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Commodity prices change when there are unexpected changes to supply and demand of the target commodity. WikiWealth tries to predict these unexpected changes by examining the companies, which supply and demand the commodity (See Fundamental Commodity Analysis). When demand potential is greater then supply potential, then prices will increase; the opposite is also true. WikiWealth's Main Street Analysis captures - along with user help - the impact of supply and demand changes by analyzing the commodity's importance. In general, the more important the commodity, the faster the price will increase when commodity demand increases. A "Buy" rating from both approaches mean the commodity has high potential to increase in value.
Gasoline Summary
Gasoline Commodity Analysis ► (edit / improve) Gasoline is primarily used as a fuel for internal combustion engines. It is a significant source of carbon dioxide. Commodity: Gasoline is rated a Sell. Gasoline demanders have a potential to increase in value, while gasoline suppliers have very high potential to increase. Investor Survey: Gasoline’s long term growth potential is very favorable due to high scores on sensitivity to price changes and lack of good substitutes. SWOT Analysis: Strength: Gasoline is a limited natural resource; Weakness: gasoline produces considerable pollution. Opportunity to grow: Gasoline’s use increases with increases in cars; Threats to growth: environmental friendly awareness may curb the growth of gasoline. Trading Strategy: The commodity analysis sell rating indicates that gasoline should decrease in price over the short term, whereas a very favorable investor survey means gasoline should increase in price over the long term.
Investment Impacts (help)

USA Country Analysis ► (edit / improve) The United States (US) has a highly productive, capitalist economy and is the largest and most diverse market in the world. Currency: the US dollar (USD) has the potential to increase in value especially versus the Australian and Canadian dollar because of the significant potential of undervalued companies. Investor Survey: the economic environment is very favorable for long term economic growth due to high scores on economic freedom and economic diversity. Trade: China, Japan, Mexico, and Canada are the top US trading partners, while the leading export and import are electrical machinery and vehicles, respectively. Commodity: The US produces a significant amount of coal and wheat for use at home and as an export. However, the US consumes a larger amount of oil, which contributes to their trade deficit. SWOT Analysis: The leading US strength is its entrepreneurial culture, while the main weakness is high health care cost. Energy independence has the opportunity to propel growth, while the major threat is the housing crisis, which will lower growth. Trading Strategy: An undervalued currency, high investment flow potential and favorable business environment lead to a positive outlook for US investments, which will also benefit from positive international actions.
Industry Investment Impact

Energy Industry Analysis ► (edit / improve) The energy industry includes companies whose sales derive from the production and sale of energy related products and services such as the extraction, manufacturing, refining, and distribution of energy. Valuation: Based on WikiWealth's Wall Street analysis, this industry is a Buy, with strong potential for short term gains. The Main Street analysis says a Hold, with SWOT strengths great than weaknesses, but SWOT opportunities less than threats. Significant threats include the curtailment of energy use for environmental reasons. Trade: Some of the main energy hubs include Saudi Arabia, Canada, Mexico, and Russia while the main energy commodities include coal, ethanol, gasoline, natural gas, crude oil, heating oil, palm oil, propane, and uranium. Trading Strategy: Energy investments tend to be very sensitive to commodity prices. Speculation and market manipulation by governments affect the energy market, therefore, cautiously invest in companies with significant potential. Upward sloping stock charts and financial news may indicate a selling opportunity while the opposite means that stocks are becoming undervalued.
- The energy industry requires many different fuel sources. Those sources help to power anything from small engines to large nuclear reactors.
Industry Analysis evaluates the major industry characteristics that affect investments. Company specific factors drive the performance of individual companies, but macro-economic factors can affect the performance, stock prices, growth rates, and chart movements of any stock, currency, or commodity. All stock traders should review industry research before trading.
Warren Buffett Quote: "When a management with a reputation for brilliance tackles a business with a reputation for bad economics, it is the reputation of the business that remains intact." No matter the quality of your business, industry economics is an important factor in any value investing decision.
Edit / Improve Option? - No Membership Required
WikiWealth supplies the tools to create the highest quality analysis so you can make the best value investing decisions. However, we rely on users to continuously edit and improve this analysis. More minds working on a problem generates better ideas. WikiWealth professionals happily review each edit to ensure consistency and quality. Find an area to improve, click the "improve - edit" link, make your change, then press "SAVE."
Value Investing Importance?
A professional evaluations can cost between $150 to $15,000. In order to understand an investment, traders must research industry margins, stock prices, multiples, news, growth rates, stock chart, and any other relevant measurement to avoid mistakes.

Description: The energy stocks includes companies whose sales derive from the production and sale of energy related products and services such as the extraction, manufacturing, refining, and distribution of energy. Read More.
Profit Analysis: The best way to profit from energy stock investments is to find the most undervalued investments (Wall Street and Main Street buy ratings) during economic recessions. Those investments should be undervalued (see Wall Street on left side), and have high Main Street Common Sense investment ratings (see Main Street on right side). When an economic recovery occurs, energy stocks tend to outperform the general stock market, because general consumer demand increases.
Energy stocks are most sensitive to commodity prices, which are an indicator of future energy demand. Energy commodity speculators try to predict the demand and supply of commodities, but their generally set prices too high during economic expansions and too low during economic recessions. Therefore, the best time to make energy stock investments is during economic recessions. The best time to sell energy stocks is in the late stages of economic expansions, when energy stocks and commodity prices are above their fair prices. Expensive (overvalued) stocks with low Main Street Common Sense ratings should be sold at any time to invest in better stocks. Two buys ratings are the best and two sell ratings are the worst possible stock investments.
Trading Strategy: The energy stocks tends to be very sensitive to economic changes. Demand for energy is inelastic, so it does not easily change with changes in price. Therefore, changes in supply have a large impact on the price of fuel. Some sectors of the energy stocks require large investments over an extended period of time, which causes issues with adjusting energy supply with demand, so prices tend to be volatile. Energy stock prices tend to move in line with energy commodity prices. During economic recessions, consumers may decrease expenses slightly, but the majority of energy costs are not flexible, because they are needed for everyday living.
Since energy needs are inflexible, stock prices are less influenced by changed in the economy. However, commodity prices such as oil or natural gas have a direct impact on energy stock investments. Changes in commodity prices are a result of changes in supply and demand. Recently, oil prices increased, because of the demand for oil from emerging markets. Unfortunately, the global recession decreased growth estimates and demand until oil prices fell from 160 dollars a barrel to 35 dollars a barrel.
Part of oil price changes are do to speculation. When speculators increase the price of oil, many alternative sources of fuel become profitable. When companies make investments in these alternative sources of fuel, supply increases until energy prices start to fall. If prices fall too far, then the alternative fuel sources become less profitable and shutdown, which decreases demand. Stock prices rise and fall with energy commodity prices.
| Energy Financial Statistics |
Stat |
Notes |
| Stock Research Rating |
Buy |
… |
| Potential (safety margin) |
64% |
High ~ Good for investors |
| WACC Discount Rate |
8% |
Low ~ Good for investors |
| Comparative Multiples |
Stat |
Notes |
| Revenue EV Multiple |
1.1x |
Low ~ Good for investors |
| EBITDA EV Multiple |
4.6x |
Low ~ Good for investors |
| EBIT EV Multiple |
5.5x |
Low ~ Good for investors |
| Cash Flow EV Multiple |
14.0x |
… |
| Book Value EV Multiple |
1.1x |
Low ~ Good for investors |
| Discounted Cash Flow |
Stat |
Notes |
| Revenue Growth |
21% |
High ~ Good for investors |
| EBITDA Margin |
28% |
High ~ Good for investors |
| EBIT Margin |
21% |
High ~ Good for investors |
| Cash Flow Margin |
5% |
… |
| Taxes Rate |
37% |
… |
| Debt-Equity Ratio |
22% |
Low ~ Good for investors |
| ROIC |
5% |
… |
| Reinvestment Rate |
15% |
… |
| WACC Discount Rate |
Stat |
Notes |
| Risk Free Rate |
4% |
Low ~ Good for Investors |
| Cost of Debt |
7% |
Low ~ Good for Investors |
| Equity Risk Premium |
5% |
… |
| Debt Required Return of Debt |
4% |
Low ~ Good for Investors |
| Required Return of Equity |
9% |
… |
1 WikiWealth only uses the largest 30 companies in each industry for the basis of these financial measures. Each statistic is the market weighted average of the 30 companies.
2 Investment potential (margin of safety) is a weighted average of the discounted cash flow (DCF), the enterprise value (EV) market multiple, and the Warren Buffett investment methods.
Major Gasoline Producers ► Press "Edit / Improve"

USA Country Analysis ► (edit / improve) The United States (US) has a highly productive, capitalist economy and is the largest and most diverse market in the world. Currency: the US dollar (USD) has the potential to increase in value especially versus the Australian and Canadian dollar because of the significant potential of undervalued companies. Investor Survey: the economic environment is very favorable for long term economic growth due to high scores on economic freedom and economic diversity. Trade: China, Japan, Mexico, and Canada are the top US trading partners, while the leading export and import are electrical machinery and vehicles, respectively. Commodity: The US produces a significant amount of coal and wheat for use at home and as an export. However, the US consumes a larger amount of oil, which contributes to their trade deficit. SWOT Analysis: The leading US strength is its entrepreneurial culture, while the main weakness is high health care cost. Energy independence has the opportunity to propel growth, while the major threat is the housing crisis, which will lower growth. Trading Strategy: An undervalued currency, high investment flow potential and favorable business environment lead to a positive outlook for US investments, which will also benefit from positive international actions.

Saudi Arabia Country Analysis ► (edit / improve) Saudi Arabia (SAR) is an energy export driven economy in the Middle East. Currency: Saudi Arabia’s currency is correctly valued with low investment flow potential and high purchase price potential. Investor Survey: Saudi Arabia’s economic environment is unfavorable for long term economic growth due to low scores on government transparency and economic diversity. Trade: China, the EU, Japan, and the US are the top export partners, while the leading industry is related to energy. Commodity: Saudi Arabia produces a significant amount of crude oil, gasoline, and propane for use as an export. Saudi Arabia is also part of the OPEC cartel, which adjusts the supply of oil to maintain price. SWOT Analysis: The leading Saudi strength is their large oil supply, while the main weakness is their discriminatory problems. Economic cities have the opportunity to propel growth, while terrorism may lower growth. Trading Strategy: A moderately-priced currency, low investment flow potential and unfavorable business environment leads to a negative outlook for Saudi investments.
-Produces oil, which is used to create gasoline
Major Gasoline Consumers ► Press "Edit / Improve"

USA Country Analysis ► (edit / improve) The United States (US) has a highly productive, capitalist economy and is the largest and most diverse market in the world. Currency: the US dollar (USD) has the potential to increase in value especially versus the Australian and Canadian dollar because of the significant potential of undervalued companies. Investor Survey: the economic environment is very favorable for long term economic growth due to high scores on economic freedom and economic diversity. Trade: China, Japan, Mexico, and Canada are the top US trading partners, while the leading export and import are electrical machinery and vehicles, respectively. Commodity: The US produces a significant amount of coal and wheat for use at home and as an export. However, the US consumes a larger amount of oil, which contributes to their trade deficit. SWOT Analysis: The leading US strength is its entrepreneurial culture, while the main weakness is high health care cost. Energy independence has the opportunity to propel growth, while the major threat is the housing crisis, which will lower growth. Trading Strategy: An undervalued currency, high investment flow potential and favorable business environment lead to a positive outlook for US investments, which will also benefit from positive international actions.
What is a SWOT Analysis? The SWOT Analysis evaluates the strengths, weaknesses, opportunities, and threats involved in a business or project. The SWOT analysis is essential to understanding the many different risk and rewards of any investment. Add your content to the SWOT Analysis, below. Also see our SWOT Analysis Tutorial for help.
How does this work?
Quickly add a comment below to improve the SWOT analysis. WikiWealth professionals happily review each comment and improve upon the initial ideas. Think of a useful statement, enter a title, press "Add Your Input", enter something in the new page (optional), then press "SAVE." Feel free to add your comments or improve upon other comments. We all deserve free SWOT analysis of the highest quality.
Value Investing Importance?
The quality and quantify of SWOT statements has a direct impact on stock research ratings, and thus, company investments. A professional SWOT analysis cost a minimum of $150. WikiWealth's SWOT analysis is free and open to improve / edit.
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This wiki allows easy edits of information and content by anyone. All users edits are monitored and review by WikiWealth professionals.
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