Global X SuperDividend U.S. ETF (DIV 1.27%) and SPDR Portfolio S&P 500 High Dividend ETF (SPYD 1.51%) both have a similar goal of buying high-yield stocks. However, they go about the effort in a slightly different way.
Zeta Global has declined 22%, despite maintaining a 20%+ organic topline CAGR and remaining on track to reach $2.1 billion in revenue by CY28. Q4 CY24 revenue surged 50% YoY to $315 million, surpassing expectations, while full-year topline hit $1 billion (+38% YoY) with CY25 guidance at $1.24 billion (+23%). The total scaled client count increased 17% YoY to 527, while super-scaled clients spending $1M+ annually grew 13% YoY to 148, with net revenue retention (NRR) improving to 114%.
I maintain my 'Strong Buy' rating for Zeta Global despite recent market volatility, viewing the current dip as a prime buying opportunity. Zeta's fundamentals are robust, with impressive revenue and EPS growth, a strong cash position, and ambitious long-term financial goals under the 'Zeta 2028' plan. The stock is massively oversold, presenting a bullish technical setup, and my DCF analysis indicates a fair share price of $28.13, suggesting significant upside.
ENEL SpA is a major utility company with strong emphasis on Italy, Spain and Latin America, although it operates in 28 countries. ENEL SpA has a strong focus on integrated renewables (hydro, wind, solar, geothermal) for power generation and distribution. ENEL's focus extends beyond generating clean electricity, to smart grids, EV charging and energy storage.
Liberty Global has approached Britain's Vodafone for a possible acquisition of its stake in the companies' Dutch joint venture VodafoneZiggo, Bloomberg News reported on Friday, citing people familiar with the matter.
As part of the partnership, GRRR CEO Jay Chandan has been appointed to the Global Edge Fund's board of directors.
The Range Global LNG Ecosystem ETF offers investors access to the global LNG market, investing across the entire lifecycle of the liquid natural gas industry. LNGZ is positioned to take advantage of the shift in domestic US policy, as well as changing energy policies abroad, which are all favoring natural gas. The fund is globally diversified, with 40% of NAV invested domestically. Many energy investors fail to capture foreign energy firms, and LNGZ offers great access to France and Bermuda.
PBR explores new opportunities in Argentina's Vaca Muerta region with project advancements in Colombia and Africa.
Oil edged lower in the early Asian session amid global tariff concerns.
Gold edges higher in the early Asian session. There's uncertainty over the impact of tariffs on the U.S. economy amid talk of a recession, XS.com said.
Payoneer Global is undervalued due to fears over short-term interest rate headwinds, despite strong long-term growth targets and conservative guidance. The global payments company reported robust Q4 results, with revenue up 16.7% YoY, but the stock has fallen 30% due to guidance concerns. Payoneer aims for 20% revenue growth and a 25% EBITDA margin, with a $500 million cash balance and a low EV of $2 billion.
Oil rose in the early morning Asian session amid prospects of lower global inventories.