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XTRA:SAP
XTRA:SAPSoftware

Is There Now An Opportunity In SAP (XTRA:SAP) After The Recent Share Price Pullback

If you are wondering whether SAP's current share price gives you good value for your money, this article will walk through what the numbers actually say rather than just the market noise. SAP recently closed at €167.86, with returns of a 0.3% decline over 7 days, a 15.2% decline over 30 days, a 16.9% decline year to date and a 38.3% decline over 1 year. The 3 year and 5 year returns sit at 61.0% and 76.3% respectively. These moves have put SAP back on many watchlists, as investors reassess...
TSE:7267
TSE:7267Auto

Honda Leadership Shake Up Tests Profit Outlook And EV Execution Plans

Honda Motor announced extensive board and executive changes, including several retirements, promotions, and new appointments. The leadership changes are scheduled to take effect in April and June 2026. The shake up affects both the board of directors and key management roles, signaling a reset in governance and leadership structure. For investors watching Honda Motor (TSE:7267), these leadership changes come as the stock trades at ¥1,543.5, with a 1 year return of 16.3% and a 3 year return...
NasdaqGS:SKWD
NasdaqGS:SKWDInsurance

How Record 2025 Underwriting Results And Earnings Beat At Skyward (SKWD) Has Changed Its Investment Story

Skyward Specialty Insurance Group, Inc. reported strong past fourth-quarter and full-year 2025 results, with Q4 revenue rising to US$385.59 million and net income to US$43.23 million, while full-year revenue reached US$1.42 billion and net income US$170.03 million. The company highlighted record underwriting metrics, including an 88.5% combined ratio and robust gross written premium growth, contributing to an 18.9% return on equity and reinforcing management’s confidence in its...
NYSE:MAA
NYSE:MAAResidential REITs

A Look At Mid-America Apartment Communities’ Valuation After Recent Share Price Weakness

Mid-America Apartment Communities (MAA) has been drawing attention after recent share performance. The stock closed at US$133.33 and recorded negative returns over the past year and past 3 months. See our latest analysis for Mid-America Apartment Communities. Short term momentum has been soft, with a 7 day share price return of 1.64% decline and a year to date share price return of 4.17% decline, contributing to a 14.58% decline in total shareholder return over the past year. However, the 5...
NYSE:BCC
NYSE:BCCTrade Distributors

Assessing Boise Cascade (BCC) Valuation After Recent Volatile Shareholder Returns

Boise Cascade (BCC) has drawn fresh attention after recent trading left the shares with a year-to-date total return of 8.7% and a 1-year total return decline of 21.5%. See our latest analysis for Boise Cascade. Recent trading has been weak, with a 7 day share price return of 6.9% and a 30 day share price return of 4.5%. However, the year to date share price return of 8.7% contrasts with a 1 year total shareholder return decline of 21.5%, while the 5 year total shareholder return of 103.8%...
NYSE:ONON
NYSE:ONONLuxury

A Look At On Holding (ONON) Valuation As Revenue Growth And Earnings Surprise Lift Investor Interest

Recent coverage around On Holding (ONON) has focused on its latest quarterly results, where revenue grew 35.1% year over year and earnings per share topped expectations by 47.06%, alongside upward earnings estimate revisions. See our latest analysis for On Holding. Despite the latest earnings surprise, the recent 1-day share price return of a 4% decline contrasts with a 90-day share price return of 13.6% and a 3-year total shareholder return of about 7x. This suggests that longer term...
NasdaqGS:MMYT
NasdaqGS:MMYTHospitality

Is It Time To Reassess MakeMyTrip (MMYT) After Its Recent Share Price Pullback?

If you are wondering whether MakeMyTrip at around US$55 a share still offers value, the key question is how its current price compares with what the business might reasonably be worth. The stock has seen mixed returns, with a 1.7% decline over the last week, an 11.7% decline over the last month, a 32.5% decline year to date, but a 118.8% gain over three years and a 54.0% gain over five years. These shifts can change how the market views both its growth potential and its risk profile. Recent...
ENXTPA:AF
ENXTPA:AFAirlines

A Look At Air France KLM (ENXTPA:AF) Valuation After Recent Share Price Momentum

Without a clear single news catalyst, Air France-KLM (ENXTPA:AF) has still drawn attention recently as investors weigh its €33,007.0m in revenue, €1,532.0m in net income, and mixed long term return profile. See our latest analysis for Air France-KLM. The recent 1 month share price return of 22.98% and 1 year total shareholder return of 51.24% contrast with a 5 year total shareholder return decline of 53.71%. This suggests improving momentum following a weaker longer term record. If this move...
NasdaqGS:MKSI
NasdaqGS:MKSISemiconductor

Is It Too Late To Consider MKS Instruments (MKSI) After 156% One Year Surge?

For investors wondering whether MKS at around US$253 a share is still a worthwhile entry, or if most of the value is already on the table, this article walks through what the numbers currently suggest. The stock has been volatile over different time frames, with a 2.7% decline over the last 7 days, a 16.9% return over 30 days, a 50.7% return year to date and a 155.8% return over the past year, while the 3 year and 5 year returns sit at 182.0% and 53.5% respectively. Recent coverage around...
NYSE:PAY
NYSE:PAYDiversified Financial

Evaluating Paymentus Holdings (PAY) Valuation After Recent Share Price Volatility

Paymentus Holdings (PAY) continues to draw attention after recent trading, with the stock closing at US$24.40. Short term returns show mixed moves, including a 6% gain over the past week and a 17% decline over the month. See our latest analysis for Paymentus Holdings. Looking past the recent swings, Paymentus Holdings has a 1 year total shareholder return decline of 13.29% and a 3 year total shareholder return of about 2.8x. Its 90 day share price return decline of 28.82% and year to date...
NasdaqGS:JD
NasdaqGS:JDMultiline Retail

Is JDcom (JD) Now Pricing In Too Much Pessimism After Prolonged Share Price Weakness

If you are looking at JD.com and wondering whether the current share price reflects its true worth, this article walks through what the numbers are saying about value today. JD.com last closed at US$27.23, with returns of 0.3% over 7 days, an 8.7% decline over 30 days, a 7.8% decline year to date and a 28.7% decline over the past year, alongside a 34.7% decline over 3 years and a 69.5% decline over 5 years. Recent headlines around JD.com have focused on its position within Chinese e commerce...
NYSE:ALV
NYSE:ALVAuto Components

Autoliv (ALV) Valuation Check After Recent Pullback And Perceived Intrinsic Discount

Autoliv (ALV) is drawing attention after recent share moves, with the stock showing a negative return over the past month but a positive total return across the past 3 months and year. See our latest analysis for Autoliv. At a share price of $121.75, Autoliv has seen some cooling in short term momentum, with a 30 day share price return showing a 4.09% decline, even as the 1 year total shareholder return of 27.55% points to stronger longer term gains. If Autoliv’s recent move has you thinking...
NYSE:DIS
NYSE:DISEntertainment

Disney Expansion And Cruise Moves Test Investor View On Experiential Growth

Walt Disney (NYSE:DIS) is moving forward with a planned $17 billion expansion at Walt Disney World after reaching a landmark agreement with Florida regulators. The deal clears long running regulatory and political hurdles tied to Disney’s Florida operations. Disney also named Robert Downey Jr. as godparent of its new Disney Adventure cruise ship, the company’s largest vessel to date. Disney shares recently closed at $104.41, with the stock showing a 6.4% return over 3 years and a 45.2%...
NYSE:KLAR
NYSE:KLARDiversified Financial

Klarna Lawsuits Put IPO Disclosures And Credit Risk Story Under Scrutiny

Multiple securities class action lawsuits have been filed against Klarna Group (NYSE:KLAR) over alleged misstatements in its September 2025 IPO documents. Plaintiffs claim Klarna did not fully disclose credit risks and higher loss reserves tied to its buy now, pay later products. The lawsuits emerged shortly after Klarna’s first earnings report as a public company. Klarna Group, now trading on the NYSE under the ticker NYSE:KLAR, is coming under legal pressure just months after its IPO. The...
NasdaqGS:AGNC
NasdaqGS:AGNCMortgage REITs

Is AGNC Investment (AGNC) Pricing Reflect Its 24% One Year Return And Valuation Gap

If you are wondering whether AGNC Investment is still good value at around US$11.27, the key question is how its current price compares with what the business might actually be worth. The stock has had mixed returns recently, with a 0.8% decline over the last 7 days and a 4.9% decline over the last 30 days, set against a 3.1% gain year to date and a 24.3% return over 1 year. These price moves come against a backdrop of ongoing market attention on mortgage REITs, as investors weigh interest...
NasdaqGS:STLD
NasdaqGS:STLDMetals and Mining

Steel Dynamics Weighs BlueScope Bid As Sustainability And Valuation Draw Focus

Steel Dynamics, together with SGH Ltd, has submitted a revised joint bid to acquire BlueScope Steel's North American operations. The proposed deal would enlarge Steel Dynamics' North American presence in flat-rolled and value-added steel products. Corporate Knights has again named Steel Dynamics as the global leader in steel industry sustainability, reflecting its circular manufacturing model. For investors watching NasdaqGS:STLD, these updates come as the stock trades around $196.01, with...
NasdaqGS:IOSP
NasdaqGS:IOSPChemicals

Is It Time To Reassess Innospec (IOSP) After Its Recent Share Price Slide

Wondering whether Innospec's current share price still reflects its underlying worth, or if the market is mispricing it, is a fair question for anyone tracking specialty chemicals stocks. Over the past week the stock has recorded a 8.8% decline, with a 2.3% decline over 30 days, a 3.5% gain year to date, and a 20.9% decline over one year, while the three and five year returns stand at 25.8% and 16.4% declines respectively. These moves have kept Innospec on the radar of investors who are...
NYSE:CRH
NYSE:CRHBasic Materials

CRH Ramps Up Deals And Eyes U.S. Infrastructure Opportunity

CRH (NYSE:CRH) completed more than three dozen acquisitions in 2025. The company acquired Eco Material Technologies, described as a transformative deal for its portfolio. Management is preparing for expected strength in U.S. infrastructure spending in 2026, including state and federal highway projects. CRH, a major player in construction materials and solutions, is using acquisitions to build out its U.S. footprint and broaden its mix of products and services. The Eco Material Technologies...
NasdaqGS:CIFR
NasdaqGS:CIFRSoftware

Assessing Cipher Mining (CIFR) Valuation As Quarterly Earnings Approach

Why Cipher Mining is back on investor radar Cipher Mining (CIFR) is drawing attention ahead of its upcoming quarterly earnings, as traders watch how results and any commentary on future operations might influence sentiment around the data center focused miner. See our latest analysis for Cipher Mining. The upcoming earnings announcement and the recent appointment of real estate specialist Thomas Duda to the board come after a mixed stretch, with a 3.89% 1 day share price return but a 13.38%...
SGX:AWZ
SGX:AWZElectronic

Multi Chem (SGX:AWZ) Margin Decline To 4% Tests Long Run Earnings Growth Narrative

Multi-Chem (SGX:AWZ) has reported FY 2025 first half revenue of S$300.972 million and basic EPS of S$0.158, with investors weighing these headline numbers against a year in which trailing 12 month net income reached S$26.439 million. Over recent periods, the company has seen revenue move from S$342.533 million in 1H FY 2024 to S$341.151 million in 2H FY 2024 and S$300.972 million in 1H FY 2025, while basic EPS shifted from S$0.182 in 1H FY 2024 to S$0.160 in 2H FY 2024 and S$0.158 in the...
SEHK:751
SEHK:751Consumer Durables

Skyworth Group (SEHK:751) Valuation After Profit Warning And Expected 30% Earnings Drop

Profit warning centers investor attention on Skyworth Group Skyworth Group (SEHK:751) has issued new earnings guidance for 2025, flagging an expected 30% drop in annual profit versus 2024. This immediately puts the focus on how its different business segments are holding up. See our latest analysis for Skyworth Group. Despite the profit warning, Skyworth Group’s share price has moved sharply higher in recent months, with an 87.76% 90 day share price return and a very large 1 year total...
NasdaqCM:CAPR
NasdaqCM:CAPRBiotechs

Capricor Therapeutics (CAPR) Deepens Its Exosome Bet: Strategic Edge or Concentration Risk?

Capricor Therapeutics recently advanced its lead candidate Deramiocel into phase 3 trials for Duchenne muscular dystrophy while progressing preclinical work on its exosome-based SARS-CoV-2 vaccine and StealthX exosome platform. This pipeline momentum, coupled with unanimous positive analyst coverage, highlights how central Deramiocel and exosome technologies have become to the company’s long-term thesis. Next, we’ll examine how Deramiocel’s phase 3 progress and upbeat analyst sentiment feed...
NYSE:NEM
NYSE:NEMMetals and Mining

A Look At Newmont (NEM) Valuation After Earnings Beat Dividend Hike And Cautious 2026 Guidance

Newmont (NEM) is back in focus after reporting Q4 and full year 2025 results that beat analyst earnings and revenue expectations. The company also announced a 4% dividend increase and provided cautious 2026 production and cost guidance. See our latest analysis for Newmont. Newmont’s latest Q4 beat and dividend hike come after a sharp share price move, with a 90 day share price return of 44.02% and a 1 year total shareholder return of 186.91%. This suggests momentum has strengthened even as...
SGX:G07
SGX:G07Insurance

Great Eastern Holdings (SGX:G07) Earnings Growth And 15.4% Margin Challenge Cautious Narratives

Great Eastern Holdings (SGX:G07) FY 2025 results at a glance Great Eastern Holdings (SGX:G07) has reported its FY 2025 first half with total revenue of S$4.2b and basic EPS of S$0.625, setting the tone for another detailed look at its earnings power. The company has seen revenue move from S$3.9b with EPS of S$0.62 in 1H 2024 to S$4.2b with EPS of S$0.625 in 1H 2025. Trailing 12 month EPS sits at S$1.26 off S$7.8b in revenue, giving investors clear, data rich context on both the latest half...