Amphenol Corp

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  • uploads///sales eps aph
    Tech & Comm Services

    A Look at Amphenol’s Key Growth Drivers

    Amphenol (APH) has five-year dividend growth of 28%. The company has maintained a good free cash flow position.

    By Amanda Lawrence
  • uploads///Cannabis Stock Returns on February
    Tech & Comm Services

    Cannabis Stocks Rise while the Market Plummets on February 5

    While the market continued its rout, cannabis stocks held up on February 5, 2018. The Horizons Marijuana Life Sciences Index ETF (HMLSF) rose 1.9% that day.

    By Adam Jones
  • uploads///TSX Index Sectors Daily Change as on February
    Tech & Comm Services

    Why Cannabis Stocks Fell in the Week Ended February 2

    The week ended February 2, 2018, was negative not only for cannabis stocks but also for the broader market.

    By Adam Jones
  • uploads///Portfolio Breakdown of the PLGAX
    Fund Managers

    Sector Composition of Principal LargeCap Growth Fund I in YTD 2016

    Information technology is the largest invested sector by the Principal LargeCap Growth Fund I (PLGAX), comprising a little less than one-third of the portfolio.

    By David Ashworth
  • uploads///Portfolio Breakdown of the PLGAX
    Fund Managers

    How PLGAX’s Portfolio Has Changed

    The Principal LargeCap Growth Fund I Class A (PLGAX) invests at least 80% of its assets in equities of large-capitalization companies.

    By David Ashworth
  • uploads///Sectoral Allocation of the PLGAX
    Fund Managers

    A Quick Look at the Principal LargeCap Growth Fund I

    The Principal LargeCap Growth Fund I (PLGAX) invests at least 80% of its assets in equities of large-cap companies.

    By David Ashworth
  • uploads///csl pe
    Earnings Report

    How Has Carlisle Performed Compared to Its Peers?

    The PowerShares Dynamic Building & Construction Sector Portfolio ETF (PKB) invests 4.6% of its holdings in Carlisle Companies.

    By Gabriel Kane
  • uploads///csl pm
    Earnings Report

    Carlisle’s Revenue and Income Rose in 3Q15

    Carlisle Companies (CSL) has a market cap of $5.5 billion. Carlisle’s YTD (year-to-date) price movement has been going down since August 2015.

    By Gabriel Kane
  • uploads///TEL_Highlights
    Fund Managers

    TE Connectivity Is a New Addition to AQR Capital’s Portfolio

    According to its 13F filing, AQR Capital initiated a position in TE Connectivity (TEL) in 4Q14. TEL stock represented 0.39% of the fund’s 4Q14 portfolio.

    By Stuart McKenzie
  • uploads///commscope
    Fund Managers

    CommScope Holding Is Maverick Capital’s New 4Q14 Position

    Maverick Capital started a new position in CommScope Holding (COMM) in 4Q14. According to 13F filings, CommScope accounts for 2.53% of the fund’s portfolio.

    By Patricia Garner
  • uploads///us wholesale and optimism
    Macroeconomic Analysis

    Indicators suggest growing US optimism thanks to SPY and VOO

    The NFIB Small Business Optimism Index rose from 97.9 points in January to 98 in February. This growing US optimism has been on the rise since 2013.

    By Surbhi Jain
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