Income Strategy

Showing 1457 articles
Business

Reitar Logtech's Steady Fundamentals Clash with Market Pessimism: Is the 50% Sell-Off Overdone?

Despite a brutal 50% share price plunge over three months, Reitar Logtech Holdings (NASDAQ:RITR) exhibits underlying financial resilience. While its Return on Equity appears weak, the company's aggressive reinvestment strategy has fueled a remarkable 26% net income growth over five years, starkly outperforming its struggling industry. This analysis delves into the disconnect between short-term market sentiment and the firm's long-term operational engine.

Business

Oxford Lane Capital Cuts Payout Amid Market Turbulence, NAV Takes a Hit

Oxford Lane Capital (OXLC) reported a challenging third fiscal quarter, marked by a significant drop in net asset value and investment income, prompting management to reduce its monthly distribution. The firm cited volatile conditions in the CLO and leveraged loan markets as key headwinds, while outlining a strategy to preserve capital for opportunistic investments.

Business

CITIC Telecom CFO Steps Down: Leadership Shift Puts Governance, Dividend Strategy in Focus

The resignation of CITIC Telecom International Holdings' CFO and Executive Director Luan Zhenjun, effective January 2026, marks a significant change in the company's financial leadership. While the immediate operational impact may be limited, the move raises questions about governance continuity and capital allocation discipline at a time when the stock trades at a perceived discount to its fair value.