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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:CNM
NYSE:CNMTrade Distributors

Core & Main (CNM) Could Be 20% Undervalued After Its $750 Million Senior Notes Offering

Core & Main (CNM) has launched a $750 million senior notes offering due 2034, a move that reshapes its capital structure and may influence how investors view its debt profile and growth plans. See our latest analysis for Core & Main. Core & Main’s latest share price of $48.26 comes after a 2.40% 1 day share price return and a year to date share price return that is down 9.64%. The 3 year total shareholder return of 55.88% contrasts with a 1 year total shareholder return that is down 18.62%,...
NYSE:NUE
NYSE:NUEMetals and Mining

Does Stronger Q2 EPS Guidance And Leadership Transition Change The Bull Case For Nucor (NUE)?

Nucor Corporation recently issued earnings guidance for the second quarter of 2026, forecasting net earnings per diluted share between US$4.70 and US$4.80 and outlining executive retirement arrangements for Daniel R. Needham with defined severance and post-retirement covenants. This guidance, combined with ongoing capacity expansion projects and efforts to maintain a low-cost position in key steel markets, has sharpened investor focus on how Nucor is managing both growth opportunities and...
CNSX:AIBZ.U
CNSX:AIBZ.URenewable Energy

Bitzero Holdings (CNSX:AIBZ.U) Looks Pricey On Finland Land Plans And Norway Build Out

Bitzero Holdings (CNSX:AIBZ.U) is back on investor radars after reserving roughly 33 hectares of industrial land in Finland for potential hyperscale and high performance computing data center expansion. See our latest analysis for Bitzero Holdings. The Finland land reservation and ongoing Norwegian build out come on the back of a sharp move in Bitzero Holdings’ share price, with a 30 day share price return of 77.48% and a year to date share price return of 272.34%, while the latest 7 day...
NasdaqGS:ARLP
NasdaqGS:ARLPOil and Gas

How ARLP’s Shift Toward Metallurgical Coal Royalties Will Impact Alliance Resource Partners Investors

Alliance Resource Partners recently moved to expand its mineral interests through a major royalty acquisition, aiming to enhance income from high-grade metallurgical coal amid a broader decline in U.S. coal production and usage. This combination of increased royalty exposure and focus on higher-grade coal stands out as a way the partnership is seeking to diversify within a shrinking domestic coal landscape. We’ll now examine how this mineral royalty acquisition shapes Alliance Resource...
NYSE:WHD
NYSE:WHDEnergy Services

3 Energy Stocks to Watch as Brent Crude Slips Below Prewar Levels

Oil markets are adjusting quickly as Brent crude trades below prewar levels, Gulf exports pick up, and traders show more confidence in short term stability despite concerns about low inventories. That mix of weaker prices today and potential supply tightness ahead can reshuffle risk and reward across large energy stocks in the US, Canada, the UK, and Australia. This article looks at 3 stocks from the Energy Sector Stocks screener that are closely tied to this news and explains how this...
LSE:AO.
LSE:AO.Specialty Retail

3 Consumer Electronics Stocks Worth Watching As Hardware Prices Rise

Consumer electronics retailers are being stress tested as Microsoft and Apple push through hardware price increases and component shortages ripple across supply chains. Rising costs for consoles, smartphones, and PCs could tighten shopper budgets or, in some cases, pull demand forward as buyers rush to beat future price tags. For investors, that creates a mix of risk and potential opportunity, depending on how retailers manage margins, inventory, and pricing. This article breaks down 3 stocks...
BIT:CPR
BIT:CPRBeverage

Will Davide Campari-Milano's (BIT:CPR) €600m Debt Recast Reshape Its Long-Term Financing Narrative?

Davide Campari-Milano N.V. recently completed a €595.24 million fixed-income offering of 4.25% senior unsecured Euro MTN notes due June 17, 2033, priced at 99.207% of a €600 million principal amount. At the same time, the company moved to repurchase and cancel a large portion of its lower-coupon 1.25% notes due October 2027, signaling an intentional reshaping of its debt profile and maturity schedule. We will now examine how this large refinancing move, especially the shift into longer-dated...
NYSE:PEB
NYSE:PEBHotel and Resort REITs

Is Pebblebrook Hotel Trust (PEB) Fully Valued After Dividend News And Strong Momentum?

Pebblebrook Hotel Trust (PEB) is back in focus after the company affirmed a quarterly common dividend and declared regular preferred share payouts, giving income oriented investors fresh details on its current cash return profile. See our latest analysis for Pebblebrook Hotel Trust. After a pullback over the past week, Pebblebrook Hotel Trust’s recent dividend moves come against a backdrop of strong momentum, with a 30 day share price return of 25% and a 1 year total shareholder return of...
NYSE:KN
NYSE:KNElectronic

Knowles’ Custom High‑Energy Capacitors Might Change The Case For Investing In Knowles (KN)

Earlier in June 2026, Knowles expanded its portfolio of high-performance film and ceramic high-energy pulse discharge capacitors, highlighting custom, tightly controlled energy delivery solutions for applications spanning neuromodulation, industrial lasers, downhole energy exploration, medical equipment and advanced energy research, supported by investments in testing, process controls and application-specific design. This push further complements Knowles’ broader transformation toward...
ASX:QBE
ASX:QBEInsurance

QBE Insurance Group (ASX:QBE) Hits Record Profit, Is The Upside Already Priced In?

QBE Insurance Group (ASX:QBE) is back in focus after record FY2025 profitability, active share buybacks and fresh capital management moves, including subordinated note redemptions and new Tier 2 issuance. See our latest analysis for QBE Insurance Group. At a latest share price of A$24.88, QBE Insurance Group has seen strong recent momentum, with a 30 day share price return of 8.03% and a 90 day share price return of 17.14%. The 5 year total shareholder return of 180.06% shows how longer term...
TSX:TXG
TSX:TXGMetals and Mining

Torex Gold Resources (TSX:TXG) Following Its CEO Change Still Looks Cheap On Valuation

Leadership change and why it matters for Torex Gold Resources investors Torex Gold Resources (TSX:TXG) has entered a new leadership chapter after its June 17, 2026 annual and special meeting, where long serving executive Jody Kuzenko retired and Andrew Snowden was formally appointed President and CEO. Snowden was also elected to the Board of Directors at the virtual meeting, consolidating his role in both management and governance. For investors, such a transition often prompts a fresh look...
NYSE:DCI
NYSE:DCIMachinery

The Bull Case For Donaldson Company (DCI) Could Change Following Earnings Beat And Upbeat Guidance In Filtration Markets

Donaldson Company recently reported a strong quarterly earnings result, with year-on-year revenue growth surpassing analyst expectations and solid performance in its gas and liquid handling segment. This combination of revenue outperformance and positive management guidance has sharpened investor focus on Donaldson’s position within the broader gas and liquid handling market. We will now examine how this better‑than‑expected revenue growth and upbeat guidance shape Donaldson’s current...
TSX:USA
TSX:USAMetals and Mining

Does Americas Gold and Silver (TSX:USA) Shaft Upgrade Quietly Redefine Its North American Growth Ambitions?

Americas Gold and Silver Corporation recently confirmed the election of its director slate, reappointed PricewaterhouseCoopers LLP as auditor, and highlighted full ownership of the Galena Complex and Crescent Silver Mine as building blocks for its North American portfolio. The completion of Phase 2 of the No. 3 Shaft modernization at Galena, alongside only minor disruption from a contained electrical fire, could materially influence how investors view the company’s ability to expand...
ASX:MSB
ASX:MSBBiotechs

3 Promising ASX Penny Stocks With Over A$60M Market Cap

As Australian shares edge up slightly, defying global market volatility, investors are keenly watching for opportunities that align with current economic conditions. Penny stocks, while an old term, remain a relevant investment area for those seeking value in smaller or less-established companies. By focusing on robust financials and growth potential, these stocks can offer both stability and upside—qualities that make them attractive to investors looking to uncover hidden value in the market.
NasdaqGS:CALM
NasdaqGS:CALMFood

3 Consumer Staples Dividend Stocks With Strong Balance Sheets

With the Federal Reserve, inflation data, jobs reports, and earnings headlines all shaping expectations, many investors are looking at quality dividend stocks as a potential anchor for their portfolios. The Quality Dividend Stocks screener focuses on established companies with relatively strong dividend scores and solid balance sheets, which some investors see as helpful when conditions feel uncertain. This article explains how the latest macro and corporate catalysts may interact with that...
NasdaqGS:INDV
NasdaqGS:INDVPharmaceuticals

Indivior Pharmaceuticals (INDV) Pushes Cost Cuts And Growth, Is It Still 17% Undervalued?

Indivior Pharmaceuticals (INDV) continues to attract attention after its recent share price move, with the stock last closing at $41.29. See our latest analysis for Indivior Pharmaceuticals. Over the past year, Indivior Pharmaceuticals has shifted from short-term volatility to stronger momentum, with a 90-day share price return of 42.53% and a 1-year total shareholder return of 201.61% pointing to a significantly improved market perception of its prospects and risks. If this kind of momentum...