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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:CNH
NYSE:CNHMachinery

3 Farm Equipment Stocks If US Canada Trade Relief Lifts Machinery Demand

Trade headlines around a possible U.S.-Canada deal are no longer background noise for North American farm equipment stocks. They shape expectations for tariffs, farm incomes, and cross-border supply chains that feed directly into machinery demand. If policy risk eases, investors who ignored this corner of the market could feel late to the story. This article walks through three stocks exposed to the news and explains why the coming policy path matters for each. The stocks below provide an...
NYSE:EG
NYSE:EGInsurance

Everest Group (EG), What Is Behind The Fresh Attention?

Recent industry commentary puts Everest Group (EG) in focus after the insurer expanded its third-party capital platform and introduced a casualty reinsurance sidecar, tying its business more closely to the growing role of alternative capital. Everest Group’s recent move into casualty reinsurance via a sidecar comes after the share price has delivered an 11.13% year to date share price return and a 9.52% 90 day share price return. The 5 year total shareholder return of 61.88% points to longer...
NasdaqGS:SYRE
NasdaqGS:SYREBiotechs

Will Phase 2 UC Data Change Spyre Therapeutics Stock Narrative

Spyre Therapeutics reported positive 12 week Phase 2 SKYLINE Part A data for SPY003 in moderately to severely active ulcerative colitis, meeting its primary endpoint with a statistically significant RHI reduction and showing a safety profile consistent with the IL 23 class. Management now has clinical proof of concept across all three IBD mechanisms. This supports its plan to test higher dose monotherapy and combination regimens in the ongoing SKYLINE Part B platform trial. This article...
BME:BBVA
BME:BBVABanks

Banco Bilbao Vizcaya Argentaria (BME:BBVA) Could Be 11% Overvalued After Its Strong Run

Banco Bilbao Vizcaya Argentaria (BME:BBVA) has drawn attention after recent share-price moves, with the stock last closing at €25.41 on 10 September 2026. Investors are weighing this level against the bank’s multi-year return profile. Recent moves at Banco Bilbao Vizcaya Argentaria fit into a strong run, with a 90 day share price return of 26.48% and a year to date share price gain of 24.68%, while the 1 year total shareholder return of 63.26% and 5 year total shareholder return of 474.82%...
BIT:LUVE
BIT:LUVEBuilding

Should Strong Half Year Earnings Growth Require Action From LU-VE (BIT:LUVE) Investors?

LU-VE S.p.A. reported half-year 2026 results, with sales of €325.14 million and net income of €26.45 million, compared with €294.71 million and €16.28 million respectively a year earlier. The wider gap between revenue and profit versus last year may indicate tighter cost control or stronger pricing power within LU-VE’s operations. We will look at how LU-VE’s investment narrative is influenced by this step up in half-year sales and net income performance. Scan how LU-VE's latest half-year...
NasdaqGS:MGNI
NasdaqGS:MGNIMedia

Magnite (MGNI) Is Getting Attention, So What Is Behind The Latest Update?

Magnite’s recent client moves reshape the TV buying workflow Magnite (MGNI) is in focus after a run of client announcements, including an expanded ITN partnership that brings agentic tools to local linear TV and tighter links between programmatic buying and traditional workflows. These announcements have landed as Magnite’s share price has climbed to US$23.77, with a 90-day share price return of 46.28% and a year-to-date share price gain of 48.01%, while the 3-year total shareholder return of...
NasdaqGS:ADI
NasdaqGS:ADISemiconductor

3 Large Cap US Growth Stocks Tied To AI Infrastructure And Fed Rate Risk

Markets are on edge as fresh inflation surprises and an upcoming Fed decision collide, and that mix can quickly reshuffle which large‑cap U.S. growth stocks investors reward or avoid. Rate expectations are shifting fast, volatility risk is rising, and you do not want to be reacting late. This article breaks down three stocks exposed to this macro story and explains how the current setup could matter for your portfolio decisions. The three examples below are only a starting sample, and the...
NasdaqGS:PDFS
NasdaqGS:PDFSSemiconductor

What Is Behind The Fresh Attention On PDF Solutions (PDFS)?

PDF Solutions launches Exensio Aurora and puts data scale in focus PDF Solutions (PDFS) has launched Exensio Aurora, a new analytics architecture built to handle semiconductor manufacturing data at petabyte scale and support AI-driven workflows across factories and supply chains. Recent trading paints a mixed picture for PDF Solutions. The share price is up 61.66% year to date and the 1-year total shareholder return is 146.49%. However, momentum has cooled, with a 30-day share price return...
BDL:ORCL
BDL:ORCLReal Estate

CPI FIM (BDL:ORCL) Reports Half Year 2026 Results, Is It Still A Bargain?

CPI FIM (BDL:ORCL) drew fresh attention after reporting half year 2026 results, with revenue of €56.29 million and net income of €143.83 million, highlighting a different earnings mix from the prior period. CPI FIM’s latest figures landed against a weak price backdrop, with the share price down 29% year to date and the 1-year total shareholder return also lower by 29%. However, the 3-year total shareholder return is still up 69.05%, which hints that longer term momentum has cooled...
NYSE:MSM
NYSE:MSMTrade Distributors

How Investors Are Reacting To MSC Stock New CFO Appointment

MSC Industrial Direct appointed Robert Kuhns as Executive Vice President and Chief Financial Officer on September 14, 2026, moving Greg Clark back to his prior role as Vice President of Finance and Corporate Controller. Kuhns brings fresh financial leadership to MSC Industrial Direct after serving as CFO and previously Controller at TopBuild, with earlier finance roles at Mohawk Industries, NCH Corporation and Ingersoll Rand, which could influence how the business manages costs, capital...
NYSE:ACI
NYSE:ACIConsumer Retailing

Albertsons (ACI) Stock Trades At A Premium On Earnings Despite A 44% Slide

Albertsons Companies has delivered weak share performance over the past few years, yet the stock still screens as expensive on most valuation checks. That mix of a falling price and an overvalued signal raises questions about whether recent news around leadership and regulatory scrutiny is fully reflected in what investors are paying today. Over the past 3 years, Albertsons Companies shareholders have seen the price decline about 44%, which suggests confidence in the story has already...
NasdaqGS:LYFT
NasdaqGS:LYFTTransportation

How Driver Union Certification Will Impact Lyft Stock Investors

Lyft reported that California regulators have certified a union representing its drivers in the state, while analysts have issued projections calling for upcoming earnings and revenue growth. The union certification could bring more clarity on future driver pay and conditions in Lyft's largest regulatory testing ground. We will look at how Lyft's longer term investment narrative lines up with California's new driver union certification. Surface other ride and micromobility plays moving on...
NYSE:ALG
NYSE:ALGMachinery

How Boxer Shutdown Will Impact Alamo Group (ALG) Investors

Alamo Group has already ceased production of its Boxer branded product line following a portfolio review, and expects to record approximately US$7.0 million to US$10.0 million of related charges in the third quarter of 2026, driven by factors such as inventory valuation and equipment returns. The decision to exit Boxer products signals management’s willingness to prune underperforming offerings. This could reshape future product mix and cost structure, as well as how investors assess the...
NYSE:CPRI
NYSE:CPRILuxury

Capri Holdings (CPRI) Screens 38% Undervalued, Is The Selloff Overshooting Fair Value?

Capri Holdings (CPRI) has moved sharply in recent sessions, with the share price closing at $13.89 on 12 September 2026. Recent returns show mixed momentum across the past week, month and past 3 months. The latest bounce in Capri Holdings sits against a tougher backdrop, with the share price down 43.05% year to date and the 1-year total shareholder return declining 32.08%. This points to fading momentum and a market that is still reassessing the company’s risk and valuation profile. Compare...
NYSE:GVA
NYSE:GVAConstruction

Will Glacier Road Contract Change Granite Construction Stock Narrative

Granite Construction announced that its Board of Directors declared a quarterly cash dividend of $0.13 per share, payable on October 15, 2026, to shareholders of record as of September 30, 2026, and it previously reported securing a $23.7 million contract to rehabilitate Two Medicine Road in Glacier National Park. The Two Medicine Road project adds federally funded work with environmental restoration and visitor amenity upgrades. This may influence Granite Construction’s backlog mix, capital...
NYSE:HOG
NYSE:HOGAuto

Learn Why The Bull Case For Harley Davidson Stock Could Change Following Quarterly Results

Harley-Davidson's board previously approved a routine third quarter 2026 cash dividend of $0.1875 per share, paid on September 29 to shareholders of record as of September 15. Solid quarterly results came alongside falling motorcycle unit sales and pressure on free cash flow and return on invested capital. This highlights a tension between current payouts and future reinvestment capacity. We will explore how Harley-Davidson's investment narrative is affected by strong reported results...
NYSE:HMN
NYSE:HMNInsurance

Is Horace Mann Educators (HMN) Below Fair Value As Its Dividend Holds Steady?

Horace Mann Educators (HMN) recently affirmed its regular shareholder payout, with the board declaring a quarterly cash dividend of US$0.36 per share. The dividend is payable on September 30, 2026, to investors on record as of September 16. Recent trading has been softer, with Horace Mann Educators’ 1-day share price return down 1.53% and the 30-day share price return lower by 5.37%. However, the year-to-date share price return is up 7.95% and the 3-year total shareholder return sits at...
NSEI:PIRAMALFIN
NSEI:PIRAMALFINDiversified Financial

3 Indian Financial Stocks Worth Watching After the Tata Sons IPO Push

When the Reserve Bank of India tells Tata Sons to accept upper layer NBFC status and head for an IPO that could be worth more than $120b, the whole idea of what a holding company is worth comes back into focus. Suddenly, long ignored conglomerate structures start to matter again. This article walks through 3 Indian financial conglomerate stocks exposed to this news so you can decide whether to lean in or stay on the sidelines. The three stocks highlighted below are only a starting sample,...