Portfolio Management Strategy - The individual has 22 years of experience in the energy industry, with roles in engineering, planning, and financial analysis, and has been managing their own portfolio since 1998 [1] - The portfolio management goal is to match the S&P 500 return over the long term with lower volatility and higher income [1] - The investment strategy focuses on long-term holdings unless there is a compelling reason to sell, with a preference for buying when the price is low relative to intrinsic value to maximize total return over time [1] - Investment opportunities are considered without regard to asset class, market cap, sector, or yield [1] Analyst's Position and Disclosure - The analyst holds a beneficial long position in ETN through stock ownership, options, or other derivatives [2] - The article expresses the analyst's own opinions and is not influenced by compensation or business relationships with any mentioned companies [2]
Eaton Corp.: Growth Slowing In 2025
Eaton(ETN) Seeking Alpha·2024-11-01 15:21