Faisal Humayun

Faisal Humayun

Expertise: Oil and Gas, Electric Vehicles, Emerging Growth Stories

Education: Bachelor of Science, MBA with Specialization in Finance

About Faisal:
Faisal Humayun is an MBA in Finance and a senior research analyst with 14 years of experience in the field of equity, credit, industry and economic research. While working as a senior analyst, he has been involved in financial modelling, valuation analysis and credit rating.

As a freelancer, Faisal has authored over 1,500 articles for various publications that include Seeking Alpha, GuruFocus, Motley Fool, Trading Ideas and Red Pulse. His primary focus is on fundamental analysis using the top-down as well as bottom-up approach to stock selection.

Faisal is also an active trader with focus on price action trading strategy. A combination of long-term investing and short-term trading has produced decent results in a decade long exposure to equity markets. However, his favorite asset class is precious metals.

Additionally, Faisal has been researching cryptocurrencies in the last few quarters. His focus is not on the blue-chip coins, but on emerging altcoins that can be value creators.

You can learn more about Faisal at his profile on LinkedIn.

Recent Articles

In China’s EV Bubble, Nio Stock Straddles Line Between Target and Victim

China's EV market is overcrowded and Nio stock faces tough competition with bigger players. Cash burn and rising debt a major concern.

Vale Stock to Trend Higher on Positive Industry Tailwinds

The company posted quarterly losses resulting from the dam burst in January. As a result, Vale stock has been depressed with a failure to breakout above $14 twice in 2019. Bullish on Vale stock for second half of 2019 on the back of higher production volumes, higher ore price and deleveraging.

Tesla Stock Moves Closer to Creating Some Value Finally

Tesla stock is closer to sustaining positive operating cash flows, whiled its Chinese Gigafactory and Model Y are positive triggers for TSLA.

Bullish on CGC Stock Amid Industry Concerns

Bullish on Canopy Growth stock with valued added recreational and medicinal products likely to be EBITDA margin boosters. Going forward, the main focus will be on value added medicinal and recreational cannabis products. That will drive margins and potential improvement in cash flows.

Callon Petroleum Stock: Trade, Wait for Positive Long-Term Triggers

The acquisition announcement of Carrizo Oil & Gas has not changed my bearish long-term view on the stock. However, I do believe that there can be a possible trading bounceback in the near-term. Permian infrastructure and steep well production rate decline is a concern for Callon Petroleum in addition to high leverage.

Hexo Stock Can Bounce Back From Deeply Oversold Levels

Hexo stock is oversold and presents a buying opportunity. The company is building a strong foundation for growth and margin expansion.

Freeport-McMoRan Stock Can Be a Long-Term Portfolio Catalyst

Freeport-McMoRan stock is on the verge of sustained upside. The stock momentum will be backed by higher copper and gold production. Higher price realization will imply EBITDA margin expansion.

Investors Get Bullish on Uber Stock With Several Potential Upside Triggers

Sustained growth in active platform consumers, Uber Freight growth and inorganic opportunities serve as positive triggers for Uber stock.

Nvidia’s Ticket to Long-Term Success: Self-Driving Cars and AI

Nvidia stock has impending growth opportunities in the autonomous vehicles and AI driven hardware market.

General Electric Stock Needs Another Spinoff to Create Value

GE Aviation spinoff can unlock value for General Electric stock holders through robust cash flows and multi-year revenue visibility.