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NasdaqGS:FSTR
NasdaqGS:FSTRMachinery

L.B. Foster (FSTR) Margin Compression To 1% Puts Bullish Narratives Under Review

L.B. Foster (FSTR) just turned in its latest FY 2025 scorecard with Q3 revenue of about US$138.3 million and basic EPS of US$0.42, alongside trailing twelve month revenue of roughly US$507.8 million and EPS of US$0.47. Over recent quarters, the company has seen revenue range from US$97.8 million to US$143.6 million, while quarterly EPS has swung between a loss of US$0.20 and a gain of US$3.35, setting up a mixed backdrop for how you read this print. With trailing net margin sitting at 1%...
TSXV:TOI
TSXV:TOISoftware

How Do Rising Revenues But Weaker Earnings Reframe Topicus.com’s (TSXV:TOI) Profitability Story?

Topicus.com Inc. has reported past full-year 2025 results, with revenue rising to €1,552.3 million from €1,294.86 million, while net income fell to €41.76 million from €91.99 million and basic earnings per share from continuing operations dropped to €0.50 from €1.11. The combination of strong top-line expansion and a sharp compression in earnings highlights a shift in the company’s profitability profile and cost structure. We’ll now examine how this mix of higher revenue and weaker earnings...
NasdaqGS:TDUP
NasdaqGS:TDUPSpecialty Retail

ThredUp (TDUP) Halves Trailing Losses Yet Premium Valuation Tests Bullish Narratives

ThredUp (TDUP) just posted its FY 2025 numbers with Q4 revenue of US$79.7 million and a basic EPS loss of US$0.04, while trailing 12 month revenue came in at US$310.8 million with a basic EPS loss of US$0.17. Over recent periods, the company has seen quarterly revenue move from US$67.3 million in Q4 2024 to US$79.7 million in Q4 2025. Quarterly basic EPS loss shifted from US$0.07 to US$0.04, setting up a picture of a business still in loss making territory but working to narrow the gap...
NasdaqGS:YORW
NasdaqGS:YORWWater Utilities

York Water (YORW) Margin Compression Tests Premium Valuation Narrative

York Water (YORW) has put up steady numbers for FY 2025 so far, with Q3 revenue at US$20.4 million and basic EPS at US$0.43, backed by trailing twelve month revenue of US$76.9 million and EPS of US$1.39 across the recent reporting run. The company has seen quarterly revenue range from US$18.5 million to US$20.4 million over the last three quarters, while EPS moved between US$0.25 and US$0.43. This sets a clear baseline for how current results fit into the recent trend. Margins remain central...
NasdaqGS:SENS
NasdaqGS:SENSMedical Equipment

Senseonics Holdings (SENS) Q3 Revenue Doubles Year On Year Yet Losses Keep Bear Case In Play

Senseonics Holdings (SENS) just posted its FY 2025 third quarter numbers, with revenue at US$8.1 million and a basic EPS loss of US$0.43, while net income excluding extra items came in at a loss of US$19.5 million. The company has seen quarterly revenue move from US$4.3 million in Q3 2024 to US$8.1 million in Q3 2025, alongside quarterly basic EPS shifting from a loss of US$0.77 to a loss of US$0.43 over the same stretch. For investors, this set of results puts the focus squarely on how...
TSX:PET
TSX:PETSpecialty Retail

Pet Valu Holdings TSX PET Q3 EPS Strength Reinforces Bullish Earnings Quality Narrative

Pet Valu Holdings (TSX:PET) has just posted another quarter of steady progress, with Q3 FY 2025 revenue of $289.5 million, basic EPS of $0.36 and net income of $24.9 million, alongside same store sales growth of 2.3%. The company has reported revenue of $276.0 million and EPS of $0.32 in Q3 FY 2024, $295.1 million and $0.41 in Q4 FY 2024, $279.1 million and $0.31 in Q1 FY 2025, $280.6 million and $0.31 in Q2 FY 2025, and now $289.5 million and $0.36 in Q3 FY 2025. This sequence sets up a...
NasdaqGS:JAKK
NasdaqGS:JAKKLeisure

JAKKS Pacific (JAKK) Margin Squeeze Challenges Bullish Earnings Growth Narrative

JAKKS Pacific (JAKK) has just closed out FY 2025 with Q4 revenue of US$127.1 million and a basic EPS loss of US$0.47, while trailing 12 month EPS stood at US$0.88 on revenue of US$570.7 million. Over recent quarters the company has seen revenue move from US$321.6 million in Q3 FY 2024 to US$211.2 million in Q3 FY 2025, with basic EPS shifting from US$4.78 to US$1.78 over the same periods, setting up a results season in which investors will be watching how those earnings forecasts and margin...
NYSE:CBT
NYSE:CBTChemicals

Cabot Expands Circular Carbons As Tire Makers Pursue Sustainability Targets

Cabot (NYSE:CBT) has expanded global production of its sustainable circular reinforcing carbons in the Asia Pacific region. The expansion uses recycled tire pyrolysis oil and ISCC PLUS certification to supply circular reinforcing materials to tire manufacturers worldwide. This move is intended to support higher recycled content in tires and contribute to sustainability goals across multiple regions. For investors, this development sits at the intersection of specialty chemicals, materials...
NasdaqGM:GCMG
NasdaqGM:GCMGCapital Markets

A Look At GCM Grosvenor (GCMG) Valuation As Mixed Returns Contrast With Undervaluation Narrative

Why GCM Grosvenor (GCMG) Is Drawing Investor Attention GCM Grosvenor (GCMG) has been drawing fresh interest as investors reassess its recent share performance alongside the firm’s latest reported figures for revenue, net income, and multi year total returns. See our latest analysis for GCM Grosvenor. At a share price of $11.70, GCM Grosvenor has seen short term share price momentum, including an 8.13% 90 day share price return, set against a 12.12% decline in 1 year total shareholder return...
ASX:NWL
ASX:NWLCapital Markets

A Look At Netwealth Group’s Valuation After Mixed Half Year Results And Higher Interim Dividend

Earnings and dividend headlines investors are watching Netwealth Group (ASX:NWL) has released half year results to 31 December 2025, reporting higher revenue alongside a move to a net loss and a 20% increase in its fully franked interim dividend. See our latest analysis for Netwealth Group. At a share price of A$24.51, Netwealth Group has a 90 day share price return of 10.51% and a 1 year total shareholder return decline of 16.17%. The 3 year total shareholder return of 82.57% points to much...
NasdaqGS:FRME
NasdaqGS:FRMEBanks

First Merchants Expansion Tests Growth Story After First Savings Deal

First Merchants Corporation (NasdaqGS:FRME) has completed its acquisition of First Savings Financial Group, expanding its presence in southern Indiana and increasing its asset base. Following the merger, Larry W. Myers joined the Board of Directors and sold a significant number of shares. The company has also introduced a new performance linked incentive plan for senior management tied to profitability and post merger growth. First Merchants, trading at $39.11, is coming off a mixed share...
ASX:INA
ASX:INAResidential REITs

What Ingenia Communities Group (ASX:INA)'s Higher EBIT Guidance and Lower Dividend Means For Shareholders

Ingenia Communities Group recently reported past half-year results to 31 December 2025, with revenue of A$257.28 million and net income of A$97.39 million, alongside a reduced ordinary dividend of A$0.048 per share payable on 26 March 2026. At the same time, the company indicated it is tracking toward the top end of its FY26 EBIT guidance range of A$180.5 million to A$188.7 million, signalling operational momentum even as it trims its latest dividend payout. We’ll now examine how Ingenia’s...
BME:BBVA
BME:BBVABanks

Do BBVA's New US$2.5 Billion Notes Clarify Its Long-Term Funding Strategy (BME:BBVA)?

In late February 2026, Banco Bilbao Vizcaya Argentaria, S.A. completed and announced several US$-denominated senior non-preferred note offerings totaling US$2.50 billion, spanning fixed and floating-rate Eurobond and Eurodollar issues maturing in 2029 and 2036. These issuances, coming soon after BBVA reported record 2025 profit on strong loan growth and efficiency gains, highlight how the bank is tapping bond markets to support its balance sheet and funding mix. We’ll now examine how...
NYSE:HCI
NYSE:HCIInsurance

HCI Group Balances US$80m Buyback With Exzeo IPO Potential

HCI Group (NYSE:HCI) authorized a new $80 million share repurchase program. The company completed the IPO of its Exzeo technology platform. These actions reflect a shift in how HCI Group is using capital and its technology assets. HCI Group, an insurance and technology company, is giving investors fresh developments to watch beyond standard quarterly numbers. The new $80 million buyback authorization and the Exzeo IPO put both its balance sheet and tech capabilities in focus. For...
NYSE:EPC
NYSE:EPCPersonal Products

Is It Time To Reassess Edgewell Personal Care (EPC) After Recent Share Price Rebound?

If you are wondering whether Edgewell Personal Care is attractively priced or not, this article will walk through the key numbers that matter for value focused investors. The share price closed at US$21.40 recently, with returns of 10.0% over the last 30 days and 26.9% year to date, but a 28.3% decline over the last year and a 46.3% decline over three years show a mixed picture. These moves come as the company continues to operate in the household and personal care space, where brands and...
NasdaqCM:USGO
NasdaqCM:USGOMetals and Mining

Is U.S. GoldMining’s (USGO) Pre-PDAC Spotlight Reframing Its Exploration Story Or Just Polishing Optics?

U.S. GoldMining Inc. recently presented at the Pre-PDAC 2026 Mining Showcase on February 27, 2026, at the Omni King Edward Hotel in Toronto, highlighting its latest project and corporate updates to an audience of industry professionals and investors. This appearance at a high-profile mining conference has amplified the company’s visibility among sector-focused investors, potentially influencing how its exploration story and future funding options are perceived. With this increased exposure...
ASX:SCG
ASX:SCGRetail REITs

Assessing Scentre Group’s Valuation After Strong 2025 Results And Higher 2026 Distribution Guidance

Scentre Group (ASX:SCG) has drawn investor attention after releasing full year 2025 results alongside 2026 distribution guidance, pairing higher reported earnings with an outlined 4.0% uplift in forecast distributions to 18.43 cents per security. See our latest analysis for Scentre Group. Despite the upbeat 2025 results and 2026 distribution guidance, Scentre Group’s recent share price performance has cooled, with a 30 day share price return of 7.35% and a 90 day return of 9.79% alongside a...
NYSE:CRC
NYSE:CRCOil and Gas

California Resources (CRC) Margin Compression Reinforces Skeptical Earnings Narrative After FY 2025 Results

California Resources (CRC) has wrapped up FY 2025 with Q4 revenue of US$924 million and basic EPS of US$0.14, alongside trailing twelve month revenue of US$3.7 billion and EPS of US$4.17 that frame the year’s earnings picture. Over the past few quarters, the company has seen revenue move from US$900 million and EPS of US$0.36 in Q4 2024 to US$906 million and EPS of US$1.27 in Q1 2025, then US$821 million and EPS of US$1.93 in Q2 2025, and US$878 million with EPS of US$0.76 in Q3 2025. This...
ASX:FMG
ASX:FMGMetals and Mining

Is It Time To Reassess Fortescue (ASX:FMG) After Recent Share Price Weakness

If you are wondering whether Fortescue is priced attractively right now, the key question is how its current share price compares with a fair value estimate. The share price closed at A$19.58, with a 3.1% decline over the last 7 days, a 6.8% decline over the last 30 days, an 11.6% decline year to date, but a 28.9% gain over 1 year, a 9.6% gain over 3 years and a 44.5% gain over 5 years. This presents a mixed picture of short-term volatility and longer-term strength. Recent news around...
TSE:6501
TSE:6501Industrials

Hitachi Rail CBTC Launch On US Trolley Line And What It Signals

Hitachi Rail has begun revenue service of its next generation Communications-Based Train Control digital signaling system on the Media-Sharon Hill trolley line in the United States. The upgraded system is now live on this historic line, bringing modern signaling technology to a legacy North American transit corridor. The project is expected to improve operational efficiency, safety and reliability for passengers and operators on the route. For Hitachi (TSE:6501), this project comes with the...
NYSE:STC
NYSE:STCInsurance

Is Stewart Information Services (STC) Pricing Look Too Rich After Recent Share Price Gains?

If you are wondering whether Stewart Information Services is priced attractively or already baking in a lot of optimism, you are asking the right question before making any long term decisions. The stock last closed at US$69.95, with returns of 5.4% over 7 days, 3.7% over 30 days, around flat at 0.1% decline year to date, 2.4% over 1 year, 92.3% over 3 years and 64.6% over 5 years. Recent coverage around Stewart Information Services has focused on providing evergreen context for the stock,...
NYSE:KMPR
NYSE:KMPRInsurance

Assessing Kemper’s (KMPR) Valuation After Recent Share Price Rebound

Recent share performance and business profile Kemper (KMPR) has drawn investor attention after a mixed run in its share price, with gains over the past week but weaker performance over the past month and past 3 months. The Chicago based insurer operates through two segments: Specialty Property & Casualty Insurance and Life Insurance. It offers auto, life, accident, supplemental health, and property policies across the United States. See our latest analysis for Kemper. At a share price of...
NYSE:FRT
NYSE:FRTRetail REITs

Does Federal Realty (FRT) Share Price Reflect Its Recent Performance And DCF Implied Value?

If you are wondering whether Federal Realty Investment Trust is priced attractively today, this article will walk through what the current share price might imply about its underlying value. The stock most recently closed at US$110.34, with stated returns of 1.1% over 7 days, 9.1% over 30 days, 11.4% year to date and 9.5% over 1 year, as well as 17.3% over 3 years and 24.5% over 5 years. These returns sit against an evergreen backdrop rather than a single event driven catalyst. This is why...
OB:DNB
OB:DNBBanks

Assessing DNB Bank (OB:DNB) Valuation As Share Buy-Back Moves Forward And Defensive Appeal Builds

DNB Bank (OB:DNB) is drawing fresh attention after stepping up a share buy-back of up to 0.5% while keeping the Norwegian state’s 34% stake unchanged, a move closely watched by income-focused investors. See our latest analysis for DNB Bank. Despite a 2.99% one day share price decline to NOK292.3 and a softer week, DNB Bank’s 30 day share price return of 5.64% and 90 day gain of 7.07% suggest momentum has been building. A 1 year total shareholder return of 21.64% and 3 year total shareholder...