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NYSE:DOV
NYSE:DOVMachinery

Dover Expands Industrial Tech Range As Valuation Sits Near Analyst Views

Dover (NYSE:DOV) expanded its industrial technology portfolio with new products serving marine, industrial, and semiconductor end markets. Subsidiary TWG introduced the Pullmaster 40 M/H Planetary Winch targeting rugged marine and industrial uses. Subsidiary SWEP launched the all stainless B4TS heat exchanger aimed at electronics and semiconductor cooling needs. Dover, through TWG and SWEP, is adding hardware to support customers that operate in demanding environments and precision...
OM:TELIA
OM:TELIATelecom

Telia’s Higher 2025 Dividend Amid Weaker Earnings: What Does This Say About OM:TELIA’s Capital Priorities?

Earlier in January 2026, Telia Company AB’s Board proposed lifting the 2025 dividend to SEK 2.05 per share, while full-year 2025 results showed essentially flat sales at SEK 80,982 million and a reduced net income of SEK 3,525 million. The combination of a slightly higher dividend and weaker annual profitability highlights the tension between Telia’s income appeal and pressure on its earnings profile. We’ll now examine how Telia’s decision to raise its dividend despite lower full-year net...
OM:MTRS
OM:MTRSBuilding

Assessing Munters Group (OM:MTRS) Valuation After 2025 Earnings Drop And Dividend Proposal

Munters Group (OM:MTRS) is in focus after reporting full year 2025 results, with sales of SEK 14,712 million and net income of SEK 106 million, while the board proposed a SEK 1.60 per share dividend. See our latest analysis for Munters Group. The latest earnings and dividend proposal come as Munters Group’s share price has been under pressure this year, with a year-to-date share price return of a 12.05% decline and a 1-year total shareholder return of a 1.61% decline, although the 3-year...
NYSE:FLR
NYSE:FLRConstruction

Fluor (FLR) Valuation Check After Rare Earth EPCM Role On USA Rare Earth’s Round Top Project

Fluor Corp (FLR) is back in focus after USA Rare Earth selected the company, alongside WSP Global, as an EPCM partner for the Round Top rare earth project in Texas. See our latest analysis for Fluor. The Round Top EPCM win comes as Fluor’s share price has gained 1.7% over the last day and 15.8% over the past month, while the 1 year total shareholder return is slightly negative and the 5 year total shareholder return remains strongly positive. This suggests that recent momentum has picked up...
NasdaqGS:TRIN
NasdaqGS:TRINCapital Markets

A Look At Trinity Capital (TRIN) Valuation After Morningstar DBRS Affirms Investment Grade Rating

Morningstar DBRS has affirmed Trinity Capital (TRIN) at an investment grade BBB (low) credit rating and revised its trend to Positive, drawing fresh attention to the lender’s financing model and dividend profile. See our latest analysis for Trinity Capital. The Morningstar DBRS decision lands at a time when momentum in Trinity Capital’s shares has picked up, with a 30-day share price return of 12.91% and a 1-year total shareholder return of 30.49%. The 3-year total shareholder return of...
NYSE:IP
NYSE:IPPackaging

A Look At International Paper (IP) Valuation After Recent Shift In Shareholder Returns

Why International Paper is on investors’ radar now International Paper (IP) has drawn attention after a year in which its total return over the past 12 months differs from its performance in the past 3 years, prompting investors to reassess expectations and risk. See our latest analysis for International Paper. At a share price of US$41.49, International Paper has recently seen a 4.09% 1 month share price return and a 7.40% 3 month share price return, while its 1 year total shareholder return...
BIT:ISP
BIT:ISPBanks

Assessing Intesa Sanpaolo (BIT:ISP) Valuation After Analyst Reports Highlight Profitability Capital Strength And Dividends

Interest in Intesa Sanpaolo (BIT:ISP) has picked up after recent analyst reports highlighted its profitability, capital strength, and dividend payout, prompting many investors to reassess the Italian bank’s risk and income profile. See our latest analysis for Intesa Sanpaolo. While the recent analyst reports have kept attention on fundamentals like profitability and dividends, the share price has been relatively steady around €5.84, with a 90 day share price return of 4.73%, while the 1 year...
NYSE:ADNT
NYSE:ADNTAuto Components

Adient’s ModuTec Seat Platform Launch Draws Investor Focus On Valuation

Adient (NYSE:ADNT) has introduced ModuTec, a new modular seat design platform for automotive manufacturers. The company says ModuTec is built to streamline seat production, support higher levels of automation, and simplify assembly. This launch positions ModuTec as an industry first modular solution aimed at changing how vehicle seats are manufactured. Adient is a major global supplier of automotive seating, so a change in how seats are designed and assembled can matter for a wide range of...
NYSE:RF
NYSE:RFBanks

Assessing Regions Financial (RF) Valuation After Q4 Results And 2026 Net Interest Income Guidance

Regions Financial (RF) has just bundled several key updates, including fourth quarter 2025 earnings, fresh 2026 net interest income guidance, higher net charge offs, and a new preferred stock dividend declaration. See our latest analysis for Regions Financial. The recent earnings update, 2026 net interest income guidance, modestly higher net charge offs, and preferred dividend announcement come against a backdrop of stronger momentum, with a 90 day share price return of 15.12% and a 5 year...
NasdaqGS:MTCH
NasdaqGS:MTCHInteractive Media and Services

Is Match Group (MTCH) Pricing Reflect A Turning Point After Years Of Share Price Weakness

If you are wondering whether Match Group's current share price reflects its true value, you are not alone. This article is here to break down what the numbers are really saying. Over the last year the stock has returned an 8.7% loss, with a 1.1% gain over the past week, a 3.2% decline across the last month and a 1.2% decline year to date. Recent attention on Match Group has focused on how its online dating platforms fit into changing consumer habits and competition in the sector. This...
TSE:4113
TSE:4113Chemicals

Taoka Chemical (TSE:4113) Net Margin Improvement Tests Cautious Earnings Narratives

Taoka Chemical (TSE:4113) has released its Q3 2026 results, reporting revenue of ¥7,687 million and basic EPS of ¥18.77. The company also reported trailing twelve month revenue of ¥32,930 million and EPS of ¥119.55, compared with the prior year period's revenue of ¥29,930 million and EPS of ¥103.15. Over recent quarters, revenue has moved from ¥7,320 million in Q3 2025 to ¥7,687 million in Q3 2026, while basic EPS has shifted from ¥31.27 to ¥18.77 as quarterly earnings recalibrated after a...
NYSE:PSTG
NYSE:PSTGTech

Is It Too Late To Consider Pure Storage (PSTG) After Strong Multi Year Share Gains?

If you are wondering whether Pure Storage is still a reasonable entry at around US$74 or if the easy value is gone, this article walks through what the current price might imply about the stock. Pure Storage shares last closed at US$74.29, with returns of 3.6% over 7 days, 8.6% over 30 days, 7.7% year to date, 9.8% over 1 year and a very large gain over 3 years of around 1.5x, plus 179.2% over 5 years. This naturally raises questions about how expectations are now priced in. Recent news...
NYSE:BIPC
NYSE:BIPCGas Utilities

Is It Too Late To Consider Brookfield Infrastructure (BIPC) After Its Strong 1-Year Rally?

If you are wondering whether Brookfield Infrastructure is still reasonably priced or if the recent run has pushed it too far, this article breaks down what the current share price might be saying about value. The stock last closed at US$46.44, with total returns of 2.5% over the past week, 0.9% over the past month, 2.6% year to date and 20.3% over the past year, as well as 20.1% over three years and 29.1% over five years. These returns sit alongside ongoing interest in listed infrastructure...
OM:TEL2 B
OM:TEL2 BWireless Telecom

Tele2 (OM:TEL2 B) Margin Strength And 19.5% Earnings Growth Challenge Bearish Narratives

Tele2 (OM:TEL2 B) has put fresh numbers on the table for FY 2025, with Q3 revenue at SEK 7.4b and basic EPS of SEK 1.86 setting the tone for the year so far. The company has seen quarterly revenue range between SEK 7.2b and SEK 7.8b since Q2 2024, while basic EPS has moved between SEK 1.26 and SEK 1.86 over the same stretch. On a trailing twelve month view, EPS stands at SEK 6.61 on revenue of SEK 29.9b. For investors, the latest print keeps the spotlight firmly on how consistently Tele2 can...
TSX:TVE
TSX:TVEOil and Gas

A Look At Tamarack Valley Energy (TSX:TVE) Valuation After Announcing A Major Share Buyback Program

Tamarack Valley Energy (TSX:TVE) has launched a normal course issuer bid to repurchase up to 47,744,705 shares, roughly 9.8% of its float, using excess free funds flow through January 2027. See our latest analysis for Tamarack Valley Energy. The buyback announcement comes after a strong run in Tamarack Valley Energy’s share price, with a 30-day share price return of 17.33%, a 90-day share price return of 52.41%, and a 1-year total shareholder return of 116.09%. This suggests momentum has been...
NYSE:T
NYSE:TTelecom

AT&T (T) Margin Surge And 103.7% Earnings Growth Test Bearish Narratives

AT&T (T) closed out FY 2025 with Q4 revenue of US$33.5b and basic EPS of US$0.53, while trailing twelve month revenue came in at US$125.6b with basic EPS of US$3.05. Over the past six quarters, revenue has ranged from US$30.2b to US$33.5b per quarter and basic EPS has moved from a small loss of US$0.03 in Q3 2024 to US$1.30 in Q3 2025. This gives investors a clear view of how the top and bottom line have tracked through the year. With net income of US$21.9b over the last twelve months and a...
NasdaqGS:SYBT
NasdaqGS:SYBTBanks

Stock Yards Bancorp (SYBT) Net Interest Margin Resilience Reinforces Bullish Narratives

Stock Yards Bancorp (SYBT) has rounded out FY 2025 with fourth quarter revenue of US$102.7 million and basic EPS of US$1.25, backed by trailing twelve month revenue of US$390.6 million and EPS of US$4.77 that sit against a 22.4% earnings growth rate cited for the past year. The company has seen revenue move from US$342.5 million and EPS of US$3.91 on a trailing basis in late 2024 to US$390.6 million and EPS of US$4.77 by the end of 2025. This sets the backdrop for investors weighing how...
TSE:4362
TSE:4362Chemicals

Nippon Fine Chemical (TSE:4362) Margin Expansion Reinforces Bullish Narratives Despite Softer Q3 Revenue

Nippon Fine Chemical (TSE:4362) has posted its Q3 2026 numbers with revenue of ¥7.4b and basic EPS of ¥43.66, alongside trailing twelve month EPS of ¥204.59 that reflects earnings growth of 17.8% over the past year. The company has seen revenue move from ¥9.1b in Q2 2025 to ¥9.1b in Q4 2025, then to ¥9.4b in Q2 2026 and ¥7.4b in Q3 2026. Quarterly EPS has ranged from ¥44.72 in Q2 2025 to ¥69.09 in Q2 2026 and ¥43.66 in the latest quarter, setting up a picture where improving margins and a...