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XTRA:VBK
XTRA:VBKOil and Gas

Assessing Verbio (XTRA:VBK) Valuation After Return To Profitability And Higher Biofuel Output

Why Verbio’s latest earnings are in focus Verbio (XTRA:VBK) is back in the spotlight after its second quarter and half year results to 31 December 2025 showed quarterly profitability, higher sales, and increased bioethanol and biomethane production. Those headline figures, together with an earlier share price move ahead of the announcement, have drawn fresh attention from investors who are assessing how the company’s fuel mix and operating scale are affecting the quality of its earnings. See...
NasdaqGS:DDOG
NasdaqGS:DDOGSoftware

A Look At Datadog (DDOG) Valuation After Its Earnings Beat And AI Focused Growth Outlook

Datadog (DDOG) is back in focus after its fourth quarter and full year 2025 earnings beat market expectations on both revenue and earnings, paired with upbeat 2026 revenue guidance and a growing emphasis on AI driven products. See our latest analysis for Datadog. The latest earnings beat and upbeat 2026 revenue guidance come after a volatile stretch, with a 12.1% 7 day share price return, a 30.5% 90 day share price decline, and a 56.5% 3 year total shareholder return that signals longer term...
NasdaqCM:BSBK
NasdaqCM:BSBKBanks

Bogota Financial (BSBK) Net Interest Margin Rebound Tests Bearish Earnings Narratives

Bogota Financial (BSBK) has just posted another profitable quarter, with Q3 FY 2025 revenue of US$4.3 million and basic EPS of US$0.04 supported by net income of US$0.5 million and a net interest margin of 1.8% as investors keep an eye on how sustainable this run rate looks. Over recent periods, the company has seen revenue move from US$3.0 million in Q2 FY 2024 to US$4.6 million in Q1 FY 2025 and US$4.0 million in Q2 FY 2025, while basic EPS shifted from a loss of US$0.03 in Q2 FY 2024 to a...
TSE:5184
TSE:5184Auto Components

Nichirin (TSE:5184) Net Margin Compression Tests Bullish Earnings Narratives

Nichirin (TSE:5184) has just wrapped up FY 2025 with fourth quarter revenue of ¥19.1b and basic EPS of ¥106.05, alongside net income of ¥1,399m, putting fresh numbers in front of investors who track the auto components space closely. The company has seen quarterly revenue move from ¥17.9b and EPS of ¥144.96 in Q4 FY 2024 through FY 2025 levels of ¥18.3b and ¥119.89 in Q1, ¥17.4b and ¥109.11 in Q2, and ¥18.8b and ¥83.24 in Q3. This provides a clear view of how the top line and EPS have shifted...
NasdaqGS:JBHT
NasdaqGS:JBHTTransportation

J.B. Hunt Q4 Cost Cuts And Triumph Network Move Tempered By Freight Risks

J.B. Hunt Transport Services reported significant operational changes in Q4, including a major cost reduction program and strong growth in adjusted operating income. The company joined the Triumph Network to use automated payment solutions aimed at improving payment efficiency. Management issued a cautious outlook on the freight market and disclosed recent insider transactions. J.B. Hunt Transport Services, ticker NasdaqGS:JBHT, is drawing fresh attention as these Q4 moves come with the...
NYSE:HL
NYSE:HLMetals and Mining

What Hecla Mining (HL)'s Casa Berardi Sale and Silver Pivot Means For Shareholders

In recent days, Hecla Mining has drawn attention ahead of its February 17, 2026 earnings release, as investors weigh analysts’ expectations for US$0.14 in EPS and US$358.50 million in revenue alongside the company’s plan to sell its Casa Berardi asset and refocus on higher-margin silver operations. At the same time, persistent global silver supply shortfalls, heightened options-market volatility, and Hecla’s decision to nearly double exploration and pre-development spending to US$55 million...
NYSE:CBL
NYSE:CBLRetail REITs

Taking A Fresh Look At CBL & Associates Properties (CBL) Valuation After Recent Share Price Moves

What recent returns say about CBL & Associates Properties (CBL) CBL & Associates Properties (CBL) has seen mixed share price moves, with a 3.6% decline over the past week and roughly 3% decline over the past month, while the past 3 months show a gain of about 10%. Over a longer horizon, the stock's total return is about 16% over the past year and roughly 6x over the past 3 years, set against a recent close of US$35.05. See our latest analysis for CBL & Associates Properties. For CBL &...
NasdaqGS:RGLD
NasdaqGS:RGLDMetals and Mining

Is Royal Gold's (RGLD) Cautious Dividend Amid Rate Cuts Aligned With Insider Sentiment?

In recent days, Royal Gold has been highlighted for accelerating revenue and earnings growth, strong profit margins, and a conservative dividend payout approach amid supportive mid-cap dividend conditions following Federal Reserve rate cuts. At the same time, analysts remain broadly positive while insider selling has increased, creating a contrast between upbeat external expectations and more cautious signals from within the company. We’ll now examine how this combination of strong...
NasdaqGS:ACHC
NasdaqGS:ACHCHealthcare

A Look At Acadia Healthcare (ACHC) Valuation After David Einhorn Stake And Leadership Changes

Why Acadia Healthcare Stock Just Drew Fresh Attention Acadia Healthcare Company (ACHC) moved back into focus after hedge fund manager David Einhorn disclosed a new stake, alongside trading volume that surged well above typical levels and recent leadership changes. See our latest analysis for Acadia Healthcare Company. The recent 1 day share price return of 5.54% caps a sharp short term rebound, with 7 day and 30 day share price returns of 25.43% and 43.58% respectively. However, the 1 year...
NYSE:KTB
NYSE:KTBLuxury

Is Kontoor Brands (KTB) Attractive After Recent Share Price Weakness And Brand Resilience News?

If you are wondering whether Kontoor Brands is offering good value at its current share price, you are not alone. This article is built to help you weigh what the numbers are really saying. The stock recently closed at US$67.46, with returns of 0.6% over the last 7 days, 13.5% over the last 30 days, 9.7% year to date and a 17.0% decline over the past year, set against gains of 63.2% over 3 years and 85.2% over 5 years. Recent headlines around Kontoor Brands have focused on the resilience of...
TSX:ALYA
TSX:ALYAIT

Alithya Group Q3 2026 C$30.9m Loss Tests Bullish Profitability Narrative

Alithya Group (TSX:ALYA) has just posted its Q3 2026 numbers, with recent quarterly revenue sitting around C$124.3 million in Q2 2026 and basic EPS at a loss of C$0.32. Earlier quarters over the past year have ranged from C$111.5 million to C$125.3 million in revenue and basic EPS from a C$0.08 profit to a C$0.04 loss. Over the trailing twelve months to Q2 2026, revenue has hovered around C$468.7 million to C$489.5 million and basic EPS has swung between a small profit of C$0.01 and a loss of...
ASX:ARF
ASX:ARFSpecialized REITs

A Look At Arena REIT (ASX:ARF) Valuation After Strong Half Year Earnings Growth

Arena REIT (ASX:ARF) just released half year results and outlined fresh acquisition plans, putting its earnings profile and capital recycling approach in the spotlight for investors watching social infrastructure real estate. See our latest analysis for Arena REIT. The latest half year earnings update and renewed acquisition push have come alongside a 1 day share price return of 3.17% and a 7 day share price return of 3.47%. The 1 year total shareholder return of a 3.68% decline contrasts...
NYSE:WHG
NYSE:WHGCapital Markets

Westwood Holdings Group (WHG) Net Margin Jump Questioned By One Off Gain Narrative

Westwood Holdings Group (WHG) has wrapped up FY 2025 with fourth quarter revenue of US$27.1 million and basic EPS of US$0.22, rounding out a trailing 12 month picture that includes total revenue of US$97.8 million and EPS of US$0.84. Over recent periods the company has seen revenue move from US$25.6 million and EPS of US$0.25 in Q4 2024 to Q3 2025 levels of US$24.3 million and EPS of US$0.44 before the latest quarter, while trailing net profit margin has shifted from 2.3% to 7.2%. This gives...
NasdaqGS:WDC
NasdaqGS:WDCTech

Western Digital (WDC) Valuation Check After Strong Multi Month Share Price Momentum

Recent share performance and business snapshot Western Digital (WDC) has drawn fresh investor attention after a month that included a 27.1% return and a 73.3% gain over the past 3 months, prompting closer scrutiny of its fundamentals. The company reports revenue of US$10.734b and net income of US$3.946b, with both revenue and net income growth stated at 16.193% and 14.6651% respectively, and a recent closing price of US$281.58. See our latest analysis for Western Digital. While the 1-day and...
NYSE:FN
NYSE:FNElectronic

Assessing Fabrinet (FN) Valuation After Strong Earnings And AI Data Center Growth Guidance

Fabrinet (FN) shares have been in focus after the company reported second quarter results, issued third quarter guidance, and updated investors on the completion of a long running share repurchase program. See our latest analysis for Fabrinet. The latest quarterly earnings and guidance appear to be the key driver behind Fabrinet’s 7.25% 1 day share price return. Its 90 day share price return of 18.94% and very large 5 year total shareholder return of 462.23% point to momentum that has built...
NYSE:FE
NYSE:FEElectric Utilities

Is It Too Late To Consider FirstEnergy (FE) After Its Strong Multi Year Share Price Run?

If you are wondering whether FirstEnergy at around US$50.10 is offering fair value or an opportunity, you are in the right place to unpack what the current price might actually reflect. The stock has returned 7.4% over the last 7 days, 5.8% over the past month, 10.7% year to date, 30.4% over 1 year, 38.4% over 3 years and 80.5% over 5 years, which has many investors asking how much of the story is already priced in. Recent market attention on FirstEnergy has been shaped by ongoing regulatory...
LSE:SHEL
LSE:SHELOil and Gas

Shell (LSE:SHEL) Valuation Check As Long Term Returns Contrast With Recent Share Move

Shell stock check in: returns, earnings and scale Shell (LSE:SHEL) has attracted fresh attention as investors weigh its recent share performance, with a 1 day return of a 0.5% decline contrasting with gains over the past week, month and past 3 months. The company reports annual revenue of £266.9b and net income of £17.8b, with annual revenue growth of 1.99% and net income growth of 7.27%, giving investors a sense of the current earnings base. Over longer holding periods, Shell shows a 10.68%...
HLSE:ENENTO
HLSE:ENENTOProfessional Services

Enento Group Oyj (HLSE:ENENTO) Margin Compression To 7.1% Tests Bullish Narratives

Enento Group Oyj (HLSE:ENENTO) has reported its FY 2025 numbers with third quarter revenue at €37.3 million and basic EPS of €0.22, alongside trailing twelve month revenue of €151.4 million and EPS of €0.45. These figures reflect a net profit margin of 7.1% compared with 9.1% a year earlier and an earnings trend that has declined at an average of 16.9% per year over the past five years. The company has seen revenue fluctuate in a relatively tight band from €37.8 million in Q4 2024 to €38.6...
NasdaqGM:TRUP
NasdaqGM:TRUPInsurance

Trupanion (TRUP) Turns TTM Profitable Yet Thin Margins Test Bullish Narratives

Trupanion (TRUP) just wrapped FY 2025 with Q4 revenue of US$376.9 million and basic EPS of US$0.13, while trailing twelve month EPS sat at US$0.45 on revenue of about US$1.4 billion. The company has seen revenue move from US$337.3 million in Q4 2024 to US$376.9 million in Q4 2025, with quarterly basic EPS shifting from US$0.04 a year ago to US$0.13 most recently. This puts the focus squarely on how sustainably margins are settling at these levels. See our full analysis for Trupanion. With the...
NasdaqGS:AEP
NasdaqGS:AEPElectric Utilities

American Electric Power (AEP) Is Up 7.6% After Strong 2025 Results And Data Center Load Surge – Has The Bull Case Changed?

American Electric Power Company, Inc. has now reported its full-year 2025 results, with revenue rising to US$21.88 billion and net income to US$3.58 billion, while Q4 earnings and revenue exceeded analyst expectations and 2026 operating earnings guidance was reaffirmed. Management also doubled its contracted large-load pipeline to 56 GW, largely tied to data centers and industrial customers, and outlined a US$72.00 billion-plus capital plan through 2030, signaling how surging power demand is...
NasdaqGM:PAMT
NasdaqGM:PAMTTransportation

PAMT (PAMT) FY 2025 Loss Deepens As Margins Struggle Despite US$141 Million Q4 Revenue

PAMT just posted its FY 2025 numbers with Q4 revenue of US$141.3 million and a basic EPS loss of US$1.40, while net income excluding extra items came in at a loss of US$29.3 million. The company has seen quarterly revenue move from US$166.5 million and a basic EPS loss of US$1.45 in FY 2024 Q4 to US$141.3 million and a US$1.40 loss per share in FY 2025 Q4. Trailing twelve month revenue was US$598.1 million with a cumulative EPS loss of US$2.48. For investors, the key point this quarter is how...
TSE:9048
TSE:9048Transportation

Assessing Nagoya Railroad (TSE:9048) Valuation After Revenue Growth But Weaker Earnings

Earnings update and why it matters for shareholders Nagoya Railroad (TSE:9048) just released nine month earnings to December 31, 2025, reporting sales of ¥515,995 million. Net income and earnings per share from continuing operations were lower than the previous year. See our latest analysis for Nagoya Railroad. Despite weaker earnings, the share price has remained firm, with a 90 day share price return of 13.63% and a 30 day gain of 5.71%. However, the 5 year total shareholder return shows a...