U.S. Airlines Stock News

NYSE:NYT
NYSE:NYTMedia

Why New York Times (NYT) Is Getting Attention Today

New York Times (NYT) is back in focus after reporting second quarter and first half 2026 results that showed higher revenue, net income and earnings per share compared with the same periods a year earlier. See our latest analysis for New York Times. Despite the improved second quarter results and ongoing share repurchases, New York Times’ recent 30 day share price return is down 14.3% and the 90 day share price return is down 12.46%, although the 1 year total shareholder return of 10.3% and 3...
NYSE:TPC
NYSE:TPCConstruction

Comfort Systems USA Stock and 2 Tariff Winners in US Construction

Escalating Canada–US trade friction and fresh US tariffs on about US$20b of Canadian goods are reshaping where construction and building materials flow, and who gets paid. For investors, that shift could redirect demand toward U.S. stocks tied to cement, aggregates, lumber and related products, creating both potential openings and pitfalls. This article walks through three U.S. Domestic Construction & Building Materials Beneficiaries of Canada–U.S. Tariff Escalation screener stocks that are...
NasdaqGS:STOK
NasdaqGS:STOKBiotechs

Is Stoke Therapeutics (STOK) A Bargain On Its EMPEROR Trial Enrollment Milestone?

Why Stoke Therapeutics Stock Is Back In Focus After A Key Trial Milestone Stoke Therapeutics (STOK) is drawing fresh attention after its Phase III EMPEROR trial for Dravet syndrome exceeded its 150 patient enrollment target, reaching 162 participants with no discontinuations reported. See our latest analysis for Stoke Therapeutics. At a share price of $32.14, Stoke Therapeutics has seen a 10.64% 1 month share price return and a 73.82% 1 year total shareholder return. These figures suggest...
NYSE:CNC
NYSE:CNCHealthcare

Oscar Health Stock And Other US Healthcare Names Exposed To Policy Risk

Florida’s surprise primary result, with democratic socialist Angie Nixon advancing in the Senate race, has pushed healthcare policy risk back into the spotlight. For investors, the stakes around Medicare, Medicaid and ACA funding now feel more tangible. This can quickly reprice expectations for U.S. Healthcare and Managed Care stocks. This article walks through three stocks exposed to that shifting policy debate and explains why each might matter for your portfolio watchlist. The stocks...
NYSE:BH.A
NYSE:BH.AHospitality

Biglari Holdings (BH.A) Faces A Fair Value Gap Following Mixed Q2 Results

Biglari Holdings (BH.A) reported second quarter 2026 results that showed higher sales and revenue, while quarterly net income and earnings per share from continuing operations were lower than a year earlier. See our latest analysis for Biglari Holdings. The mixed earnings picture comes as Biglari Holdings shares trade at US$1,962.51, with a 90 day share price return of 42.76% and a 1 year total shareholder return of 28.27%. This points to strong recent momentum on top of longer term gains. If...
NYSE:SJM
NYSE:SJMFood

Is Smucker’s Jif Rebrand a Subtle Shift in SJM’s Long‑Term Brand Strategy?

J.M. Smucker recently unveiled the first major refresh of its Jif branding in more than 30 years, modernizing the tri-color logo, cleaning up typography, and updating packaging imagery to highlight new snack ideas and usage occasions. The revamped look, paired with innovations like squeezable formats, new flavored and “Simply” spreads, and the renaming of Jif To Go to Jif Dippers, underscores how the company is reshaping a core legacy brand around evolving consumer preferences for quick,...
NYSE:SNDA
NYSE:SNDAHealthcare

The Bull Case For Sonida Senior Living (SNDA) Could Change Following Ally Refinancing And Wider Q2 Losses

In August 2026, Sonida Senior Living, Inc. refinanced its borrowing arrangements with Ally Bank through a new US$380.0 million senior secured term loan, while reporting second-quarter 2026 revenue of US$207.65 million and a net loss of US$24.46 million. The refinancing, which extends interest-only payments for five years and folds in communities acquired via the CNL Healthcare Properties merger, underlines how Sonida is reshaping both its balance sheet and operating footprint at the same...
NYSE:FCF
NYSE:FCFBanks

First Commonwealth Financial (FCF) Could Be 11% Undervalued Following Its Recent Pullback

First Commonwealth Financial (FCF) has drawn investor attention after recent share price moves, with the stock last closing at US$21.32. The company’s value and income profile now invite closer scrutiny for portfolio positioning. See our latest analysis for First Commonwealth Financial. Recent trading has cooled slightly, with the 1 day share price return down 0.88% and the 7 day share price return down 1.02%. However, First Commonwealth Financial still shows firm momentum through a 90 day...
NYSE:ITW
NYSE:ITWMachinery

Is Illinois Tool Works (ITW) Cheap Following Its Bond Sale, Dividend Rise, And Buyback?

Illinois Tool Works (ITW) has drawn fresh attention after completing a US$1.5b fixed income offering of 4.650% senior unsecured notes due August 2029, alongside a higher dividend and a new share repurchase authorization. See our latest analysis for Illinois Tool Works. Over the past year, Illinois Tool Works has paired these capital allocation moves with a share price that closed at US$284.66. This has been supported by a 30-day share price return of 3.12% and a 90-day share price return of...
NasdaqGS:ALMS
NasdaqGS:ALMSPharmaceuticals

What Alumis (ALMS)'s Envudeucitinib Phase 3 Data and Deepening Losses Means For Shareholders

Earlier in August 2026, Alumis Inc. reported second-quarter results showing revenue of US$1.66 million and a net loss of US$142.22 million, reversing a net profit a year earlier as loss per share widened sharply. A few days before that earnings release, Alumis reported positive topline Phase 3 ONWARD3 extension data for its oral TYK2 inhibitor envudeucitinib in plaque psoriasis and outlined plans to file a U.S. FDA New Drug Application this year, highlighting a potential first-in-class,...
NasdaqGS:CLMT
NasdaqGS:CLMTOil and Gas

Diesel Prices Are Rising Again So Which US Fuel Stocks Merit A Closer Look

Diesel prices in the US are pressing toward record territory again, squeezing transport, farmers and manufacturers while stirring worries about inflation and interest rates. That kind of fuel shock can hurt some stocks and improve conditions for others that are closer to the refining and fuel profit pool. This article breaks down how that story connects to three specific US refiners and fuel producers from the screener and what their exposure to this news might mean for you. The three stocks...
NYSE:INGM
NYSE:INGMElectronic

Accelerating AI Workflow Adoption Could Be A Game Changer For Ingram Micro Holding (INGM)

In August 2026, Ingram Micro reported growing adoption of its Xvantage Integration (XI) Hub and secure Model Context Protocol (MCP) Server, with hundreds of channel partners using the tools to link AI assistants to business systems, automate workflows and cut manual integration work. Partners are reporting substantial time savings, such as trimming quote generation from hours or days to seconds, highlighting how tightly integrated AI and real-time data access can reshape everyday operations...
NasdaqCM:NUTX
NasdaqCM:NUTXHealthcare

Is Nutex Health’s (NUTX) New West Little Rock Micro-Hospital Clarifying Its Real Growth Strategy?

Nutex Health Inc. recently opened its 28th hospital nationwide, and third in Arkansas, with the West Little Rock Emergency Hospital, a 18,966-square-foot facility offering eight emergency room beds, five inpatient suites, two triage rooms, and advanced onsite imaging and laboratory services. This expansion deepens Nutex Health’s coverage across Little Rock, potentially strengthening its micro-hospital model by adding capacity and convenience in a growing suburban corridor. Next, we’ll...
NasdaqGS:PCAR
NasdaqGS:PCARMachinery

PACCAR (PCAR) Parts Growth Narrative Leaves Valuation Questions Open

Why PACCAR Stock Is Drawing Attention Now PACCAR (PCAR) is back on investor radar after recent share price moves, with the stock up over the past month and past 3 months while short term returns have been weaker. See our latest analysis for PACCAR. Short term momentum in PACCAR has cooled, with the share price down 2.16% over one day and 3.40% over seven days. However, the 90 day share price return of 14.67% and 1 year total shareholder return of 31.89% point to stronger underlying interest...
NYSE:AMCR
NYSE:AMCRPackaging

What Amcor (AMCR)'s Earnings Jump and Higher Dividend Mean For Shareholders

Amcor plc recently reported fourth-quarter and full-year results to June 30, 2026, with sales rising to US$6,398 million for the quarter and US$23.51 billion for the year, net income improving to US$389 million for the quarter and US$1.11 billion for the year, alongside a higher quarterly cash dividend of US$0.65 per share. On the governance front, the board also replaced PricewaterhouseCoopers AG, Switzerland with PricewaterhouseCoopers LLP, United States as its independent auditor from its...
NasdaqGS:ZG
NasdaqGS:ZGReal Estate

How Investors May Respond To Zillow Group (ZG) Earnings, Buybacks And Leadership Shuffle

In the second quarter of 2026, Zillow Group reported revenue of US$772 million, a small net loss of US$4 million, expanded leadership roles including a new Chief Operating Officer & Chief Financial Officer and Chief Legal and Policy Officer, and completed a US$200 million share repurchase tranche under its multi-year buyback program. These results, combined with rising U.S. asking rents in Zillow’s July Rental Market Report and fresh senior leadership appointments in operations, mortgages...
NYSE:UNFI
NYSE:UNFIConsumer Retailing

3 U.S. Consumer Staples Stocks With Pricing Power as Tariff Costs Rise

Tariffs on everyday Canadian imports, from wine to hockey sticks, are about to test how U.S. consumer staples retailers handle rising costs and shifting shopper behavior. That kind of shock can reshuffle which stocks quietly gain strength and which struggle to adapt, and missing that reshuffle can be costly. This article walks through 3 U.S. consumer staples retailers exposed to this news so you can judge where the pressure and potential might sit. These three retailers are just a starting...
NYSE:SQM
NYSE:SQMChemicals

Sociedad Química Y Minera De Chile (SQM) Breakout Puts Its Lithium Growth Story And Fair Value In Focus

Short term breakout draws attention to Sociedad Química y Minera de Chile (SQM) Sociedad Química y Minera de Chile (SQM) recently moved above its 50 day moving average. The stock is up 6.5% over the past month and is supported by positive earnings estimate revisions. See our latest analysis for Sociedad Química y Minera de Chile. At a latest share price of US$74.47, Sociedad Química y Minera de Chile has a 7 day share price return of 3.1% and a 30 day share price return of 6.7%. Its 1 year...
NasdaqGS:ACGL
NasdaqGS:ACGLInsurance

How Investors Are Reacting To Arch Capital Group (ACGL) Earnings Beat Amid Softer Premium Growth

In the past quarter, Arch Capital Group Ltd. reported Q2 results where adjusted earnings per share surpassed expectations, even as net premiums written fell compared with a year earlier. This mix of stronger-than-forecast profitability and softer premium volume has left analysts maintaining a Moderate Buy consensus, highlighting a nuanced view of the insurer’s current position. Next, we’ll explore how Arch Capital’s better-than-expected adjusted earnings, despite weaker premium growth, may...
NYSE:PCOR
NYSE:PCORSoftware

What Procore Technologies (PCOR)'s New Asset Register Rollout Means For Shareholders

Earlier this month, Procore Technologies announced the general availability of Asset Register, a new module within Procore Asset Management that continuously captures and organizes asset data during construction to streamline digital handovers, support regulatory needs such as the UK’s Golden Thread requirements, and integrate with Procore’s AI capabilities across North America, EMEA, and APAC. By embedding Asset Register directly into the platform that project teams already use, Procore is...
NYSE:CNR
NYSE:CNROil and Gas

Core Natural Resources (CNR) Profit Rebound And Guidance Put Valuation Back In Focus

Core Natural Resources (CNR) drew fresh attention after reporting second quarter 2026 sales of US$1,141.01 million and net income of US$126.47 million, compared with a net loss in the same period last year. See our latest analysis for Core Natural Resources. The latest earnings release, dividend affirmation and updated sales volume guidance have come alongside some cooling in the very short term, with a 1-day share price return that declined 4.01% and a 7-day share price return that declined...
NasdaqGS:HST
NasdaqGS:HSTHotel and Resort REITs

Host Hotels & Resorts (HST) Lifted 2026 Guidance, Is It Still Below Fair Value?

Why Host Hotels & Resorts stock is back in focus Host Hotels & Resorts (HST) has drawn fresh attention after raising its 2026 earnings guidance and reporting higher revenue and net income for both the second quarter and first half of the year. See our latest analysis for Host Hotels & Resorts. The raised 2026 guidance and focus on acquisitions have come alongside a 26.21% year to date share price return and a 53.79% total shareholder return over one year. This suggests momentum in the Host...
NYSE:CPK
NYSE:CPKGas Utilities

Did Steady Q2 Results, Reaffirmed 2028 EPS and ESOP Cleanup Just Shift Chesapeake Utilities' (CPK) Investment Narrative?

Chesapeake Utilities Corporation recently reported higher second-quarter 2026 sales of US$209.5 million and revenue of US$201.9 million, modestly increased earnings per share, reaffirmed its 2028 earnings guidance of US$7.75 to US$8.00 per share, maintained its US$0.735 quarterly dividend, and closed a long-standing shelf registration tied to an ESOP-related common stock offering. The combination of steady earnings growth, a 65-year uninterrupted dividend record with annual increases since...
NasdaqGS:MBLY
NasdaqGS:MBLYAuto Components

Mobileye Global (MBLY) Faces A Valuation Split, Is The Stock Cheap?

Mobileye Global (MBLY) has come under fresh scrutiny after conflicting valuation signals, with some models pointing to upside based on its advanced driver assistance and autonomous platforms, while other metrics suggest the stock trades at a premium. See our latest analysis for Mobileye Global. Over the past year, sentiment around Mobileye Global has cooled, with the share price at US$8.87 and a year-to-date share price return of a 21.02% decline. The 1-year total shareholder return of a...