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NYSE:RYN
NYSE:RYNSpecialized REITs

Rayonier Auditor Switch Prompts Fresh Look At Valuation And Dividend Risks

Rayonier (NYSE:RYN) has appointed KPMG as its independent auditor for the 2026 fiscal year audit. The company will transition from its current auditor, Ernst & Young, as part of this change. Rayonier reported that the switch did not arise from disagreements on accounting practices or adverse audit opinions. For investors watching Rayonier at a share price of $20.6, the auditor change follows a challenging stretch for the stock. NYSE:RYN has seen a 17.8% decline over the past year and a...
NasdaqCM:SKYT
NasdaqCM:SKYTSemiconductor

Is It Too Late To Consider SkyWater Technology (SKYT) After A 269.3% One-Year Rally?

If you are wondering whether SkyWater Technology's recent run still offers value, or if you might be late to the story, this article will walk through what the current price could be implying. The stock trades at US$26.18 after a 10.5% pullback over the last week and 11.1% over the last month, yet it still sits on a 16.7% year-to-date return and a 269.3% return over the past year. These moves come as SkyWater continues to attract attention as a specialized semiconductor foundry, with...
NasdaqGS:ONB
NasdaqGS:ONBBanks

Is It Time To Reassess Old National Bancorp (ONB) After Recent Share Price Weakness?

Wondering if Old National Bancorp at around US$21.48 is offering fair value or a potential mispricing opportunity? This article breaks down what the current share price might really be telling you. The stock has seen a 0.3% decline over the past week and a 7.0% decline over the past month, while still sitting on a 4.0% return over the last year and a 65.0% return over three years. This can signal changing views on both growth potential and risk. Recent coverage has focused on Old National...
TSXV:FISH
TSXV:FISHMetals and Mining

TSX Penny Stocks To Watch In March 2026

As Canada navigates a complex economic landscape marked by fluctuating oil prices and inflationary pressures, investors are keenly watching how these factors might impact market dynamics. Amidst this backdrop, penny stocks—though often associated with earlier trading days—remain an intriguing investment category for those seeking potential value in smaller or newer companies. By focusing on robust financials and growth potential, investors can uncover opportunities within the realm of penny...
NYSE:NIC
NYSE:NICBanks

First Bancorp And 2 Other Stocks That May Be Trading Below Their Estimated Worth

The United States market has experienced a 3.5% decline over the past week, yet it remains up by 14% over the last year with anticipated earnings growth of 15% annually in the coming years. In this fluctuating environment, identifying stocks that may be trading below their estimated worth can provide opportunities for investors seeking value amidst broader market trends.
NYSE:RH
NYSE:RHSpecialty Retail

Top Growth Companies With High Insider Ownership In March 2026

Over the last 7 days, the United States market has experienced a 3.5% decline, yet it remains up by 14% over the past year with earnings forecasted to grow by 15% annually. In this environment, growth companies with high insider ownership can be particularly appealing as they often align management interests with shareholders and may offer resilience amid market fluctuations.
NYSE:DDL
NYSE:DDLConsumer Retailing

March 2026's Top Penny Stocks To Watch

Over the last 7 days, the United States market has dropped 3.5%, but it has seen a rise of 14% over the past year, with earnings projected to grow by 15% annually in coming years. In light of these conditions, identifying stocks with strong financial health and growth potential is crucial for investors seeking opportunities beyond mainstream options. Penny stocks, though an outdated term, still represent a niche investment area that can offer surprising value and potential returns when backed...
NYSE:HCI
NYSE:HCIInsurance

US Undiscovered Gems To Watch In March 2026

Over the last 7 days, the United States market has dropped 3.5%, yet it remains up by 14% over the past year, with earnings anticipated to grow by 15% annually in the coming years. In this dynamic environment, identifying stocks that are not only resilient but also poised for growth can be a rewarding strategy for investors seeking potential opportunities.
NYSEAM:CIX
NYSEAM:CIXCommercial Services

Top Dividend Stocks To Consider In March 2026

Over the last 7 days, the United States market has experienced a 3.5% drop, although it has shown resilience with a 14% rise over the past year and an earnings growth forecast of 15% annually. In this context, dividend stocks that offer consistent payouts and potential for long-term appreciation can be attractive options for investors seeking stability amidst fluctuating market conditions.
NasdaqGS:STLD
NasdaqGS:STLDMetals and Mining

Steel Dynamics Board Retirements Put Governance And Growth Plans In Focus

Steel Dynamics (NasdaqGS:STLD) announced that long serving directors Richard P. Teets, Jr. and Gabriel L. Shaheen plan to retire from its board at the upcoming annual meeting. The changes will reduce long term board presence and open seats for new directors once shareholders vote at the meeting. Both directors have served during key phases of the company’s development in the steel and metals recycling sector. For you as an investor, this matters because board composition shapes how Steel...
NasdaqGS:INDV
NasdaqGS:INDVPharmaceuticals

New Model Puts Indivior’s SUBLOCADE Correctional Opportunity In Focus

New independent cost impact model evaluates Indivior's extended-release buprenorphine (SUBLOCADE) in U.S. correctional facilities. The model suggests SUBLOCADE, a monthly injectable for opioid use disorder, may meaningfully cut staff time and related costs versus other treatments. Findings, published in a peer reviewed journal, highlight potential operational benefits and treatment access gains for jails and prisons. For investors watching Indivior Pharmaceuticals (NasdaqGS:INDV), this...
NYSE:DRD
NYSE:DRDMetals and Mining

Is It Too Late To Look At DRDGOLD (NYSE:DRD) After The Recent Pullback?

Wondering if DRDGOLD at around US$27.65 still offers value, or if most of the easy gains are already behind it? This article walks through what the current price might imply. The stock has returned 1.7% over the last 7 days, while the 30 day return sits at a 28.9% decline, against an 8.8% decline year to date and an 81.5% return over the past year, with a very large 3 year and 226.1% 5 year return. Recent coverage has focused on DRDGOLD as part of broader gold and precious metals...
SEHK:9992
SEHK:9992Specialty Retail

Pop Mart Governance Shift May Support Shareholder Rights And Valuation Case

Pop Mart International Group (SEHK:9992) has proposed amendments to its Articles of Association to strengthen shareholder rights. The revisions would allow virtual general meetings and electronic voting for shareholders. The proposals are framed as part of an update to governance practices for a Hong Kong listed company. Pop Mart International Group, a Hong Kong listed company known for designer toys and collectibles, is looking to align its shareholder meeting rules with more digital...
SEHK:1908
SEHK:1908Real Estate

A Look At C&D International Investment Group (SEHK:1908) Valuation After Weaker Results And Lower Final Dividend

C&D International Investment Group (SEHK:1908) has drawn attention after reporting full year 2025 results with lower sales and net income, alongside a reduced proposed final dividend per share. See our latest analysis for C&D International Investment Group. The share price has been under pressure around the latest earnings and dividend announcement, with a 16.6% 1 month share price return and a 19.4% 3 month share price return pointing to fading momentum despite a positive 24.6% 5 year total...
TSX:RGSI
TSX:RGSIOil and Gas

Evaluating Rockpoint Gas Storage (TSX:RGSI) Valuation After Recent Softening In Share Price Momentum

With no specific market event flagged, Rockpoint Gas Storage (TSX:RGSI) comes into focus as investors reassess recent trading performance, business fundamentals, and valuation signals related to its North American natural gas storage operations. See our latest analysis for Rockpoint Gas Storage. Rockpoint Gas Storage’s recent 1 day share price return of a 1.81% decline, combined with a slightly negative year to date share price return of 1.57%, suggests momentum has softened, even as...
OTCPK:CMRF
OTCPK:CMRFRetail REITs

CIM Real Estate Finance Trust (OTCPK:CMRF) Revenue Slippage Tests Income-Focused Bullish Narratives

CIM Real Estate Finance Trust (OTCPK:CMRF) has wrapped up FY 2025 with fourth quarter revenue of US$97.9 million and basic EPS of US$0.07, giving investors a clean snapshot of how the year finished. Over recent periods, revenue has shifted from US$121.4 million in Q3 2024 to US$106.2 million in Q4 2024, then to US$106.4 million in Q1 2025, US$107.2 million in Q2 2025, US$104.5 million in Q3 2025 and US$97.9 million in Q4 2025, while quarterly EPS moved from US$0.02 to an interim loss before...
TSX:EIF
TSX:EIFAirlines

Exchange Income Renews Buyback As Capital Returns Story Evolves

Exchange Income Corporation (TSX:EIF) received Toronto Stock Exchange approval to renew its normal course issuer bid. The NCIB allows the company to repurchase up to 10% of its public float over the authorized period. The renewal gives EIF flexibility to return capital to shareholders through on market share buybacks. Exchange Income Corporation operates a diversified portfolio of aviation and manufacturing businesses, so capital allocation decisions can influence how value is shared across...
ENXTAM:SBMO
ENXTAM:SBMOEnergy Services

A Look At SBM Offshore (ENXTAM:SBMO) Valuation After ExxonMobil Longtail FPSO FEED Award

SBM Offshore (ENXTAM:SBMO) has secured Front End Engineering and Design contracts from ExxonMobil Guyana Limited for the Longtail FPSO project. This initiates funding release and deploys its Fast4Ward hull program in Guyana. See our latest analysis for SBM Offshore. At a share price of €34.32, SBM Offshore has seen a 40.08% 90 day share price return and an 83.85% 1 year total shareholder return, suggesting recent momentum has been building as it secured the ExxonMobil FEED award and joined...
NasdaqGS:ATEC
NasdaqGS:ATECMedical Equipment

Is It Time To Reconsider Alphatec Holdings (ATEC) After Its Sharp Share Price Slide

If you are wondering whether Alphatec Holdings at around US$11 is a bargain or a value trap, the key is to look past the headline share price and into how it stacks up on valuation. The stock has seen a 9.5% decline over the last week, a 19.2% decline over the last 30 days, and is down 47.0% year to date, even though the 1 year return sits at 8.5%. These moves sit against a backdrop of ongoing interest in medical equipment companies, with investors weighing up growth potential in specialist...
SEHK:3988
SEHK:3988Banks

Bank Of China (SEHK:3988) Net Interest Margin Squeeze Tests Bullish Valuation Narratives

Bank of China (SEHK:3988) has reported FY 2025 results with fourth quarter revenue of C¥146.5b and basic EPS of C¥0.19, alongside trailing twelve month revenue of C¥559.1b and EPS of C¥0.74. Over recent periods the bank has seen quarterly revenue move from C¥137.9b in Q4 2024 to C¥146.5b in Q4 2025, while basic EPS shifted from C¥0.21 to C¥0.19 over the same quarters. With a trailing net profit margin of 41% and earnings quality described as high, the latest numbers point to solid, if finely...
SEHK:2007
SEHK:2007Real Estate

Country Garden Holdings (SEHK:2007) Trailing Profit Challenges Persistent Loss Narrative

Country Garden Holdings (SEHK:2007) has just posted its FY 2025 numbers with first half revenue of C¥72.6b and a basic EPS loss of C¥0.69 per share. The latest trailing twelve month snapshot shows revenue of C¥154.9b and EPS of C¥0.12, marking a shift from recent losses to a modest profit on that rolling basis. Over the past three reporting halves, the company has seen revenue move from C¥102.1b in 1H 2024 to C¥150.7b in 2H 2024 and then to C¥72.6b in 1H 2025, with basic EPS running at losses...
SEHK:6881
SEHK:6881Capital Markets

China Galaxy Securities (SEHK:6881) Margin Surge Reinforces Bullish Narratives Despite Low P/E

China Galaxy Securities (SEHK:6881) has wrapped up FY 2025 with fourth quarter revenue of C¥5.6b and basic EPS of C¥0.12, set against trailing twelve month revenue of C¥28.3b and EPS of C¥1.03 that frame the full year picture. Over recent periods, the company has seen quarterly revenue move from C¥9.4b in Q4 2024 to C¥7.6b in Q1 2025, C¥6.6b in Q2 2025 and C¥8.5b in Q3 2025. Quarterly EPS over the same stretch shifted from C¥0.32 to C¥0.25, C¥0.29 and C¥0.37, giving investors a clear view of...