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Stay up to date with the latest stock market news from around the world. From breaking news written by our finance analysts to event-driven market news on a global scale.

NYSE:M
NYSE:MMultiline Retail

Macy’s Owasso Closure Reshapes Fulfillment Footprint And Investor Story

Macy’s plans to close its Owasso, Oklahoma fulfillment center as part of a supply chain modernization and network consolidation effort. The closure affects a large facility and impacts almost 1,000 employees, marking a meaningful change in the company’s logistics footprint. The move is framed as an adjustment to changing consumer demand and evolving logistics needs across Macy’s network. Macy’s, traded as NYSE:M, is reshaping its operations while its shares trade around $21.71. The stock...
NYSE:SPGI
NYSE:SPGICapital Markets

Is S&P Global's (SPGI) Mobility Spin-Off Reframing Its Core Data Advantage In Economic Benchmarking?

S&P Global recently outlined plans to separate its Mobility business as a standalone public company called Mobility Global, while its latest US and Canada manufacturing PMIs signaled an expansion in factory activity and improved sentiment. Together, the planned Mobility Global spin-off and the firm’s PMI readings underscore S&P Global’s central role in both mobility intelligence and real‑time economic benchmarking. We’ll now examine how the planned Mobility Global spin-off reshapes S&P...
NYSE:RNST
NYSE:RNSTBanks

Renasant Merger Integration Highlights Cost Cuts And Core Profitability Focus

Renasant (NYSE:RNST) reported strong fourth quarter performance following the completion of its largest merger to date. The company finished integrating The First and highlighted significant cost reduction efforts, including workforce changes and efficiency measures. Management pointed to improved core profitability as a key outcome of the merger and recent operational adjustments. For investors watching Renasant at a share price of $40.72, the latest quarter provides fresh numbers behind...
NYSE:UAN
NYSE:UANChemicals

A Look At CVR Partners (UAN) Valuation As New Profit And Loss Guidance Reshapes Expectations

Q4 loss guidance and full year profit outlook CVR Partners (UAN) issued fresh guidance that pairs an estimated fourth quarter net loss of US$14 million to US$7 million with full year 2025 net income of US$95 million to US$102 million. See our latest analysis for CVR Partners. Guidance for a fourth quarter loss alongside full year profit comes as CVR Partners’ share price sits at US$103.48, with a 1-year total shareholder return of 45.66% and a very large 5-year total shareholder return. This...
NasdaqGS:POOL
NasdaqGS:POOLRetail Distributors

Should Pool’s Early Revenue Rebound and Baird Upgrade Require Action From Pool (POOL) Investors?

In January, Baird upgraded Pool Corporation from Neutral to Outperform, citing improving conditions in the pool market and expectations for the business to stabilize after a multi-year downturn. At the same time, Pool’s first revenue increase in nine quarters and two straight quarters of positive growth point to a cyclical recovery supported by a solid balance sheet and potential housing policy reforms. We’ll now examine how Pool’s early signs of revenue recovery reshape its investment...
NYSE:AER
NYSE:AERTrade Distributors

How Investors May Respond To AerCap Holdings (AER) Insurance Recoveries And Resilient Aircraft Leasing Performance

AerCap Holdings, the world’s largest aircraft lessor, has in recent years recovered about US$2.90 billion of insurance claims on aircraft stranded in Russia and Ukraine, while continuing to report strong aircraft sales and high re-leasing yields across its fleet. This combination of significant insurance recovery and robust leasing activity underlines how AerCap’s scale and asset base can help absorb geopolitical shocks in global aviation. We’ll now examine how AerCap’s recovery of insurance...
TSE:2226
TSE:2226Food

Koike-ya (TSE:2226) Q3 Margin Uptick Tests Valuation Concerns

KOIKE-YA (TSE:2226) has put up a solid Q3 FY2026 print, with revenue of ¥16.6 billion and basic EPS of ¥87.08, set against trailing twelve month EPS of ¥220.38 that reflects 9% earnings growth over the past year. The company has seen quarterly revenue move from ¥14.1 billion in Q2 FY2025 to ¥14.9 billion in Q2 FY2026 and then to ¥16.6 billion in Q3 FY2026, while quarterly EPS has shifted from ¥45.18 to ¥36.65 to ¥87.08 over the same stretch. With the trailing net profit margin at 3.9%, up...
NYSE:EGP
NYSE:EGPIndustrial REITs

Will EastGroup’s Strong 2025 Results and Upbeat Guidance Change EastGroup Properties' (EGP) Narrative

EastGroup Properties, Inc. recently reported full-year 2025 results, with sales of US$719.42 million, revenue of US$721.34 million, and net income of US$257.40 million, all higher than the prior year. The company also delivered fourth-quarter funds from operations and revenue above analyst expectations and issued fresh guidance for the current quarter and full year, underscoring management’s confidence in its operating performance. We’ll now examine how EastGroup’s better-than-expected funds...
TSE:3407
TSE:3407Chemicals

Asahi Kasei (TSE:3407) Margin Recovery Challenges Longer Term Earnings Concerns

Asahi Kasei (TSE:3407) has reported Q3 2026 revenue of ¥774.9 billion and basic EPS of ¥40.0, with trailing 12 month EPS at ¥115.8 backed by net income of ¥157.3 billion. The company has seen revenue move from ¥768.9 billion in Q3 2025 to ¥774.9 billion in Q3 2026, while basic EPS over the same quarters shifted from ¥27.7 to ¥40.0. This presents a picture of earnings that align with a net profit margin that has moved to 5.2% from 2.8% over the past year. See our full analysis for Asahi...
NYSE:FMC
NYSE:FMCChemicals

FMC (FMC) Valuation Check After Loss-Making Year And Lowered 2026 Revenue Guidance

Why FMC’s latest earnings and guidance matter for shareholders FMC (FMC) recently reported a fourth quarter and full year 2025 loss and paired those results with 2026 revenue guidance that points to a 5% decline at the midpoint for both the first quarter and full year. Management cited delayed customer collections in Brazil, the sale of its India business, and increased generic competition as ongoing headwinds. The company also filed a shelf registration for an employee stock plan, which adds...
NasdaqGS:WIX
NasdaqGS:WIXIT

Is Wixcom (WIX) Now An Opportunity After A 65% One Year Share Price Slide

If you are wondering whether Wix.com’s current share price lines up with its underlying worth, you are not alone. This article is designed to help you size that up clearly. The stock recently closed at US$79.28, after 7 day, 30 day, year to date and 1 year returns of 14.8% decline, 21.8% decline, 21.5% decline and 64.7% decline, with a 5 year return of 72.7% decline. This naturally raises questions about both risk and potential opportunity. Recent coverage has focused on Wix.com’s position...
NYSE:CHWY
NYSE:CHWYSpecialty Retail

Is Chewy (CHWY) Pricing Reflect Long Term Potential After Prolonged Share Price Weakness

This article walks through the numbers so you can assess whether Chewy’s share price still reflects what the business is worth, or if sentiment has swung too far, and judge the value for yourself. Chewy’s share price closed at US$27.56, with returns of an 11.2% decline over 7 days, a 14.3% decline over 30 days, a 17.7% decline year to date, a 28.4% decline over 1 year, and 39.9% and 74.3% declines over 3 and 5 years respectively. This raises questions about how the market currently views its...
ASX:SRL
ASX:SRLMetals and Mining

Sunrise Energy Metals (ASX:SRL) Valuation After Capital Raising And Critical Minerals Funding News

Sunrise Energy Metals (ASX:SRL) has raised fresh equity capital and secured funding for early construction works, positioning its scandium and energy metals projects to supply the planned U.S. critical minerals stockpile. See our latest analysis for Sunrise Energy Metals. These capital raisings and early construction plans come after an extended run in the shares, with a 90 day share price return of 111.51% and a 30 day share price return of 31.97%, even though the 1 day and 7 day share price...
NYSE:S
NYSE:SSoftware

Evaluating SentinelOne (S) Valuation After Insider Buying And AI Platform Updates

SentinelOne (S) is back in focus after fresh insider buying by a company director. This coincided with new AI-driven Singularity platform upgrades, renewed partnership buzz, and acquisition activity in the AI security space. See our latest analysis for SentinelOne. Even with fresh insider buying and AI security headlines in play, momentum has been mixed, with a 1-day share price return of 3.65% sitting against a 30-day share price return of 8.04% and a 1-year total shareholder return decline...
NasdaqCM:HYMC
NasdaqCM:HYMCMetals and Mining

Does Hycroft Mining (HYMC) Have the Capital to Unlock Its Vortex Silver Discovery Potential?

Hycroft Mining Holding Corp. recently reported that drilling at its Nevada-based Vortex Silver System uncovered the highest silver grades yet identified at the site, with mineralization appearing to continue across multiple depths and directions. This discovery, occurring alongside stronger gold and silver prices, has drawn attention because Hycroft currently has no active mining operations and would need substantial capital to move into production. With the company still pre-production,...