U.S. Auto Components Stock News

NYSE:OKE
NYSE:OKEOil and Gas

ONEOK (OKE) Could Be 6% Undervalued After Holding Its Dividend Steady

ONEOK (OKE) recently affirmed a quarterly dividend of $1.07 per share, keeping its payout level unchanged. The announcement comes as the stock shows a year to date return of about 20%. See our latest analysis for ONEOK. Despite the recent 1 day share price decline of about 4% to US$89.46, ONEOK still shows a year to date share price return of just over 20%, alongside a 5 year total shareholder return above 100%. This points to momentum that has cooled in the very near term but remains strong...
NYSE:LCII
NYSE:LCIIAuto Components

LCI Industries (LCII) Appoints Robert P Hureau To Board And Key Committees

LCI Industries (NYSE:LCII) has appointed Robert P. Hureau to its Board of Directors and key Board committees. Hureau brings experience in industrial manufacturing, financial management, and global operations, including executive roles at Alamo Group and American Trailer World. The appointment is intended to strengthen board-level oversight of corporate strategy, M&A, and risk management at LCI Industries. LCI Industries operates in the recreational vehicle and adjacent transportation...
NYSE:WWW
NYSE:WWWLuxury

Wolverine World Wide (WWW) After The Billy Strings Drop, Is The Valuation Case Still Compelling?

Wolverine World Wide (WWW) drew fresh attention on July 27 after its Chaco brand launched a limited-edition sandal collaboration with musician Billy Strings, featuring exclusive designs, live show activations, and tightly controlled distribution. See our latest analysis for Wolverine World Wide. For investors, Wolverine World Wide’s recent Chaco collaboration lands at a time when momentum in the stock has picked up. The 30-day share price return is 11.26% and the 90-day share price return is...
NYSE:BEN
NYSE:BENCapital Markets

Franklin Resources (BEN) Stock Could Be 16% Undervalued On Cash Flow But Rich On Earnings

Franklin Resources has delivered a 43.0% total return over the past five years, yet valuation checks are split, with the intrinsic value estimate from the Excess Returns model pointing to upside while earnings based multiples suggest the stock is on the expensive side. A 43.0% five year return indicates that long term holders in Franklin Resources have already seen a meaningful gain, which can reduce the margin of safety for new buyers if fundamentals do not keep pace. Expectations for the...
NYSE:ES
NYSE:ESElectric Utilities

Eversource Energy (ES) Following Its Rebound Is The Bearish Valuation Case Already Priced In

Eversource Energy (ES) is back in focus for investors after recent trading data showed modest positive returns over the past month and the past 3 months, prompting fresh attention on how the regulated utility is currently valued. See our latest analysis for Eversource Energy. At a share price of US$74.69, Eversource Energy has seen steady momentum build, with a 30-day share price return of 1.65% and a 90-day share price return of 8.91%. The 1-year total shareholder return of 19.83% points to...
NasdaqGS:HLIT
NasdaqGS:HLITCommunications

Harmonic (HLIT) Sets August 12 Earnings, Is The Stock Still 26% Undervalued?

What Harmonic’s Upcoming Earnings Event Means For Investors Harmonic (HLIT) has set August 12, 2026 for the release of its second quarter results, the first full update since closing the sale of its Video Business on June 16. This earnings event gives you a fresh look at how the broadband access focused company is positioned after that divestiture, and how the stock’s recent performance lines up with its current fundamentals. See our latest analysis for Harmonic. Harmonic’s recent share price...
NYSE:CXW
NYSE:CXWCommercial Services

CoreCivic Stock And 2 Security Shares Tied To Immigration Contract Spending

Government security and immigration services are back in focus after MTC UK reported a revenue fall from £28.4m to £17.6m in 2025 and a £1.6m loss, while its majority owned subsidiary MTC Definitive secured a new UK contract for managing small boat arrivals worth up to £539m over 10 years. With that contract now facing a legal challenge and public scrutiny remaining high, investors are reassessing how news like this might ripple through listed security and detention contractors. This article...
NYSE:VG
NYSE:VGOil and Gas

Baker Hughes Wins CP2 LNG Order From Venture Global (VG) Is Its Technology Partnership Deepening Further?

Baker Hughes recently announced it secured a major order from Venture Global LNG to supply six liquefaction blocks, comprising twelve liquefaction modules, for the CP2 LNG expansion project in Louisiana, incorporating advanced centrifugal compressor technology and integrated control systems. This large-scale equipment award marks a significant milestone for the CP2 development and reinforces Venture Global’s reliance on Baker Hughes as a core LNG technology partner. Next, we’ll examine how...
NasdaqGS:KLAC
NasdaqGS:KLACSemiconductor

KLA (KLAC) Stock Looks Pricey Following Fresh AI Hardware Demand News

KLA stock has delivered a very strong run over the past five years, yet its current valuation checks flag that the shares are not an obvious bargain even after recent volatility. KLA has returned a little over 5x in the last five years, which puts extra focus on whether the current price already reflects much of the good news. Recent enthusiasm around demand for AI hardware can support rich expectations for future cash flows, while any disappointment in that demand or a reset in investor...
NasdaqGS:CIFR
NasdaqGS:CIFRSoftware

Cipher Digital (CIFR) Stock May Be Fully Priced On Its AI Facility Deal

Cipher Digital stock has surged over the last few years, yet the current valuation checks lean expensive rather than cheap. After a very strong run, the question is whether the recent share price strength still leaves enough value support for new money coming in. Over the past 3 years Cipher Digital has returned about 4.7x, which firmly places the stock in the high outcome camp and raises the bar for what needs to go right next. Investor enthusiasm around the shift toward AI infrastructure...
NYSE:BLK
NYSE:BLKCapital Markets

BlackRock (BLK) Stock May Be 6% Undervalued Despite Aston Martin Debt Conflict

BlackRock stock has delivered a strong 54.0% return over the past three years, yet the current checks suggest it may now be closer to fairly valued on intrinsic estimates while screening as expensive on earnings multiples. A 54.0% gain over three years sets a high bar for new buyers, since a lot of good news can already be reflected in the price. Recent headlines around record assets under management, ETF inflows and expansion into areas like digital assets may support confidence in future...
NasdaqGS:NVDA
NasdaqGS:NVDASemiconductor

Nvidia Stock And AI Chip Demand Keep These Hardware Names In Focus

Artificial intelligence and semiconductor stories are moving together again after Singapore’s central bank warned that any slowdown in AI investment could hurt global growth, chip demand, and capital spending. At the same time, heavy AI spending continues to support activity across technology hardware, even as some Asian chip stocks face sharp selling on worries about how long the boom can last. Cyber security and energy use are now part of the conversation too. In this context, three large...
NYSE:BKU
NYSE:BKUBanks

BankUnited (BKU) Earnings Strength Keeps Undervalued Narrative In Play

Why the latest quarter matters for BankUnited stock BankUnited (BKU) just posted second quarter results that included higher net interest income, net income, and earnings per share compared with a year earlier, alongside lower net charge offs that point to improved credit quality. See our latest analysis for BankUnited. Despite the stronger second quarter and lower net charge offs, BankUnited's recent share price momentum has cooled, with the 30 day share price return down 6.17% and the 7 day...
NYSE:ROG
NYSE:ROGElectronic

Rogers (ROG) Reports Q2 Today, Is The 30% Undervalued View Convincing?

Why the upcoming Q2 report matters for Rogers stock Rogers (ROG) is back in focus as the company reports Q2 2026 results after the market close today, followed by its earnings call. Investors are watching how expectations for a 6% year on year revenue increase compare with management’s commentary, especially after last quarter’s in line revenue and stronger guidance. See our latest analysis for Rogers. Rogers shares trade at $129.32 after a 1 month share price return that is down 19.4%,...
NYSE:CDP
NYSE:CDPOffice REITs

COPT Defense Properties (CDP) Earnings And Guidance Lift Put Fair Value Back In Focus

Why COPT Defense Properties Is Back In Focus After Its Latest Earnings COPT Defense Properties (CDP) is back on investor radars after its 27 July 2026 earnings release, which reported higher quarterly and half year figures plus updated earnings guidance. The company reported second quarter sales of US$188.81 million and revenue of US$197.39 million, alongside net income of US$46.44 million and diluted EPS from continuing operations of US$0.40. For the first six months of 2026, COPT Defense...
NYSE:PRM
NYSE:PRMChemicals

3 US Infrastructure Stocks Tied To Trump Tariffs And Domestic Supply Chains

New tariffs from President Donald Trump are shaking up trade relationships with 60 U.S. partners, and that puts the spotlight firmly on companies tied to American infrastructure and construction. Higher import costs, possible retaliation from countries like Australia, and pressure on global supply chains could all shift demand toward businesses with stronger domestic footprints. For investors, this screen of US Infrastructure and Construction Companies is a way to focus on stocks that are...
NYSE:DX
NYSE:DXMortgage REITs

Dynex Capital (DX) Stock Looks Reasonable On Earnings But Stretched On Broader Checks

Dynex Capital stock has delivered a 49.1% total return over the past three years. However, the current valuation picture is more mixed, with recent share price weakness and only a middling overall value score. Over the last 3 years Dynex Capital has returned 49.1%, which puts recent short-term share price declines into a longer-term positive context for existing holders. The recent earnings strength can support the case for higher justified valuation multiples. At the same time, the inherent...
NasdaqGS:WWD
NasdaqGS:WWDAerospace & Defense

Woodward (WWD) On Decarbonization Demand And Aerospace Exposure Looks Close To Fair Value

Woodward (WWD) has attracted investor attention recently as its share price performance and financial profile come into focus. The company closed at $419.76 on 28 July 2026, with returns varying across different recent periods. See our latest analysis for Woodward. Over the past year, Woodward has combined strong recent momentum with a solid long run for shareholders, with a year to date share price return of 35.03% alongside a 1 year total shareholder return of 63.02% and a 5 year total...
NYSE:LHX
NYSE:LHXAerospace & Defense

L3Harris (LHX) Lands Its Biggest Ever PAC 3 And THAAD Propulsion Awards

L3Harris Technologies (NYSE:LHX) has signed long-term framework agreements with the Department of War and Lockheed Martin. The contracts cover a major ramp up in propulsion system production for the PAC-3 Missile Segment Enhancement and THAAD programs. The agreements run for seven years and represent the largest propulsion awards for PAC-3 and THAAD in L3Harris history. L3Harris Technologies enters these contracts with its shares trading at $303.48 and a 1 year return of 14.4%. The stock is...
NasdaqGM:LUNR
NasdaqGM:LUNRAerospace & Defense

Does Earnings Downgrade And Zacks Strong Sell Call Change The Bull Case For Intuitive Machines (LUNR)?

Earlier today, Intuitive Machines, Inc. (LUNR) was added to the Zacks Rank #5 (Strong Sell) list after analysts cut current-year earnings estimates by about 17.3% over the past 60 days, signaling increased concern around its near-term profitability outlook. This shift highlights a growing tension between previously optimistic expectations for long-term revenue expansion and fresh skepticism about the company’s ability to translate its space contracts into stronger earnings. Next, we’ll...
NYSE:VMI
NYSE:VMIConstruction

Valmont Industries (VMI) Lifts 2026 Outlook As Strong Results Test Its Undervalued Narrative

Valmont Industries (VMI) has drawn fresh attention after raising its 2026 outlook and reporting stronger quarterly results, while also affirming a quarterly dividend of $0.77 per share, equivalent to an annual rate of $3.08. See our latest analysis for Valmont Industries. Despite the raised 2026 outlook and stronger quarterly results, Valmont Industries’ recent share price return has cooled. The 7 day share price return declined 5.91% and the 30 day share price return declined 13.00%, even as...
NasdaqGM:TTD
NasdaqGM:TTDMedia

SEVEN-ELEVEN Japan Data Deal Might Change The Case For Investing In Trade Desk (TTD)

The Trade Desk recently expanded its platform in Japan by integrating SEVEN-ELEVEN JAPAN’s retail purchase data, while also appointing industry veterans Kristi Argyilan as Chief Commercial Officer and Ron Lamprecht as Chief Business Development Officer to its executive team. These moves deepen The Trade Desk’s access to high-quality retail data and add seasoned media and retail media leaders, potentially shaping how the company scales data-driven advertising partnerships globally. We’ll now...
NYSE:INFQ
NYSE:INFQTech

Infleqtion (INFQ) On Nvidia Tie Up And New Quantum Products Looks Caught Between Two Valuations

Infleqtion (INFQ) is drawing fresh attention after its collaboration with Nvidia, its broader customer mix across governments, enterprises, and research groups, and the launch of an atom-based radio-frequency sensing platform. See our latest analysis for Infleqtion. Despite the Nvidia collaboration and new product launches, Infleqtion’s recent share price performance has been mixed. Short term momentum is reflected in a 1-day share price return of 8.81% and a 7-day share price return of...
NYSE:RNST
NYSE:RNSTBanks

3 US Bank Stocks Built For Higher Treasury Yields

With the 30 year US Treasury yield holding above 5% and government bonds offering richer income, investors are rethinking how they balance risk and reward across the stock market. Higher real yields can pressure some sectors, yet they may also reshape earnings power for certain financial groups that live and breathe interest margins and investment income. This article looks at how that backdrop connects to large banks and insurers in our Financial Sector Stocks screener. You will see three...