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David Whiston from Morningstar previews General Motors (GM) earnings and discusses the auto industry overall. He thinks GM is good at managing its production levels and compares it to Stellantis’ (STLA) disappointing guidance announcement. Morningstar has a 4-star rating and $75 fair estimate value for GM. Overall, his forecast after last quarter is on the lower end of analysts.
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The delayed August 1 trade deadline is pushing back any potential Fed rate cuts, says Thierry Wizman. He thinks there should be more easing and does expect at least one cut this year, citing a weakening consumer and labor market. Right now, he sees opportunities “outside of the normal business cycle” and betting on the yield curve steepening.
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Ben Werkman calls the passage of the CLARITY and GENIUS Acts a defining moment for the crypto space. He believes the legislation isn't just bullish for assets like Bitcoin, but also for the U.S. dollar and stocks tied to cryptocurrencies. Kai Wu gives investors insight into why diversifying in the crypto space is critical.
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Kyle Bergacker shares what he’s watching in markets as earnings season ramps up. He calls Alphabet (GOOGL) “compelling” and a “forgotten name” in AI. He is also bullish on Thermo-Fisher (TMO), a “leader in life sciences,” and Edison International (EIX). “Even at all-time highs, you can find some opportunities out there.”
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“We’ve had a phenomenal recovery,” Paul Schatz says, with new highs hitting well before he expected. He thinks the foundations of the market are still solid but thinks there will be a 3Q pullback of 2%-5% before a rally in 4Q. He also expects market tailwinds through 2026. In general, he’s looking for positions in less volatile stocks while “pruning” gains from portfolio winners. He likes Waste Management (WM), Lyft (LYFT), and American Water Works (AWK).
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Seema Shah with Sensor Tower gives investors insight into the latest social media and streaming trends affecting stocks. She points to Netflix's (NFLX) user base being the biggest driver for its growth, saying its 75% quarter-over-quarter retention far exceeds other streamers. Seema adds that Alphabet's (GOOGL) YouTube platform gives the Mag 7 giant an edge that most of its peers don't have.
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Block (XYZ) will replace Hess Corp. (HES) in the SPX starting this Wednesday. While the inclusion will likely draw more institutional investors to the fintech company, Marley Kayden points to growth being its biggest headwind. She notes Block's "extreme volatility" and sensitivity to macro conditions serving as key headwinds.
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Likefolio’s Megan Brantley covers the consumer giant Coca-Cola (KO) before earnings. “These are brands that are so engrained” in consumer shopping habits, she says, but she is “shocked” by the amount of traction Coca-Cola has had recently. “It’s been receiving a ton of interest in its Fairlife brand,” she notes, calling it evidence of the GLP-1 effect. They have a bullish tilt towards KO ahead of its report.
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Jim Thorne argues the Fed is “asleep at the wheel” because tariffs aren’t inflationary, and they should have cut rates already. He thinks the Fed has become academic with a very narrow view of economics. Mark Giambrone agrees, saying the Fed has been “behind the curve consistently,” though he laments the politicization of rate cuts. He says we need to start seeing cuts before the end of the year.
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Francis Gannon looks at opportunities in small caps, arguing they’ve been in a recession the last few years but will begin outperforming in the second half of 2025. “You have to think about more than the Russell 2000,” he adds, comparing it to the Russell 3000. He also discusses investing in small caps internationally. He also emphasizes finding small caps that don’t need exposure to capital markets to grow. Francis likes industrials and financials especially.
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