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NYSE:ALEX
NYSE:ALEXREITs

Assessing Alexander & Baldwin (ALEX) Valuation After Recent Share Price Strength

Assessing Alexander & Baldwin after recent performance shifts Alexander & Baldwin (ALEX) has drawn fresh attention as investors reassess its Hawai‘i focused commercial real estate portfolio in light of recent share performance and current earnings and revenue trends. See our latest analysis for Alexander & Baldwin. At a share price of US$20.83, Alexander & Baldwin has seen a 90 day share price return of 35.17%, while its 1 year total shareholder return of 24.02% suggests that momentum has...
NasdaqGM:PRME
NasdaqGM:PRMEBiotechs

Prime Medicine (PRME) Quarterly Loss Near US$50 Million Reinforces Bearish Community Narratives

Prime Medicine (PRME) has released fresh FY 2025 figures, with Q3 results showing total revenue of US$1.2 million and a basic EPS loss of US$0.32, as net income excluding extra items recorded a loss of US$50.6 million. The company’s quarterly revenue has moved from US$0.2 million in Q3 2024 to US$2.2 million in Q4 2024, then to US$1.5 million in Q1 2025, US$1.1 million in Q2 2025, and US$1.2 million in Q3 2025. Over the same period, basic EPS ranged between losses of US$0.32 and US$0.46 per...
NYSE:ESRT
NYSE:ESRTOffice REITs

Empire State Realty Trust (ESRT) Q4 FFO Per Share Holds At About US$0.22 Challenging Bearish Views

Empire State Realty Trust (ESRT) closed out FY 2025 with Q4 revenue of US$199.2 million and basic EPS of US$0.12, alongside funds from operations of US$59.0 million and FFO per share of US$0.22. The company reported revenue of US$197.6 million in Q4 2024 and US$199.2 million in Q4 2025, while basic EPS moved from US$0.07 to US$0.12 over the same period. Trailing 12 month net margin was 5.7% compared with 6.2% a year ago, and a sizeable one off gain of US$34.9 million affected recent earnings...
NasdaqGM:CERS
NasdaqGM:CERSMedical Equipment

Cerus (CERS) Revenue Growth Outpaces Market And Reinforces Bullish Margin Recovery Narrative

Cerus (CERS) has just closed out FY 2025 with Q4 revenue of US$57.8 million and a basic EPS loss of US$0.01, while trailing 12 month figures sit at US$206.1 million in revenue and a basic EPS loss of US$0.08. Over recent quarters the company has seen revenue move from US$50.8 million in Q4 2024 to US$43.2 million in Q1 2025, then to US$52.4 million in Q2, US$52.7 million in Q3 and US$57.8 million in Q4, with basic EPS losses ranging between US$0.00 and US$0.04 per share across the same...
NasdaqCM:NBBK
NasdaqCM:NBBKBanks

NB Bancorp (NBBK) Margin Surge Reinforces Bullish Earnings Narrative Despite Valuation Debate

NB Bancorp's FY 2025 Earnings Snapshot NB Bancorp (NBBK) has just closed out FY 2025 with fourth quarter total revenue of US$64.2 million and basic EPS of US$0.19, alongside quarterly net income of US$7.7 million. Over the past year, the bank has seen total revenue move from US$44.9 million in Q4 FY 2024 to US$64.2 million in Q4 FY 2025, while quarterly EPS shifted from US$0.40 to US$0.19. With trailing 12 month earnings growth reported at 350.6% and net profit margin running at 30.7% versus...
NYSE:VOYA
NYSE:VOYADiversified Financial

Is Voya Financial (VOYA) Pricing Look Attractive After Recent Share Price Weakness?

If you are wondering whether Voya Financial's current share price reflects its true worth, this article will walk through the key numbers that matter for valuation. The stock last closed at US$67.61, with returns of 3.0% decline over 7 days, 11.8% decline over 30 days, 10.6% decline year to date, 0.2% decline over 1 year, 1.9% decline over 3 years, and 16.9% gain over 5 years, which gives you a mixed picture of recent and longer term performance. This piece was prompted to provide ongoing...
NYSE:SEMR
NYSE:SEMRSoftware

Semrush Holdings (SEMR) Returns To EPS Loss In Q4 FY 2025 Challenging Bullish Margin Story

Semrush Holdings (SEMR) just posted its FY 2025 numbers with Q4 revenue of US$117.7 million and a basic EPS loss of US$0.07, alongside a full year trailing revenue line of US$443.6 million and a trailing basic EPS loss of US$0.13. Over recent periods the company has seen quarterly revenue move from US$97.4 million in Q3 FY 2024 to US$117.7 million in Q4 FY 2025. Basic EPS has shifted from a profit of US$0.02 in Q4 FY 2024 to a loss of US$0.07 in Q4 FY 2025, which highlights a situation where...
NasdaqGM:BEEP
NasdaqGM:BEEPCommercial Services

Mobile Infrastructure (BEEP) Widening Losses Challenge Bullish Earnings Recovery Narrative

Mobile Infrastructure (BEEP) FY 2025 Earnings Snapshot Mobile Infrastructure (BEEP) has wrapped up FY 2025 with Q4 total revenue of US$8.8 million and a basic EPS loss of US$0.19, alongside a net income loss of US$7.7 million, putting margins firmly in the red for the period. The company has seen quarterly revenue move between US$8.2 million and US$9.1 million over FY 2025, while basic EPS losses ranged from US$0.10 to US$0.19. Trailing twelve month figures show revenue of US$35.1 million...
NYSE:AIV
NYSE:AIVResidential REITs

Apartment Investment And Management (AIV) Discontinued Ops Windfall Tests Bearish Narratives On Core Losses

Apartment Investment and Management (AIV) has posted its latest FY 2025 numbers with third quarter revenue at US$35.1 million and basic EPS at a US$0.71 loss, while trailing twelve month figures show revenue of US$210.9 million and basic EPS of a US$1.01 loss. Over the past few reported periods, revenue has moved between US$35.1 million and US$54.2 million a quarter, with basic EPS ranging from a loss of US$0.07 to a loss of US$1.07, giving investors a clear view of the pressure on margins...
LSE:FRES
LSE:FRESMetals and Mining

Fresnillo’s Record Results And Dividend Raise Questions On Valuation And Risk

Fresnillo (LSE:FRES) reported record financial performance for the year, with revenues and profits at all time highs. The company achieved this result despite declines in silver and gold production. Fresnillo also paid its highest dividend since its listing, supported by elevated precious metal prices. Fresnillo is a major precious metals producer, with a core focus on silver and gold. The latest results come at a time when precious metal prices have been elevated, which can have a strong...
NYSE:BJ
NYSE:BJConsumer Retailing

BJ's Wholesale Club Expansion Tests Market Share And Profitability Story

BJ's Wholesale Club Holdings (NYSE:BJ) is reporting twelve straight quarters of market share gains alongside record profitability. The company is pushing into new territories, including Alabama and Texas, supported by its Fresh 2.0 initiative and growing e commerce activity. Recent performance in private label and digital offerings is adding to the operational momentum and supporting its expansion plans. BJ's Wholesale Club sits at an interesting point for investors, with the stock at...
NasdaqGS:MSBI
NasdaqGS:MSBIBanks

Midland States Bancorp (MSBI) Quarter Loss Challenges Bullish Earnings Turnaround Narrative

Midland States Bancorp (MSBI) closed FY 2025 with fourth quarter revenue of US$73.9 million and a basic EPS loss of US$0.22. Trailing twelve month figures show revenue of US$265.1 million and a basic EPS loss of US$6.10. The company’s quarterly revenue moved from US$74.7 million in Q3 2024 to US$73.9 million in Q4 2025, while EPS shifted from a profit of US$0.83 in Q3 2024 to a loss of US$0.22 in the latest quarter. This keeps the focus on how quickly margins can stabilise from here. See our...
TSE:9716
TSE:9716Professional Services

Assessing NOMURA (TSE:9716) Valuation After A Strong 1 Year Shareholder Return

With no specific event driving headlines, NOMURA (TSE:9716) has still drawn attention after a recent ¥1,404 close, a year to date return of 6.6%, and a 1 year total return of 67.4%. See our latest analysis for NOMURA. Recent trading has been choppy, with a 1 day share price return of 3.7% decline and a 7 day share price return of 1.7% decline. However, the 90 day share price return of 17.9% sits alongside a 1 year total shareholder return of 67.4%, which points to momentum that has cooled...
NYSE:EVTC
NYSE:EVTCDiversified Financial

EVERTEC Buyback Expansion Highlights Valuation Gap And Latin America Progress

EVERTEC (NYSE:EVTC) has expanded its share repurchase authorization and extended the duration of the program. The update follows a period of record revenue and growth in Latin America driven by acquisitions and digitalization. The larger, longer buyback plan reflects management's stated confidence in the company’s ongoing transformation. EVERTEC, trading around $28.83, has seen its share price move sharply in the short term, with a 14.5% gain over the past week. Over longer periods, returns...
NYSE:INGM
NYSE:INGMElectronic

Ingram Micro Holding (INGM) EPS Jump Reinforces Bullish Margin Expansion Narrative

Ingram Micro Holding (INGM) just posted its FY 2025 fourth quarter numbers, with revenue of about US$14.9b, basic EPS of US$0.52 and net income excluding extraordinary items of US$121.41m. The company has seen quarterly revenue move from US$13.3b in Q4 2024 to US$14.9b in Q4 2025, while basic EPS went from US$0.36 to US$0.52. Trailing twelve month EPS stands at US$1.40 on revenue of about US$52.6b and net income of US$327.88m. This sets up a story in which relatively thin but improving...
NasdaqGS:SENS
NasdaqGS:SENSMedical Equipment

Senseonics Holdings (SENS) Q3 Revenue Doubles Year On Year Yet Losses Keep Bear Case In Play

Senseonics Holdings (SENS) just posted its FY 2025 third quarter numbers, with revenue at US$8.1 million and a basic EPS loss of US$0.43, while net income excluding extra items came in at a loss of US$19.5 million. The company has seen quarterly revenue move from US$4.3 million in Q3 2024 to US$8.1 million in Q3 2025, alongside quarterly basic EPS shifting from a loss of US$0.77 to a loss of US$0.43 over the same stretch. For investors, this set of results puts the focus squarely on how...
NasdaqGS:JAKK
NasdaqGS:JAKKLeisure

JAKKS Pacific (JAKK) Margin Squeeze Challenges Bullish Earnings Growth Narrative

JAKKS Pacific (JAKK) has just closed out FY 2025 with Q4 revenue of US$127.1 million and a basic EPS loss of US$0.47, while trailing 12 month EPS stood at US$0.88 on revenue of US$570.7 million. Over recent quarters the company has seen revenue move from US$321.6 million in Q3 FY 2024 to US$211.2 million in Q3 FY 2025, with basic EPS shifting from US$4.78 to US$1.78 over the same periods, setting up a results season in which investors will be watching how those earnings forecasts and margin...
NYSE:CBT
NYSE:CBTChemicals

Cabot Expands Circular Carbons As Tire Makers Pursue Sustainability Targets

Cabot (NYSE:CBT) has expanded global production of its sustainable circular reinforcing carbons in the Asia Pacific region. The expansion uses recycled tire pyrolysis oil and ISCC PLUS certification to supply circular reinforcing materials to tire manufacturers worldwide. This move is intended to support higher recycled content in tires and contribute to sustainability goals across multiple regions. For investors, this development sits at the intersection of specialty chemicals, materials...
NasdaqGM:GCMG
NasdaqGM:GCMGCapital Markets

A Look At GCM Grosvenor (GCMG) Valuation As Mixed Returns Contrast With Undervaluation Narrative

Why GCM Grosvenor (GCMG) Is Drawing Investor Attention GCM Grosvenor (GCMG) has been drawing fresh interest as investors reassess its recent share performance alongside the firm’s latest reported figures for revenue, net income, and multi year total returns. See our latest analysis for GCM Grosvenor. At a share price of $11.70, GCM Grosvenor has seen short term share price momentum, including an 8.13% 90 day share price return, set against a 12.12% decline in 1 year total shareholder return...
ASX:NWL
ASX:NWLCapital Markets

A Look At Netwealth Group’s Valuation After Mixed Half Year Results And Higher Interim Dividend

Earnings and dividend headlines investors are watching Netwealth Group (ASX:NWL) has released half year results to 31 December 2025, reporting higher revenue alongside a move to a net loss and a 20% increase in its fully franked interim dividend. See our latest analysis for Netwealth Group. At a share price of A$24.51, Netwealth Group has a 90 day share price return of 10.51% and a 1 year total shareholder return decline of 16.17%. The 3 year total shareholder return of 82.57% points to much...
BME:BBVA
BME:BBVABanks

Do BBVA's New US$2.5 Billion Notes Clarify Its Long-Term Funding Strategy (BME:BBVA)?

In late February 2026, Banco Bilbao Vizcaya Argentaria, S.A. completed and announced several US$-denominated senior non-preferred note offerings totaling US$2.50 billion, spanning fixed and floating-rate Eurobond and Eurodollar issues maturing in 2029 and 2036. These issuances, coming soon after BBVA reported record 2025 profit on strong loan growth and efficiency gains, highlight how the bank is tapping bond markets to support its balance sheet and funding mix. We’ll now examine how...
NYSE:HCI
NYSE:HCIInsurance

HCI Group Balances US$80m Buyback With Exzeo IPO Potential

HCI Group (NYSE:HCI) authorized a new $80 million share repurchase program. The company completed the IPO of its Exzeo technology platform. These actions reflect a shift in how HCI Group is using capital and its technology assets. HCI Group, an insurance and technology company, is giving investors fresh developments to watch beyond standard quarterly numbers. The new $80 million buyback authorization and the Exzeo IPO put both its balance sheet and tech capabilities in focus. For...
NasdaqCM:USGO
NasdaqCM:USGOMetals and Mining

Is U.S. GoldMining’s (USGO) Pre-PDAC Spotlight Reframing Its Exploration Story Or Just Polishing Optics?

U.S. GoldMining Inc. recently presented at the Pre-PDAC 2026 Mining Showcase on February 27, 2026, at the Omni King Edward Hotel in Toronto, highlighting its latest project and corporate updates to an audience of industry professionals and investors. This appearance at a high-profile mining conference has amplified the company’s visibility among sector-focused investors, potentially influencing how its exploration story and future funding options are perceived. With this increased exposure...
ASX:SCG
ASX:SCGRetail REITs

Assessing Scentre Group’s Valuation After Strong 2025 Results And Higher 2026 Distribution Guidance

Scentre Group (ASX:SCG) has drawn investor attention after releasing full year 2025 results alongside 2026 distribution guidance, pairing higher reported earnings with an outlined 4.0% uplift in forecast distributions to 18.43 cents per security. See our latest analysis for Scentre Group. Despite the upbeat 2025 results and 2026 distribution guidance, Scentre Group’s recent share price performance has cooled, with a 30 day share price return of 7.35% and a 90 day return of 9.79% alongside a...