClearBridge Investments has to say about American Express Company (NYSE:AXP) in its Q2 2021 investor letter:</p><p><blockquote>以下是ClearBridge Investments在其2021年第二季度投资者信中对美国运通公司(纽约证券交易所股票代码:AXP)的评价:</blockquote></p><p></p><p> “In financials, American Express has done an excellent job demonstrating the resiliency of its franchise in the midst of a global pandemic that drove a 60% decline in its core travel and entertainment business. The company’s spend-centric model has been helped by fiscal stimulus ensuring a flush consumer, while management continues to execute well by adding millions of new consumer and small and medium business accounts, which should benefit the franchise over the medium to long term. We remain optimistic regarding the company’s prospects as travel and entertainment activity rebounds, adding to our position in the quarter.” <b>1. Bank of America Corporation (NYSE:BAC)</b></p><p><blockquote>“在财务方面,美国运通出色地展示了其特许经营权在全球大流行导致其核心旅游和娱乐业务下降60%的情况下的弹性。该公司以支出为中心的模式得到了财政刺激的帮助确保了消费者的富裕,而管理层继续通过增加数百万新的消费者和中小企业账户来执行良好,这应该会使特许经营权在中长期内受益。随着旅游和娱乐活动的反弹,我们对公司的前景保持乐观,这增加了我们在本季度的地位。”<b>1.美国银行公司(纽约证券交易所代码:BAC)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $42,878,771,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:42,878,771,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 14.61%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:14.61%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 72</i></b></p><p><blockquote><b><i>对冲基金持有人数量:72</i></b></blockquote></p><p> <b><i>P/E Ratio: 13.32</i></b></p><p><blockquote><b><i>市盈率:13.32</i></b></blockquote></p><p> Ranking first on our list of the best value stocks in Warren Buffett’s portfolio is Bank of America Corporation (NYSE:BAC), with the billionaire holding more than 1 billion shares worth $42.8 billion by the end of September. Bank of America Corporation (NYSE:BAC) stock represents 14.61% of Warren Buffett’s total Q3 securities.</p><p><blockquote>在我们的沃伦·巴菲特投资组合中最具价值股票名单中排名第一的是美国银行公司(纽约证券交易所股票代码:BAC),截至9月底,这位亿万富翁持有超过10亿股股票,价值428亿美元。美国银行公司(纽约证券交易所股票代码:BAC)股票占沃伦·巴菲特第三季度证券总额的14.61%。</blockquote></p><p> UBS analyst Erika Najarian assumed coverage of Bank of America Corporation (NYSE:BAC) with a Buy rating and a $64 price target on December 9. The analyst named Bank of America Corporation (NYSE:BAC) her top pick among the U.S. large cap banks.</p><p><blockquote>瑞银(UBS)分析师Erika Najarian于12月9日对美国银行公司(NYSE:BAC)给予买入评级和64美元的目标价。这位分析师将美国银行公司(纽约证券交易所股票代码:BAC)列为她在美国大型银行中的首选。</blockquote></p><p> Bank of America Corporation (NYSE:BAC), on October 14, announced earnings for the third quarter, posting an EPS of $0.85, beating estimates by $0.15. The revenue was up 11.33% year-over-year, amounting to $22.77 billion, exceeding estimates by $1.16 billion.</p><p><blockquote>美国银行公司(纽约证券交易所股票代码:BAC)10月14日公布第三季度收益,每股收益为0.85美元,超出预期0.15美元。营收同比增长11.33%,达到227.7亿美元,超出预期11.6亿美元。</blockquote></p><p> In the third quarter, 72 hedge funds were bullish on Bank of America Corporation (NYSE:BAC), holding total stakes valued at $46.48 billion. One of the leading Bank of America Corporation (NYSE:BAC) stakeholders from Q3 isHarris Associates, with a $2.52 billion position in the company.</p><p><blockquote>第三季度,72家对冲基金看好美国银行公司(NYSE:BAC),持有总价值464.8亿美元的股份。iHarris Associates是美国银行公司(纽约证券交易所股票代码:BAC)第三季度的主要利益相关者之一,在该公司持有25.2亿美元的股份。</blockquote></p><p> Here is what Oakmark Funds has to say about Bank of America Corporation (NYSE:BAC) in its Q3 2021 investor letter:</p><p><blockquote>以下是Oakmark Funds在其2021年第三季度投资者信中对美国银行公司(纽约证券交易所股票代码:BAC)的评价:</blockquote></p><p> “Earlier this year, one of our holdings, Bank of America, announced that it was raising its minimum hourly wage from $15 to $20 and would increase it to $25 by 2025. The company received great press for placing the well-being of its employees above profits. But was it really either/or? Bank of America’s chief human resources officer spoke to the bigger picture: “A core tenet of responsible growth is our commitment to being a great place to work…that includes providing strong pay and competitive benefits to help them and their families, so that we continue to attract and retain the best talent.” Bank of America understood that engaged, high-caliber employees are more productive, less prone to turnover and, therefore, less expensive in the long run. Increasing the pay for employees wasn’t elevating employees above shareholders; it was the right thing to do for employees <i>and</i>for shareholders. If an increase to $20 was good, why stop there? Why not $50 per hour? Because the benefits the business receives at $50 don’t justify the expense. The bank would no longer be able to price its products competitively and would lose business. The employees would “win” in the short term, but eventually the lost business would lead to job cuts, meaning both employees and shareholders would lose. The negative effects of stakeholder overreach are no different than when CEOs overreach to inflate short-term profits. Both hurt shareholders <i>and</i>stakeholders.” </p><p><blockquote>“今年早些时候,我们控股的美国银行宣布将最低时薪从15美元提高到20美元,并将在2025年提高到25美元。该公司因将员工的福利置于利润之上而受到广泛关注。但这真的是非此即彼吗?美国银行首席人力资源官谈到了大局:“负责任增长的核心原则是我们致力于成为一个伟大的工作场所……这包括提供丰厚的薪酬和有竞争力的福利来帮助他们及其家人,以便我们继续吸引并留住最优秀的人才。”美国银行明白,敬业、高素质的员工生产力更高,不容易离职,因此从长远来看成本更低。增加员工薪酬并没有将员工提升到股东之上;这对员工来说是正确的做法<i>和</i>对于股东来说。如果涨到20美元是好事,为什么要止步于此呢?为什么不是每小时50美元?因为企业以50美元获得的收益并不值得花费。该银行将不再能够为其产品定价具有竞争力,并将失去业务。员工将在短期内“获胜”,但最终失去的业务将导致裁员,这意味着员工和股东都将遭受损失。利益相关者越权的负面影响与首席执行官越权夸大短期利润没有什么不同。两者都伤害了股东<i>和</i>利益相关者。”</blockquote></p><p></p>","source":"lsy1606273129822","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>5 Best Value Stocks in Warren Buffett’s Portfolio<blockquote>沃伦·巴菲特投资组合中5只最有价值的股票</blockquote></title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 12.5px; color: #7E829C; margin: 0;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\n5 Best Value Stocks in Warren Buffett’s Portfolio<blockquote>沃伦·巴菲特投资组合中5只最有价值的股票</blockquote>\n</h2>\n<h4 class=\"meta\">\n<p class=\"head\">\n<strong class=\"h-name small\">Insider Monkey</strong><span class=\"h-time small\">2021-12-16 15:56</span>\n</p>\n</h4>\n</header>\n<article>\n<p>In this article, we discuss the 10 best value stocks in Warren Buffett’s portfolio.</p><p><blockquote>在本文中,我们讨论沃伦·巴菲特投资组合中10只最有价值的股票。</blockquote></p><p> Billionaire Warren Buffett is an American business tycoon, legendary value investor, and philanthropist, who is known for his conglomerate holding company, Berkshire Hathaway Inc. (NYSE:BRK-A), which he manages alongside Charlie Munger, who is the vice chairman of the company and the closest associate of Buffett.</p><p><blockquote>亿万富翁沃伦·巴菲特是美国商业大亨、传奇价值投资者和慈善家,他以其控股公司伯克希尔·哈撒韦公司(纽约证券交易所股票代码:BRK-A)而闻名,他与副董事长查理·芒格一起管理该公司,也是巴菲特最亲密的同事。</blockquote></p><p> Buffett manages his investments via his hedge fund,Berkshire Hathaway, which managed about $293.4 billion in 13F securities in the third quarter, gaining approximately $57 billion as compared to the prior-year quarter. Buffett’s portfolio is largely concentrated in the information technology, finance, and consumer staples sectors. The billionaire is known for following the Benjamin Graham school of thought, focusing primarily on value stocks.</p><p><blockquote>巴菲特通过他的对冲基金伯克希尔哈撒韦公司管理他的投资,该基金第三季度管理了约2934亿美元的13F证券,与去年同期相比增加了约570亿美元。巴菲特的投资组合主要集中在信息技术、金融和必需消费品领域。这位亿万富翁以追随本杰明·格雷厄姆学派而闻名,主要关注价值股。</blockquote></p><p> The legendary investor recommends low-cost index funds for a majority of investors, as some active managers charge heavy management and performance fees, and he doesn’t believe they can beat the market on a consistent basis. In his opinion, amatuer and passive investors are better off betting on an S&P 500 index fund for the long-term, since it would generate returns over the course of a decade that are higher than the returns from a basket of diversified hedge funds after the hedge fund managers are paid their share of the management fees.</p><p><blockquote>这位传奇投资者向大多数投资者推荐低成本指数基金,因为一些主动型基金经理收取高额管理费和绩效费,而且他不相信他们能够持续击败市场。他认为,业余和被动投资者最好长期押注标普500指数基金,因为它在十年内产生的回报将高于对冲基金后一篮子多元化对冲基金的回报。基金经理支付他们应得的管理费。</blockquote></p><p> Since Buffett is a long-term investor, he advises people who are starting out their investment journey to buy the stock dips, since the market is eventually going to rise again.</p><p><blockquote>由于巴菲特是一位长期投资者,他建议刚刚开始投资之旅的人逢低买入股票,因为市场最终会再次上涨。</blockquote></p><p> <img src=\"https://static.tigerbbs.com/95c29fa4a746a9be0316155793ff359c\" tg-width=\"767\" tg-height=\"843\" width=\"100%\" height=\"auto\"></p><p><blockquote></blockquote></p><p> The most notable stocks in Warren Buffett’s Q3 portfolio include Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN), in addition to others mentioned in detail below.</p><p><blockquote>沃伦·巴菲特第三季度投资组合中最著名的股票包括苹果公司(纳斯达克股票代码:AAPL)、美国运通公司(纽约证券交易所股票代码:AXP)、可口可乐公司(纽约证券交易所股票代码:KO)和亚马逊公司(纳斯达克股票代码:AMZN)),以及下面详细提到的其他股票。</blockquote></p><p> <b><i>Our Methodology</i></b></p><p><blockquote><b><i>我们的方法论</i></b></blockquote></p><p> We used the Q3 portfolio of Warren Buffett’s Berkshire Hathaway to select his top 10 value stocks. We chose stocks that had the lowest price to earnings ratio in the billionaire’s portfolio, and ranked the securities according to Buffett’s stake value in each holding.</p><p><blockquote>我们使用沃伦·巴菲特旗下伯克希尔·哈撒韦公司的第三季度投资组合来选择他的十大价值股票。我们选择了这位亿万富翁投资组合中市盈率最低的股票,并根据巴菲特在每只股票中的持股价值对证券进行排名。</blockquote></p><p> <b>Best Value Stocks in Warren Buffett’s Portfolio</b></p><p><blockquote><b>沃伦·巴菲特投资组合中最有价值的股票</b></blockquote></p><p> <b>10. Wells Fargo & Company (NYSE:WFC)</b></p><p><blockquote><b>10.富国银行公司(纽约证券交易所代码:WFC)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $31,329,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:31,329,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 0.01%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:0.01%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 88</i></b></p><p><blockquote><b><i>对冲基金持有人数量:88</i></b></blockquote></p><p> <b><i>P/E Ratio: 11.98</i></b></p><p><blockquote><b><i>市盈率:11.98</i></b></blockquote></p><p> Wells Fargo & Company (NYSE:WFC) posted its Q3 earnings on October 14. EPS in the quarter totaled $1.22, exceeding estimates by $0.28. Revenue over the period equaled $18.83 billion, outperforming analysts’ consensus estimates by $542.17 million.</p><p><blockquote>富国银行(纽约证券交易所股票代码:WFC)于10月14日公布了第三季度收益。本季度每股收益总计1.22美元,超出预期0.28美元。该期间的收入为188.3亿美元,比分析师普遍预期高出5.4217亿美元。</blockquote></p><p> Warren Buffett holds 675,054 shares in Wells Fargo & Company (NYSE:WFC), an American multinational financial services corporation, as of September this year. Buffett’s stake in Wells Fargo & Company (NYSE:WFC) amounts to $31.32 million, and it accounts for 0.01% of the billionaire’s Q3 portfolio. With a P/E ratio of 11.98, Wells Fargo & Company (NYSE:WFC) is one of the best value stocks in Warren Buffett’s portfolio.</p><p><blockquote>截至今年9月,沃伦·巴菲特持有美国跨国金融服务公司富国银行(NYSE:WFC)675,054股股票。巴菲特持有富国银行(纽约证券交易所股票代码:WFC)的股份达3132万美元,占这位亿万富翁第三季度投资组合的0.01%。富国银行公司(纽约证券交易所股票代码:WFC)的市盈率为11.98,是沃伦·巴菲特投资组合中最有价值的股票之一。</blockquote></p><p> On December 9, UBS analyst Erika Najarian called Wells Fargo & Company (NYSE:WFC) one of her “highest conviction Buy ideas”, assuming coverage of the stock with a Buy rating and a $65 price target. The analyst sees rising rates and execution of its expense plan driving return on average tangible common shareholders’ equity as attractive catalysts.</p><p><blockquote>12月9日,瑞银分析师埃里卡·纳贾里安(Erika Najarian)称富国银行(NYSE:WFC)是她“最坚定的买入想法”之一,假设该股的评级为买入,目标价为65美元。分析师认为,利率上升和费用计划的执行推动了平均有形普通股股东权益回报率,是有吸引力的催化剂。</blockquote></p><p> A total of 88 hedge funds were bullish on Wells Fargo & Company (NYSE:WFC) at the end of the third quarter, holding stakes worth $6.18 billion. This is comparable to 94 funds holding stakes valued at over $7 billion in Wells Fargo & Company (NYSE:WFC) in the previous quarter.</p><p><blockquote>截至第三季度末,共有88家对冲基金看好富国银行(NYSE:WFC),持有价值61.8亿美元的股份。与上一季度持有富国银行公司(纽约证券交易所股票代码:WFC)价值超过70亿美元股份的94只基金相比。</blockquote></p><p> Boykin Curry’s Eagle Capital Management is the largest Wells Fargo & Company (NYSE:WFC) stakeholder as of the third quarter, holding 33.74 million shares worth $1.56 billion.</p><p><blockquote>截至第三季度,博伊金·库里(Boykin Curry)的Eagle Capital Management是富国银行(NYSE:WFC)最大的股东,持有3374万股,价值15.6亿美元。</blockquote></p><p> Wells Fargo & Company (NYSE:WFC) is a notable stock from Warren Buffett’s Q3 portfolio, in addition to Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN).</p><p><blockquote>富国银行(纽约证券交易所股票代码:WFC)是沃伦·巴菲特第三季度投资组合中的一只著名股票,此外还有苹果公司(纳斯达克股票代码:AAPL)、美国运通公司(纽约证券交易所股票代码:AXP)、可口可乐公司(纽约证券交易所股票代码:KO)和亚马逊公司(纳斯达克股票代码:AMZN)。</blockquote></p><p> Hereis what Davis Global Fund has to say about Wells Fargo & Company (NYSE:WFC) in its Q3 2021 investor letter:</p><p><blockquote>以下是戴维斯全球基金在其2021年第三季度投资者信中对富国银行(NYSE:WFC)的评价:</blockquote></p><p></p><p> “…This second chart highlights that financials remain the cheapest part of the market today and continue to be extremely attractive. Strong capital ratios, conservative lending practices, already record low interest rates and now a strengthening economy, all paired with low valuations, bode well for future returns. Take our top financials holding in Wells Fargo, for instance. Wells Fargo is trading at 1.3x tangible book value, while we expect return on equity (ROE) to be in the mid-to-high teens over time. Even in this low-rate environment, the current multiple is only 12x 2021 owner earnings, and our IRR estimate is 12–13%. Wells Fargo has performed well this year, up 51% year-to-date, yet still looks very attractive, which speaks to how undervalued it was and why it is so important to be patient when investing in high-quality companies trading at low valuations. Rather than invest on the basis of unpredictable near-term catalysts, we prefer to be patient as earnings and cash build up, even if the stock price does not immediately reflect the economic reality. We continue to like our positions in financials.” <b>9. Teva Pharmaceutical Industries Limited (NYSE:TEVA)</b></p><p><blockquote>“……第二张图表强调,金融股仍然是当今市场上最便宜的部分,并且仍然极具吸引力。强劲的资本比率、保守的贷款做法、已经创纪录的低利率以及现在正在走强的经济,所有这些都与低估值相结合,预示着未来的回报。以我们持有的富国银行的顶级金融股为例。富国银行的交易价格是有形账面价值的1.3倍,而我们预计随着时间的推移,股本回报率(ROE)将处于中高水平。即使在这种低利率环境下,目前的市盈率也仅为2021年所有者收益的12倍,我们的IRR估计为12-13%。富国银行今年表现良好,今年迄今上涨了51%,但看起来仍然非常有吸引力,这说明了它的价值是多么被低估,以及为什么在投资以低价交易的优质公司时保持耐心如此重要估值。我们宁愿在收益和现金增加时保持耐心,而不是根据不可预测的近期催化剂进行投资,即使股价不能立即反映经济现实。我们继续看好我们在金融股的头寸。”<b>9.梯瓦制药工业有限公司(纽约证券交易所代码:TEVA)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $416,768,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:416,768,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 0.14%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:0.14%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 22</i></b></p><p><blockquote><b><i>对冲基金持有人数量:22</i></b></blockquote></p><p> <b><i>P/E Ratio: 12.63</i></b></p><p><blockquote><b><i>市盈率:12.63</i></b></blockquote></p><p> Teva Pharmaceutical Industries Limited (NYSE:TEVA), a pharmaceutical company from Israel specializing in generics and biopharmaceutical medicines, reported its Q3 results on October 27. Teva Pharmaceutical Industries Limited (NYSE:TEVA) posted an EPS of $0.59, missing estimates by $0.06. The Q3 revenue totaled $3.89 billion, down 2.29% year-over-year, missing estimates by $163.2 million.</p><p><blockquote>梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)是一家来自以色列的专注于仿制药和生物制药的制药公司,于10月27日公布了第三季度业绩。梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)公布的每股收益为0.59美元,比预期低0.06美元。第三季度营收总计38.9亿美元,同比下降2.29%,比预期低1.632亿美元。</blockquote></p><p> Warren Buffett holds a $416.76 million position in Teva Pharmaceutical Industries Limited (NYSE:TEVA) as of September 2021, which accounts for 0.14% of the billionaire’s total Q3 portfolio.</p><p><blockquote>截至2021年9月,沃伦·巴菲特持有梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)价值4.1676亿美元的头寸,占这位亿万富翁第三季度投资组合总额的0.14%。</blockquote></p><p> Abrams Capital Managementis one of the leading stakeholders of Teva Pharmaceutical Industries Limited (NYSE:TEVA) from the third quarter, owning over 24 million shares valued at $234.2 million.</p><p><blockquote>艾布拉姆斯资本管理公司是梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)第三季度的主要股东之一,拥有超过2400万股股票,价值2.342亿美元。</blockquote></p><p> Hedge funds increased their stakes in Teva Pharmaceutical Industries Limited (NYSE:TEVA) in the third quarter, with 22 funds holding stakes valued at $950.6 million in the company, as compared to the same number of funds being bullish on Teva Pharmaceutical Industries Limited (NYSE:TEVA) in the preceding quarter, with a total stake value of $947.1 million.</p><p><blockquote>对冲基金在第三季度增持了梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)的股份,有22只基金持有该公司价值9.506亿美元的股份,而同样数量的基金看好梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA),持股总价值为9.471亿美元。</blockquote></p><p> Raymond James analyst Elliot Wilbur on October 27 downgraded Teva Pharmaceutical Industries Limited (NYSE:TEVA) to Market Perform from Outperform without a price target, stating that near-term fundamentals are coming up short, as compared to the performance expectations from the company.</p><p><blockquote>Raymond James分析师Elliot Wilbur于10月27日将梯瓦制药工业有限公司(纽约证券交易所股票代码:TEVA)的评级从跑赢大盘下调至市场表现,但没有设定价格目标,称与该公司的业绩预期相比,近期基本面未达到预期。</blockquote></p><p> <b>8. Globe Life Inc. (NYSE:GL)</b></p><p><blockquote><b>8.环球人寿公司(纽约证券交易所代码:GL)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $565,672,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:565,672,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 0.19%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:0.19%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 27</i></b></p><p><blockquote><b><i>对冲基金持有人数量:27</i></b></blockquote></p><p> <b><i>P/E Ratio: 12.45</i></b></p><p><blockquote><b><i>市盈率:12.45</i></b></blockquote></p><p> Billionaire Warren Buffett holds 6.35 million shares in Globe Life Inc. (NYSE:GL) as of September this year, worth $565.6 million, accounting for 0.19% of his total Q3 13F portfolio. Globe Life Inc. (NYSE:GL) is a Texas-based financial services holding company that specializes in life insurance, annuity, and supplemental health insurance products.</p><p><blockquote>截至今年9月,亿万富翁沃伦·巴菲特持有Globe Life Inc.(纽约证券交易所股票代码:GL)635万股,价值5.656亿美元,占其第三季度13F投资组合总额的0.19%。Globe Life Inc.(纽约证券交易所股票代码:GL)是一家总部位于德克萨斯州的金融服务控股公司,专门从事人寿保险、年金和补充健康保险产品。</blockquote></p><p> Credit Suisse analyst Andrew Kligerman on October 19 lowered the price target on Globe Life Inc. (NYSE:GL) to $130 from $135 and kept an Outperform rating on the shares, stating that despite the COVID-19 pressures on the stock, Globe Life Inc. (NYSE:GL) is trading at an attractive valuation. Globe Life Inc. (NYSE:GL) is one of the top value stocks according to Warren Buffett’s Berkshire Hathaway.</p><p><blockquote>瑞士信贷分析师Andrew Kligerman于10月19日将Globe Life Inc.(NYSE:GL)的目标股价从135美元下调至130美元,并维持该股跑赢大盘的评级,并表示尽管该股面临COVID-19压力,Globe Life Inc.(NYSE:GL)的交易估值颇具吸引力。根据沃伦·巴菲特的伯克希尔·哈撒韦公司的说法,环球人寿公司(纽约证券交易所股票代码:GL)是最有价值的股票之一。</blockquote></p><p> Globe Life Inc. (NYSE:GL) announced Q3 earnings on October 20, posting an EPS of $1.78, missing estimates by $0.11. The quarterly revenue jumped 6.93% to $1.28 billion, outperforming estimates by $15.97 million.</p><p><blockquote>Globe Life Inc.(纽约证券交易所股票代码:GL)于10月20日公布了第三季度收益,每股收益为1.78美元,比预期低0.11美元。季度营收增长6.93%至12.8亿美元,超出预期1597万美元。</blockquote></p><p> Insider Monkey tracks the movement of 867 elite hedge funds as of the third quarter, and a total of 27 funds of them reported owning stakes in Globe Life Inc. (NYSE:GL), worth $775.77 million. This is compared to 28 funds being bullish on Globe Life Inc. (NYSE:GL) in the prior quarter, with a total stake value of approximately $795 million.</p><p><blockquote>截至第三季度,Insider Monkey追踪了867只精英对冲基金的动向,其中共有27只基金报告持有Globe Life Inc.(纽约证券交易所股票代码:GL)的股份,价值7.7577亿美元。相比之下,上一季度有28只基金看好Globe Life Inc.(纽约证券交易所股票代码:GL),持股总价值约为7.95亿美元。</blockquote></p><p> In addition to Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN), elite hedge funds are piling into Globe Life Inc. (NYSE:GL).</p><p><blockquote>除了苹果公司(纳斯达克股票代码:AAPL)、美国运通公司(纽约证券交易所股票代码:AXP)、可口可乐公司(纽约证券交易所股票代码:KO)和亚马逊公司(纳斯达克股票代码:AMZN)之外,精英对冲基金也纷纷涌入Globe Life Inc.(纽约证券交易所股票代码:GL)。</blockquote></p><p> <b>7. General Motors Company (NYSE:GM)</b></p><p><blockquote><b>7.通用汽车公司(纽约证券交易所代码:GM)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $3,162,600,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:3,162,600,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 1.07%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:1.07%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 77</i></b></p><p><blockquote><b><i>对冲基金持有人数量:77</i></b></blockquote></p><p> <b><i>P/E Ratio: 8.45</i></b></p><p><blockquote><b><i>市盈率:8.45</i></b></blockquote></p><p></p><p> General Motors Company (NYSE:GM) stock represents 1.07% of Berkshire Hathaway’s Q3 portfolio, with the hedge fund holding a $3.16 billion position in the company. General Motors Company (NYSE:GM) is an American multinational automaker, with four core automobile brands including Chevrolet, Buick, GMC, and Cadillac. General Motors Company (NYSE:GM), a notable value stock from Buffett’s Q3 portfolio, is also actively working on electric vehicles, gearing up to compete with the EV market leader, Tesla, Inc. (NASDAQ:TSLA).</p><p><blockquote>通用汽车公司(纽约证券交易所股票代码:GM)股票占伯克希尔哈撒韦公司第三季度投资组合的1.07%,该对冲基金持有该公司31.6亿美元的头寸。通用汽车公司(NYSE:GM)是一家美国跨国汽车制造商,旗下拥有雪佛兰、别克、GMC、凯迪拉克等四大核心汽车品牌。通用汽车公司(纽约证券交易所股票代码:GM)是巴菲特第三季度投资组合中的一只著名价值股,也在积极开发电动汽车,准备与电动汽车市场领导者特斯拉公司(纳斯达克股票代码:TSLA)竞争。</blockquote></p><p> General Motors Company (NYSE:GM), on October 27, announced its third quarter results, posting earnings per share of $1.52, beating estimates by $0.55. The revenue fell by 24.52% year-over-year, amounting to $26.78 billion, missing estimates by $1.10 billion.</p><p><blockquote>通用汽车公司(纽约证券交易所股票代码:GM)10月27日公布了第三季度业绩,每股收益为1.52美元,超出预期0.55美元。营收同比下降24.52%,为267.8亿美元,比预期低11亿美元。</blockquote></p><p> On November 15, Wedbush analyst Daniel Ives kept an Outperform rating and a price target of $85 on General Motors Company (NYSE:GM)’s shares. The analyst stated that the vertical integration capabilities of General Motors Company (NYSE:GM) and conversion of its massive customer base to electric vehicles over the coming years represents a transformational opportunity for the company looking ahead.</p><p><blockquote>11月15日,Wedbush分析师Daniel Ives维持通用汽车公司(NYSE:GM)股票跑赢大盘的评级和85美元的目标价。该分析师表示,通用汽车公司(纽约证券交易所股票代码:GM)的垂直整合能力以及未来几年其庞大客户群向电动汽车的转变为该公司未来的转型机遇。</blockquote></p><p> Harris Associates is one of the leading General Motors Company (NYSE:GM) stakeholders from Q3, holding a $1.82 billion stake in the company, out of a total of 77 funds that were bullish on the stock in the third quarter.</p><p><blockquote>Harris Associates是通用汽车公司(纽约证券交易所股票代码:GM)第三季度的主要股东之一,在第三季度看好该股的总共77只基金中,持有该公司18.2亿美元的股份。</blockquote></p><p> Here is what Miller Value Partners has to say about General Motors Company (NYSE:GM) in its Q3 2021 investor letter:</p><p><blockquote>以下是Miller Value Partners在其2021年第三季度投资者信中对通用汽车公司(纽约证券交易所股票代码:GM)的评价:</blockquote></p><p> “Another name we’ve recently purchased and have grown incredibly excited about: General Motors (GM). GM is interesting on many levels. We see it as an attractive investment opportunity and it might be a microcosm of current markets, both past and prospective. Tesla trounced GM over the last decade. Tesla rose 15,797% crushing GM’s 238% increase, which lagged the S&P 500’s 365%. Tesla came out of nowhere creating what many said was the best car ever made. A decade ago, no one saw that coming, including GM. GM’s historical strength led to arrogance. It completely dismissed the threat of any newcomer. Where are we now? Expectations are entirely different. Tesla’s current price embeds 18 years of growth while GM embeds under one year (see a pattern in what we like?!). Tesla’s expectations look even loftier when you consider that in that 18th year, Tesla would be projected to earn $1.35 trillion revenues at very high, Ferrari-type margins. The largest automakers today generate roughly $250 billion revenues at less than half those margins. Tesla’s priced to go where no man (or woman!) has gone before. It’s impossible for Tesla to meet these expectations with auto manufacturing alone. It requires something more. Bulls believe Tesla can dominate an autonomous driving future and make significant money on software subscriptions. We don’t have a view on this other than that Tesla needs to do so to be attractive at the current price. Market expectations for GM, on the other hand, are muted. There appears to be no innovation or growth priced into the stock. Yet GM plans to launch 30 EV (electric vehicles) models globally by 2025 (Tesla has launched a total of 4). GM’s new electric vehicles, like the Hummer and Cadillac Lyric, are extremely impressive. It’s revamping its manufacturing production to be modular, allowing greater speed and adaptability. The entire culture has transformed from a stodgy, bureaucratic old manufacturer to a speedier, more innovative software-enabled automaker. GM currently employs 25,000 software engineers. GM believes it can double revenues by 2030, and improve margins through software and services. GM currently earns $2 billion of high margin software and services revenue, which is more than Tesla. Cruise, GM’s majority owned autonomous company, recently detailed why it sees the potential for $50B in revenues within 6-8 years of its 2023 launch of the Origin vehicle. BrightDrop, its autonomous commercial vehicle unit, looks promising as well with the potential for $10 billion in revenues. We don’t think this optionality is reflected in the current price. Investors started to see the potential after GM’s recent analyst day. We can easily get values for GM more than double its current price of $58. The contrast between GM and Tesla illustrates what we see more broadly in the market, which is why we see more opportunity in classic value names than in the secular growth names. After a decade of dominance, expectations for innovative and disruptive companies are quite high. Many classic value companies were caught flat-footed, but have invested heavily to catch up. Muted expectations don’t reflect their improved prospects.” <b>6. The Bank of New York Mellon Corporation (NYSE:BK)</b></p><p><blockquote>“我们最近购买了另一个名字,并对此感到非常兴奋:通用汽车(GM)。通用汽车在许多层面上都很有趣。我们认为它是一个有吸引力的投资机会,它可能是当前市场的一个缩影,包括过去和未来。特斯拉在过去十年中击败了通用汽车。特斯拉上涨了15,797%,超过了通用汽车238%的涨幅,落后于标普500的365%。特斯拉不知从哪里冒出来,创造了许多人说是有史以来最好的汽车。十年前,没有人预见到这一点,包括通用汽车。通用汽车的历史实力导致了傲慢。它完全排除了任何新来者的威胁。我们现在在哪里?期望完全不同。特斯拉目前的价格嵌入了18年的增长,而通用汽车嵌入了不到一年的增长(看到我们喜欢的模式了吗?!)。当你考虑到在第18个年头,特斯拉预计将以非常高的法拉利式利润率赚取1.35万亿美元的收入时,特斯拉的期望看起来就更高了。如今,最大的汽车制造商创造了约2500亿美元的收入,而利润率还不到一半。特斯拉被定价去没有男人(或女人!)以前去过。特斯拉不可能仅靠汽车制造来满足这些期望。它需要更多的东西。看多者认为,特斯拉可以主导自动驾驶的未来,并通过软件订阅赚大钱。除了特斯拉需要这样做才能在当前价格下具有吸引力之外,我们对此没有任何看法。另一方面,市场对通用汽车的预期却很低。该股的定价似乎没有创新或增长。然而,通用汽车计划到2025年在全球推出30款EV(电动汽车)车型(特斯拉总共推出了4款)。通用汽车的新型电动汽车,如悍马和凯迪拉克Lyric,令人印象深刻。它正在将其制造生产改造为模块化,从而实现更快的速度和适应性。整个文化已经从一个乏味、官僚的老制造商转变为一个更快、更具创新性的软件驱动的汽车制造商。通用汽车目前雇佣了25,000名软件工程师。通用汽车相信,到2030年,它可以将收入翻一番,并通过软件和服务提高利润率。通用汽车目前的高利润软件和服务收入为20亿美元,超过了特斯拉。通用汽车控股的自动驾驶公司Cruise最近详细介绍了为什么它认为Origin汽车在2023年推出后的6-8年内有可能实现500亿美元的收入。其自动驾驶商用车部门BrightDrop看起来也很有前途,收入潜力达到100亿美元。我们认为这种可选性并没有反映在当前的价格中。在通用汽车最近的分析师日之后,投资者开始看到潜力。我们可以轻松获得通用汽车目前58美元价格的两倍多的价值。通用汽车和特斯拉之间的对比说明了我们在市场上更广泛地看到的情况,这就是为什么我们在经典价值品牌中看到比长期增长品牌更多的机会。在经历了十年的主导地位之后,人们对创新和颠覆性公司的期望相当高。许多经典价值公司措手不及,但已投入巨资迎头赶上。低迷的预期并不反映他们前景的改善。”<b>6.纽约梅隆银行(纽约证券交易所代码:BK)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $3,751,012,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:3,751,012,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 1.27%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:1.27%</i></b></blockquote></p><p></p><p> <b><i>Number of Hedge Fund Holders: 46</i></b></p><p><blockquote><b><i>对冲基金持有人数量:46</i></b></blockquote></p><p> <b><i>P/E Ratio: 14.48</i></b></p><p><blockquote><b><i>市盈率:14.48</i></b></blockquote></p><p> Warren Buffett owned 72.35 million shares in The Bank of New York Mellon Corporation (NYSE:BK), worth $3.75 billion by the end of the third quarter, accounting for 1.27% of the total investment portfolio at Berkshire Hathaway. The Bank of New York Mellon Corporation (NYSE:BK) is a financial services holding company, offering a range of services including corporate banking, investment banking, global wealth management, financial analysis, and private equity.</p><p><blockquote>沃伦·巴菲特持有纽约梅隆银行公司(NYSE:BK)7235万股股票,截至第三季度末价值37.5亿美元,占伯克希尔·哈撒韦公司总投资组合的1.27%。纽约梅隆银行公司(纽约证券交易所股票代码:BK)是一家金融服务控股公司,提供一系列服务,包括企业银行、投资银行、全球财富管理、财务分析和私募股权。</blockquote></p><p> The Bank of New York Mellon Corporation (NYSE:BK) announced on October 19 its Q3 earnings. EPS in the period totaled $1.04, exceeding estimates by $0.04. The $4.04 billion revenue jumped 4.89% year-over-year, outperforming estimates by $88.43 million.</p><p><blockquote>纽约梅隆银行公司(纽约证券交易所股票代码:BK)于10月19日公布了第三季度财报。期内每股收益总计1.04美元,超出预期0.04美元。40.4亿美元的收入同比增长4.89%,超出预期8843万美元。</blockquote></p><p> Morgan Stanley analyst Betsy Graseck on December 6 downgraded The Bank of New York Mellon Corporation (NYSE:BK) to Underweight from Equal Weight with a $59 price target, citing the stock’s valuation, low loan exposure, and negative operating leverage as reasons for the downgrade.</p><p><blockquote>摩根士丹利分析师Betsy Graseck 12月6日将纽约梅隆银行(NYSE:BK)的评级从同等权重下调至跑输大盘,目标价为59美元,理由是该股估值、低贷款敞口和负运营杠杆是下调的原因。</blockquote></p><p> First Eagle Investment Management is one of the largest stakeholders of The Bank of New York Mellon Corporation (NYSE:BK) in Q3, with 16.1 million shares worth over $837 million. Overall, 46 hedge funds monitored by Insider Monkey were bullish on The Bank of New York Mellon Corporation (NYSE:BK) in the third quarter, down from 52 funds in the preceding quarter.</p><p><blockquote>First Eagle Investment Management是纽约梅隆银行公司(NYSE:BK)第三季度最大的股东之一,持有1610万股股票,价值超过8.37亿美元。总体而言,Insider Monkey监测的46只对冲基金在第三季度看好纽约梅隆银行公司(NYSE:BK),低于上一季度的52只基金。</blockquote></p><p> The Bank of New York Mellon Corporation (NYSE:BK) is a notable stock from Warren Buffett’s Q3 portfolio, just like Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN).</p><p><blockquote>纽约梅隆银行(纽约证券交易所代码:BK)是沃伦·巴菲特第三季度投资组合中的一只著名股票,就像苹果公司(纳斯达克股票代码:AAPL)、美国运通公司(纽约证券交易所代码:AXP)、可口可乐公司(纽约证券交易所代码:KO)和亚马逊公司(纳斯达克股票代码:AMZN)一样。</blockquote></p><p> <b>5. DaVita Inc. (NYSE:DVA)</b></p><p><blockquote><b>5.DaVita Inc.(纽约证券交易所代码:DVA)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $4,196,471,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:4,196,471,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 1.43%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:1.43%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 39</i></b></p><p><blockquote><b><i>对冲基金持有人数量:39</i></b></blockquote></p><p> <b><i>P/E Ratio: 12.37</i></b></p><p><blockquote><b><i>市盈率:12.37</i></b></blockquote></p><p> DaVita Inc. (NYSE:DVA) made it to our list of the best value stocks in Warren Buffett’s portfolio, with the company announcing solid Q3 earnings on October 28, posting an EPS of $2.36, beating estimates by $0.10. Revenue over the period also outperformed estimates by $23.55 million.</p><p><blockquote>DaVita Inc.(纽约证券交易所股票代码:DVA)跻身沃伦·巴菲特投资组合中最具价值股票名单,该公司于10月28日公布了稳健的第三季度收益,每股收益为2.36美元,超出预期0.10美元。该期间的收入也超出预期2355万美元。</blockquote></p><p> Deutsche Bank analyst Pito Chickering on November 17 lowered the price target on DaVita Inc. (NYSE:DVA) to $150 from $164 and kept a Buy rating on the shares after the capital markets day, stating that the company offers a longer term investment horizon than many investors can be comfortable with.</p><p><blockquote>德意志银行分析师Pito Chickering于11月17日将DaVita Inc.(纽约证券交易所股票代码:DVA)的目标股价从164美元下调至150美元,并在资本市场日之后维持对该股的买入评级,称该公司提供了更长期的投资前景比许多投资者都感到满意。</blockquote></p><p> DaVita Inc. (NYSE:DVA) is a healthcare company primarily focusing on kidney diseases and dialysis support, operating in nine countries in addition to the United States. Warren Buffett holds a $4.19 billion position in DaVita Inc. (NYSE:DVA) as of September this year, with DaVita Inc. (NYSE:DVA) stock accounting for 1.43% of the billionaire’s total investments.</p><p><blockquote>DaVita Inc.(纽约证券交易所股票代码:DVA)是一家主要专注于肾脏疾病和透析支持的医疗保健公司,除美国外,还在九个国家开展业务。截至今年9月,沃伦·巴菲特持有DaVita Inc.(纽约证券交易所代码:DVA)41.9亿美元的头寸,DaVita Inc.(纽约证券交易所代码:DVA)股票占这位亿万富翁总投资的1.43%。</blockquote></p><p> At the end of the third quarter, 39 hedge funds tracked by Insider Monkey reported owning stakes worth $4.81 billion in DaVita Inc. (NYSE:DVA). This is compared to the same number of funds holding the DaVita Inc. (NYSE:DVA) stock in the preceding quarter, with a total stake value of approximately $5.13 billion.</p><p><blockquote>截至第三季度末,Insider Monkey追踪的39家对冲基金报告称持有DaVita Inc.(纽约证券交易所股票代码:DVA)价值48.1亿美元的股份。相比之下,上一季度持有DaVita Inc.(纽约证券交易所股票代码:DVA)股票的基金数量相同,总持股价值约为51.3亿美元。</blockquote></p><p> Gates Capital Managementincreased its stake in DaVita Inc. (NYSE:DVA) by 5% in the third quarter, and is one of the leading stakeholders of the company, with a $174.1 million position.</p><p><blockquote>盖茨资本管理公司在第三季度增持了DaVita Inc.(纽约证券交易所股票代码:DVA)5%的股份,是该公司的主要股东之一,持仓量为1.741亿美元。</blockquote></p><p> <b>4. U.S. Bancorp (NYSE:USB)</b></p><p><blockquote><b>4.美国合众银行(纽约证券交易所代码:USB)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $7,514,279,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:7,514,279,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 2.52%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:2.52%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 42</i></b></p><p><blockquote><b><i>对冲基金持有人数量:42</i></b></blockquote></p><p> <b><i>P/E Ratio: 11.60</i></b></p><p><blockquote><b><i>市盈率:11.60</i></b></blockquote></p><p> U.S. Bancorp (NYSE:USB) is a Minnesota-based bank holding company that operates via its wholly owned subsidiary, U.S. Bank National Association, and offers banking, investment, mortgage, trust, and payment services to customers. As one of the best value stocks in Warren Buffett’s Q3 portfolio, U.S. Bancorp (NYSE:USB) represents 2.52% of the billionaire’s total investments. Berkshire Hathaway owns over 126 million U.S. Bancorp (NYSE:USB) shares, worth $7.51 billion.</p><p><blockquote>美国合众银行(纽约证券交易所股票代码:USB)是一家总部位于明尼苏达州的银行控股公司,通过其全资子公司美国银行全国协会运营,为客户提供银行、投资、抵押贷款、信托和支付服务。作为沃伦·巴菲特第三季度投资组合中最具价值的股票之一,美国合众银行(纽约证券交易所股票代码:USB)占这位亿万富翁总投资的2.52%。伯克希尔哈撒韦公司拥有超过1.26亿股美国合众银行(纽约证券交易所股票代码:USB)股票,价值75.1亿美元。</blockquote></p><p> On December 9, UBS analyst Erika Najarian initiated coverage of U.S. Bancorp (NYSE:USB) with a Buy rating and a $70 price target, after the 300 basis points of ROTCE outperformance by the company.</p><p><blockquote>12月9日,瑞银(UBS)分析师Erika Najarian首次对U.S.Bancorp(NYSE:USB)给予买入评级和70美元的目标价,此前该公司的ROTCE表现优于300个基点。</blockquote></p><p> U.S. Bancorp (NYSE:USB), on October 14, reported its Q3 results, posting an EPS of $1.30, beating estimates by $0.14. The $5.86 billion revenue also exceeded estimates by $105.32 million.</p><p><blockquote>美国合众银行(NYSE:USB)于10月14日公布了第三季度业绩,每股收益为1.30美元,超出预期0.14美元。58.6亿美元的收入也超出预期1.0532亿美元。</blockquote></p><p> In Q3 2021, 42 hedge funds in the database of Insider Monkey were long U.S. Bancorp (NYSE:USB), up from 41 funds in the preceding quarter.Yacktman Asset Managementis one of the leading stakeholders of U.S. Bancorp (NYSE:USB), holding a $279.3 million stake in the bank holding company.</p><p><blockquote>2021年第三季度,Insider Monkey数据库中有42家对冲基金做多U.S.Bancorp(NYSE:USB),高于上一季度的41家基金。Yacktman Asset Management是U.S.Bancorp(NYSE:USB)的主要利益相关者之一),持有该银行控股公司价值2.793亿美元的股份。</blockquote></p><p> Hereis what Mairs & Power has to say about U.S. Bancorp (NYSE:USB) in their Q4 2020 investor letter:</p><p><blockquote>以下是Mairs&Power在2020年第四季度投资者信中对U.S.Bancorp(NYSE:USB)的评价:</blockquote></p><p></p><p> “On the negative side, one of the Fund’s biggest detractor in 2020 was U.S. Bancorp (USB). Like all banks, U.S. Bank was hurt by the difficult interest rate environment and credit cycle concerns. We believe banks are strong enough to survive the current sector doldrums, and they remain some of the market’s most attractive opportunities.” <b>3. Verizon Communications Inc. (NYSE:VZ)</b></p><p><blockquote>“从负面来看,该基金在2020年最大的诋毁者之一是美国合众银行(USB)。与所有银行一样,合众银行也受到了困难的利率环境和信贷周期担忧的伤害。我们相信银行足够强大,能够度过当前的行业低迷,它们仍然是市场上最有吸引力的机会之一。”<b>3.威瑞森通信公司(纽约证券交易所代码:VZ)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $8,578,115,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:8,578,115,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 2.92%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:2.92%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 57</i></b></p><p><blockquote><b><i>对冲基金持有人数量:57</i></b></blockquote></p><p> <b><i>P/E Ratio: 9.43</i></b></p><p><blockquote><b><i>市盈率:9.43</i></b></blockquote></p><p> With a price to earnings ratio of 9.43, Verizon Communications Inc. (NYSE:VZ) is one of Warren Buffett’s top value stock picks from the third quarter, with the billionaire holding an $8.57 billion position in the company. Verizon Communications Inc. (NYSE:VZ), an American multinational telecommunications conglomerate, announced a quarterly dividend of $0.64 per share on December 2, payable on February 1 to shareholders of record on January 10. Verizon Communications Inc. (NYSE:VZ) offers a forward dividend yield of 5.10%.</p><p><blockquote>Verizon Communications Inc.(纽约证券交易所股票代码:VZ)的市盈率为9.43,是沃伦·巴菲特第三季度最有价值的股票之一,这位亿万富翁持有该公司85.7亿美元的头寸。美国跨国电信集团Verizon Communications Inc.(纽约证券交易所股票代码:VZ)于12月2日宣布派发每股0.64美元的季度股息,将于2月1日支付给1月10日登记在册的股东。Verizon Communications Inc.(纽约证券交易所股票代码:VZ)的远期股息率为5.10%。</blockquote></p><p> On October 20, Verizon Communications Inc. (NYSE:VZ) announced Q3 results, posting an EPS of $1.41, beating estimates by $0.05. The quarterly revenue amounted to $32.92 billion, missing estimates by $301.93 million. Following the Q3 performance, Cowen analyst Colby Synesael raised the price target on Verizon Communications Inc. (NYSE:VZ) to $71 from $68 and kept an Outperform rating on the shares.</p><p><blockquote>10月20日,Verizon Communications Inc.(纽约证券交易所股票代码:VZ)公布了第三季度业绩,每股收益为1.41美元,超出预期0.05美元。季度营收为329.2亿美元,比预期低3.0193亿美元。继第三季度业绩公布后,Cowen分析师Colby Synesael将Verizon Communications Inc.(纽约证券交易所股票代码:VZ)的目标股价从68美元上调至71美元,并维持该股跑赢大盘的评级。</blockquote></p><p> Verizon Communications Inc. (NYSE:VZ) was awarded two contracts worth $34.6 million by the U.S. Department of Energy. The task orders were awarded through the federal government’s Enterprise Infrastructure Solutions contract vehicle on December 1.</p><p><blockquote>Verizon Communications Inc.(纽约证券交易所股票代码:VZ)获得美国授予的两份价值3460万美元的合同。能源部。这些任务订单于12月1日通过联邦政府的企业基础设施解决方案合同工具授予。</blockquote></p><p> By the end of the third quarter, 57 hedge funds were bullish on Verizon Communications Inc. (NYSE:VZ), down from 63 funds in the preceding quarter. Jaime Sterne’s Skye Global Management is one of the leading Verizon Communications Inc. (NYSE:VZ) stakeholders from Q3, holding a $282.3 million position in the company.</p><p><blockquote>截至第三季度末,有57家对冲基金看好Verizon Communications Inc.(纽约证券交易所股票代码:VZ),低于上一季度的63家。Jaime Sterne的Skye Global Management是Verizon Communications Inc.(纽约证券交易所股票代码:VZ)第三季度的主要股东之一,持有该公司2.823亿美元的股份。</blockquote></p><p> Hereis what Miller/Howard Investments has to say about Verizon Communications Inc. (NYSE:VZ) in its Q1 2021 investor letter:</p><p><blockquote>以下是Miller/Howard Investments在其2021年第一季度投资者信中对Verizon Communications Inc.(纽约证券交易所股票代码:VZ)的评价:</blockquote></p><p> “We sold Verizon (VZ) based on concerns over how much they might spend in ongoing spectrum auctions. Management may legitimately view spending billions of dollars to expand their spectrum holdings as necessary, but we believe the payoff will be slow and will make it challenging to grow the dividend at a good pace.” <b>2. American Express Company (NYSE:AXP)</b></p><p><blockquote>“我们出售Verizon(VZ)是出于对他们在正在进行的频谱拍卖中可能花费多少钱的担忧。管理层可能合理地认为花费数十亿美元来扩大频谱持有量是必要的,但我们认为回报将是缓慢的,并且将使其具有挑战性以良好的速度增长股息。”<b>2.美国运通公司(纽约证券交易所代码:AXP)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $25,399,340,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:25,399,340,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 8.65%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:8.65%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 57</i></b></p><p><blockquote><b><i>对冲基金持有人数量:57</i></b></blockquote></p><p> <b><i>P/E Ratio: 17.45</i></b></p><p><blockquote><b><i>市盈率:17.45</i></b></blockquote></p><p> American Express Company (NYSE:AXP), a multinational payment card services company, posted on October 22 its Q3 results. EPS for the period came in at $2.27, exceeding estimates by $0.52. The revenue amounted to $10.93 billion, up 24.88% year-over-year, outperforming estimates by $382.39 million.</p><p><blockquote>跨国支付卡服务公司美国运通公司(纽约证券交易所股票代码:AXP)于10月22日公布了第三季度业绩。该期间每股收益为2.27美元,超出预期0.52美元。营收109.3亿美元,同比增长24.88%,超出预期3.8239亿美元。</blockquote></p><p> 8.65% of Berkshire Hathaway’s Q3 investments are represented by American Express Company (NYSE:AXP) stock, with Warren Buffett holding 151.6 million shares of the company, worth $25.39 billion at the end of September this year. American Express Company (NYSE:AXP) is one of the best value stocks in Warren Buffett’s portfolio.</p><p><blockquote>伯克希尔哈撒韦公司第三季度投资的8.65%是美国运通公司(NYSE:AXP)股票,沃伦·巴菲特持有该公司1.516亿股股票,截至今年9月底价值253.9亿美元。美国运通公司(纽约证券交易所股票代码:AXP)是沃伦·巴菲特投资组合中最有价值的股票之一。</blockquote></p><p> The smart money took a greater interest in American Express Company (NYSE:AXP) in the third quarter, with 57 hedge funds being bullish on the stock at September end, up from 52 funds holding stakes in American Express Company (NYSE:AXP) in the preceding quarter.Fisher Asset Management is a notable stakeholder of American Express Company (NYSE:AXP) in Q3, with 15.6 million shares valued at $2.61 billion.</p><p><blockquote>聪明的资金在第三季度对美国运通公司(纽约证券交易所股票代码:AXP)产生了更大的兴趣,截至9月底,有57家对冲基金看好该股,高于持有美国运通公司(纽约证券交易所股票代码:AXP)股份的52家基金在上一季度。费舍尔资产管理公司是美国运通公司(纽约证券交易所股票代码:AXP)第三季度的著名股东,持有1560万股,价值26.1亿美元。</blockquote></p><p> After the Q3 earnings beat, BMO Capital analyst James Fotheringham on October 25 raised the price target on American Express Company (NYSE:AXP) to $151 from $147 but kept a Market Perform rating on the shares. In addition to the strong Q3 earnings, the analyst revised his model for American Express Company (NYSE:AXP) to forecast higher net interest income, lower loan loss provisions, and lower share counts.</p><p><blockquote>在第三季度盈利超出预期后,BMO Capital分析师James Fotheringham于10月25日将美国运通公司(NYSE:AXP)的目标股价从147美元上调至151美元,但维持该股的市场表现评级。除了强劲的第三季度收益外,分析师还修改了美国运通公司(纽约证券交易所股票代码:AXP)的模型,预测净利息收入增加、贷款损失准备金减少和股票数量减少。</blockquote></p><p> Hereis what ClearBridge Investments has to say about American Express Company (NYSE:AXP) in its Q2 2021 investor letter:</p><p><blockquote>以下是ClearBridge Investments在其2021年第二季度投资者信中对美国运通公司(纽约证券交易所股票代码:AXP)的评价:</blockquote></p><p></p><p> “In financials, American Express has done an excellent job demonstrating the resiliency of its franchise in the midst of a global pandemic that drove a 60% decline in its core travel and entertainment business. The company’s spend-centric model has been helped by fiscal stimulus ensuring a flush consumer, while management continues to execute well by adding millions of new consumer and small and medium business accounts, which should benefit the franchise over the medium to long term. We remain optimistic regarding the company’s prospects as travel and entertainment activity rebounds, adding to our position in the quarter.” <b>1. Bank of America Corporation (NYSE:BAC)</b></p><p><blockquote>“在财务方面,美国运通出色地展示了其特许经营权在全球大流行导致其核心旅游和娱乐业务下降60%的情况下的弹性。该公司以支出为中心的模式得到了财政刺激的帮助确保了消费者的富裕,而管理层继续通过增加数百万新的消费者和中小企业账户来执行良好,这应该会使特许经营权在中长期内受益。随着旅游和娱乐活动的反弹,我们对公司的前景保持乐观,这增加了我们在本季度的地位。”<b>1.美国银行公司(纽约证券交易所代码:BAC)</b></blockquote></p><p> <b><i>Berkshire Hathaway’s Stake Value: $42,878,771,000</i></b></p><p><blockquote><b><i>伯克希尔哈撒韦公司的股权价值:42,878,771,000美元</i></b></blockquote></p><p> <b><i>Percentage of Berkshire Hathaway’s 13F Portfolio: 14.61%</i></b></p><p><blockquote><b><i>占伯克希尔哈撒韦公司13F投资组合的百分比:14.61%</i></b></blockquote></p><p> <b><i>Number of Hedge Fund Holders: 72</i></b></p><p><blockquote><b><i>对冲基金持有人数量:72</i></b></blockquote></p><p> <b><i>P/E Ratio: 13.32</i></b></p><p><blockquote><b><i>市盈率:13.32</i></b></blockquote></p><p> Ranking first on our list of the best value stocks in Warren Buffett’s portfolio is Bank of America Corporation (NYSE:BAC), with the billionaire holding more than 1 billion shares worth $42.8 billion by the end of September. Bank of America Corporation (NYSE:BAC) stock represents 14.61% of Warren Buffett’s total Q3 securities.</p><p><blockquote>在我们的沃伦·巴菲特投资组合中最具价值股票名单中排名第一的是美国银行公司(纽约证券交易所股票代码:BAC),截至9月底,这位亿万富翁持有超过10亿股股票,价值428亿美元。美国银行公司(纽约证券交易所股票代码:BAC)股票占沃伦·巴菲特第三季度证券总额的14.61%。</blockquote></p><p> UBS analyst Erika Najarian assumed coverage of Bank of America Corporation (NYSE:BAC) with a Buy rating and a $64 price target on December 9. The analyst named Bank of America Corporation (NYSE:BAC) her top pick among the U.S. large cap banks.</p><p><blockquote>瑞银(UBS)分析师Erika Najarian于12月9日对美国银行公司(NYSE:BAC)给予买入评级和64美元的目标价。这位分析师将美国银行公司(纽约证券交易所股票代码:BAC)列为她在美国大型银行中的首选。</blockquote></p><p> Bank of America Corporation (NYSE:BAC), on October 14, announced earnings for the third quarter, posting an EPS of $0.85, beating estimates by $0.15. The revenue was up 11.33% year-over-year, amounting to $22.77 billion, exceeding estimates by $1.16 billion.</p><p><blockquote>美国银行公司(纽约证券交易所股票代码:BAC)10月14日公布第三季度收益,每股收益为0.85美元,超出预期0.15美元。营收同比增长11.33%,达到227.7亿美元,超出预期11.6亿美元。</blockquote></p><p> In the third quarter, 72 hedge funds were bullish on Bank of America Corporation (NYSE:BAC), holding total stakes valued at $46.48 billion. One of the leading Bank of America Corporation (NYSE:BAC) stakeholders from Q3 isHarris Associates, with a $2.52 billion position in the company.</p><p><blockquote>第三季度,72家对冲基金看好美国银行公司(NYSE:BAC),持有总价值464.8亿美元的股份。iHarris Associates是美国银行公司(纽约证券交易所股票代码:BAC)第三季度的主要利益相关者之一,在该公司持有25.2亿美元的股份。</blockquote></p><p> Here is what Oakmark Funds has to say about Bank of America Corporation (NYSE:BAC) in its Q3 2021 investor letter:</p><p><blockquote>以下是Oakmark Funds在其2021年第三季度投资者信中对美国银行公司(纽约证券交易所股票代码:BAC)的评价:</blockquote></p><p> “Earlier this year, one of our holdings, Bank of America, announced that it was raising its minimum hourly wage from $15 to $20 and would increase it to $25 by 2025. The company received great press for placing the well-being of its employees above profits. But was it really either/or? Bank of America’s chief human resources officer spoke to the bigger picture: “A core tenet of responsible growth is our commitment to being a great place to work…that includes providing strong pay and competitive benefits to help them and their families, so that we continue to attract and retain the best talent.” Bank of America understood that engaged, high-caliber employees are more productive, less prone to turnover and, therefore, less expensive in the long run. Increasing the pay for employees wasn’t elevating employees above shareholders; it was the right thing to do for employees <i>and</i>for shareholders. If an increase to $20 was good, why stop there? Why not $50 per hour? Because the benefits the business receives at $50 don’t justify the expense. The bank would no longer be able to price its products competitively and would lose business. The employees would “win” in the short term, but eventually the lost business would lead to job cuts, meaning both employees and shareholders would lose. The negative effects of stakeholder overreach are no different than when CEOs overreach to inflate short-term profits. Both hurt shareholders <i>and</i>stakeholders.” </p><p><blockquote>“今年早些时候,我们控股的美国银行宣布将最低时薪从15美元提高到20美元,并将在2025年提高到25美元。该公司因将员工的福利置于利润之上而受到广泛关注。但这真的是非此即彼吗?美国银行首席人力资源官谈到了大局:“负责任增长的核心原则是我们致力于成为一个伟大的工作场所……这包括提供丰厚的薪酬和有竞争力的福利来帮助他们及其家人,以便我们继续吸引并留住最优秀的人才。”美国银行明白,敬业、高素质的员工生产力更高,不容易离职,因此从长远来看成本更低。增加员工薪酬并没有将员工提升到股东之上;这对员工来说是正确的做法<i>和</i>对于股东来说。如果涨到20美元是好事,为什么要止步于此呢?为什么不是每小时50美元?因为企业以50美元获得的收益并不值得花费。该银行将不再能够为其产品定价具有竞争力,并将失去业务。员工将在短期内“获胜”,但最终失去的业务将导致裁员,这意味着员工和股东都将遭受损失。利益相关者越权的负面影响与首席执行官越权夸大短期利润没有什么不同。两者都伤害了股东<i>和</i>利益相关者。”</blockquote></p><p></p>\n<div class=\"bt-text\">\n\n\n<p> 来源:<a href=\"https://www.insidermonkey.com/blog/5-best-value-stocks-in-warren-buffetts-portfolio-1013929/5/\">Insider Monkey</a></p>\n<p>为提升您的阅读体验,我们对本页面进行了排版优化</p>\n\n\n</div>\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"VZ":"Verizon Comms","GL":"Globe Life Inc.","BK":"纽约梅隆银行","AXP":"美国运通","GM":"通用汽车","BAC":"美国银行","USB":"美国合众银行","WFC":"富国银行","TEVA":"梯瓦制药","DVA":"达维塔保健"},"source_url":"https://www.insidermonkey.com/blog/5-best-value-stocks-in-warren-buffetts-portfolio-1013929/5/","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1129001294","content_text":"In this article, we discuss the 10 best value stocks in Warren Buffett’s portfolio.\nBillionaire Warren Buffett is an American business tycoon, legendary value investor, and philanthropist, who is known for his conglomerate holding company, Berkshire Hathaway Inc. (NYSE:BRK-A), which he manages alongside Charlie Munger, who is the vice chairman of the company and the closest associate of Buffett.\nBuffett manages his investments via his hedge fund,Berkshire Hathaway, which managed about $293.4 billion in 13F securities in the third quarter, gaining approximately $57 billion as compared to the prior-year quarter. Buffett’s portfolio is largely concentrated in the information technology, finance, and consumer staples sectors. The billionaire is known for following the Benjamin Graham school of thought, focusing primarily on value stocks.\nThe legendary investor recommends low-cost index funds for a majority of investors, as some active managers charge heavy management and performance fees, and he doesn’t believe they can beat the market on a consistent basis. In his opinion, amatuer and passive investors are better off betting on an S&P 500 index fund for the long-term, since it would generate returns over the course of a decade that are higher than the returns from a basket of diversified hedge funds after the hedge fund managers are paid their share of the management fees.\nSince Buffett is a long-term investor, he advises people who are starting out their investment journey to buy the stock dips, since the market is eventually going to rise again.\n\nThe most notable stocks in Warren Buffett’s Q3 portfolio include Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN), in addition to others mentioned in detail below.\nOur Methodology\nWe used the Q3 portfolio of Warren Buffett’s Berkshire Hathaway to select his top 10 value stocks. We chose stocks that had the lowest price to earnings ratio in the billionaire’s portfolio, and ranked the securities according to Buffett’s stake value in each holding.\nBest Value Stocks in Warren Buffett’s Portfolio\n10. Wells Fargo & Company (NYSE:WFC)\nBerkshire Hathaway’s Stake Value: $31,329,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 0.01%\nNumber of Hedge Fund Holders: 88\nP/E Ratio: 11.98\nWells Fargo & Company (NYSE:WFC) posted its Q3 earnings on October 14. EPS in the quarter totaled $1.22, exceeding estimates by $0.28. Revenue over the period equaled $18.83 billion, outperforming analysts’ consensus estimates by $542.17 million.\nWarren Buffett holds 675,054 shares in Wells Fargo & Company (NYSE:WFC), an American multinational financial services corporation, as of September this year. Buffett’s stake in Wells Fargo & Company (NYSE:WFC) amounts to $31.32 million, and it accounts for 0.01% of the billionaire’s Q3 portfolio. With a P/E ratio of 11.98, Wells Fargo & Company (NYSE:WFC) is one of the best value stocks in Warren Buffett’s portfolio.\nOn December 9, UBS analyst Erika Najarian called Wells Fargo & Company (NYSE:WFC) one of her “highest conviction Buy ideas”, assuming coverage of the stock with a Buy rating and a $65 price target. The analyst sees rising rates and execution of its expense plan driving return on average tangible common shareholders’ equity as attractive catalysts.\nA total of 88 hedge funds were bullish on Wells Fargo & Company (NYSE:WFC) at the end of the third quarter, holding stakes worth $6.18 billion. This is comparable to 94 funds holding stakes valued at over $7 billion in Wells Fargo & Company (NYSE:WFC) in the previous quarter.\nBoykin Curry’s Eagle Capital Management is the largest Wells Fargo & Company (NYSE:WFC) stakeholder as of the third quarter, holding 33.74 million shares worth $1.56 billion.\nWells Fargo & Company (NYSE:WFC) is a notable stock from Warren Buffett’s Q3 portfolio, in addition to Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN).\nHereis what Davis Global Fund has to say about Wells Fargo & Company (NYSE:WFC) in its Q3 2021 investor letter:\n\n “…This second chart highlights that financials remain the cheapest part of the market today and continue to be extremely attractive. Strong capital ratios, conservative lending practices, already record low interest rates and now a strengthening economy, all paired with low valuations, bode well for future returns.\n\n\n Take our top financials holding in Wells Fargo, for instance. Wells Fargo is trading at 1.3x tangible book value, while we expect return on equity (ROE) to be in the mid-to-high teens over time. Even in this low-rate environment, the current multiple is only 12x 2021 owner earnings, and our IRR estimate is 12–13%. Wells Fargo has performed well this year, up 51% year-to-date, yet still looks very attractive, which speaks to how undervalued it was and why it is so important to be patient when investing in high-quality companies trading at low valuations. Rather than invest on the basis of unpredictable near-term catalysts, we prefer to be patient as earnings and cash build up, even if the stock price does not immediately reflect the economic reality. We continue to like our positions in financials.”\n\n9. Teva Pharmaceutical Industries Limited (NYSE:TEVA)\nBerkshire Hathaway’s Stake Value: $416,768,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 0.14%\nNumber of Hedge Fund Holders: 22\nP/E Ratio: 12.63\nTeva Pharmaceutical Industries Limited (NYSE:TEVA), a pharmaceutical company from Israel specializing in generics and biopharmaceutical medicines, reported its Q3 results on October 27. Teva Pharmaceutical Industries Limited (NYSE:TEVA) posted an EPS of $0.59, missing estimates by $0.06. The Q3 revenue totaled $3.89 billion, down 2.29% year-over-year, missing estimates by $163.2 million.\nWarren Buffett holds a $416.76 million position in Teva Pharmaceutical Industries Limited (NYSE:TEVA) as of September 2021, which accounts for 0.14% of the billionaire’s total Q3 portfolio.\nAbrams Capital Managementis one of the leading stakeholders of Teva Pharmaceutical Industries Limited (NYSE:TEVA) from the third quarter, owning over 24 million shares valued at $234.2 million.\nHedge funds increased their stakes in Teva Pharmaceutical Industries Limited (NYSE:TEVA) in the third quarter, with 22 funds holding stakes valued at $950.6 million in the company, as compared to the same number of funds being bullish on Teva Pharmaceutical Industries Limited (NYSE:TEVA) in the preceding quarter, with a total stake value of $947.1 million.\nRaymond James analyst Elliot Wilbur on October 27 downgraded Teva Pharmaceutical Industries Limited (NYSE:TEVA) to Market Perform from Outperform without a price target, stating that near-term fundamentals are coming up short, as compared to the performance expectations from the company.\n8. Globe Life Inc. (NYSE:GL)\nBerkshire Hathaway’s Stake Value: $565,672,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 0.19%\nNumber of Hedge Fund Holders: 27\nP/E Ratio: 12.45\nBillionaire Warren Buffett holds 6.35 million shares in Globe Life Inc. (NYSE:GL) as of September this year, worth $565.6 million, accounting for 0.19% of his total Q3 13F portfolio. Globe Life Inc. (NYSE:GL) is a Texas-based financial services holding company that specializes in life insurance, annuity, and supplemental health insurance products.\nCredit Suisse analyst Andrew Kligerman on October 19 lowered the price target on Globe Life Inc. (NYSE:GL) to $130 from $135 and kept an Outperform rating on the shares, stating that despite the COVID-19 pressures on the stock, Globe Life Inc. (NYSE:GL) is trading at an attractive valuation. Globe Life Inc. (NYSE:GL) is one of the top value stocks according to Warren Buffett’s Berkshire Hathaway.\nGlobe Life Inc. (NYSE:GL) announced Q3 earnings on October 20, posting an EPS of $1.78, missing estimates by $0.11. The quarterly revenue jumped 6.93% to $1.28 billion, outperforming estimates by $15.97 million.\nInsider Monkey tracks the movement of 867 elite hedge funds as of the third quarter, and a total of 27 funds of them reported owning stakes in Globe Life Inc. (NYSE:GL), worth $775.77 million. This is compared to 28 funds being bullish on Globe Life Inc. (NYSE:GL) in the prior quarter, with a total stake value of approximately $795 million.\nIn addition to Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN), elite hedge funds are piling into Globe Life Inc. (NYSE:GL).\n7. General Motors Company (NYSE:GM)\nBerkshire Hathaway’s Stake Value: $3,162,600,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 1.07%\nNumber of Hedge Fund Holders: 77\nP/E Ratio: 8.45\nGeneral Motors Company (NYSE:GM) stock represents 1.07% of Berkshire Hathaway’s Q3 portfolio, with the hedge fund holding a $3.16 billion position in the company. General Motors Company (NYSE:GM) is an American multinational automaker, with four core automobile brands including Chevrolet, Buick, GMC, and Cadillac. General Motors Company (NYSE:GM), a notable value stock from Buffett’s Q3 portfolio, is also actively working on electric vehicles, gearing up to compete with the EV market leader, Tesla, Inc. (NASDAQ:TSLA).\nGeneral Motors Company (NYSE:GM), on October 27, announced its third quarter results, posting earnings per share of $1.52, beating estimates by $0.55. The revenue fell by 24.52% year-over-year, amounting to $26.78 billion, missing estimates by $1.10 billion.\nOn November 15, Wedbush analyst Daniel Ives kept an Outperform rating and a price target of $85 on General Motors Company (NYSE:GM)’s shares. The analyst stated that the vertical integration capabilities of General Motors Company (NYSE:GM) and conversion of its massive customer base to electric vehicles over the coming years represents a transformational opportunity for the company looking ahead.\nHarris Associates is one of the leading General Motors Company (NYSE:GM) stakeholders from Q3, holding a $1.82 billion stake in the company, out of a total of 77 funds that were bullish on the stock in the third quarter.\nHere is what Miller Value Partners has to say about General Motors Company (NYSE:GM) in its Q3 2021 investor letter:\n\n “Another name we’ve recently purchased and have grown incredibly excited about: General Motors (GM). GM is interesting on many levels. We see it as an attractive investment opportunity and it might be a microcosm of current markets, both past and prospective.\n\n\n Tesla trounced GM over the last decade. Tesla rose 15,797% crushing GM’s 238% increase, which lagged the S&P 500’s 365%. Tesla came out of nowhere creating what many said was the best car ever made. A decade ago, no one saw that coming, including GM. GM’s historical strength led to arrogance. It completely dismissed the threat of any newcomer.\n\n\n Where are we now? Expectations are entirely different. Tesla’s current price embeds 18 years of growth while GM embeds under one year (see a pattern in what we like?!). Tesla’s expectations look even loftier when you consider that in that 18th year, Tesla would be projected to earn $1.35 trillion revenues at very high, Ferrari-type margins. The largest automakers today generate roughly $250 billion revenues at less than half those margins.\n\n\n Tesla’s priced to go where no man (or woman!) has gone before. It’s impossible for Tesla to meet these expectations with auto manufacturing alone. It requires something more. Bulls believe Tesla can dominate an autonomous driving future and make significant money on software subscriptions. We don’t have a view on this other than that Tesla needs to do so to be attractive at the current price.\n\n\n Market expectations for GM, on the other hand, are muted. There appears to be no innovation or growth priced into the stock. Yet GM plans to launch 30 EV (electric vehicles) models globally by 2025 (Tesla has launched a total of 4). GM’s new electric vehicles, like the Hummer and Cadillac Lyric, are extremely impressive. It’s revamping its manufacturing production to be modular, allowing greater speed and adaptability. The entire culture has transformed from a stodgy, bureaucratic old manufacturer to a speedier, more innovative software-enabled automaker. GM currently employs 25,000 software engineers.\n\n\n GM believes it can double revenues by 2030, and improve margins through software and services. GM currently earns $2 billion of high margin software and services revenue, which is more than Tesla. Cruise, GM’s majority owned autonomous company, recently detailed why it sees the potential for $50B in revenues within 6-8 years of its 2023 launch of the Origin vehicle. BrightDrop, its autonomous commercial vehicle unit, looks promising as well with the potential for $10 billion in revenues. We don’t think this optionality is reflected in the current price. Investors started to see the potential after GM’s recent analyst day. We can easily get values for GM more than double its current price of $58.\n\n\n The contrast between GM and Tesla illustrates what we see more broadly in the market, which is why we see more opportunity in classic value names than in the secular growth names. After a decade of dominance, expectations for innovative and disruptive companies are quite high. Many classic value companies were caught flat-footed, but have invested heavily to catch up. Muted expectations don’t reflect their improved prospects.”\n\n6. The Bank of New York Mellon Corporation (NYSE:BK)\nBerkshire Hathaway’s Stake Value: $3,751,012,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 1.27%\nNumber of Hedge Fund Holders: 46\nP/E Ratio: 14.48\nWarren Buffett owned 72.35 million shares in The Bank of New York Mellon Corporation (NYSE:BK), worth $3.75 billion by the end of the third quarter, accounting for 1.27% of the total investment portfolio at Berkshire Hathaway. The Bank of New York Mellon Corporation (NYSE:BK) is a financial services holding company, offering a range of services including corporate banking, investment banking, global wealth management, financial analysis, and private equity.\nThe Bank of New York Mellon Corporation (NYSE:BK) announced on October 19 its Q3 earnings. EPS in the period totaled $1.04, exceeding estimates by $0.04. The $4.04 billion revenue jumped 4.89% year-over-year, outperforming estimates by $88.43 million.\nMorgan Stanley analyst Betsy Graseck on December 6 downgraded The Bank of New York Mellon Corporation (NYSE:BK) to Underweight from Equal Weight with a $59 price target, citing the stock’s valuation, low loan exposure, and negative operating leverage as reasons for the downgrade.\nFirst Eagle Investment Management is one of the largest stakeholders of The Bank of New York Mellon Corporation (NYSE:BK) in Q3, with 16.1 million shares worth over $837 million. Overall, 46 hedge funds monitored by Insider Monkey were bullish on The Bank of New York Mellon Corporation (NYSE:BK) in the third quarter, down from 52 funds in the preceding quarter.\nThe Bank of New York Mellon Corporation (NYSE:BK) is a notable stock from Warren Buffett’s Q3 portfolio, just like Apple Inc. (NASDAQ:AAPL), American Express Company (NYSE:AXP), The Coca-Cola Company (NYSE:KO), and Amazon.com, Inc. (NASDAQ:AMZN).\n5. DaVita Inc. (NYSE:DVA)\nBerkshire Hathaway’s Stake Value: $4,196,471,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 1.43%\nNumber of Hedge Fund Holders: 39\nP/E Ratio: 12.37\nDaVita Inc. (NYSE:DVA) made it to our list of the best value stocks in Warren Buffett’s portfolio, with the company announcing solid Q3 earnings on October 28, posting an EPS of $2.36, beating estimates by $0.10. Revenue over the period also outperformed estimates by $23.55 million.\nDeutsche Bank analyst Pito Chickering on November 17 lowered the price target on DaVita Inc. (NYSE:DVA) to $150 from $164 and kept a Buy rating on the shares after the capital markets day, stating that the company offers a longer term investment horizon than many investors can be comfortable with.\nDaVita Inc. (NYSE:DVA) is a healthcare company primarily focusing on kidney diseases and dialysis support, operating in nine countries in addition to the United States. Warren Buffett holds a $4.19 billion position in DaVita Inc. (NYSE:DVA) as of September this year, with DaVita Inc. (NYSE:DVA) stock accounting for 1.43% of the billionaire’s total investments.\nAt the end of the third quarter, 39 hedge funds tracked by Insider Monkey reported owning stakes worth $4.81 billion in DaVita Inc. (NYSE:DVA). This is compared to the same number of funds holding the DaVita Inc. (NYSE:DVA) stock in the preceding quarter, with a total stake value of approximately $5.13 billion.\nGates Capital Managementincreased its stake in DaVita Inc. (NYSE:DVA) by 5% in the third quarter, and is one of the leading stakeholders of the company, with a $174.1 million position.\n4. U.S. Bancorp (NYSE:USB)\nBerkshire Hathaway’s Stake Value: $7,514,279,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 2.52%\nNumber of Hedge Fund Holders: 42\nP/E Ratio: 11.60\nU.S. Bancorp (NYSE:USB) is a Minnesota-based bank holding company that operates via its wholly owned subsidiary, U.S. Bank National Association, and offers banking, investment, mortgage, trust, and payment services to customers. As one of the best value stocks in Warren Buffett’s Q3 portfolio, U.S. Bancorp (NYSE:USB) represents 2.52% of the billionaire’s total investments. Berkshire Hathaway owns over 126 million U.S. Bancorp (NYSE:USB) shares, worth $7.51 billion.\nOn December 9, UBS analyst Erika Najarian initiated coverage of U.S. Bancorp (NYSE:USB) with a Buy rating and a $70 price target, after the 300 basis points of ROTCE outperformance by the company.\nU.S. Bancorp (NYSE:USB), on October 14, reported its Q3 results, posting an EPS of $1.30, beating estimates by $0.14. The $5.86 billion revenue also exceeded estimates by $105.32 million.\nIn Q3 2021, 42 hedge funds in the database of Insider Monkey were long U.S. Bancorp (NYSE:USB), up from 41 funds in the preceding quarter.Yacktman Asset Managementis one of the leading stakeholders of U.S. Bancorp (NYSE:USB), holding a $279.3 million stake in the bank holding company.\nHereis what Mairs & Power has to say about U.S. Bancorp (NYSE:USB) in their Q4 2020 investor letter:\n\n “On the negative side, one of the Fund’s biggest detractor in 2020 was U.S. Bancorp (USB). Like all banks, U.S. Bank was hurt by the difficult interest rate environment and credit cycle concerns. We believe banks are strong enough to survive the current sector doldrums, and they remain some of the market’s most attractive opportunities.”\n\n3. Verizon Communications Inc. (NYSE:VZ)\nBerkshire Hathaway’s Stake Value: $8,578,115,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 2.92%\nNumber of Hedge Fund Holders: 57\nP/E Ratio: 9.43\nWith a price to earnings ratio of 9.43, Verizon Communications Inc. (NYSE:VZ) is one of Warren Buffett’s top value stock picks from the third quarter, with the billionaire holding an $8.57 billion position in the company. Verizon Communications Inc. (NYSE:VZ), an American multinational telecommunications conglomerate, announced a quarterly dividend of $0.64 per share on December 2, payable on February 1 to shareholders of record on January 10. Verizon Communications Inc. (NYSE:VZ) offers a forward dividend yield of 5.10%.\nOn October 20, Verizon Communications Inc. (NYSE:VZ) announced Q3 results, posting an EPS of $1.41, beating estimates by $0.05. The quarterly revenue amounted to $32.92 billion, missing estimates by $301.93 million. Following the Q3 performance, Cowen analyst Colby Synesael raised the price target on Verizon Communications Inc. (NYSE:VZ) to $71 from $68 and kept an Outperform rating on the shares.\nVerizon Communications Inc. (NYSE:VZ) was awarded two contracts worth $34.6 million by the U.S. Department of Energy. The task orders were awarded through the federal government’s Enterprise Infrastructure Solutions contract vehicle on December 1.\nBy the end of the third quarter, 57 hedge funds were bullish on Verizon Communications Inc. (NYSE:VZ), down from 63 funds in the preceding quarter. Jaime Sterne’s Skye Global Management is one of the leading Verizon Communications Inc. (NYSE:VZ) stakeholders from Q3, holding a $282.3 million position in the company.\nHereis what Miller/Howard Investments has to say about Verizon Communications Inc. (NYSE:VZ) in its Q1 2021 investor letter:\n\n “We sold Verizon (VZ) based on concerns over how much they might spend in ongoing spectrum auctions. Management may legitimately view spending billions of dollars to expand their spectrum holdings as necessary, but we believe the payoff will be slow and will make it challenging to grow the dividend at a good pace.”\n\n2. American Express Company (NYSE:AXP)\nBerkshire Hathaway’s Stake Value: $25,399,340,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 8.65%\nNumber of Hedge Fund Holders: 57\nP/E Ratio: 17.45\nAmerican Express Company (NYSE:AXP), a multinational payment card services company, posted on October 22 its Q3 results. EPS for the period came in at $2.27, exceeding estimates by $0.52. The revenue amounted to $10.93 billion, up 24.88% year-over-year, outperforming estimates by $382.39 million.\n8.65% of Berkshire Hathaway’s Q3 investments are represented by American Express Company (NYSE:AXP) stock, with Warren Buffett holding 151.6 million shares of the company, worth $25.39 billion at the end of September this year. American Express Company (NYSE:AXP) is one of the best value stocks in Warren Buffett’s portfolio.\nThe smart money took a greater interest in American Express Company (NYSE:AXP) in the third quarter, with 57 hedge funds being bullish on the stock at September end, up from 52 funds holding stakes in American Express Company (NYSE:AXP) in the preceding quarter.Fisher Asset Management is a notable stakeholder of American Express Company (NYSE:AXP) in Q3, with 15.6 million shares valued at $2.61 billion.\nAfter the Q3 earnings beat, BMO Capital analyst James Fotheringham on October 25 raised the price target on American Express Company (NYSE:AXP) to $151 from $147 but kept a Market Perform rating on the shares. In addition to the strong Q3 earnings, the analyst revised his model for American Express Company (NYSE:AXP) to forecast higher net interest income, lower loan loss provisions, and lower share counts.\nHereis what ClearBridge Investments has to say about American Express Company (NYSE:AXP) in its Q2 2021 investor letter:\n\n “In financials, American Express has done an excellent job demonstrating the resiliency of its franchise in the midst of a global pandemic that drove a 60% decline in its core travel and entertainment business. The company’s spend-centric model has been helped by fiscal stimulus ensuring a flush consumer, while management continues to execute well by adding millions of new consumer and small and medium business accounts, which should benefit the franchise over the medium to long term. We remain optimistic regarding the company’s prospects as travel and entertainment activity rebounds, adding to our position in the quarter.”\n\n1. Bank of America Corporation (NYSE:BAC)\nBerkshire Hathaway’s Stake Value: $42,878,771,000\nPercentage of Berkshire Hathaway’s 13F Portfolio: 14.61%\nNumber of Hedge Fund Holders: 72\nP/E Ratio: 13.32\nRanking first on our list of the best value stocks in Warren Buffett’s portfolio is Bank of America Corporation (NYSE:BAC), with the billionaire holding more than 1 billion shares worth $42.8 billion by the end of September. Bank of America Corporation (NYSE:BAC) stock represents 14.61% of Warren Buffett’s total Q3 securities.\nUBS analyst Erika Najarian assumed coverage of Bank of America Corporation (NYSE:BAC) with a Buy rating and a $64 price target on December 9. The analyst named Bank of America Corporation (NYSE:BAC) her top pick among the U.S. large cap banks.\nBank of America Corporation (NYSE:BAC), on October 14, announced earnings for the third quarter, posting an EPS of $0.85, beating estimates by $0.15. The revenue was up 11.33% year-over-year, amounting to $22.77 billion, exceeding estimates by $1.16 billion.\nIn the third quarter, 72 hedge funds were bullish on Bank of America Corporation (NYSE:BAC), holding total stakes valued at $46.48 billion. One of the leading Bank of America Corporation (NYSE:BAC) stakeholders from Q3 isHarris Associates, with a $2.52 billion position in the company.\nHere is what Oakmark Funds has to say about Bank of America Corporation (NYSE:BAC) in its Q3 2021 investor letter:\n\n “Earlier this year, one of our holdings, Bank of America, announced that it was raising its minimum hourly wage from $15 to $20 and would increase it to $25 by 2025. The company received great press for placing the well-being of its employees above profits. But was it really either/or? Bank of America’s chief human resources officer spoke to the bigger picture: “A core tenet of responsible growth is our commitment to being a great place to work…that includes providing strong pay and competitive benefits to help them and their families, so that we continue to attract and retain the best talent.” Bank of America understood that engaged, high-caliber employees are more productive, less prone to turnover and, therefore, less expensive in the long run. Increasing the pay for employees wasn’t elevating employees above shareholders; it was the right thing to do for employees\n andfor shareholders.\n\n\n If an increase to $20 was good, why stop there? Why not $50 per hour? Because the benefits the business receives at $50 don’t justify the expense. The bank would no longer be able to price its products competitively and would lose business. The employees would “win” in the short term, but eventually the lost business would lead to job cuts, meaning both employees and shareholders would lose. The negative effects of stakeholder overreach are no different than when CEOs overreach to inflate short-term profits. Both hurt shareholders\n andstakeholders.”","news_type":1,"symbols_score_info":{"VZ":0.9,"WFC":0.9,"BAC":0.9,"GL":0.9,"DVA":0.9,"USB":0.9,"AXP":0.9,"BK":0.9,"GM":0.9,"TEVA":0.9}},"isVote":1,"tweetType":1,"viewCount":2589,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":690180740,"gmtCreate":1639646962789,"gmtModify":1639646962971,"author":{"id":"3586994859303940","authorId":"3586994859303940","name":"Win Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Yes, is great","listText":"Yes, is great","text":"Yes, is great","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":0,"commentSize":0,"repostSize":0,"link":"https://laohu8.com/post/690180740","isVote":1,"tweetType":1,"viewCount":2621,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":690973642,"gmtCreate":1639626732712,"gmtModify":1639626732886,"author":{"id":"3586994859303940","authorId":"3586994859303940","name":"Win Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":3,"commentSize":1,"repostSize":0,"link":"https://laohu8.com/post/690973642","repostId":"1156000862","repostType":4,"repost":{"id":"1156000862","kind":"news","pubTimestamp":1639622579,"share":"https://www.laohu8.com/m/news/1156000862?lang=zh_CN&edition=full","pubTime":"2021-12-16 10:42","market":"us","language":"en","title":"Why Apple Stock Rallied<blockquote>苹果股价为何上涨</blockquote>","url":"https://stock-news.laohu8.com/highlight/detail?id=1156000862","media":"Motley Fool","summary":"What happened\nShares of Apple(NASDAQ:AAPL)climbed nearly 3% on Wednesday, following the Federal Rese","content":"<p><b>What happened</b></p><p><blockquote><b>发生了什么</b></blockquote></p><p> Shares of <b>Apple</b>(NASDAQ:AAPL)climbed nearly 3% on Wednesday, following the Federal Reserve's statement.</p><p><blockquote>本公司之股份<b>苹果</b>(纳斯达克:AAPL)周三在美联储发表声明后上涨近3%。</blockquote></p><p> <b>So what</b></p><p><blockquote><b>那又怎样</b></blockquote></p><p> The Federal Reserve plans to taper its asset purchases at a faster rate to combat rising inflation. The announcement came after wholesale prices surged a record 9.6% in November.</p><p><blockquote>美联储计划以更快的速度缩减资产购买规模,以应对通胀上升。这一消息是在11月份批发价格飙升创纪录的9.6%之后发布的。</blockquote></p><p> This tapering positions the Federal Reserve to begin raising interest rates next year. Members of the Federal Open Market Committee forecast three rate hikes in 2022.</p><p><blockquote>此次缩减规模使美联储明年开始加息。联邦公开市场委员会成员预测2022年将加息三次。</blockquote></p><p> While a reduction in stimulus measures and the prospect of rate hikes are not normally bullish indicators for stocks, the announcements were largely in line with the market's expectations. Investors appeared to breathe a sigh of relief that the Federal Reserve wasn't planning more aggressive action to battle inflation, and the major stock indexes surged.</p><p><blockquote>虽然刺激措施的减少和加息前景通常不是股市的看涨指标,但这些公告在很大程度上符合市场预期。投资者似乎松了一口气,因为美联储没有计划采取更积极的行动来对抗通胀,主要股指飙升。</blockquote></p><p> <b>Now what</b></p><p><blockquote><b>现在怎么办</b></blockquote></p><p> The news allowed investors to shift their attention away from macroeconomic factors and refocus on Apple's core business fundamentals and growth prospects -- two areas where the tech titan shines.</p><p><blockquote>这一消息让投资者将注意力从宏观经济因素上转移开,重新关注苹果的核心业务基本面和增长前景——这是这家科技巨头大放异彩的两个领域。</blockquote></p><p> A 5G upgrade cycle is fueling iPhone sales, while rave reviews of Apple's high-performance M1 chip are boosting sales of Macs and iPads. Together, these trends are likely to drive the tech giant's already huge profits even higher.</p><p><blockquote>5G升级周期正在推动iPhone的销售,而对苹果高性能M1芯片的好评则推动了Mac和iPad的销售。这些趋势加在一起可能会推动这家科技巨头本已丰厚的利润走得更高。</blockquote></p><p> Additionally, analysts are intrigued by Apple's virtual and augmented reality initiatives, as well as its secretive self-driving car project. Their excitement is palpable, and several analysts have recently raised their price forecasts for Apple's stock due in part to the potential of these new products.</p><p><blockquote>此外,分析师对苹果的虚拟和增强现实计划以及其秘密的自动驾驶汽车项目很感兴趣。他们的兴奋是显而易见的,几位分析师最近上调了对苹果股票的价格预测,部分原因是这些新产品的潜力。</blockquote></p><p> With today's Fed statement and subsequent market rally seemingly signaling that it's ok to buy great growth stocks once again, many investors decided to purchase shares of Apple, and its stock price rose in kind.</p><p><blockquote>随着今天美联储的声明和随后的市场反弹似乎表明可以再次购买高成长型股票,许多投资者决定购买苹果的股票,其股价也随之上涨。</blockquote></p><p></p>","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>Why Apple Stock Rallied<blockquote>苹果股价为何上涨</blockquote></title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 12.5px; color: #7E829C; margin: 0;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\nWhy Apple Stock Rallied<blockquote>苹果股价为何上涨</blockquote>\n</h2>\n<h4 class=\"meta\">\n<p class=\"head\">\n<strong class=\"h-name small\">Motley Fool</strong><span class=\"h-time small\">2021-12-16 10:42</span>\n</p>\n</h4>\n</header>\n<article>\n<p><b>What happened</b></p><p><blockquote><b>发生了什么</b></blockquote></p><p> Shares of <b>Apple</b>(NASDAQ:AAPL)climbed nearly 3% on Wednesday, following the Federal Reserve's statement.</p><p><blockquote>本公司之股份<b>苹果</b>(纳斯达克:AAPL)周三在美联储发表声明后上涨近3%。</blockquote></p><p> <b>So what</b></p><p><blockquote><b>那又怎样</b></blockquote></p><p> The Federal Reserve plans to taper its asset purchases at a faster rate to combat rising inflation. The announcement came after wholesale prices surged a record 9.6% in November.</p><p><blockquote>美联储计划以更快的速度缩减资产购买规模,以应对通胀上升。这一消息是在11月份批发价格飙升创纪录的9.6%之后发布的。</blockquote></p><p> This tapering positions the Federal Reserve to begin raising interest rates next year. Members of the Federal Open Market Committee forecast three rate hikes in 2022.</p><p><blockquote>此次缩减规模使美联储明年开始加息。联邦公开市场委员会成员预测2022年将加息三次。</blockquote></p><p> While a reduction in stimulus measures and the prospect of rate hikes are not normally bullish indicators for stocks, the announcements were largely in line with the market's expectations. Investors appeared to breathe a sigh of relief that the Federal Reserve wasn't planning more aggressive action to battle inflation, and the major stock indexes surged.</p><p><blockquote>虽然刺激措施的减少和加息前景通常不是股市的看涨指标,但这些公告在很大程度上符合市场预期。投资者似乎松了一口气,因为美联储没有计划采取更积极的行动来对抗通胀,主要股指飙升。</blockquote></p><p> <b>Now what</b></p><p><blockquote><b>现在怎么办</b></blockquote></p><p> The news allowed investors to shift their attention away from macroeconomic factors and refocus on Apple's core business fundamentals and growth prospects -- two areas where the tech titan shines.</p><p><blockquote>这一消息让投资者将注意力从宏观经济因素上转移开,重新关注苹果的核心业务基本面和增长前景——这是这家科技巨头大放异彩的两个领域。</blockquote></p><p> A 5G upgrade cycle is fueling iPhone sales, while rave reviews of Apple's high-performance M1 chip are boosting sales of Macs and iPads. Together, these trends are likely to drive the tech giant's already huge profits even higher.</p><p><blockquote>5G升级周期正在推动iPhone的销售,而对苹果高性能M1芯片的好评则推动了Mac和iPad的销售。这些趋势加在一起可能会推动这家科技巨头本已丰厚的利润走得更高。</blockquote></p><p> Additionally, analysts are intrigued by Apple's virtual and augmented reality initiatives, as well as its secretive self-driving car project. Their excitement is palpable, and several analysts have recently raised their price forecasts for Apple's stock due in part to the potential of these new products.</p><p><blockquote>此外,分析师对苹果的虚拟和增强现实计划以及其秘密的自动驾驶汽车项目很感兴趣。他们的兴奋是显而易见的,几位分析师最近上调了对苹果股票的价格预测,部分原因是这些新产品的潜力。</blockquote></p><p> With today's Fed statement and subsequent market rally seemingly signaling that it's ok to buy great growth stocks once again, many investors decided to purchase shares of Apple, and its stock price rose in kind.</p><p><blockquote>随着今天美联储的声明和随后的市场反弹似乎表明可以再次购买高成长型股票,许多投资者决定购买苹果的股票,其股价也随之上涨。</blockquote></p><p></p>\n<div class=\"bt-text\">\n\n\n<p> 来源:<a href=\"https://www.fool.com/investing/2021/12/15/why-apple-stock-rallied-today/\">Motley Fool</a></p>\n<p>为提升您的阅读体验,我们对本页面进行了排版优化</p>\n\n\n</div>\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"AAPL":"苹果"},"source_url":"https://www.fool.com/investing/2021/12/15/why-apple-stock-rallied-today/","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1156000862","content_text":"What happened\nShares of Apple(NASDAQ:AAPL)climbed nearly 3% on Wednesday, following the Federal Reserve's statement.\nSo what\nThe Federal Reserve plans to taper its asset purchases at a faster rate to combat rising inflation. The announcement came after wholesale prices surged a record 9.6% in November.\nThis tapering positions the Federal Reserve to begin raising interest rates next year. Members of the Federal Open Market Committee forecast three rate hikes in 2022.\nWhile a reduction in stimulus measures and the prospect of rate hikes are not normally bullish indicators for stocks, the announcements were largely in line with the market's expectations. Investors appeared to breathe a sigh of relief that the Federal Reserve wasn't planning more aggressive action to battle inflation, and the major stock indexes surged.\nNow what\nThe news allowed investors to shift their attention away from macroeconomic factors and refocus on Apple's core business fundamentals and growth prospects -- two areas where the tech titan shines.\nA 5G upgrade cycle is fueling iPhone sales, while rave reviews of Apple's high-performance M1 chip are boosting sales of Macs and iPads. Together, these trends are likely to drive the tech giant's already huge profits even higher.\nAdditionally, analysts are intrigued by Apple's virtual and augmented reality initiatives, as well as its secretive self-driving car project. Their excitement is palpable, and several analysts have recently raised their price forecasts for Apple's stock due in part to the potential of these new products.\nWith today's Fed statement and subsequent market rally seemingly signaling that it's ok to buy great growth stocks once again, many investors decided to purchase shares of Apple, and its stock price rose in kind.","news_type":1,"symbols_score_info":{"AAPL":0.9}},"isVote":1,"tweetType":1,"viewCount":2121,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":607221757,"gmtCreate":1639550099109,"gmtModify":1639550318687,"author":{"id":"3586994859303940","authorId":"3586994859303940","name":"Win Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Good ","listText":"Good ","text":"Good","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":1,"repostSize":0,"link":"https://laohu8.com/post/607221757","repostId":"1116954016","repostType":4,"isVote":1,"tweetType":1,"viewCount":2876,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":607095048,"gmtCreate":1639453528096,"gmtModify":1639453528264,"author":{"id":"3586994859303940","authorId":"3586994859303940","name":"Win Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":1,"repostSize":0,"link":"https://laohu8.com/post/607095048","repostId":"1139454416","repostType":4,"repost":{"id":"1139454416","kind":"news","pubTimestamp":1639448691,"share":"https://www.laohu8.com/m/news/1139454416?lang=zh_CN&edition=full","pubTime":"2021-12-14 10:24","market":"us","language":"en","title":"Forget Black Friday: True Holiday Discounts May Be Coming in January<blockquote>忘记黑色星期五:真正的假日折扣可能会在一月份到来</blockquote>","url":"https://stock-news.laohu8.com/highlight/detail?id=1139454416","media":"TheStreet.","summary":"Many retailers may wind up with a surplus of certain items after the holiday shopping season is over","content":"<p>Many retailers may wind up with a surplus of certain items after the holiday shopping season is over.</p><p><blockquote>假日购物季结束后,许多零售商可能会出现某些商品的过剩。</blockquote></p><p> All those people who tried to score deals during Black Friday may be in for an unpleasant surprise: the true discounts are coming in January.</p><p><blockquote>所有那些试图在黑色星期五期间达成交易的人可能会遇到一个不愉快的惊喜:真正的折扣将在一月份到来。</blockquote></p><p> Amid shipping delays and stores over-ordering inventory to prevent running out during critical times, many retailers may wind up with a surplus of certain items after the holiday shopping season is over.</p><p><blockquote>由于运输延误和商店过度订购库存以防止在关键时期用完,许多零售商可能会在假日购物季结束后出现某些商品过剩。</blockquote></p><p> \"They probably also don’t have a lot of space to just store that inventory for the following season,\" NRF's chief economist Jack Kleinhenz told Bloomberg.</p><p><blockquote>NRF首席经济学家杰克·克莱因亨茨(Jack Kleinhenz)告诉彭博社:“他们可能也没有太多空间来储存下一季的库存。”</blockquote></p><p> Anticipation to this year's holiday shopping period has led to much talk of pent-up demand — after a year of putting off major purchases, many predicted that shoppers would return to physical stores with a renewed vengeance.</p><p><blockquote>对今年假期购物期的预期导致人们议论被压抑的需求——在推迟了一年的大额购物后,许多人预测购物者将会再次回到实体商店进行报复。</blockquote></p><p> But while data coming out of Black Friday did find that shopping increased 29.8% from 2020, inflation and difficulty finding staff to work as new variants of the coronavirus emerge mean that demand could continue to taper off from now until the end of the holidays.</p><p><blockquote>不过,尽管黑色星期五的数据确实发现购物量比2020年增加了29.8%,但通货膨胀和随着冠状病毒新变种的出现而难以找到员工工作意味着从现在到假期结束,需求可能会继续减少。</blockquote></p><p> That, in turn, could lead to many retailers marking down the surplus of inventory still in stores.</p><p><blockquote>反过来,这可能会导致许多零售商减少商店中剩余的库存。</blockquote></p><p> Gap, Bath & Body Works and Old Navy are some of the stores that have recently struggled with finding staff and, according to Bloomberg, have been observed with messy shelves full of inventory.</p><p><blockquote>Gap、Bath&Body Works和Old Navy等商店最近一直在努力寻找员工,据彭博社报道,人们发现货架上堆满了库存。</blockquote></p><p> With the threat of further lockdowns due to the omicron variant always present, there is always the risk that lofty expectations will not live up to the reality of what consumers end up spending.</p><p><blockquote>由于奥密克戎变种导致进一步封锁的威胁始终存在,因此始终存在高期望无法满足消费者最终支出的现实的风险。</blockquote></p><p> \"This new virus variant is just as serious as any that we’ve seen, but we don’t have enough data yet to know how it will impact consumers and households,\" Kleinhenz said.</p><p><blockquote>克莱因亨茨说:“这种新病毒变种与我们见过的任何病毒变种一样严重,但我们还没有足够的数据来了解它将如何影响消费者和家庭。”</blockquote></p><p></p>","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>Forget Black Friday: True Holiday Discounts May Be Coming in January<blockquote>忘记黑色星期五:真正的假日折扣可能会在一月份到来</blockquote></title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 12.5px; color: #7E829C; margin: 0;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\nForget Black Friday: True Holiday Discounts May Be Coming in January<blockquote>忘记黑色星期五:真正的假日折扣可能会在一月份到来</blockquote>\n</h2>\n<h4 class=\"meta\">\n<p class=\"head\">\n<strong class=\"h-name small\">TheStreet.</strong><span class=\"h-time small\">2021-12-14 10:24</span>\n</p>\n</h4>\n</header>\n<article>\n<p>Many retailers may wind up with a surplus of certain items after the holiday shopping season is over.</p><p><blockquote>假日购物季结束后,许多零售商可能会出现某些商品的过剩。</blockquote></p><p> All those people who tried to score deals during Black Friday may be in for an unpleasant surprise: the true discounts are coming in January.</p><p><blockquote>所有那些试图在黑色星期五期间达成交易的人可能会遇到一个不愉快的惊喜:真正的折扣将在一月份到来。</blockquote></p><p> Amid shipping delays and stores over-ordering inventory to prevent running out during critical times, many retailers may wind up with a surplus of certain items after the holiday shopping season is over.</p><p><blockquote>由于运输延误和商店过度订购库存以防止在关键时期用完,许多零售商可能会在假日购物季结束后出现某些商品过剩。</blockquote></p><p> \"They probably also don’t have a lot of space to just store that inventory for the following season,\" NRF's chief economist Jack Kleinhenz told Bloomberg.</p><p><blockquote>NRF首席经济学家杰克·克莱因亨茨(Jack Kleinhenz)告诉彭博社:“他们可能也没有太多空间来储存下一季的库存。”</blockquote></p><p> Anticipation to this year's holiday shopping period has led to much talk of pent-up demand — after a year of putting off major purchases, many predicted that shoppers would return to physical stores with a renewed vengeance.</p><p><blockquote>对今年假期购物期的预期导致人们议论被压抑的需求——在推迟了一年的大额购物后,许多人预测购物者将会再次回到实体商店进行报复。</blockquote></p><p> But while data coming out of Black Friday did find that shopping increased 29.8% from 2020, inflation and difficulty finding staff to work as new variants of the coronavirus emerge mean that demand could continue to taper off from now until the end of the holidays.</p><p><blockquote>不过,尽管黑色星期五的数据确实发现购物量比2020年增加了29.8%,但通货膨胀和随着冠状病毒新变种的出现而难以找到员工工作意味着从现在到假期结束,需求可能会继续减少。</blockquote></p><p> That, in turn, could lead to many retailers marking down the surplus of inventory still in stores.</p><p><blockquote>反过来,这可能会导致许多零售商减少商店中剩余的库存。</blockquote></p><p> Gap, Bath & Body Works and Old Navy are some of the stores that have recently struggled with finding staff and, according to Bloomberg, have been observed with messy shelves full of inventory.</p><p><blockquote>Gap、Bath&Body Works和Old Navy等商店最近一直在努力寻找员工,据彭博社报道,人们发现货架上堆满了库存。</blockquote></p><p> With the threat of further lockdowns due to the omicron variant always present, there is always the risk that lofty expectations will not live up to the reality of what consumers end up spending.</p><p><blockquote>由于奥密克戎变种导致进一步封锁的威胁始终存在,因此始终存在高期望无法满足消费者最终支出的现实的风险。</blockquote></p><p> \"This new virus variant is just as serious as any that we’ve seen, but we don’t have enough data yet to know how it will impact consumers and households,\" Kleinhenz said.</p><p><blockquote>克莱因亨茨说:“这种新病毒变种与我们见过的任何病毒变种一样严重,但我们还没有足够的数据来了解它将如何影响消费者和家庭。”</blockquote></p><p></p>\n<div class=\"bt-text\">\n\n\n<p> 来源:<a href=\"https://www.thestreet.com/lifestyle/forget-black-friday-true-holiday-discounts-may-be-coming-in-january\">TheStreet.</a></p>\n<p>为提升您的阅读体验,我们对本页面进行了排版优化</p>\n\n\n</div>\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"BBWI":"Bath & Body Works Inc."},"source_url":"https://www.thestreet.com/lifestyle/forget-black-friday-true-holiday-discounts-may-be-coming-in-january","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1139454416","content_text":"Many retailers may wind up with a surplus of certain items after the holiday shopping season is over.\nAll those people who tried to score deals during Black Friday may be in for an unpleasant surprise: the true discounts are coming in January.\nAmid shipping delays and stores over-ordering inventory to prevent running out during critical times, many retailers may wind up with a surplus of certain items after the holiday shopping season is over.\n\"They probably also don’t have a lot of space to just store that inventory for the following season,\" NRF's chief economist Jack Kleinhenz told Bloomberg.\nAnticipation to this year's holiday shopping period has led to much talk of pent-up demand — after a year of putting off major purchases, many predicted that shoppers would return to physical stores with a renewed vengeance.\nBut while data coming out of Black Friday did find that shopping increased 29.8% from 2020, inflation and difficulty finding staff to work as new variants of the coronavirus emerge mean that demand could continue to taper off from now until the end of the holidays.\nThat, in turn, could lead to many retailers marking down the surplus of inventory still in stores.\nGap, Bath & Body Works and Old Navy are some of the stores that have recently struggled with finding staff and, according to Bloomberg, have been observed with messy shelves full of inventory.\nWith the threat of further lockdowns due to the omicron variant always present, there is always the risk that lofty expectations will not live up to the reality of what consumers end up spending.\n\"This new virus variant is just as serious as any that we’ve seen, but we don’t have enough data yet to know how it will impact consumers and households,\" Kleinhenz said.","news_type":1,"symbols_score_info":{"BBWI":0.9,"GPS":0.9}},"isVote":1,"tweetType":1,"viewCount":2425,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":604884370,"gmtCreate":1639370582156,"gmtModify":1639370582357,"author":{"id":"3586994859303940","authorId":"3586994859303940","name":"Win Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Great ","listText":"Great ","text":"Great","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":0,"repostSize":0,"link":"https://laohu8.com/post/604884370","repostId":"1199974831","repostType":4,"isVote":1,"tweetType":1,"viewCount":2702,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":604965429,"gmtCreate":1639313824869,"gmtModify":1639313825074,"author":{"id":"3586994859303940","authorId":"3586994859303940","name":"Win Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":0,"repostSize":0,"link":"https://laohu8.com/post/604965429","repostId":"1165282830","repostType":4,"repost":{"id":"1165282830","kind":"news","pubTimestamp":1639148461,"share":"https://www.laohu8.com/m/news/1165282830?lang=zh_CN&edition=full","pubTime":"2021-12-10 23:01","market":"us","language":"en","title":"Tesla stops taking Model S and Model X orders outside North America<blockquote>特斯拉停止接受北美以外地区Model S和Model X订单</blockquote>","url":"https://stock-news.laohu8.com/highlight/detail?id=1165282830","media":"Electrek","summary":"Tesla announced to potential buyers today that it stopped taking new Model S and Model X orders outs","content":"<p>Tesla announced to potential buyers today that it stopped taking new Model S and Model X orders outside North America.</p><p><blockquote>特斯拉今天向潜在买家宣布,停止接受北美以外的新Model S和Model X订单。</blockquote></p><p> It now expects deliveries in other markets to start during the second half of 2022.</p><p><blockquote>目前预计其他市场的交付将于2022年下半年开始。</blockquote></p><p> The news comes from an email that Tesla started sending out to people who have Model S and Model X vehicles on order in Europe.</p><p><blockquote>该消息来自特斯拉开始向在欧洲订购Model S和Model X车辆的人发送的一封电子邮件。</blockquote></p><p> Tesla writes in the email that it is not accepting any new orders (translated from German):</p><p><blockquote>特斯拉在电子邮件中写道,它不接受任何新订单(翻译自德语):</blockquote></p><p> In order to expedite the delivery of existing orders, including your Model X order, as much as possible, we are currently no longer accepting new orders for the Model S and Model X from markets outside of North America. This is in response to Tesla likely having a large backlog of Model S/X orders in Europe and other markets, where there has been no new Model S/X shipment in a year.</p><p><blockquote>为了尽可能加快现有订单(包括您的Model X订单)的交付,我们目前不再接受来自北美以外市场的Model S和Model X的新订单。这是为了应对特斯拉可能在欧洲和其他市场积压了大量Model S/X订单,这些市场已经一年没有新的Model S/X出货。</blockquote></p><p> Tesla shut down Model S and Model X production in January of last year to update the vehicles.</p><p><blockquote>特斯拉于去年1月关闭了Model S和Model X的生产以更新车辆。</blockquote></p><p> During that year, the automaker kept taking new orders, but production was delayed with new Model S starting to slowly come off the assembly line in June and Model X in October.</p><p><blockquote>那一年,该汽车制造商不断接受新订单,但生产被推迟,新款Model S于6月开始慢慢下线,Model X于10月开始下线。</blockquote></p><p> Tesla is still catching up to the backlog in North America while new orders kept coming in from Europe and Asia.</p><p><blockquote>特斯拉仍在追赶北美的积压订单,而新订单不断来自欧洲和亚洲。</blockquote></p><p> In the email, Tesla says that it now aims to deliver the first Model S and Model X in Europe during the second half of next year:</p><p><blockquote>特斯拉在电子邮件中表示,目前的目标是明年下半年在欧洲交付首批Model S和Model X:</blockquote></p><p> Your Model X is getting closer to delivery. We currently expect shipments outside of North America to begin in the second half of 2022. This means that Europe would be without Model S and Model X for a year and a half.</p><p><blockquote>你的Model X离交付越来越近了。我们目前预计北美以外的发货将于2022年下半年开始。这意味着欧洲将有一年半的时间没有Model S和Model X。</blockquote></p><p> Here’s the email in full:</p><p><blockquote>以下是电子邮件全文:</blockquote></p><p> Hello [redacted], We are contacting you regarding the timing of your Model X order. As we expand production capacity, the launch dates for markets outside of North America have been postponed. We will inform you of the delivery times through your Tesla account when production begins. Your Model X is getting closer to delivery. We currently expect shipments outside of North America to begin in the second half of 2022. In order to expedite the delivery of existing orders, including your Model X order, as much as possible, we are currently no longer accepting new orders for the Model S and Model X from markets outside of North America. The price of your Model X will continue to be the same as it was when you placed your order, unless your vehicle configuration has been changed. To apply your order fee to another model, or to receive a full refund, request a call to speak directly to a Tesla representative. We apologize for any inconvenience this may cause. Kind regards, Your Tesla Team Testa </p><p><blockquote>您好【已编辑】,我们正在就您订购Model X的时间与您联系。随着我们扩大产能,北美以外市场的上市日期已经推迟。当生产开始时,我们将通过您的特斯拉帐户通知您交货时间。你的Model X离交付越来越近了。我们目前预计北美以外的发货将于2022年下半年开始。为了尽可能加快现有订单(包括您的Model X订单)的交付,我们目前不再接受来自北美以外市场的Model S和Model X的新订单。您的Model X的价格将继续与您下订单时相同,除非您的车辆配置发生了变化。要将您的订单费用应用于其他型号,或获得全额退款,请要求看涨期权直接与特斯拉代表联系。对于由此可能造成的任何不便,我们深表歉意。亲切的问候,您的特斯拉团队Testa</blockquote></p><p></p>","source":"lsy1627037122897","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>Tesla stops taking Model S and Model X orders outside North America<blockquote>特斯拉停止接受北美以外地区Model S和Model X订单</blockquote></title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 12.5px; color: #7E829C; margin: 0;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\nTesla stops taking Model S and Model X orders outside North America<blockquote>特斯拉停止接受北美以外地区Model S和Model X订单</blockquote>\n</h2>\n<h4 class=\"meta\">\n<p class=\"head\">\n<strong class=\"h-name small\">Electrek</strong><span class=\"h-time small\">2021-12-10 23:01</span>\n</p>\n</h4>\n</header>\n<article>\n<p>Tesla announced to potential buyers today that it stopped taking new Model S and Model X orders outside North America.</p><p><blockquote>特斯拉今天向潜在买家宣布,停止接受北美以外的新Model S和Model X订单。</blockquote></p><p> It now expects deliveries in other markets to start during the second half of 2022.</p><p><blockquote>目前预计其他市场的交付将于2022年下半年开始。</blockquote></p><p> The news comes from an email that Tesla started sending out to people who have Model S and Model X vehicles on order in Europe.</p><p><blockquote>该消息来自特斯拉开始向在欧洲订购Model S和Model X车辆的人发送的一封电子邮件。</blockquote></p><p> Tesla writes in the email that it is not accepting any new orders (translated from German):</p><p><blockquote>特斯拉在电子邮件中写道,它不接受任何新订单(翻译自德语):</blockquote></p><p> In order to expedite the delivery of existing orders, including your Model X order, as much as possible, we are currently no longer accepting new orders for the Model S and Model X from markets outside of North America. This is in response to Tesla likely having a large backlog of Model S/X orders in Europe and other markets, where there has been no new Model S/X shipment in a year.</p><p><blockquote>为了尽可能加快现有订单(包括您的Model X订单)的交付,我们目前不再接受来自北美以外市场的Model S和Model X的新订单。这是为了应对特斯拉可能在欧洲和其他市场积压了大量Model S/X订单,这些市场已经一年没有新的Model S/X出货。</blockquote></p><p> Tesla shut down Model S and Model X production in January of last year to update the vehicles.</p><p><blockquote>特斯拉于去年1月关闭了Model S和Model X的生产以更新车辆。</blockquote></p><p> During that year, the automaker kept taking new orders, but production was delayed with new Model S starting to slowly come off the assembly line in June and Model X in October.</p><p><blockquote>那一年,该汽车制造商不断接受新订单,但生产被推迟,新款Model S于6月开始慢慢下线,Model X于10月开始下线。</blockquote></p><p> Tesla is still catching up to the backlog in North America while new orders kept coming in from Europe and Asia.</p><p><blockquote>特斯拉仍在追赶北美的积压订单,而新订单不断来自欧洲和亚洲。</blockquote></p><p> In the email, Tesla says that it now aims to deliver the first Model S and Model X in Europe during the second half of next year:</p><p><blockquote>特斯拉在电子邮件中表示,目前的目标是明年下半年在欧洲交付首批Model S和Model X:</blockquote></p><p> Your Model X is getting closer to delivery. We currently expect shipments outside of North America to begin in the second half of 2022. This means that Europe would be without Model S and Model X for a year and a half.</p><p><blockquote>你的Model X离交付越来越近了。我们目前预计北美以外的发货将于2022年下半年开始。这意味着欧洲将有一年半的时间没有Model S和Model X。</blockquote></p><p> Here’s the email in full:</p><p><blockquote>以下是电子邮件全文:</blockquote></p><p> Hello [redacted], We are contacting you regarding the timing of your Model X order. As we expand production capacity, the launch dates for markets outside of North America have been postponed. We will inform you of the delivery times through your Tesla account when production begins. Your Model X is getting closer to delivery. We currently expect shipments outside of North America to begin in the second half of 2022. In order to expedite the delivery of existing orders, including your Model X order, as much as possible, we are currently no longer accepting new orders for the Model S and Model X from markets outside of North America. The price of your Model X will continue to be the same as it was when you placed your order, unless your vehicle configuration has been changed. To apply your order fee to another model, or to receive a full refund, request a call to speak directly to a Tesla representative. We apologize for any inconvenience this may cause. Kind regards, Your Tesla Team Testa </p><p><blockquote>您好【已编辑】,我们正在就您订购Model X的时间与您联系。随着我们扩大产能,北美以外市场的上市日期已经推迟。当生产开始时,我们将通过您的特斯拉帐户通知您交货时间。你的Model X离交付越来越近了。我们目前预计北美以外的发货将于2022年下半年开始。为了尽可能加快现有订单(包括您的Model X订单)的交付,我们目前不再接受来自北美以外市场的Model S和Model X的新订单。您的Model X的价格将继续与您下订单时相同,除非您的车辆配置发生了变化。要将您的订单费用应用于其他型号,或获得全额退款,请要求看涨期权直接与特斯拉代表联系。对于由此可能造成的任何不便,我们深表歉意。亲切的问候,您的特斯拉团队Testa</blockquote></p><p></p>\n<div class=\"bt-text\">\n\n\n<p> 来源:<a href=\"https://electrek.co/2021/12/10/tesla-stops-taking-model-s-x-orders-outside-north-america/\">Electrek</a></p>\n<p>为提升您的阅读体验,我们对本页面进行了排版优化</p>\n\n\n</div>\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"TSLA":"特斯拉"},"source_url":"https://electrek.co/2021/12/10/tesla-stops-taking-model-s-x-orders-outside-north-america/","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1165282830","content_text":"Tesla announced to potential buyers today that it stopped taking new Model S and Model X orders outside North America.\nIt now expects deliveries in other markets to start during the second half of 2022.\nThe news comes from an email that Tesla started sending out to people who have Model S and Model X vehicles on order in Europe.\nTesla writes in the email that it is not accepting any new orders (translated from German):\n\n In order to expedite the delivery of existing orders, including your Model X order, as much as possible, we are currently no longer accepting new orders for the Model S and Model X from markets outside of North America.\n\nThis is in response to Tesla likely having a large backlog of Model S/X orders in Europe and other markets, where there has been no new Model S/X shipment in a year.\nTesla shut down Model S and Model X production in January of last year to update the vehicles.\nDuring that year, the automaker kept taking new orders, but production was delayed with new Model S starting to slowly come off the assembly line in June and Model X in October.\nTesla is still catching up to the backlog in North America while new orders kept coming in from Europe and Asia.\nIn the email, Tesla says that it now aims to deliver the first Model S and Model X in Europe during the second half of next year:\n\n Your Model X is getting closer to delivery. We currently expect shipments outside of North America to begin in the second half of 2022.\n\nThis means that Europe would be without Model S and Model X for a year and a half.\nHere’s the email in full:\n\n Hello [redacted],\n\n\n We are contacting you regarding the timing of your Model X order. As we expand production capacity, the launch dates for markets outside of North America have been postponed. We will inform you of the delivery times through your Tesla account when production begins.\n\n\n Your Model X is getting closer to delivery. We currently expect shipments outside of North America to begin in the second half of 2022.\n\n\n In order to expedite the delivery of existing orders, including your Model X order, as much as possible, we are currently no longer accepting new orders for the Model S and Model X from markets outside of North America.\n\n\n The price of your Model X will continue to be the same as it was when you placed your order, unless your vehicle configuration has been changed. To apply your order fee to another model, or to receive a full refund, request a call to speak directly to a Tesla representative.\n\n\n We apologize for any inconvenience this may cause.\n\n\n Kind regards,\n\n\n Your Tesla Team Testa","news_type":1,"symbols_score_info":{"TSLA":0.9}},"isVote":1,"tweetType":1,"viewCount":2721,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":605562489,"gmtCreate":1639192827517,"gmtModify":1639192827671,"author":{"id":"3586994859303940","authorId":"3586994859303940","name":"Win Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Good","listText":"Good","text":"Good","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":0,"repostSize":0,"link":"https://laohu8.com/post/605562489","repostId":"1162490740","repostType":4,"repost":{"id":"1162490740","kind":"news","pubTimestamp":1639127125,"share":"https://www.laohu8.com/m/news/1162490740?lang=zh_CN&edition=full","pubTime":"2021-12-10 17:05","market":"us","language":"en","title":"5 Stocks To Watch For December 10, 2021<blockquote>2021年12月10日值得关注的5只股票</blockquote>","url":"https://stock-news.laohu8.com/highlight/detail?id=1162490740","media":"Benzinga","summary":"Wall Street expects Academy Sports and Outdoors, Inc. to report quarterly earnings at $1.09 per shar","content":"<p><div> Wall Street expects Academy Sports and Outdoors, Inc. to report quarterly earnings at $1.09 per share on revenue of $1.49 billion before the opening bell. Academy Sports and Outdoors shares rose 2.9% ...</p><p><blockquote><div>华尔街预计Academy Sports and Outdoors,Inc.将在开盘前公布季度收益为每股1.09美元,营收为14.9亿美元。学院体育和户外股价上涨2.9%...</div></blockquote></p><p> <a href=\"https://www.benzinga.com/news/earnings/21/12/24540806/5-stocks-to-watch-for-december-10-2021\">网页链接</a> </div> </p><p><blockquote><a href=\"https://www.benzinga.com/news/earnings/21/12/24540806/5-stocks-to-watch-for-december-10-2021\">网页连接</a></blockquote></p><p></p>","source":"lsy1606299360108","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>5 Stocks To Watch For December 10, 2021<blockquote>2021年12月10日值得关注的5只股票</blockquote></title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 12.5px; color: #7E829C; margin: 0;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\n5 Stocks To Watch For December 10, 2021<blockquote>2021年12月10日值得关注的5只股票</blockquote>\n</h2>\n<h4 class=\"meta\">\n<p class=\"head\">\n<strong class=\"h-name small\">Benzinga</strong><span class=\"h-time small\">2021-12-10 17:05</span>\n</p>\n</h4>\n</header>\n<article>\n<p><div> Wall Street expects Academy Sports and Outdoors, Inc. to report quarterly earnings at $1.09 per share on revenue of $1.49 billion before the opening bell. Academy Sports and Outdoors shares rose 2.9% ...</p><p><blockquote><div>华尔街预计Academy Sports and Outdoors,Inc.将在开盘前公布季度收益为每股1.09美元,营收为14.9亿美元。学院体育和户外股价上涨2.9%...</div></blockquote></p><p> <a href=\"https://www.benzinga.com/news/earnings/21/12/24540806/5-stocks-to-watch-for-december-10-2021\">网页链接</a> </div> </p><p><blockquote><a href=\"https://www.benzinga.com/news/earnings/21/12/24540806/5-stocks-to-watch-for-december-10-2021\">网页连接</a></blockquote></p><p></p>\n<div class=\"bt-text\">\n\n\n<p> 来源:<a href=\"https://www.benzinga.com/news/earnings/21/12/24540806/5-stocks-to-watch-for-december-10-2021\">Benzinga</a></p>\n<p>为提升您的阅读体验,我们对本页面进行了排版优化</p>\n\n\n</div>\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"JOUT":"约翰逊户外","ORCL":"甲骨文","LULU":"lululemon athletica","ASO":"Academy Sports & Outdoors, Inc.","AVGO":"博通"},"source_url":"https://www.benzinga.com/news/earnings/21/12/24540806/5-stocks-to-watch-for-december-10-2021","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1162490740","content_text":"Wall Street expects Academy Sports and Outdoors, Inc. to report quarterly earnings at $1.09 per share on revenue of $1.49 billion before the opening bell. Academy Sports and Outdoors shares rose 2.9% to $44.50 in after-hours trading.\nLululemon Athletica Inc. reported upbeat earnings for its third quarter. The company said it sees FY21 revenue of $6.25 billion to $6.29 billion. Lululemon shares dropped 1.2% to $411.99 in the after-hours trading session.\nAnalysts are expecting Johnson Outdoors Inc. to have earned $0.65 per share on revenue of $164.23 million for the latest quarter. The company will release earnings before the markets open. Johnson Outdoors shares slipped 2.3% to close at $97.51 on Thursday.\nOracle Corporation reported stronger-than-expected results for its second quarter and increased its share buyback by $10 billion. Oracle shares jumped 10.4% to $98.00 in the after-hours trading session.\nBroadcom Inc. reported better-than-expected results for its fourth quarter and issued strong sales forecast for the current quarter. The company announced a $10 billion buyback and boosted its quarterly dividend from $3.60 to $4.10 per share. Broadcom shares surged 6.4% to $621.00 in the after-hours trading session.","news_type":1,"symbols_score_info":{"ASO":0.9,"LULU":0.9,"ORCL":0.9,"AVGO":0.9,"JOUT":0.9}},"isVote":1,"tweetType":1,"viewCount":2076,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":602523102,"gmtCreate":1639044010312,"gmtModify":1639044010465,"author":{"id":"3586994859303940","authorId":"3586994859303940","name":"Win Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":4,"commentSize":1,"repostSize":0,"link":"https://laohu8.com/post/602523102","repostId":"1180561055","repostType":4,"repost":{"id":"1180561055","kind":"news","pubTimestamp":1639043759,"share":"https://www.laohu8.com/m/news/1180561055?lang=zh_CN&edition=full","pubTime":"2021-12-09 17:55","market":"us","language":"en","title":"5 Stocks To Watch For December 9, 2021<blockquote>2021年12月9日值得关注的5只股票</blockquote>","url":"https://stock-news.laohu8.com/highlight/detail?id=1180561055","media":"Benzinga","summary":"Wall Street expects Hormel Foods Corporation to report quarterly earnings at $0.50 per share on reve","content":"<p><div> Wall Street expects Hormel Foods Corporation to report quarterly earnings at $0.50 per share on revenue of $3.22 billion before the opening bell. Hormel Foods shares rose 0.5% to $43.00 in after-hours...</p><p><blockquote><div>华尔街预计荷美尔食品公司开盘前将公布季度收益为每股0.50美元,营收为32.2亿美元。荷美尔食品股价盘后上涨0.5%,至43.00美元...</div></blockquote></p><p> <a href=\"https://www.benzinga.com/news/earnings/21/12/24518345/5-stocks-to-watch-for-december-9-2021\">网页链接</a> </div> </p><p><blockquote><a href=\"https://www.benzinga.com/news/earnings/21/12/24518345/5-stocks-to-watch-for-december-9-2021\">网页连接</a></blockquote></p><p></p>","source":"lsy1606299360108","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>5 Stocks To Watch For December 9, 2021<blockquote>2021年12月9日值得关注的5只股票</blockquote></title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 12.5px; color: #7E829C; margin: 0;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\n5 Stocks To Watch For December 9, 2021<blockquote>2021年12月9日值得关注的5只股票</blockquote>\n</h2>\n<h4 class=\"meta\">\n<p class=\"head\">\n<strong class=\"h-name small\">Benzinga</strong><span class=\"h-time small\">2021-12-09 17:55</span>\n</p>\n</h4>\n</header>\n<article>\n<p><div> Wall Street expects Hormel Foods Corporation to report quarterly earnings at $0.50 per share on revenue of $3.22 billion before the opening bell. Hormel Foods shares rose 0.5% to $43.00 in after-hours...</p><p><blockquote><div>华尔街预计荷美尔食品公司开盘前将公布季度收益为每股0.50美元,营收为32.2亿美元。荷美尔食品股价盘后上涨0.5%,至43.00美元...</div></blockquote></p><p> <a href=\"https://www.benzinga.com/news/earnings/21/12/24518345/5-stocks-to-watch-for-december-9-2021\">网页链接</a> </div> </p><p><blockquote><a href=\"https://www.benzinga.com/news/earnings/21/12/24518345/5-stocks-to-watch-for-december-9-2021\">网页连接</a></blockquote></p><p></p>\n<div class=\"bt-text\">\n\n\n<p> 来源:<a href=\"https://www.benzinga.com/news/earnings/21/12/24518345/5-stocks-to-watch-for-december-9-2021\">Benzinga</a></p>\n<p>为提升您的阅读体验,我们对本页面进行了排版优化</p>\n\n\n</div>\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"COST":"好市多","RH":"RH","GME":"游戏驿站","AVGO":"博通","HRL":"荷美尔"},"source_url":"https://www.benzinga.com/news/earnings/21/12/24518345/5-stocks-to-watch-for-december-9-2021","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1180561055","content_text":"Wall Street expects Hormel Foods Corporation to report quarterly earnings at $0.50 per share on revenue of $3.22 billion before the opening bell. Hormel Foods shares rose 0.5% to $43.00 in after-hours trading.\nRH reported upbeat results for its third quarter and lifted the low end of its FY21 sales forecast. RH shares jumped 11.5% to $643.50 in the after-hours trading session.\nAnalysts are expecting Broadcom Inc. to have earned $7.74 per share on revenue of $7.36 billion for the latest quarter. The company will release earnings after the markets close. Broadcom shares slipped 0.1% to $588.00 in after-hours trading.\nGameStop Corp. reported a wider-than-expected loss for its fiscal third quarter on Wednesday. However, the company’s quarterly sales came in above analysts’ estimates. GameStop shares dropped 3.2% to $168.10 in the after-hours trading session.\nAnalysts expect Costco Wholesale Corporation to report quarterly earnings at $2.63 per share on revenue of $49.56 billion after the closing bell. Costco shares gained 0.1% to $530.50 in after-hours trading.","news_type":1,"symbols_score_info":{"GME":0.9,"AVGO":0.9,"COST":0.9,"RH":0.9,"BRCM":0.9,"HRL":0.9}},"isVote":1,"tweetType":1,"viewCount":3316,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":602529293,"gmtCreate":1639043965557,"gmtModify":1639043966331,"author":{"id":"3586994859303940","authorId":"3586994859303940","name":"Win Win","avatar":"https://static.tigerbbs.com/a974b1a26fc593e3134cf7e90be9c166","crmLevel":11,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3586994859303940","authorIdStr":"3586994859303940"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":1,"repostSize":0,"link":"https://laohu8.com/post/602529293","repostId":"1153947242","repostType":4,"repost":{"id":"1153947242","kind":"news","pubTimestamp":1639041094,"share":"https://www.laohu8.com/m/news/1153947242?lang=zh_CN&edition=full","pubTime":"2021-12-09 17:11","market":"us","language":"en","title":"Earnings Scheduled For December 9, 2021<blockquote>预计2021年12月9日收益</blockquote>","url":"https://stock-news.laohu8.com/highlight/detail?id=1153947242","media":"Benzinga","summary":"Companies Reporting Before The Bell\n• 36KR Holdings (NASDAQ:KRKR) is likely to report quarterly loss","content":"<p><div> Companies Reporting Before The Bell • 36KR Holdings (NASDAQ:KRKR) is likely to report quarterly loss at $0.12 per share on revenue of $11.73 million. • Hooker Furnishings (NASDAQ:HOFT) is estimated to...</p><p><blockquote><div>盘前报告的公司•36氪控股(纳斯达克股票代码:KRKR)可能报告季度亏损为每股0.12美元,营收为1173万美元。•胡克家具(纳斯达克:HOFT)预计将……</div></blockquote></p><p> <a href=\"https://www.benzinga.com/news/earnings/21/12/24517683/earnings-scheduled-for-december-9-2021\">网页链接</a> </div> </p><p><blockquote><a href=\"https://www.benzinga.com/news/earnings/21/12/24517683/earnings-scheduled-for-december-9-2021\">网页连接</a></blockquote></p><p></p>","source":"lsy1606299360108","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>Earnings Scheduled For December 9, 2021<blockquote>预计2021年12月9日收益</blockquote></title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 12.5px; color: #7E829C; margin: 0;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\nEarnings Scheduled For December 9, 2021<blockquote>预计2021年12月9日收益</blockquote>\n</h2>\n<h4 class=\"meta\">\n<p class=\"head\">\n<strong class=\"h-name small\">Benzinga</strong><span class=\"h-time small\">2021-12-09 17:11</span>\n</p>\n</h4>\n</header>\n<article>\n<p><div> Companies Reporting Before The Bell • 36KR Holdings (NASDAQ:KRKR) is likely to report quarterly loss at $0.12 per share on revenue of $11.73 million. • Hooker Furnishings (NASDAQ:HOFT) is estimated to...</p><p><blockquote><div>盘前报告的公司•36氪控股(纳斯达克股票代码:KRKR)可能报告季度亏损为每股0.12美元,营收为1173万美元。•胡克家具(纳斯达克:HOFT)预计将……</div></blockquote></p><p> <a href=\"https://www.benzinga.com/news/earnings/21/12/24517683/earnings-scheduled-for-december-9-2021\">网页链接</a> </div> </p><p><blockquote><a href=\"https://www.benzinga.com/news/earnings/21/12/24517683/earnings-scheduled-for-december-9-2021\">网页连接</a></blockquote></p><p></p>\n<div class=\"bt-text\">\n\n\n<p> 来源:<a href=\"https://www.benzinga.com/news/earnings/21/12/24517683/earnings-scheduled-for-december-9-2021\">Benzinga</a></p>\n<p>为提升您的阅读体验,我们对本页面进行了排版优化</p>\n\n\n</div>\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"LULU":"lululemon athletica","ORCL":"甲骨文","KRKR":"36氪","COST":"好市多","CHWY":"Chewy, Inc."},"source_url":"https://www.benzinga.com/news/earnings/21/12/24517683/earnings-scheduled-for-december-9-2021","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1153947242","content_text":"Companies Reporting Before The Bell\n• 36KR Holdings (NASDAQ:KRKR) is likely to report quarterly loss at $0.12 per share on revenue of $11.73 million.\n• Hooker Furnishings (NASDAQ:HOFT) is estimated to report quarterly earnings at $0.30 per share on revenue of $130.03 million.\n• Ciena (NYSE:CIEN) is projected to report quarterly earnings at $0.85 per share on revenue of $1.03 billion.\n• Hormel Foods (NYSE:HRL) is estimated to report quarterly earnings at $0.50 per share on revenue of $3.22 billion.\n• Arhaus (NASDAQ:ARHS) is expected to report quarterly earnings at $0.13 per share on revenue of $201.14 million.\n• Liquidity Services (NASDAQ:LQDT) is projected to report quarterly earnings at $0.11 per share on revenue of $53.39 million.\nCompanies Reporting After The Bell\n• Vail Resorts (NYSE:MTN) is likely to report quarterly loss at $3.62 per share on revenue of $192.53 million.\n• Lululemon Athletica (NASDAQ:LULU) is likely to report quarterly earnings at $1.41 per share on revenue of $1.44 billion.\n• Comtech Telecom (NASDAQ:CMTL) is expected to report quarterly loss at $0.14 per share on revenue of $115.54 million.\n• Costco Wholesale (NASDAQ:COST) is likely to report quarterly earnings at $2.63 per share on revenue of $49.56 billion.\n• Marpai (NASDAQ:MRAI) is expected to report earnings for its third quarter.\n• Sonendo (NYSE:SONX) is projected to report quarterly loss at $0.65 per share on revenue of $7.80 million.\n• Sprinklr (NYSE:CXM) is expected to report quarterly loss at $0.09 per share on revenue of $120.80 million.\n• Leslies (NASDAQ:LESL) is projected to report quarterly earnings at $0.25 per share on revenue of $387.96 million.\n• Applied DNA Sciences (NASDAQ:APDN) is estimated to report quarterly loss at $0.37 per share on revenue of $2.30 million.\n• Kaspien Holdings (NASDAQ:KSPN) is estimated to report earnings for its third quarter.\n• American Outdoor Brands (NASDAQ:AOUT) is estimated to report quarterly earnings at $0.76 per share on revenue of $82.23 million.\n• Vince Holding (NYSE:VNCE) is likely to report earnings for its third quarter.\n• Oracle (NYSE:ORCL) is expected to report quarterly earnings at $1.11 per share on revenue of $10.21 billion.\n• Lakeland Industries (NASDAQ:LAKE) is expected to report quarterly earnings at $0.33 per share on revenue of $30.98 million.\n• Mesa Air Group (NASDAQ:MESA) is likely to report quarterly earnings at $0.12 per share on revenue of $150.64 million.\n• KLX Energy Services Hldgs (NASDAQ:KLXE) is projected to report earnings for its third quarter.\n• Broadcom (NASDAQ:AVGO) is expected to report quarterly earnings at $7.74 per share on revenue of $7.36 billion.\n• Chewy (NYSE:CHWY) is projected to report quarterly loss at $0.04 per share on revenue of $2.21 billion.","news_type":1,"symbols_score_info":{"KRKR":0.9,"CHWY":0.9,"ORCL":0.9,"COST":0.9,"LULU":0.9}},"isVote":1,"tweetType":1,"viewCount":2514,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0}],"defaultTab":"posts","isTTM":false}