ESG Investing

Showing 403 articles
Business

Olin Corporation: A Tale of Two Valuations as Stock Sends Mixed Signals

Olin Corporation's (NYSE: OLN) stock performance tells a conflicting story: a recent monthly gain contrasts sharply with steep multi-year declines. A deep dive into the numbers reveals a stark divide between cash flow-based and earnings-based valuation models, leaving investors to question where true value lies in the volatile chemicals sector.

Business

Warner Music Group's Valuation Puzzle: Is the Market Missing the Beat?

Warner Music Group's shares have faced headwinds over the past year, declining roughly 5%. As the stock hovers around $30, a deep dive into its intrinsic value reveals a complex picture: a discounted cash flow model suggests significant upside, while its premium P/E ratio signals caution. We examine the numbers and what they mean for investors navigating the evolving music landscape.

Business

MGM Resorts Bets Big on Nevada Solar, But Can Green Power Spark a Stock Revival?

MGM Resorts International is powering its Las Vegas Strip operations with a major new solar and battery storage deal. This strategic shift toward renewables comes as the company's stock shows mixed signals, trading below some fair value estimates yet at a high earnings multiple, leaving investors to weigh long-term sustainability against immediate financial metrics.

Business

Coty's Deep Discount: A Value Trap or a Beauty Stock Bargain?

Coty Inc.'s shares have tumbled nearly 60% over the past year, trading at a steep discount to industry peers. While a discounted cash flow model suggests significant undervaluation, the prolonged weakness raises questions about the cosmetics giant's turnaround narrative and whether the market is missing a hidden gem.