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Latest Reports

TWST Investing Strategies Report

May 26, 2008

Buy ($175)

Topics covered: Traditional portfolios, The current market volatility, Systematic risk, Strong balance sheets, Stocks with a low beta, Stocks on an earlier growth curve, Risk-averse portfolios, REITs, Providers of decent dividends, Portfolio beta, Market exposure, Long/short ratios, Higher-risk hedge funds, High quality stocks, Global newspaper publishers, Excellent management, Equity Exposure, Defensively optimistic investing, Core holdings

Canadian Exploration & Production Report

May 26, 2008

Buy ($175)

Topics covered: The credit crisis, South America and Asia, Saskatchewan and British Columbia, Increasing price of major players, Foreign exploration companies, Company fundamentals & valuations, Canadian junior E&P companies, Better buys, Areas like the North Sea

TWST Investing Strategies Report

May 19, 2008

Buy ($175)

Topics covered: Wealth management firms, Value Investment, Sustainable Competitive Advantages, Style-agnostic investment strategies, Risk Management, Price increases, Long-term profitability, Long-term, Lifestyle management, Liability management, Global industrialization, Asset management, Areas not dependent on the macroeconomy

Paper & Forest Products Report

May 19, 2008

Buy ($175)

Topics covered: TREE Act legislation, Timber REITs, Strategic alliances between companies, Stocks to worry about, Stock recommendations, Solid wood companies, Restructuring activity, Renewable energy debate, Regulatory issues, Recovery in housing, Price increases, Newsprint and uncoated free sheets declines, Management changes and performance, Investor interest, Industry consolidation, Global demand, Environmental challenges, Emergence of Russian forest sector, Cost-push pressure on product prices, Cap-and-trade systems for carbon, Brazilian hardwood pulpwood, Asset rich companies

TWST Investing Strategies Report

May 12, 2008

Buy ($175)

Topics covered: Tactical Asset Allocation, Small cap stocks, Security, Reduction of risk, Overheated China economy after years of exceptional growth, Longterm real growth, International large-cap corporations with excellent management, Inflation protection, Increase rates of return, Housing-related weakness, High quality and non-cyclical stocks, Developed and emerging countries, Cyclical stocks, Central and Eastern Europe

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Latest News

NASDAQ:CMPS — Why Compass Pathways Is Surging Following White House Executive Order
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Most Popular Interviews

Buying on Market Overreactions: SS&C, Equifax and Cigna

Brent Fredberg

Published September 21, 2026 in Investing Strategies: Value

Companies covered: EFX CI SSNC

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