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OM:SCST
OM:SCSTFood

Peugeot Invest Société Anonyme And 2 Other Undiscovered Gems In Europe

As the European markets navigate through uncertainties driven by geopolitical tensions and fluctuating energy prices, indices like the STOXX Europe 600 have shown resilience with modest gains. In this environment, discerning investors often seek out smaller, less-known companies that possess strong fundamentals and potential for growth despite broader market volatility.
ENXTAM:ARCAD
ENXTAM:ARCADProfessional Services

3 European Dividend Stocks Yielding At Least 3.1%

The European market has been navigating a challenging landscape, with the pan-European STOXX Europe 600 Index showing modest gains amid uncertainties surrounding the Middle East conflict and its potential impact on economic growth. As investors seek stability in this volatile environment, dividend stocks offering yields of at least 3.1% can provide a reliable income stream, making them an attractive option for those looking to balance risk and return in their portfolios.
TSXV:GSVR
TSXV:GSVRMetals and Mining

Is Guanajuato Silver's (TSXV:GSVR) New Board Appointment Reframing Its Operational Ambitions Or Financing Story?

Guanajuato Silver Company Ltd. recently appointed veteran mining executive David Paxton to its Board of Directors, adding more than four decades of underground mine management and corporate finance experience to its leadership team. Paxton’s blend of hands-on production expertise and international mining finance background could influence how investors assess Guanajuato Silver’s operational and growth priorities. With this seasoned mining executive joining the board, we’ll now examine how...
NYSE:KW
NYSE:KWReal Estate

A Look At Kennedy-Wilson (KW) Valuation After Recent 1-Year Return Rebound

Kennedy-Wilson Holdings (KW) has drawn investor attention after recent trading left the real estate investment company with a market value of about US$1.5b and a last close near US$10.83 per share. See our latest analysis for Kennedy-Wilson Holdings. Recent trading leaves the 1-year total shareholder return at 32.93%. The 90-day share price return of 12% contrasts with weaker 3-year and 5-year total shareholder returns of 18.99% and 29.93% declines, and this may hint at improving momentum...
SEHK:6855
SEHK:6855Biotechs

Asian Growth Stocks With High Insider Ownership To Watch

As Asian markets navigate the complexities of energy price volatility and geopolitical tensions, investors are increasingly focused on identifying resilient growth opportunities. In this environment, companies with high insider ownership can be particularly appealing, as they often signal strong alignment between management and shareholder interests.
SEHK:1837
SEHK:1837Food

3 Asian Penny Stocks With Market Caps Over US$200M

Amidst the backdrop of Middle East conflict and energy price volatility, Asian markets have been navigating a complex economic landscape. These conditions underscore the importance of identifying stocks with robust fundamentals, especially in less traditional areas like penny stocks. Although often seen as relics from past market eras, penny stocks still offer intriguing growth opportunities by representing smaller or newer companies that can surprise investors with their potential for strong...
SET:PLANB
SET:PLANBMedia

Top Asian Dividend Stocks To Consider

Amidst the backdrop of geopolitical tensions and fluctuating energy prices, Asian markets are navigating a complex landscape that has left investors assessing both risks and opportunities. In this environment, dividend stocks offer a potential avenue for stability and income, as companies with strong fundamentals and consistent payout histories can provide a buffer against market volatility.
TSX:AAUC
TSX:AAUCMetals and Mining

Allied Gold (TSX:AAUC) Posts Q4 EPS Loss That Tests Bullish Turnaround Narrative

Allied Gold (TSX:AAUC) has closed out FY 2025 with fourth quarter revenue of US$427.8 million and a basic EPS loss of US$0.19, while trailing twelve month figures show revenue of about US$1.3 billion and a basic EPS loss of US$0.45. The company has seen quarterly revenue move from US$170.8 million in Q4 2024 to US$427.8 million in Q4 2025, with basic EPS shifting from a loss of US$0.09 to a loss of US$0.19 over the same period. This keeps the focus firmly on how quickly margins can move...
TSE:6965
TSE:6965Electronic

Is Hamamatsu Photonics (TSE:6965) Quietly Reframing Its Moat Through Pathology Alliances and Buybacks?

In the first quarter of 2026, Hamamatsu Photonics K.K. completed a board-approved buyback of 7,662,800 shares for ¥13,010.92 million, while Sakura Finetek and Hamamatsu announced an alliance to create a seamless workflow from tissue preparation to digital pathology imaging. Together, these moves highlight Hamamatsu’s focus on integrating its imaging technology into clinical diagnostics workflows while actively returning capital to shareholders through repurchases. We’ll now examine how...
NasdaqGS:LEGN
NasdaqGS:LEGNBiotechs

Is Legend Biotech (LEGN) Pricing Reflect Its Value After Recent Share Price Rebound?

If you are wondering whether Legend Biotech's share price reflects its underlying value, this article breaks down what the current market price may be implying about the company. The stock closed at US$19.05, with returns of 8.2% over the last week and 3.3% over the last month. The 1 year return stands at a 42.7% decline and the 3 year return at a 60.5% decline. Recent coverage around Legend Biotech has focused on its position in the biotech space and how investors are reassessing risk and...
XTRA:RWE
XTRA:RWERenewable Energy

RWE Refines Renewables Focus With Swedish Wind Sale And Valuation Questions

RWE (XTRA:RWE) has agreed to sell its Swedish wind activities to Aneo as part of an ongoing portfolio reshaping in renewables. The transaction involves RWE exiting its wind business in Sweden to sharpen its focus on core markets. The move is presented as a step in refining the group’s renewables growth plan and simplifying its operations. RWE is a large European utility group with a focus on renewable power, including wind, solar and other clean energy assets. By divesting Swedish wind...
ASX:JDO
ASX:JDOBanks

Does Judo Capital Holdings (ASX:JDO) Board Refresh Hint At A Deeper Risk Culture Shift?

On March 24, 2026, Judo Capital Holdings Limited appointed David Stephen, a former Group Chief Risk Officer at several major banks, as an Independent Non-Executive Director, bringing more than 35 years of banking, risk management and compliance experience to its board. His background in driving risk transformation and overseeing organizations in complex, highly regulated settings adds extra depth to Judo’s governance and risk oversight framework. Next, we’ll consider how adding a seasoned...
NYSE:KORE
NYSE:KOREWireless Telecom

KORE Group Holdings (KORE) Q3 EPS Loss Reinforces Bearish Narratives On Profitability

KORE Group Holdings (KORE) reported Q3 FY 2025 revenue of US$68.7 million with a basic EPS loss of US$0.64, alongside trailing twelve month revenue of US$285.4 million and a TTM EPS loss of US$3.57, underscoring that the business is still operating in loss-making territory. Over recent quarters the company has seen revenue hold in a fairly tight band around the US$68 million to US$73 million range, while quarterly EPS losses have moved between roughly US$0.64 and US$1.31. The focus for...
IBSE:RGYAS
IBSE:RGYASReal Estate

Undiscovered Gems in the Middle East to Explore This April 2026

As Middle Eastern markets see a surge, led by Dubai's stock index climbing 2% amid hopes of de-escalation in the Iran conflict and a significant economic support package, investors are closely watching the region's small-cap stocks for potential opportunities. In this dynamic environment, identifying promising stocks involves looking for companies with strong fundamentals and resilience to geopolitical tensions.
SASE:2270
SASE:2270Food

Middle Eastern Dividend Stocks To Enhance Your Investment Portfolio

Amid hopes of de-escalation in regional tensions, Middle Eastern stock markets have shown resilience, with Dubai leading gains thanks to economic support measures and a boost from its key sectors. In this environment, dividend stocks can be an attractive option for investors seeking stability and income, as they often represent companies with solid fundamentals and steady cash flows.
NYSE:HL
NYSE:HLMetals and Mining

If You Believe In The Silver Supercycle Then These Three Stocks Define The Next Trajectory

Silver is sitting at the crossroads of several powerful forces. Demand tied to AI infrastructure, solar panels and electric vehicles is colliding with years of muted mine investment and flat output, all while energy costs and supply chain risks stay in focus due to ongoing global tensions. For investors looking for clear, focused exposure to this setup, a curated screener of top silver stocks can be a helpful filter that highlights miners with stronger balance sheets and lower production...
SWX:BAER
SWX:BAERCapital Markets

Is Julius Bär’s Call of its US$350m AT1 Bond Quietly Reframing the Case for (SWX:BAER)?

In March 2026, Julius Bär Gruppe AG announced it would exercise its option to redeem all outstanding Perpetual Tier 1 Subordinated Bonds (ISIN: XS2238020445), originally issued on 8 October 2020 with a 4.875% coupon and an aggregate nominal amount of US$350,000,000, at par plus accrued interest on the first call date of 8 April 2026. This early redemption under condition 3(c) highlights Julius Bär’s active approach to capital structure management, reflecting how it balances funding costs,...
NYSE:CAG
NYSE:CAGFood

Conagra Brands (CAG) Quarterly US$663.6m Loss Tests Bullish Earnings Turnaround Narratives

Conagra Brands (CAG) has followed up its latest quarter with mixed top and bottom line figures, reporting Q2 2026 revenue of US$2.98b and a basic EPS loss of US$1.39, alongside trailing 12 month revenue of US$11.23b and basic EPS of US$0.20. Over the past few reported quarters, revenue has moved from US$3.20b in Q2 2025 to US$2.84b in Q3 2025, US$2.78b in Q4 2025 and US$2.63b in Q1 2026, while basic EPS has shifted from US$0.60 to US$0.30, US$0.54 and US$0.34 respectively. This leaves...
ASX:KAR
ASX:KAROil and Gas

A Look At Karoon Energy’s Valuation As Leadership Changes Refocus Its Offshore Growth Priorities

Karoon Energy (ASX:KAR) is back in focus after a cluster of leadership changes, including a new CFO, expanded executive roles, and a refreshed board, all tied closely to its offshore oil and gas operations. See our latest analysis for Karoon Energy. Those leadership changes have landed during a period of strong recent momentum, with a 30 day share price return of 11.8% and a 90 day share price return of 29.22%, while the 3 year total shareholder return remains slightly negative. If you are...
TSX:AG
TSX:AGMetals and Mining

First Majestic Silver (TSX:AG) Swings To US$83 Million Q4 Profit Reinforcing Bullish Earnings Narrative

First Majestic Silver (TSX:AG) has capped FY 2025 with its strongest quarter of the year, reporting Q4 revenue of US$463.9 million and basic EPS of US$0.17 on net income of US$83.1 million. Over the past four quarters, revenue has run to US$1.3 billion on a trailing basis with basic EPS of US$0.34, marking a clear shift from the losses recorded a year earlier and giving investors a fuller picture of how the income statement has reshaped. With that backdrop, the latest print points to a...
TSX:NG
TSX:NGMetals and Mining

NovaGold Advances Donlin Gold Study As Investors Weigh Funding And Risks

NovaGold Resources (TSX:NG) has launched a Bankable Feasibility Study for the Donlin Gold project. The company has awarded major engineering contracts tied to the project development. A Letter of Intent has been signed for potential natural gas supply to the project site. NovaGold Resources, trading at CA$12.99, has recorded a 1 year share price return of 208.6%, while the 3 year and 5 year returns stand at 60.8% and 14.1% respectively. The shorter term picture is mixed, with the stock up...