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NasdaqGM:FRPT
NasdaqGM:FRPTFood

Is Freshpet (FRPT) Pricing Reflect Recent Share Slump And Premium Pet Food Growth Hopes

If you are wondering whether Freshpet stock is offering value at its current price, it helps to step back and look at what the recent share performance is really telling you. Freshpet shares last closed at US$69.20, with recent returns of 15.1% over 30 days and 15.0% year to date, set against a 7 day return of a 3.2% decline and a 1 year return of a 53.7% decline. Recent news flow around Freshpet has largely focused on its position in the premium pet food market and how investors are...
ASX:COF
ASX:COFOffice REITs

Centuria Office REIT H1 FFO Stability Tests Bullish Narratives On Underlying Earnings Power

Centuria Office REIT (ASX:COF) has put H1 2026 numbers on the table with total revenue of A$79.0 million, Funds From Operations of A$33.4 million and basic EPS of A$0.103, giving investors a fresh read on its income generating power. The REIT has seen total revenue move from A$75.3 million in H1 2025 to A$79.0 million in H1 2026, while basic EPS has shifted from a loss of A$0.036 per unit in H1 2025 to A$0.103. This sets up a results season where the focus is squarely on how sustainable these...
NYSE:WOLF
NYSE:WOLFSemiconductor

What Wolfspeed (WOLF)'s New AI-Focused Silicon Carbide Power Package Means For Shareholders

In late January 2026, Wolfspeed introduced its new TOLT silicon carbide power package portfolio for AI datacenter rack power supplies, designed to improve heat dissipation via top-side cooling and enable more compact, efficient systems. This launch highlights Wolfspeed’s role in supplying U.S.-based silicon carbide substrates for mission-critical infrastructure, aligning with efforts to bolster domestic semiconductor resilience for high-power AI and energy applications. Next, we’ll assess...
ASX:GDF
ASX:GDFIndustrial REITs

Garda Property Group (ASX:GDF) FFO Stability Tests Bearish Narratives After Multi Year Earnings Slide

Garda Property Group (ASX:GDF) has put up a cleaner set of numbers for H1 2026, with revenue of A$16.962 million, basic EPS of A$0.020, and funds from operations of A$7.624 million anchoring the latest half. The group has seen revenue move from A$14.145 million in H2 2024 to A$15.175 million in H1 2025 and then to A$16.962 million in H2 2025, while EPS has swung from a loss of A$0.041 to a loss of A$0.051 and then into positive territory at A$0.020. Taken together, the latest FFO and EPS...
TSE:9324
TSE:9324Logistics

Yasuda Logistics (TSE:9324) Q3 EPS Strength Reinforces Bullish Earnings Growth Narrative

Yasuda Logistics (TSE:9324) has put up another solid print for Q3 2026, with revenue of ¥20.2b and basic EPS of ¥45.32, backed by trailing twelve month EPS of ¥131.05 on revenue of ¥80.3b and net income of ¥3.8b. The company has seen revenue move from ¥18.5b in Q2 2025 to ¥20.2b in Q3 2026, while quarterly basic EPS has shifted from ¥32.11 to ¥45.32 and net income from ¥930m to ¥1.3b. This gives investors a clearer line of sight on how the earnings profile is shaping up. With net margin...
NasdaqCM:SBET
NasdaqCM:SBETHospitality

Is It Time To Reassess Sharplink (SBET) After Recent Share Price Slide?

If you are wondering whether Sharplink's current share price reflects its true value, you are not alone. The stock's recent track record gives plenty to think about before making any decisions. Sharplink's share price last closed at US$7.08, after a 29% decline over the past week and a 31.1% decline over the past month. It is still sitting 40.5% higher than a year ago and remains well below its 3 year return of a 90.4% decline. Recent coverage around Sharplink has focused on its role in the...
NYSE:OWL
NYSE:OWLCapital Markets

Is Blue Owl Capital (OWL) Now Offering Value After Its Steep Share Price Decline

If you are wondering whether Blue Owl Capital’s current share price reflects good value, you are not alone. This article is designed to help you weigh what the numbers are really saying. The stock has recently been under pressure, with returns of a 16.8% decline over 7 days, a 24.0% decline over 30 days and a 21.2% decline year to date, on top of a 49.4% decline over the past year. This comes even though the 3 year and 5 year returns sit at 2.0% and 37.6% respectively. These moves have put...
NasdaqCM:SMPL
NasdaqCM:SMPLFood

Is Simply Good Foods (SMPL) Quietly Rewriting Its Governance Playbook With Scalzo’s Board Return?

After The Simply Good Foods Company’s 2026 Annual Meeting of Stockholders, the board appointed Joseph E. Scalzo as director to fill the vacancy created by Geoff E. Tanner’s mid-January departure, while shareholders approved a new equity incentive plan and re-elected ten directors and the auditor for fiscal 2026. This combination of leadership changes and a refreshed incentive plan highlights how Simply Good Foods is reshaping governance and executive incentives to align management and...
ASX:CQE
ASX:CQESpecialized REITs

Charter Hall Social Infrastructure REIT H1 2026 Valuation Gap Challenges Cautious Community Narratives

Charter Hall Social Infrastructure REIT (ASX:CQE) has put fresh numbers on the table for H1 2026, with revenue of A$69.5 million and basic EPS of A$0.12665, while on a trailing twelve month basis revenue sits at A$132.8 million and EPS at A$0.234185. Over the past three reported half years, revenue has moved between A$65.5 million and A$69.5 million, alongside basic EPS ranging from A$0.082998 in H1 2025 to A$0.12665 in H1 2026. This gives investors a clearer view of how current earnings...
NasdaqGS:JKHY
NasdaqGS:JKHYDiversified Financial

Jack Henry And Associates (JKHY) Margin Improvement Challenges Slower Growth Narrative

Jack Henry & Associates (JKHY) just posted its Q2 2026 numbers, with revenue of US$619.3 million and basic EPS of US$1.72, alongside net income of US$124.7 million. The company has seen revenue move from US$573.8 million in Q2 2025 to US$619.3 million in Q2 2026, while basic EPS went from US$1.34 to US$1.72 over the same stretch. This performance is supported by trailing twelve month EPS of US$6.98 on revenue of US$2.5 billion, and highlights an increasingly important story about how margins...
NYSE:CSL
NYSE:CSLBuilding

Carlisle Companies (CSL) Margin Compression Challenges Bullish Earnings Narratives

Carlisle Companies (CSL) closed out FY 2025 with Q4 revenue of US$1,127.7 million and basic EPS of US$3.21, alongside net income excluding extra items of US$133.4 million. This gives investors a clear view of its core earnings power. Over the last six reported quarters, the company has seen quarterly revenue move between US$1,095.8 million and US$1,449.5 million, while basic EPS has ranged from roughly US$3.16 to US$5.93. This sets the backdrop for how the latest results fit into its recent...
ASX:IAG
ASX:IAGInsurance

Regulator’s RAC Insurance Ruling Might Change The Case For Investing In Insurance Australia Group (ASX:IAG)

Australia’s competition regulator has blocked Insurance Australia Group’s bid for RAC Insurance, even as IAG recently completed its A$855 million RACQ Insurance acquisition and continues processing thousands of storm and hail claims across Queensland, New South Wales and Victoria. The combination of a halted expansion attempt, a completed regional acquisition and heavy weather-related claims highlights how concentration risk, capital deployment and climate exposure are shaping IAG’s...
NYSE:MGM
NYSE:MGMHospitality

MGM Resorts (MGM) Margin Rebound In Q4 Challenges Bears On Profitability Concerns

MGM Resorts International (MGM) closed out FY 2025 with fourth quarter revenue of US$4.6 billion and basic EPS of US$1.10, alongside net income of US$293.6 million, putting a clean set of headline numbers in front of investors. Over recent quarters, the company has seen revenue move from US$4.3 billion in Q4 2024 to US$4.3 billion in Q1 2025, US$4.4 billion in Q2, US$4.3 billion in Q3 and back to US$4.6 billion in Q4. Quarterly basic EPS shifted from US$0.52 to US$0.52, US$0.18, a loss of...
NYSE:CWT
NYSE:CWTWater Utilities

California Water Service Group Gains Policy Seat While Valuation Signals Mixed Picture

California Water Service Group Chairman and CEO Marty Kropelnicki has joined the newly formed CalCEO Council. The council brings together 22 CEOs from across California to advise on statewide economic policy and community affordability. The move signals a broader policy role for California Water Service Group beyond its core utility operations. For you as an investor watching NYSE:CWT, this development puts the company in a more visible policy seat at the state level. With the share price...
NYSE:KVUE
NYSE:KVUEPersonal Products

Is It Time To Reconsider Kenvue (KVUE) After The Johnson & Johnson Spin Off?

Wondering whether Kenvue shares offer good value at around US$18.01, or if the price already reflects most of the story? This article walks through what the numbers say so you can decide how it fits your portfolio. Over the shorter term, Kenvue's share price return sits at 3.9% over 7 days and 7.1% over 30 days, while the year to date return is 4.0% and the 1 year return is a 9.6% decline. Recent headlines around Kenvue have focused on its position as a standalone consumer health company and...
NasdaqGS:DOX
NasdaqGS:DOXIT

Is Amdocs (DOX) Now An Opportunity After Recent Share Price Weakness?

If you are wondering whether Amdocs at around US$73 is a bargain or a value trap, you are asking the right question for this stock right now. The share price is at US$73.06, with returns of a 10.7% decline over the last week, a 9.8% decline over the last month, an 8.9% decline year to date, a 15.0% decline over 1 year, and a 4.2% gain over 5 years. These moves could change how investors view both risk and opportunity. Recent coverage of Amdocs has focused on its role as a software and...
TSX:TOU
TSX:TOUOil and Gas

Does TD Securities’ Downgrade Reframe Tourmaline Oil’s Risk Narrative More Than Its Fundamentals (TSX:TOU)?

In recent days, Tourmaline Oil has come under scrutiny after TD Securities downgraded the stock and adopted a more cautious outlook on the company’s prospects. This shift stands in contrast to the generally positive stance of other analysts, highlighting how differing brokerage views can quickly influence investor sentiment around a single energy producer. Next, we’ll look at how TD Securities’ more cautious stance might shape Tourmaline Oil’s investment narrative and risk-return...
NYSE:STT
NYSE:STTCapital Markets

Is State Street (STT) Still Attractive After Strong Multi Year Share Price Gains

If you are wondering whether State Street's recent share price puts it at a premium or still leaves room for value, you are not alone. The stock recently closed at US$132.03, with returns of 3.1% over the last 7 days, a 0.7% decline over 30 days, 2.3% year to date, 36.9% over 1 year, 56.0% over 3 years, and 108.9% over 5 years. These moves have come as investors continue to reassess large financial institutions and asset servicers, with market attention often cycling between balance sheet...