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SEHK:2357
SEHK:2357Aerospace & Defense

AviChina Industry & Technology (SEHK:2357) Margin Compression Challenges Bullish EPS Growth Narrative

AviChina Industry & Technology (SEHK:2357) opened FY 2025 with first half revenue of C¥37.5b and basic EPS of C¥0.129, setting the tone for how the rest of the year might shape up for shareholders watching earnings closely. The company has seen revenue move from C¥33.6b in 1H 2024 to C¥53.4b in 2H 2024 and then to C¥37.5b in 1H 2025, while basic EPS shifted from C¥0.157 to C¥0.117 and now C¥0.129. This puts more focus on how efficiently each yuan of sales is turning into profit and how that...
SEHK:358
SEHK:358Metals and Mining

Jiangxi Copper (SEHK:358) Thin 1.3% Margin Tests Bullish Earnings Growth Narrative

Jiangxi Copper (SEHK:358) has wrapped up FY 2025 with fourth quarter revenue of CN¥148.6b and basic EPS of CN¥0.33. Trailing 12 month revenue sits at CN¥544.6b with EPS of CN¥2.07. Over recent periods, the company has reported quarterly revenue ranging from CN¥111.6b to CN¥148.6b and basic EPS between CN¥0.33 and CN¥0.64. This gives investors a clearer view of how top line scale and per share earnings have tracked through the year. With trailing net margins around 1.3% after a large one off...
SEHK:1070
SEHK:1070Consumer Durables

TCL Electronics (SEHK:1070) Earnings Jump And Thin Margins Test Bullish Platform Narratives

TCL Electronics Holdings (SEHK:1070) has released fresh numbers for FY 2025, with first half revenue of HK$54.8b and basic EPS of HK$0.45 providing the latest view on profitability. Over recent periods, the company’s revenue has moved from HK$45.5b in 1H 2024 to HK$53.8b in 2H 2024 and HK$54.8b in 1H 2025, while basic EPS shifted from HK$0.27 to HK$0.46 and then HK$0.45. This gives investors a clearer picture of how top line scale and per share earnings are tracking into a net margin that...
SEHK:1126
SEHK:1126Leisure

Dream International (SEHK:1126) Margin Compression Reinforces Bearish Manufacturing Narratives

Dream International (SEHK:1126) has posted its FY 2025 first half results with revenue of HK$2.6b and basic EPS of HK$0.45, setting the tone for how you might reassess the story around the stock. The company has seen revenue move from HK$2.3b in 1H 2024 to HK$3.2b in 2H 2024 and then to HK$2.6b in 1H 2025, while EPS shifted from HK$0.41 to HK$0.68 and then to HK$0.45 over the same periods, putting the latest figures in clear context. With net margins easing over the last year, the focus now...
NYSE:MBC
NYSE:MBCBuilding

Assessing MasterBrand (MBC) Valuation After Recent Share Price Volatility

Why MasterBrand Stock Is Back on Investors’ Radar MasterBrand (MBC) has drawn attention after a period of weaker share performance, with the stock showing negative total returns over the past year and the past 3 months despite positive 3 year performance. See our latest analysis for MasterBrand. The recent 7 day share price return of 7.67% stands in contrast to a 30 day share price decline of 21.74% and a year to date share price return of negative 26.60%. At the same time, the 3 year total...
NYSE:AGX
NYSE:AGXConstruction

Argan (AGX) Margin Expansion To 14.6% Tests Justification For Rich 57.4x P/E

Argan (AGX) closed out FY 2026 with fourth quarter revenue of US$262.1 million and basic EPS of US$3.54, capping a year in which trailing twelve month revenue reached US$944.6 million and EPS came in at US$10.00. Over recent periods the company has seen quarterly revenue shift between US$193.7 million and US$262.1 million, with basic EPS ranging from US$1.65 to US$3.54 as earnings growth of 61.2% over the past year and a higher net profit margin of 14.6% set the tone for this latest update...
SEHK:1274
SEHK:1274Auto Components

IMotion Automotive Technology Suzhou SEHK 1274 Losses Persist Challenging Revenue Growth Narrative

Latest earnings snapshot iMotion Automotive Technology (Suzhou) (SEHK:1274) has posted its FY 2025 first half numbers with revenue of C¥366 million and a basic EPS loss of C¥0.75, setting the tone against a current share price of C¥3.17. The company has seen revenue move from C¥636 million in 1H 2024 to C¥612 million in 2H 2024 and then to C¥366 million in 1H 2025. Over the same periods, basic EPS moved from a loss of C¥0.44 to a loss of C¥0.84 and then to a loss of C¥0.75, leaving investors...
SEHK:6098
SEHK:6098Real Estate

Country Garden Services Holdings (SEHK:6098) Margin Compression Challenges Bullish Earnings Recovery Narrative

Country Garden Services Holdings (SEHK:6098) has reported its FY 2025 first half results with revenue of CN¥23.2b and basic EPS of CN¥0.30, setting the stage against a trailing twelve month picture of CN¥48.4b in revenue and EPS of CN¥0.18 alongside net income of CN¥601.5m. Over recent periods, the company has seen revenue move from CN¥21.0b in 1H 2024 to CN¥23.2b in 1H 2025. Basic EPS shifted from CN¥0.43 in 1H 2024 and CN¥0.11 in 2H 2024 to CN¥0.30 in the latest half, leaving investors to...
NasdaqGS:ACIW
NasdaqGS:ACIWSoftware

ACI Worldwide Report Links Gen Z Tax Habits To Digital Payment Demand

ACI Worldwide (NasdaqGS:ACIW) released its latest Tax Payment Trends report, highlighting a generational shift in tax filing and payment behaviors. The research points to a substantial portion of Gen Z not engaging in federal tax filing and underscores a widening digital divide in how consumers handle taxes. The report provides new insight into consumer expectations around digital payments and financial interactions, with potential implications for tax authorities and payment providers. ACI...
NasdaqGS:NAVN
NasdaqGS:NAVNHospitality

A Look At Navan (NAVN) Valuation After Strong Q4 Results And Early Free Cash Flow Breakthrough

Navan (NAVN) is back in focus after its latest earnings report, where strong Q4 and full year revenue, earlier than planned free cash flow positivity, and AI driven products like Navan Edge caught investor attention. See our latest analysis for Navan. The latest earnings release and upbeat guidance have pulled fresh attention to Navan, even as the share price has been volatile. A 7 day share price return of 37.7% and a year to date share price return decline of 24.9% suggest that short term...
NYSE:BDC
NYSE:BDCElectronic

Belden’s ESG Recognition And 2026 Goals Set Against Valuation And Risks

Belden (NYSE:BDC) has been named to Newsweek’s America’s Most Responsible Companies list for a third consecutive year. The company reports achieving key sustainability milestones, including surpassing certain greenhouse gas reduction targets. Belden has expanded its Great Place to Work certification across more global locations. The company plans to introduce new long-term environmental, social, and governance goals in Spring 2026. Belden, listed on the NYSE under the ticker BDC, supplies...
NYSE:NFG
NYSE:NFGGas Utilities

Is It Too Late To Consider National Fuel Gas (NFG) After Its Strong Share Price Run?

Wondering if National Fuel Gas at around US$95.29 is still reasonably priced after a strong run, or if you might be turning up late to the story. The stock has returned 3.9% over the past week, 7.7% over the last month, 16.1% year to date, and 24.0% over the past year. This naturally raises questions about how much value is already reflected in the price. Recent coverage has focused on National Fuel Gas as a vertically integrated gas utility and energy company, with attention on how it...
ASX:SYR
ASX:SYRMetals and Mining

A Look At Syrah Resources (ASX:SYR) Valuation After Earnings Update And A$104 Million Rights Offering

Syrah Resources (ASX:SYR) has put out a busy update, pairing its full year 2025 earnings, which show sales of US$33.38 million and a net loss of US$100.66 million, with a A$104 million rights offering. See our latest analysis for Syrah Resources. The A$0.125 share price reflects a sharp reset in expectations, with a 30 day share price return of 47.92% and a 1 year total shareholder return of 47.41% loss, underscoring fading momentum despite the earnings update and capital raise. If this kind...
NasdaqGM:SMMT
NasdaqGM:SMMTBiotechs

Summit Therapeutics Links Ivonescimab Brain Metastases Data To November PDUFA

Summit Therapeutics presented new Phase III data on ivonescimab at the 2026 European Lung Cancer Congress in EGFR mutated NSCLC. The data highlighted improved intracranial progression free survival, including in patients with brain metastases. The company has submitted a Biologics License Application to the FDA, with a PDUFA decision date set for November. Summit Therapeutics, trading as NasdaqGM:SMMT, is drawing attention after sharing these late stage results alongside a confirmed FDA...
TSX:TAL
TSX:TALOil and Gas

PetroTal (TSX:TAL) Margin Compression To 15.9% Challenges Bullish Value Narratives

PetroTal (TSX:TAL) has just posted its FY 2025 numbers with Q4 revenue of US$46.2 million and a basic EPS loss of US$0.01, rounding out a trailing twelve month revenue line of US$278.7 million and basic EPS of US$0.05. Over the past few quarters, revenue has moved from US$97.7 million in Q1 2025 to US$70.8 million in Q2, US$63.9 million in Q3 and US$46.2 million in Q4, while quarterly EPS shifted from US$0.03 to US$0.02, US$0.00 and then into loss territory. With net profit margin for the...
NYSE:OGE
NYSE:OGEElectric Utilities

OGE Energy Issues Callable Notes As Valuation And Debt Come Into Focus

Oklahoma Gas and Electric Company, a subsidiary of OGE Energy (NYSE:OGE), announced a new fixed-income offering of callable senior and subordinated unsecured fixed rate notes. The notes are structured as unsecured obligations and include both senior and subordinated tranches, with fixed interest rates. The securities are callable, meaning the issuer may choose to redeem them before maturity, subject to the offering terms. OGE Energy, through Oklahoma Gas and Electric, operates as a...
NYSE:FUL
NYSE:FULChemicals

H.B. Fuller Secures Supply And Raises Prices While Refocusing On Balance Sheet

H.B. Fuller (NYSE:FUL) secured key raw materials after more than 40 force majeure notices linked to Middle East related supply disruptions. The company plans a minimum 10% global price increase effective April 1, 2026, to address inflation and raw material cost pressures. Management has paused acquisitions to focus on debt reduction and share buybacks, which signals a shift in capital allocation priorities. For investors watching NYSE:FUL, the share price sits at $59.17, with a 20.0% gain...
NYSE:RVTY
NYSE:RVTYLife Sciences

Revvity Vote On Special Meetings And Stock Retention Meets Valuation Gap

Revvity (NYSE:RVTY) plans to hold its annual meeting on April 28, 2026. Shareholders will vote on a proposed bylaw change to let holders of 25% of shares call special meetings. Activist-backed proposals seek tighter executive stock retention requirements tied to equity compensation. Revvity, which operates in life sciences and diagnostics, sits in a sector where governance practices are closely watched, partly because R&D cycles and regulatory oversight can shape capital allocation...
HLSE:SANOMA
HLSE:SANOMAMedia

Assessing Sanoma Oyj (HLSE:SANOMA) Valuation As Shares Show Mixed Recent Returns

Sanoma Oyj share performance snapshot Sanoma Oyj (HLSE:SANOMA) has drawn fresh attention after recent trading left the share price at €8.88, with the stock showing a 2.4% decline over the past day and a 2.3% decline over the past week. Over the past month, Sanoma’s return stands at a 1.4% decline, and over the past 3 months the stock has logged a 3.6% decline, while the one year total return is 5.3% and the 3 year total return is 26.4%. See our latest analysis for Sanoma Oyj. Recent trading...
TSE:9602
TSE:9602Entertainment

How Toho’s Leadership Shakeup Across Film, Theater, and Real Estate Will Impact Toho (TSE:9602) Investors

On March 18, 2026, Toho Co., Ltd.’s board approved sweeping leadership changes, including Representative Director Yoshishige Shimatani stepping down to become Corporate Adviser and the planned retirement of several senior Executive Officers across its real estate, theatrical, and cinema businesses. These shifts reshuffle decision‑making power across Toho’s core operating groups, potentially signaling an internal rethink of how its film, theater, and property operations are led. With these...
TASE:IDIN
TASE:IDINInsurance

IDI Insurance Q3 Net Margin Improvement Tests Cautious Dividend Narratives

Fresh off its FY 2025 update, I.D.I. Insurance (TASE:IDIN) reported Q3 revenue of ₪1.0b and basic EPS of ₪5.6, set against trailing twelve month revenue of ₪3.7b and EPS of ₪21.21 that reflect 23.6% earnings growth over the past year. Over recent periods, the company has seen revenue move from ₪3.2b to ₪3.7b on a trailing basis, with EPS stepping up from ₪14.70 to ₪21.21, while net profit margin shifted from 7.2% to 8.4%. For investors, that combination of higher earnings and firmer margins...
ENXTAM:CSG
ENXTAM:CSGAerospace & Defense

CSG (ENXTAM:CSG) Margin Compression Challenges Bullish Earnings Growth Narrative

CSG (ENXTAM:CSG) has just posted its FY 2025 first half numbers with total revenue of €2.8 billion and net income of €238.9 million, while trailing twelve month revenue stands at €5.2 billion against net income of €522.7 million and a reported 46.6% earnings growth over the past year. The company has seen revenue move from €1.6 billion in the first half of FY 2024 to €2.4 billion in the second half and then €2.8 billion in the first half of FY 2025, with net income shifting from €242.2...
NYSE:GTES
NYSE:GTESMachinery

Could Easing Geopolitical Tensions Reveal a More Resilient Industrial Cycle for Gates (GTES)?

Earlier this week, Gates Industrial Corporation, a manufacturer of engineered power transmission and fluid power solutions, was lifted by easing geopolitical tensions as postponed military action against Iran reduced perceived risk for globally exposed industrial companies. This shift in geopolitical risk sentiment matters for Gates because its end markets, including construction equipment and manufacturing, are closely tied to global economic stability and confidence in longer-term capital...
NasdaqGM:LGND
NasdaqGM:LGNDPharmaceuticals

Is Ligand Pharmaceuticals (LGND) Still Attractive After Its 165.7% Three Year Share Price Surge

If you are wondering whether Ligand Pharmaceuticals at around US$195 a share still offers value, the next sections will walk through what the current price might be implying about the business. The stock has delivered an 81.6% return over 1 year and 165.7% over 3 years, while the shorter term picture shows a 4.6% decline over 7 days alongside modest gains of 2.1% over 30 days and 2.8% year to date. Recent coverage of Ligand Pharmaceuticals has focused on its role in the wider pharmaceuticals...