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OB:MOWI
OB:MOWIFood

Mowi Expands Northern Norway Footprint With Torghatten Aqua Acquisition

Mowi (OB:MOWI) plans to acquire Torghatten Aqua AS’s salmon farming business in Northern Norway. The deal will expand Mowi’s production capacity and footprint in a key salmon farming region. The acquisition is intended to support the company’s long term growth plans and competitive position in the industry. For you as an investor, this move ties directly into what Mowi already does: large scale salmon farming with a focus on sustainable operations. Northern Norway is a core hub for global...
TSX:PXT
TSX:PXTOil and Gas

Is Parex Resources (TSX:PXT) Still Attractive After Near 100% One Year Share Price Gain

If you are wondering whether Parex Resources shares still offer value at around $23.34, you are not alone. Many investors are asking the same question right now. The stock has returned 5.7% over the last 7 days, 11.7% over 30 days, 24.7% year to date, 98.0% over 1 year, 23.1% over 3 years and 46.6% over 5 years. This naturally raises questions about what is already priced in and what might still be on the table. Recent news coverage has focused on Parex Resources in the context of broader...
NYSE:ATMU
NYSE:ATMUMachinery

Port Capital Stake And Koch Deal Reframe Atmus Filtration Outlook

Port Capital LLC has increased its position in Atmus Filtration Technologies (NYSE:ATMU) by more than 446,000 shares, reflecting a larger institutional presence in the stock. Atmus has acquired Koch Filter, adding air filtration products and access to industrial and commercial HVAC, data center, and power generation markets. The twin developments connect capital inflows with an expansion of Atmus' filtration portfolio and end market exposure. Atmus Filtration Technologies, trading at around...
NYSE:GEO
NYSE:GEOCommercial Services

GEO Group CFO Shift Puts Focus On Volatile Returns And Valuation

GEO Group (NYSE:GEO) announced a leadership change as longtime Chief Financial Officer Mark J. Suchinski is departing the company. Veteran finance executive and internal leader Shayn March has been appointed as the new CFO, taking over responsibility for GEO's financial operations. The transition marks a material shift in the company's financial leadership during a period of recent share price and return volatility. For investors watching GEO Group at a current share price of $14.08, this...
OTCPK:RVRF
OTCPK:RVRFBanks

River Financial (OTCPK:RVRF) Net Margin Strength Reinforces Bullish Profitability Narratives

River Financial (RVRF) has wrapped up FY 2025 with fourth quarter total revenue of US$32.3 million and basic EPS of US$1.40, supported by quarterly net income of US$10.9 million. Over the past year, the company has seen trailing twelve month revenue move from US$104.1 million to US$124.9 million, while trailing EPS has shifted from US$4.09 to US$5.43 and trailing net income has gone from US$31.3 million to US$42.1 million. With trailing net margin sitting at 33.7% and earnings described as...
TSX:FFH
TSX:FFHInsurance

Fairfax Poseidon Stake Sale Reshapes Capital Allocation And Valuation Story

Fairfax Financial Holdings (TSX:FFH) agreed to sell about half its stake in Poseidon Corp. for US$1.91b. The transaction keeps Fairfax invested in Poseidon through a remaining equity position and preferred securities. The deal introduces new investors to Poseidon while releasing capital that Fairfax can redeploy elsewhere in its portfolio. For you as an investor looking at TSX:FFH, this move sits at the intersection of insurance operations and investment activity, which are both core to...
NasdaqGS:LMRI
NasdaqGS:LMRIHealthcare

Is It Time To Revisit Lumexa Imaging Holdings (LMRI) After Recent Healthcare Sector Focus?

If you are wondering whether Lumexa Imaging Holdings is attractively priced or not, you are in the right place. This article will walk you through what the current market price might be implying about its value. The share price recently closed at US$14.45, with a 30 day return of 33.8%, a 7 day return reflecting a 6.6% decline, and a year to date return showing a 17.7% decline. These changes can influence how investors think about both upside potential and risk. Recent news around Lumexa...
NasdaqGS:CASY
NasdaqGS:CASYConsumer Retailing

Casey’s General Stores Q3 Net Margin Expansion Tests High P E Bull Case

Casey’s General Stores (CASY) has put up another detailed scorecard for Q3 2026, with revenue of US$3.9 billion, basic EPS of US$3.51 and net income of US$130.1 million, while same store sales growth landed at 0.4%. The company has seen quarterly revenue move between US$3.9 billion and US$4.6 billion over the last few periods, with EPS ranging from US$2.35 to US$5.80 and trailing twelve month EPS at US$17.52 alongside net income of US$650.1 million. This sets the stage for investors to focus...
NYSE:VOYG
NYSE:VOYGAerospace & Defense

Voyager Technologies (VOYG) Posts US$116 Million Annual Loss Testing High-Growth Bullish Narratives

Voyager Technologies (VOYG) just closed FY 2025 with Q4 revenue of US$46.7 million and a basic EPS loss of US$0.52. Trailing 12 month revenue came in at US$166.4 million against a full year EPS loss of US$2.89 and revenue growth of 15.4% over the past year. The company has seen quarterly revenue range from US$34.5 million to US$46.7 million this year, with basic EPS losses stretching from US$0.28 to US$3.45 per quarter. Trailing 12 month net income excluding extra items was a loss of US$116.1...
SEHK:1286
SEHK:1286Machinery

Impro Precision Industries (SEHK:1286) Margin Improvement Tests Bullish Growth Narratives

Impro Precision Industries (SEHK:1286) has reported FY 2025 first half revenue of HK$2,449.9 million and basic EPS of HK$0.18, with trailing twelve month revenue at HK$5.1 billion and EPS at HK$0.39 framing the latest numbers in a broader context. Over the last three reported half year periods, revenue has moved from HK$2,402.5 million in 1H 2024 to HK$2,284.3 million in 2H 2024 and then to HK$2,449.9 million in 1H 2025, while basic EPS has shifted from HK$0.16 to HK$0.18 over the same span,...
TSX:CJ
TSX:CJOil and Gas

Is It Too Late To Consider Cardinal Energy (TSX:CJ) After Its 83% One Year Surge

For investors wondering whether Cardinal Energy still offers value at around $10.16, or if the easy gains are already behind it, this article walks through what the numbers say about the stock. The share price has moved by 2.0% over the last week, 8.4% over the last month, 15.5% year to date and 83.5% over the past year, on top of a very large 5 year return that is roughly 7x. Recent attention on Cardinal Energy has focused on its position in the Canadian energy sector and how investors see...
ASX:QBE
ASX:QBEInsurance

Assessing QBE Insurance Group’s Valuation After Buy-Back Execution And Shift Toward Specialty And Emerging Risk Lines

QBE Insurance Group (ASX:QBE) is back in focus after fresh news on its on market share buy back and a shift toward tighter underwriting and specialty lines linked to climate and cyber risks. See our latest analysis for QBE Insurance Group. Those moves come after a mixed but generally positive run in the shares, with a 90 day share price return of 8.72% and a three year total shareholder return of 65.13%, suggesting momentum has been building around QBE’s tighter underwriting focus and ongoing...
NasdaqGS:LKQ
NasdaqGS:LKQRetail Distributors

LKQ Board Change Raises Questions On Governance And Future Portfolio Moves

LKQ (NasdaqGS:LKQ) announced that board member Patrick Berard will step down after his current term and will not seek re election. The change affects the composition of LKQ's board of directors, an important body for governance and oversight. Investors may look at future board appointments for signals on company direction and oversight priorities. LKQ, a distributor of vehicle replacement and specialty parts, sits in the middle of trends around vehicle maintenance, repair, and aging car...
NYSE:SUN
NYSE:SUNOil and Gas

Sunoco Extends Debt Maturities As Refinancing Reshapes Interest Burden

Sunoco (NYSE:SUN) has priced a private offering of senior notes totaling US$1.2b. The offering has been upsized and is aimed at refinancing existing debt at Sunoco and NuStar Logistics. These transactions adjust the company’s capital structure and involve changes to key underwriters. Sunoco (NYSE:SUN) sits at the intersection of fuel distribution and energy infrastructure, where access to credit markets can be as important as operational performance. For investors tracking the sector,...
NYSE:USFD
NYSE:USFDConsumer Retailing

US Foods Reworks Deal Playbook After Shetakis Buy And Merger Exit

US Foods Holding (NYSE:USFD) signs a definitive agreement to acquire Shetakis, expanding its presence in the foodservice distribution space. The company ends its planned merger with Performance Foods after running into regulatory and economic hurdles. Together, these moves reshape US Foods Holding's growth playbook in a challenging foodservice market. US Foods Holding, one of the largest foodservice distributors in the US, operates in a sector facing cost pressures, changing restaurant...
NasdaqGS:VRTX
NasdaqGS:VRTXBiotechs

US Stock Market Today Stock Futures Edge Lower On Housing Jitters And Fed Uncertainty

The Morning Bull - US Market Morning Update Wednesday, Mar, 11 2026 US stock futures are slightly lower this morning, with E-mini S&P 500 contracts down about 0.1%, as investors weigh softer US housing confidence against steady bond markets and solid hiring. Existing home sales are running at an annual pace of 4.09 million, with prices near US$398,000, which matters for anyone thinking about moving or taking out a new mortgage. At the same time, the 10 year Treasury yield is holding around...
ASX:DVP
ASX:DVPMetals and Mining

Develop Global H1 Profit Collapse Tests Bullish Growth Narrative

Develop Global (ASX:DVP) has posted H1 2026 revenue of A$174.4 million with basic EPS of A$0.005, alongside trailing twelve month revenue of A$294.2 million and EPS of A$0.120 that reflect its move into profit over the past year. Over recent halves, the company has seen revenue move from A$113.5 million in H1 2025 to A$119.8 million in H2 2025 and then to A$174.4 million in H1 2026, while basic EPS shifted from A$0.0044 in H1 2025 to A$0.0801 in H2 2025 before landing at A$0.005 in the latest...
TSE:3180
TSE:3180Consumer Services

Beauty Garage (TSE:3180) Margin Compression Challenges Bullish Earnings Growth Narrative

BEAUTY GARAGE (TSE:3180) has put up another quarter of steady top and bottom line figures, with Q3 2026 revenue at ¥9.4 billion and basic EPS of ¥16.42, giving investors a clear read on the latest run rate. The company has seen revenue move from ¥8.3 billion in Q2 2025 to ¥9.4 billion in Q3 2026, while quarterly basic EPS has ranged from ¥15.66 in Q2 2025 to ¥16.42 in the latest quarter, setting the backdrop for how you might think about its earnings power and the current release. With...
BME:CAF
BME:CAFMachinery

How Investors May Respond To Construcciones y Auxiliar de Ferrocarriles (BME:CAF) Stronger 2025 Earnings And EPS Growth

In February 2026, Construcciones y Auxiliar de Ferrocarriles, S.A. reported full-year 2025 results showing sales of €4,493.5 million, up from €4,220.7 million, and net income of €146.26 million compared with €103.26 million a year earlier. Basic and diluted earnings per share from continuing operations rose to €4.27 from €3.02, pointing to meaningfully improved profitability on essentially the same share base. We will now examine how this earnings and profitability improvement shapes CAF’s...
SEHK:1211
SEHK:1211Auto

BYD’s Ultra-Fast FLASH Charging And New Blade Battery Might Change The Case For Investing In BYD (SEHK:1211)

In March 2026, BYD Company Limited reported that its February production and sales volumes were lower than a year earlier, while also unveiling its FLASH Charging technology and second-generation Blade Battery with faster charging and improved energy density. These battery and charging innovations, including very high-power FLASH Charging and an expanded station rollout plan, signal BYD’s push to reshape how quickly and efficiently electric vehicles can be recharged in China and...
SWX:SIGN
SWX:SIGNPackaging

Assessing SIG Group (SWX:SIGN) Valuation After Full Year Loss And Weaker Sales

SIG Group (SWX:SIGN) is back in focus after its latest full year results showed sales of €3,248.7 million and a shift from €194.5 million net income to a €87 million net loss. See our latest analysis for SIG Group. The earnings release has come after a mixed stretch for the stock, with a 90 day share price return of 25.65% and a 1 year total shareholder return decline of 31.77%. This suggests recent momentum has improved while longer term returns remain weak as investors reassess the risk...
TSX:CU
TSX:CUIntegrated Utilities

The Bull Case For Canadian Utilities (TSX:CU) Could Change Following A Sharp 2025 Profit Drop - Learn Why

Canadian Utilities Limited has released its full-year 2025 results, reporting sales of C$3,690 million and net income of C$119 million, with basic and diluted earnings per share from continuing operations of C$0.15, all lower than the prior year. The sharp drop in net income and earnings per share versus 2024 highlights a materially weaker profitability profile that could prompt investors to reassess the company’s earnings resilience. Against this backdrop of significantly lower annual...
BME:EBRO
BME:EBROFood

Ebro Foods’ Rising EPS Amid Softer Sales Could Be A Game Changer For Ebro Foods (BME:EBRO)

Ebro Foods, S.A. has released its full-year 2025 results, reporting sales of €3.01 billion versus €3.14 billion a year earlier, while net income rose to €214.88 million and basic earnings per share from continuing operations increased to €1.397. The combination of lower sales but higher net income and earnings per share suggests Ebro Foods improved profitability and efficiency over the period. We’ll now examine how Ebro Foods’ ability to grow earnings per share despite softer sales...
TSX:ELF
TSX:ELFInsurance

Does The Low P/E Of E‑L Financial (TSX:ELF) Reflect Its Recent Share Price Pullback?

If you are wondering whether E L Financial's share price still reflects its underlying worth, this article will walk through what the current numbers may be telling you about value. The stock has seen mixed recent returns, with a 1.9% decline over the last week, a 7.7% decline over the last month, a 4.3% decline year to date, but a 23.0% return over the past year and very large gains over three and five years of about 1.2x and 1.6x respectively. Recent coverage around E L Financial has...