Diamond Hill
@DiamondHillCM
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At Diamond Hill, we are fiercely committed to generating excellent, long-term investment outcomes and building enduring client partnerships. https://t.co/hExPoXuf4I
Columbus, Ohio
Joined August 2019
Following momentum is easy. Buying what is out of favor or left behind when markets move higher is harder. Learn more about how Diamond Hill finds value in international companies that prioritize returning capital to shareholders. #InternationalInvesting
https://t.co/0mnaPzSnC6
diamond-hill.com
Discover how capital-return stories can create value in overlooked international markets — and why durable cash flows matter when growth opportunities are limited. (4 min read)
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Can rational investing triumph in a competitive market? Uncover strategies focused on disciplined capital allocation and steady growth for long-term success. #ValueInvesting #AssetManagement #Equity
https://t.co/Rxu8ZCL06u
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Securitized markets are delivering some of their strongest results in over a decade. RMBS, CMBS and ABS show robust returns, steady credit trends and elevated issuance. See the key drivers behind this year’s standout performance. #Securitization
https://t.co/dDEqmHS5PZ
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November looked flat on the surface — but undercurrents in trade, geopolitics and policy are telling a deeper story. Learn more in our latest international monthly commentary. #GlobalMarkets
https://t.co/l4DMFir7LY
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Not all core bond strategies are created equal. In a recent Citywire discussion, Henry Song, CFA, explains how Diamond Hill uncovers value in securitized assets — particularly agency MBS and ABS. #FixedIncome #CoreBond
https://t.co/M7ne9fLUWf
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Bubbles don’t burst overnight. From dot-com to data centers, find out what past cycles tell us about today’s AI boom. #Investing
https://t.co/knLsenVrB2
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Two energy companies. Same market cycle. Very different results. Portfolio Manager Aaron Monroe, CFA, explains how one stayed disciplined — and one didn’t — and how these divergent paths shaped investor outcomes. #SmallCap
https://t.co/mpxaCUTcZR
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Host Colin Prescott sat down with Douglas Gimple to discuss what consumer weakness, inflation and a slowing labor market mean for investors — and why securitized assets still stand out. #FixedIncome
https://t.co/1pBpkJ6iNi
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Shutdown-delayed data, softer hiring and sticky inflation — read our latest market commentary to understand what it means for consumer-related ABS and how we’re staying selective in the space. #FixedIncome
https://t.co/PKOxV5jx3L
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Years of doubt have weighed on European banks — but the landscape is shifting. Discover what’s driving renewed interest and how we’re approaching the opportunity set. #GlobalInvesting
https://t.co/yHW1ktdRb8
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A ceasefire, a tariff truce and a Fed rate cut — October had no shortage of headlines. Here’s how we separate short-term noise from long-term value. #GlobalMarkets
https://t.co/LitAMCqS6o
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Losses from the Palisades Center SASB deal marked a rare hit to top-rated CMBS, even as ABS East insights and record issuance pointed to strength across securitized markets. Explore the full picture in our October infographic. #Securitization #FixedIncome
https://t.co/iA25V0hZfy
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AI, concentration risks and opportunities down the cap spectrum — CEO Heather Brilliant, CFA, discusses these topics and more in this recent episode of Market Movers from FINTECH TV #Investing
https://t.co/FlGgzvLAd8
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Q3 marked a third straight quarter of gains for global equities. Explore the trends driving markets — and how we’re staying grounded in long-term value. #GlobalInvesting
https://t.co/HYXMXQlIqo
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After a decade of large-cap dominance, small-cap equities remain underappreciated. In this recent webinar with RIA Channel, portfolio manager Aaron Monroe, CFA, explores how shifting market conditions and selective positioning may unlock long-term value. https://t.co/c899f5zizT
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Labor markets are softening, inflation is rising — and the Fed has started easing. Read how bond markets reacted in Q3 and what to expect moving forward. #FixedIncome #Investing
https://t.co/c0enHl4aWP
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Bond markets continue to evolve as rates and credit conditions shift. On October 14, tune in as Diamond Hill’s Henry Song, CFA, and other fixed income leaders share insights on sectors showing resilience and where opportunities may emerge. https://t.co/VNDopQiaW7
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FICO’s new Score Credit Insights report reveals rising delinquencies, shifting repayment priorities and a shrinking middle tier of credit scores. Our latest infographic explores how these trends reflect a changing credit landscape. #Securitization
https://t.co/iUy1yZ6ISQ
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Global markets are changing with tariffs, AI and geopolitics in play. Hear from Portfolio Manager Krishna Mohanraj, CFA, on how we are approaching opportunities abroad. #GlobalInvesting
https://t.co/pSP9r7hvLw
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From Fiat’s industrial dominance to a €45B global company: explore Exor’s remarkable evolution with portfolio manager Krishna Mohanraj, CFA, as we analyze its family legacy, bold restructurings and strategic shift toward healthcare, luxury and technology. https://t.co/8Ozuciffaw
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