
US BTU Stock Analysis: Peabody Energy’s Rising & Falling Factors and Future Outlook※ In 2025, the global energy market is shaped by both the transition to renewable energy and rising concerns over energy security. Peabody Energy (NYSE: BTU) is one of the world’s largest private coal producers, supplying coal for power generation and industrial use to meet global energy demand. While stricter env..

US VICI Stock Analysis: Growth Drivers, Risks, and Strategy※ In 2025, global stock markets remain volatile due to changing interest rate policies, recession concerns, and expanding demand for alternative investments. Within this environment, VICI Properties Inc. (VICI) has gained attention as a leading REIT, offering both stable dividends and long-term growth potential. With a portfolio of casin..

US CSWC Stock Analysis: Growth Drivers, Risks, and Outlook※ In 2025, global financial markets are experiencing heightened volatility due to interest rate fluctuations, recession fears, and expanding demand for alternative investments. Within this environment, Capital Southwest Corporation (CSWC), a NASDAQ-listed Business Development Company (BDC), has attracted attention by focusing on middle-ma..

US EFC Stock Analysis: Growth Drivers, Risks, and Outlook※ In 2025, global financial markets face growing uncertainty due to interest rate volatility, recession fears, and rising demand for alternative investments. In this environment, Ellington Financial Inc. (EFC), a NASDAQ-listed alternative asset investment company, stands out for its focus on mortgage loans, structured credit, and alternati..

US REFI Stock Analysis: Growth Drivers, Risks, and Outlook※ In 2025, global financial markets are experiencing high volatility due to interest rate changes, real estate cycles, and regulatory shifts. Among them, Chicago Atlantic Real Estate Finance, Inc. (REFI), a NASDAQ-listed real estate finance REIT, has attracted attention for its strong dividend appeal.REFI focuses on commercial real estate..

US GECC Stock Analysis: Growth Drivers, Risks, and Outlook※ In 2025, the global financial market remains uncertain due to interest rate changes, recession concerns, and portfolio diversification trends. Amid this, Great Elm Capital Corp. (GECC), a NASDAQ-listed Business Development Company (BDC), focuses on lending to middle-market businesses, private debt, and structured finance.GECC attracts i..

US MFIN Stock Analysis: Growth Drivers, Risks, and Outlook※ As of 2025, the US stock market shows both opportunities and risks across finance, technology, and healthcare. Among them, Medallion Financial Corp. (MFIN) stands out as a niche financial services company specializing in consumer and commercial lending, investment portfolio management, and medallion loan products. Supported by the rise ..

Analysis of U.S. GSL Stock: Factors Driving Growth and Decline, and Investment Strategies※ Global Ship Lease (GSL) is a specialized company in maritime shipping and logistics, providing services for global container transport. This article will analyze GSL stock performance, examining both the factors driving its price growth and decline, while offering investment strategies for potential invest..

Analysis of BGC Stock in the U.S.: Factors Driving Price Increase and Decline※ BGC Partners (BGC) is a publicly traded U.S. company specializing in global financial services and commercial real estate. This article analyzes the factors affecting BGC's stock price and provides future investment strategies. 😅 Overview1. Company Overview and Key InformationCompany Name: BGC Partners, Inc. (Ticker:..

U.S. TGNA Stock Analysis: Leading Broadcast Media Company and Investment Potential※ Tegna Inc. (NYSE: TGNA) is a leading broadcast media company in the United States, with a unique position in the industry through its local broadcast network and profitable digital advertising platforms. TGNA operates 51 local stations, covering about 39% of U.S. households, and generates stable revenues through ..