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ADX:UNION
ADX:UNIONInsurance

Middle Eastern Penny Stocks To Watch In April 2026

As Gulf stocks show mixed performance amid geopolitical tensions and economic facilitation measures, the Middle Eastern markets remain a focal point for investors assessing regional stability and growth prospects. Amidst these developments, penny stocks—often smaller or newer companies—continue to capture interest due to their potential for significant returns when backed by robust financials. This article will explore three such penny stocks that stand out for their financial strength,...
OM:SAND
OM:SANDMachinery

Barclays Sees Gold Capex Cycle Shaping Sandvik’s Growth And Risks

Barclays highlights Sandvik (OM:SAND) as a key beneficiary of a new mining capex cycle linked to higher gold prices. The bank points to a sector wide pickup in spending on gold projects, with Sandvik positioned for stronger equipment and services demand. The analyst view flags potential double digit growth in orders and revenue tied to this gold focused investment wave. Sandvik, a major supplier of mining equipment and rock processing solutions, sits close to the heart of global capex...
ENXTAM:MICC
ENXTAM:MICCFood

Is Magnum Ice Cream (ENXTAM:MICC) Looking Mispriced After Recent Share Price Weakness

If you are wondering whether Magnum Ice Cream at €12.71 is a bargain or just fairly priced, the key is to understand what the current market value actually reflects. The stock has been relatively soft recently, with a 0.1% decline over the last 7 days, a 5.4% decline over 30 days and a 4.4% decline year to date. These moves may be changing how investors think about its potential and risk. Recent company news has kept Magnum Ice Cream on investor watchlists, as updates around the business...
TSE:6954
TSE:6954Machinery

Is It Time To Reassess Fanuc (TSE:6954) After The Recent Share Price Pullback

Wondering whether Fanuc’s current share price really reflects its underlying value, or if the market is mis-pricing it? This article breaks that question down in plain terms. Fanuc’s stock has recently seen a 25.5% decline over 30 days and is down 15.9% year to date, even though the 1 year return sits at 32.4% and the 3 year return at 19.3%. Recent headlines around the automation and robotics space, as well as attention on industrial exporters in Japan, have kept Fanuc on many investors’...
NYSE:DAVA
NYSE:DAVAIT

Endava (NYSE:DAVA) Earnings Swing To Loss Challenges Bullish Profitability Narratives

Endava (NYSE:DAVA) has just turned in a mixed Q2 2026 scorecard, with revenue of £184.1 million, a basic EPS loss of £0.13 and net income loss of £6.9 million, set against a trailing twelve month picture that shows £743.9 million of revenue, a small EPS loss of £0.05 and a net income loss of £2.9 million. Over the past few quarters, revenue has moved from £195.6 million and EPS of £0.12 in Q2 2025 to £184.1 million and EPS of a £0.13 loss in Q2 2026, while quarterly net income shifted from a...
NYSE:AGX
NYSE:AGXConstruction

Broadcom And 2 More Power Grid Technology Stocks With Deep Backlogs

Global markets are wrestling with stubborn inflation risks, volatile energy prices, and shifting central bank expectations, which is pushing many investors to look more closely at real world infrastructure. The power grid sits at the heart of that topic, linking AI data centers, electrified transport, and everyday homes to reliable energy. Our Power Grid Technology Stocks screener filters for profitable companies that build and equip this backbone, focusing on those already earning money from...
NYSE:NXDT
NYSE:NXDTREITs

NexPoint Diversified Real Estate Trust (NXDT) Q4 FFO Rebound Tests Bearish Narratives

NexPoint Diversified Real Estate Trust (NXDT) has wrapped up FY 2025 with fourth quarter total revenue of US$19.1 million, basic EPS of a US$0.75 loss, and funds from operations of US$86.1 million. This rounds out a trailing 12 month revenue line of US$86.0 million and a net loss of US$130.2 million. Over recent quarters, revenue has moved from US$28.7 million in Q1 2025 to US$21.2 million in Q2, US$16.9 million in Q3, and US$19.1 million in Q4. Quarterly basic EPS has ranged from a US$0.99...
ASX:HMC
ASX:HMCCapital Markets

3 ASX Penny Stocks With Market Caps Over A$700M To Watch

Australian shares are poised for a significant upswing, with optimism fueled by potential resolutions in Middle Eastern conflicts and positive movements in global indices. As investors navigate these shifting landscapes, the allure of penny stocks remains relevant, especially when these smaller or newer companies are built on strong financial foundations. This article will explore three such penny stocks that demonstrate robust balance sheets and promising growth potential, offering investors...
BIT:GPI
BIT:GPIHealthcare Services

GPI (BIT:GPI) Margin Squeeze In 1H 2025 Tests Bullish Earnings Growth Narrative

GPI (BIT:GPI) has released its FY 2025 numbers with first half revenue of €257.9 million and basic EPS of €0.13, setting the tone for how the year is shaping up after a trailing twelve month EPS of €0.55 on revenue of €546.2 million. Over recent periods the company has seen revenue move from €236.4 million in 1H 2024 to €273.5 million in 2H 2024 and then to €257.9 million in 1H 2025, while basic EPS has shifted from €0.11 to €0.42 and then €0.13. This leaves investors focused on how much of...
NasdaqGS:CINF
NasdaqGS:CINFInsurance

Cincinnati Financial’s 65 Year Dividend Record Meets Valuation And Earnings Test

Cincinnati Financial (NasdaqGS:CINF) has extended its dividend growth streak to 65 consecutive years. The company continues to emphasize disciplined underwriting and careful risk selection across its insurance portfolio. Management highlights investment discipline as a key support for its long running dividend track record. Cincinnati Financial focuses on property and casualty insurance, an area that regularly faces weather events and other large loss scenarios. In this context, a 65 year...
NYSE:AGBK
NYSE:AGBKBanks

Assessing AGI (AGBK) Valuation After Recent Share Price Weakness

AGI stock snapshot after recent performance shifts AGI (AGBK) has drawn attention after recent share price moves, with a 1 day gain of 1.1% contrasting with declines of 11.7% over the past week and 37.9% over the past month. See our latest analysis for AGI. The recent 1 day share price return of 1.1% sits against a weaker backdrop. The 30 day share price return of 37.9% and year to date share price return of 32.4% indicate fading momentum from earlier levels at the current share price of...
SWX:EMMN
SWX:EMMNFood

Emmi’s Exit From FTSE All‑World Index Might Change The Case For Investing In Emmi (SWX:EMMN)

In March 2026, Emmi AG was removed from the FTSE All-World Index, altering its representation in a widely followed global equity benchmark. This index removal may influence how index-tracking institutional investors allocate capital to Emmi, potentially reshaping its visibility in global portfolios. Next, we will examine how Emmi's removal from the FTSE All-World Index may influence its investment narrative and investor perception. Capitalize on the AI infrastructure supercycle with our...
NasdaqGS:ZBIO
NasdaqGS:ZBIOBiotechs

Zenas BioPharma (ZBIO): Does This $300 Million Raise Clarify or Complicate Its Funding Strategy?

In late March 2026, Zenas BioPharma completed a US$100,000,000 follow-on equity offering at US$20 per share and a US$200,000,000 issue of 2.50% senior unsecured convertible notes due April 1, 2032. This combined US$300,000,000 capital raise meaningfully reshapes the company’s funding profile, balancing immediate cash needs with future dilution through convertibles. We’ll now examine how this sizeable mix of equity and convertible debt financing influences Zenas BioPharma’s investment...
NYSE:FDS
NYSE:FDSCapital Markets

FactSet (FDS) Q2 EPS Softness Tests Bullish Margin Expansion Narrative

FactSet Research Systems (FDS) has just posted Q2 2026 results with revenue of US$611.0 million and basic EPS of US$3.60, as investors weigh these figures against ongoing earnings expectations. The company has seen quarterly revenue move from US$570.7 million in Q2 2025 to US$611.0 million in Q2 2026, while basic EPS over the same quarters shifted from US$3.81 to US$3.60, presenting a picture of higher top line with changing earnings per share. With a trailing net profit margin of 24.5% and...
SGX:C6L
SGX:C6LAirlines

A Look At Singapore Airlines (SGX:C6L) Valuation As Shares Track Mixed Short And Long Term Returns

Recent share performance snapshot Singapore Airlines (SGX:C6L) has traded steadily in recent sessions, with the share price flat over the past day and a small gain over the past week, while showing mixed moves over the past month and past 3 months. See our latest analysis for Singapore Airlines. At the current share price of SGD6.60, the stock has a 30 day share price return of an 8.08% decline but a 1 year total shareholder return of 3.4%, suggesting shorter term momentum has faded while...
NYSE:BAX
NYSE:BAXMedical Equipment

Baxter’s IV Verify Launch Tests Medication Safety Strategy And Hospital Traction

Baxter International (NYSE:BAX) has introduced the IV Verify Line Labeling System, an automated IV line labeling solution. The system is developed in an exclusive partnership with Vigilant Software to support medication safety and nurse workflow automation. The launch targets long running challenges around inconsistent IV labeling and related medication errors in clinical settings. Baxter International is putting fresh focus on clinician centric products, with IV Verify arriving as a...
NasdaqGM:AIRO
NasdaqGM:AIROAerospace & Defense

AIRO Group Holdings (AIRO) Nears Breakeven As Q4 Loss Narrows To US$0.04m

AIRO Group Holdings (AIRO) has just wrapped up FY 2025 with fourth quarter revenue of about US$48.3 million, a small net loss of roughly US$0.04 million and basic EPS close to flat at US$0.00. Trailing twelve month revenue came in at about US$90.9 million with a net loss of around US$4.1 million and basic EPS of a US$0.17 loss. Over recent periods the company has reported quarterly revenue of US$23.7 million in Q4 2024, US$11.8 million in Q1 2025, US$24.6 million in Q2, US$6.3 million in Q3...
NYSE:AON
NYSE:AONInsurance

Aon Expands AI Pay Data As Shares Trade Below Valuation Estimates

Aon (NYSE:AON) has upgraded its Radford McLagan Compensation Database to better cover artificial intelligence roles. The company has added AI specific job families, new role matching tools, and real time labor insights for employers. The changes are aimed at helping HR and compensation teams respond to growing demand for AI talent. Aon operates across risk, retirement, and health, and the Radford McLagan platform sits at the core of its human capital data offering. As AI hiring becomes a...
NasdaqCM:HQI
NasdaqCM:HQIProfessional Services

HireQuest (HQI) Margin Jump To 21.6% Tests Bullish Narratives After Softer Revenue

HireQuest (HQI) has just wrapped up FY 2025 with Q4 revenue of about US$7.0 million and basic EPS of roughly US$0.12, alongside FY 2025 trailing twelve month revenue of US$30.6 million and EPS of about US$0.47. Over the past reported quarters, revenue has moved from US$8.1 million and EPS of roughly US$0.17 in Q4 2024 to US$7.0 million and about US$0.12 in Q4 2025. During the same period, TTM revenue has ranged between US$34.6 million and US$30.6 million, and TTM EPS between roughly US$0.28...
NYSE:MNSO
NYSE:MNSOMultiline Retail

Miniso Group Holding (NYSE:MNSO) Quarterly Loss Challenges Bullish Margin Narratives

MINISO Group Holding (NYSE:MNSO) has just posted its FY 2025 results, with fourth quarter revenue of ¥6.3b and a basic EPS loss of ¥0.48, capping a trailing twelve month EPS of ¥3.92 on revenue of ¥21.4b. The company has seen quarterly revenue move from ¥4.7b and EPS of ¥2.60 in FY 2024 Q4 to ¥6.3b and EPS of negative ¥0.48 in FY 2025 Q4. Over the same period, trailing net profit margin eased from 15.2% to 10.8%, so the latest print lands in the context of solid top line scale but compressed...
NYSE:PHR
NYSE:PHRHealthcare Services

Phreesia (PHR) Turns Trailing EPS Positive And Tests Bullish Profitability Narratives

Phreesia (PHR) closed FY 2026 with Q4 revenue of US$127.1 million and basic EPS of US$0.02, capping off a trailing twelve month period where revenue reached US$480.6 million and basic EPS came in at US$0.04. Over the past six reported quarters, the company has seen quarterly revenue move from US$106.8 million in FY 2025 Q3 to US$127.1 million in FY 2026 Q4. Over the same period, basic EPS has ranged from a loss of US$0.25 per share to a profit of US$0.07 per share, pointing to a business that...