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NasdaqGS:DSGR
NasdaqGS:DSGRTrade Distributors

Distribution Solutions Group (DSGR) Q4 Loss Revives Concerns Over Thin Profitability Narratives

Distribution Solutions Group (DSGR) has wrapped up FY 2025 with Q4 revenue of US$481.6 million and a basic EPS loss of US$0.14, alongside trailing 12 month revenue of about US$2.0 billion and basic EPS of US$0.18. Over recent quarters the company has seen revenue move from US$478.0 million and EPS of US$0.07 in Q1 2025 to US$518.0 million and EPS of US$0.14 in Q3 2025, before the Q4 loss, creating a mixed picture for earnings quality. With the shares at US$21.90, investors are likely to focus...
NYSE:CNM
NYSE:CNMTrade Distributors

Is Core & Main (CNM) Pricing Reflecting Infrastructure Demand After Recent Share Price Pullback

If you are wondering whether Core & Main's current share price lines up with its underlying worth, you are not alone. This article is built to help you weigh what you are paying against what you are getting. After a 5% decline over the last 7 days, a 5.2% decline over the past month and a 1.9% decline year to date, Core & Main still shows a 9.8% return over the past year and a very large 3 year return of 128.8%. This naturally raises questions about how much optimism is already in the...
TSX:TOY
TSX:TOYLeisure

Spin Master Q4 Loss And EPS Swing Reinforce Concerns About Earnings Volatility

Spin Master FY 2025 results: higher Q4 revenue but a sharp swing to loss Spin Master (TSX:TOY) closed FY 2025 with Q4 revenue of $618.2 million and a basic EPS loss of $1.83, alongside net income excluding extra items of a $184.3 million loss. The company has seen quarterly revenue move from $649.1 million and EPS of $0.21 in Q4 2024 to $618.2 million and EPS of a $1.83 loss in Q4 2025. Trailing 12 month EPS shifted from $0.79 in Q4 2024 to a $1.46 loss in Q4 2025, setting up a results season...
TSXV:SNM
TSXV:SNMOil and Gas

ShaMaran Petroleum Q3 Margin Collapse Reinforces Bearish Narratives On Profit Sustainability

ShaMaran Petroleum (TSXV:SNM) has released its latest FY 2025 numbers, reporting Q3 revenue of US$28.9 million, basic EPS of US$0.00065 and trailing 12-month EPS of US$0.004313, giving investors fresh data on how the producer is converting barrels into profits. The company’s quarterly revenue has fluctuated between US$22.6 million and US$35.9 million over the past six reported periods, while basic EPS has ranged from a small loss of US$0.000386 to a high of US$0.03, resulting in a more mixed...
NYSE:MYE
NYSE:MYEPackaging

Myers Industries FY 2025 Margin Reset Reinforces Bullish Narratives On Earnings Power

Myers Industries FY 2025 earnings set against market narratives Myers Industries (MYE) just closed FY 2025 with fourth quarter revenue of US$204 million and basic EPS of US$0.30, supported by trailing twelve month revenue of US$825.7 million and EPS of US$0.93 that frame the full year picture. The company has seen quarterly revenue hold in a tight band between US$203.9 million and US$209.6 million over the last four reported quarters, while quarterly basic EPS ranged from US$0.18 to US$0.30...
NYSE:ARDT
NYSE:ARDTHealthcare

Ardent Health Services (ARDT) Margin Compression To 2.1% Challenges Bullish Earnings Growth Narratives

Ardent Health (ARDT) FY 2025 earnings snapshot Ardent Health (ARDT) has wrapped up FY 2025 with fourth quarter revenue of US$1.6 billion and basic EPS of US$0.32, backed by net income of US$45 million, setting the tone for how investors read the latest move in profitability. Over recent quarters the company has seen revenue range from US$1.5 billion in Q1 2025 to US$1.6 billion in Q4 2025, while basic EPS has swung from a loss of US$0.17 in Q3 2025 to a high of US$0.52 in Q2 2025, giving a...
NasdaqGS:OLPX
NasdaqGS:OLPXPersonal Products

Olaplex (OLPX) Returns To Quarterly Profit As Turnaround Narratives Face New Test

Olaplex Holdings (OLPX) has just posted its FY 2025 third quarter numbers, with revenue at US$114.6 million and basic EPS of US$0.02, alongside net income of US$11.1 million, as investors weigh these figures against a trailing twelve month loss of US$5.0 million and TTM basic EPS of roughly US$0.01. The company has seen revenue move from US$103.9 million in Q2 2024 to US$119.1 million in Q3 2024, then to US$114.6 million in Q3 2025. Over the same period, quarterly basic EPS has swung between...
NasdaqGM:ADMA
NasdaqGM:ADMABiotechs

ADMA Biologics Buyback Plan Tests Earnings Story And Valuation Gap

ADMA Biologics (NasdaqGM:ADMA) has launched a $200 million capital return program anchored by a $125 million accelerated share repurchase. The company plans to return capital through this large-scale buyback initiative, which signals management’s view that the shares are undervalued. The program adds a new element to the ADMA story that has not been widely discussed in recent coverage. At a share price of $16.54, ADMA Biologics enters this program after a very large 3 year gain and a 5 year...
NasdaqGS:ATNI
NasdaqGS:ATNITelecom

ATN International (ATNI) Posts Q4 Losses That Challenge Bullish Profitability Narratives

ATN International FY 2025 Earnings Snapshot ATN International (ATNI) has wrapped up FY 2025 with fourth quarter revenue of US$184.2 million and basic EPS of US$0.22 loss per share, alongside net income excluding extra items of US$3.3 million loss. Over recent periods, the company has seen quarterly revenue move between US$178.5 million and US$184.2 million, while basic EPS has ranged from US$0.56 loss to US$0.18, underscoring a pattern of mixed profitability. For investors, the latest print...
NYSE:BURL
NYSE:BURLSpecialty Retail

Burlington Stores (BURL) Q4 Net Margin At 5% Challenges Earnings Quality Concerns

Burlington Stores (BURL) closed out FY 2026 with fourth quarter revenue of US$3.6 billion and basic EPS of US$4.84, alongside net income of US$310.4 million, setting a clear marker for how the year finished. Over the past few quarters, the company has seen revenue move from US$2.5 billion in Q1 2026 to US$2.7 billion in Q2 and Q3, before stepping up again in Q4, while basic EPS ran between roughly US$1.49 and US$1.66 in the middle of the year ahead of the Q4 print. With trailing twelve month...
NasdaqGS:WEN
NasdaqGS:WENHospitality

A Look At Wendy’s (WEN) Valuation As It Reshapes Its US And Mexico Restaurant Footprint

Why Wendy's restructuring move matters for shareholders Wendy's (WEN) is shaking up its footprint, planning to close 200 to 300 underperforming US restaurants while backing more than 60 new franchise led openings in Mexico following weak domestic same store sales. See our latest analysis for Wendy's. That restructuring push comes after a tough run for shareholders, with the share price at US$7.25 and recent momentum fading, including a 90 day share price return decline of 14.1% and a 1 year...
TSX:KXS
TSX:KXSSoftware

Kinaxis (TSX:KXS) Profit Margin Jump Reinforces Bullish Earnings Narrative

Kinaxis (TSX:KXS) wraps up FY 2025 with higher revenue and EPS Kinaxis (TSX:KXS) closed FY 2025 with Q4 revenue of US$144.2 million and basic EPS of US$0.70, alongside trailing twelve month revenue of US$548.0 million and EPS of US$2.51 that capped off a year of very large reported earnings growth and a net profit margin of 12.9%. Over recent periods the company has seen quarterly revenue move from US$121.5 million in Q3 2024 to US$144.2 million in Q4 2025, while basic EPS went from US$0.24...
TSX:ATH
TSX:ATHOil and Gas

How Investors Are Reacting To Athabasca Oil (TSX:ATH) 2025 Results And 2026 Buyback Commitment

Athabasca Oil Corporation has released its audited 2025 results, showing revenue of C$1.31 billion and net income of C$245.11 million, with earnings per share from continuing operations of C$0.49. Despite lower revenue and profit than the prior year, Athabasca reported higher production, a net cash position, and reaffirmed that its Leismer expansion remains on budget and on schedule while committing to return all 2026 free cash flow to shareholders via buybacks. Next, we examine how...
TSX:FRU
TSX:FRUOil and Gas

Does Freehold Royalties’ Monthly Payout Strategy Reveal Its True Investment Focus (TSX:FRU)?

In recent days, Freehold Royalties Ltd. declared its latest monthly dividend, reinforcing its role as a royalty owner across crude oil and natural gas assets in Western Canada and major U.S. basins. This announcement highlights how Freehold’s royalty-based model, which focuses on collecting resource revenues rather than operating wells, can be central to its appeal for income-focused investors. We’ll now look at how this renewed emphasis on monthly dividends shapes Freehold Royalties’...
OB:TGS
OB:TGSEnergy Services

How TGS’ Nigeria Laide 3D Seismic Survey At TGS (OB:TGS) Has Changed Its Investment Story

TGS recently announced that it had launched the Nigeria Laide multi-client 3D seismic survey, a roughly 11,700-square-kilometre project in the deepwater eastern Niger Delta, in partnership with the Nigerian Upstream Petroleum Regulatory Commission and SeaSeis Geophysical Limited. By applying advanced dual-sensor GeoStreamer acquisition and elastic FWI-based processing to this complex fold-and-thrust belt, TGS aims to offer operators higher-confidence prospect evaluation in one of Nigeria’s...
NYSE:RSKD
NYSE:RSKDSoftware

Riskified (RSKD) Turns Q4 Profit As Losses Narrow And Test Bullish Profitability Narrative

Latest FY 2025 Earnings Snapshot Riskified (RSKD) has wrapped up FY 2025 with Q4 revenue of US$99.3 million and basic EPS of US$0.04, while trailing twelve month figures show revenue of US$344.6 million and a basic EPS loss of US$0.18. The company reported quarterly revenue of US$93.5 million in Q4 2024 and US$99.3 million in Q4 2025, with basic EPS moving from a US$0.02 loss to a US$0.04 profit over the same period. This gives investors a clearer view of how margins are shaping up. See our...
TSE:8628
TSE:8628Capital Markets

A Look At Matsui Securities (TSE:8628) Valuation As Board Reviews Dividend And Shareholder Return Policy

Board meeting puts Matsui Securities’ dividend policy in focus Matsui Securities (TSE:8628) has called a board meeting for 27 February 2026 to review dividends for the fiscal year ending March 2026 and consider revisions to its broader shareholder return policy. For you as a shareholder or potential investor, this kind of agenda often matters because any change in dividend levels or payout approach can influence how you think about income, capital allocation priorities, and the stock’s role...
NasdaqGS:GO
NasdaqGS:GOConsumer Retailing

Grocery Outlet Holding (GO) Q4 Loss Of US$218 Million Tests Bullish Profitability Narrative

Grocery Outlet Holding (GO) closed out FY 2025 with Q4 revenue of US$1.2 billion and a basic EPS loss of US$2.22, alongside a net loss of US$218.2 million that puts profitability front and center for investors. The company reported quarterly revenue of US$1.1 billion in Q4 2024 and US$1.2 billion in Q4 2025, while basic EPS shifted from US$0.02 to a loss of US$2.22. Trailing twelve month EPS came in at a loss of US$2.30, highlighting how closely investors may watch margin developments from...
NYSE:PM
NYSE:PMTobacco

Is Philip Morris (PM) Using Its Steady Dividend To Reframe Its Income-Focused Investment Story?

Philip Morris International’s Board of Directors has declared a regular quarterly dividend of US$1.47 per share, payable on April 13, 2026, to shareholders of record as of March 19, 2026, with the ex-dividend date also on March 19, 2026. This dividend affirmation comes shortly after mixed Q4 2025 results, where revenue aligned with expectations but earnings per share missed estimates, underscoring the company’s commitment to returning cash to shareholders even as profitability pressures...
NasdaqGS:SANM
NasdaqGS:SANMElectronic

A Look At Sanmina (SANM) Valuation After Analyst Downgrade And Weak Guidance

Sanmina (SANM) is back on traders’ radar after the stock dropped 7.7% following an analyst downgrade. Weak guidance and a move below its 20 day simple moving average are weighing on sentiment. See our latest analysis for Sanmina. The latest drop comes on top of a softer near term trend, with a 1 day share price return of 6.64% decline and a 7 day share price return of 19.29% decline. However, the 1 year total shareholder return of 72.20% and 5 year total shareholder return of 230.69% show...
TSX:CPKR
TSX:CPKRFood

Canada Packers (TSX:CPKR) Margin Compression Challenges Defensive Bullish Narratives After FY 2025 Results

Canada Packers (TSX:CPKR) closed out FY 2025 with Q4 revenue of $429.4 million, basic EPS of $0.78 and net income of $23.2 million, set against trailing 12 month revenue of $1.8 billion and EPS of $3.58. Over the past year the company has seen revenue move from $1.7 billion to $1.8 billion while net income shifted from $108.3 million to $106.3 million. This frames the latest quarter within a steady top line and slightly softer earnings base. For investors, the picture is one of solid sales...
TSX:STCK
TSX:STCKCapital Markets

Stack Capital Group FY 2025 Profitability And 6.7x P/E Test Bullish Narratives

Stack Capital Group (TSX:STCK) just released its FY 2025 numbers, reporting third quarter revenue of $0.3 million, basic EPS of $0.20 and net income of $2.4 million. It also reported trailing twelve month revenue of $42.6 million, basic EPS of $3.52 and net income of $38.4 million. The company has seen revenue move from $11.6 million on a trailing basis in FY 2024 Q4 to $42.6 million by FY 2025 Q3. Over the same period, basic EPS shifted from $1.70 to $3.52. This frames a story that focuses...
NYSE:MNR
NYSE:MNROil and Gas

Is Mach Natural Resources (MNR) Still Reasonably Priced After Its Recent Share Price Gains

If you are wondering whether Mach Natural Resources is still reasonably priced or already looking expensive, the starting point is to understand how the current share price lines up against its fundamentals. The stock last closed at US$13.38, with returns of 3.8% over 7 days, 13.8% over 30 days, 18.9% year to date and 12.8% over the past year, which will shape how investors think about both upside potential and risk. Recent attention around Mach Natural Resources has largely focused on its...
ASX:EDV
ASX:EDVConsumer Retailing

The Bull Case For Endeavour Group (ASX:EDV) Could Change Following Mixed H1 Results And Governance Shift

Endeavour Group Limited recently reported half-year results to 4 January 2026, with net income of A$247 million and basic earnings per share from continuing operations of A$0.138, alongside a governance update as Jill Henderson replaced long-standing Company Secretary Taryn Morton. The earnings release highlighted a mix of margin pressure and cost savings, including A$24 million from the endeavourGO program, as well as growing online and hotel sales that are reshaping the group’s operating...