U.S. Auto Components Stock News

NYSE:IIIN
NYSE:IIINBuilding

3 US Manufacturing Stocks Better Placed For New Tariffs

Tariffs have moved from political headline to portfolio issue, with new US import duties of 10% to 12.5% affecting nearly all goods from about 60 trading partners and drawing immediate legal and international pushback. For US domestic manufacturing stocks, this mix of higher import costs, possible retaliation, and supply chain strain can create both fresh openings and new risks. This article looks at how that backdrop connects to companies in the US Domestic Manufacturing Stocks screener and...
NasdaqGS:NVAX
NasdaqGS:NVAXBiotechs

Novavax (NVAX) Stock May Be Fully Priced Given Its Sales Outlook

Novavax stock is coming off a steep five year decline, with the share price down 95.8%, while the latest valuation checks suggest the company now screens as somewhat expensive on market multiples rather than an obvious bargain. Over the past five years, Novavax has declined 95.8%, which means long term holders have seen most of their capital eroded even before considering what the current price implies. Future revenue and cash flow expectations from Novavax's vaccine portfolio can support...
NYSE:SN
NYSE:SNConsumer Durables

Is SharkNinja’s New Premium “CRISPi” Line Altering The Investment Case For SharkNinja (SN)?

Earlier this month, SharkNinja, Inc. launched the Ninja Crispi Microwave, its first countertop microwave that both heats and crisps using FusionCrisp Technology, alongside the glass-based Ninja CRISPi DualZone air fryer and the upcoming Ninja MultiPot XL multicooker. This push into higher-end, multi-function appliances using non-toxic glass and advanced cooking technology marks an expansion of SharkNinja’s product ecosystem into faster, more premium at-home meal preparation. Next, we’ll...
NasdaqGM:FMBH
NasdaqGM:FMBHBanks

Is Stronger Q2 Earnings And Higher Dividend Altering The Investment Case For First Mid Bancshares (FMBH)?

In July 2026, First Mid Bancshares, Inc. reported higher second-quarter net interest income of US$79.66 million and net income of US$27.79 million year over year, alongside net charge-offs of US$1.37 million. The bank paired this earnings beat with a US$0.01 increase in its quarterly dividend to US$0.26 and continued share repurchases, underscoring management’s emphasis on shareholder returns. Next, we’ll explore what these stronger earnings and the dividend increase mean for First Mid...
NYSE:W
NYSE:WSpecialty Retail

Is Wayfair’s (W) ‘Black Friday in July’ Push Reinforcing a Discount-Dependent Business Model?

In July 2026, Wayfair ran a major “Black Friday in July” sale, offering very large discounts across furniture, décor, outdoor items, mattresses, appliances, and home upgrades for several days. This mid-summer promotion effectively replicated Wayfair’s traditional Black Friday-style event outside the holiday season, highlighting the company’s reliance on deep discounting and large-scale promotional campaigns to draw shoppers across key home categories like outdoor living. Next, we’ll...
NYSE:DOV
NYSE:DOVMachinery

Dover (DOV) Stock Faces Margin Slippage Question As Q2 Net Profitability Softens

Dover (DOV) has just posted Q2 2026 results with revenue of US$2.2b and basic EPS of US$2.32, set against trailing 12 month revenue of US$8.4b and EPS of US$8.32, where earnings over the past year grew 5.5%. Over recent quarters the company has seen revenue move from US$2.0b in Q2 2025 to US$2.1b in Q4 2025 and US$2.2b in Q2 2026. Quarterly basic EPS shifted from US$2.04 to US$2.02 and then US$2.32, setting up a picture of steady top line with earnings that investors can weigh against a...
NasdaqGS:CSGP
NasdaqGS:CSGPReal Estate

Can CoStar Group’s (CSGP) New Cost‑Focused CFO Subtly Recast Its Global Margin Story?

CoStar Group has appointed Robin Rossmann as Chief Financial Officer, effective July 31, 2026, replacing Christian Lown, who is leaving to pursue an opportunity outside the industry. Rossmann’s track record of removing about US$51,000,000 in European costs while maintaining double-digit revenue growth may influence how investors view CoStar’s global margin potential and financial discipline. Next, we’ll examine how Rossmann’s move from leading Europe to the CFO role could affect CoStar...
NasdaqGM:CRSP
NasdaqGM:CRSPBiotechs

CRISPR Therapeutics (CRSP) Enters Phase 1 With CTX112 In Allogeneic CAR T

CRISPR Therapeutics (NasdaqGM:CRSP) has moved its allogeneic CAR T candidate CTX112 into Phase 1 clinical trials. The program targets lymphoma and certain autoimmune diseases with an off the shelf cell therapy approach. The company is positioning CTX112 within the broader CAR T market, which currently relies heavily on individualized patient specific treatments. For investors following CRISPR Therapeutics, CTX112 marks a meaningful extension of the company’s focus beyond its earlier gene...
NYSE:PARR
NYSE:PARROil and Gas

Does Par Pacific Holdings (PARR) Still Look Undervalued After A 372% Run?

Par Pacific Holdings has delivered a very strong share price run over the last several years, yet the current valuation checks still lean toward the stock looking inexpensive rather than stretched. Over the past 5 years, Par Pacific Holdings has returned 372.5%, which puts a spotlight on whether the current share price already reflects much of the company’s progress. Expectations for the company’s ability to keep converting operations into cash flow can support the current valuation, while...
NYSE:GAP
NYSE:GAPSpecialty Retail

Is Gap’s (GAP) New Credit Line And Employee Creator Push Reframing Its Digital Investment Story?

On July 17, 2026, Gap Inc. amended and extended its US$2.20 billion asset-based revolving credit facility to July 2031, while separately expanding its creator affiliate program to let employees promote brands for commissions across Old Navy, Gap, Banana Republic, and Athleta. Together, the longer-dated credit backstop and employee-powered creator program highlight how Gap is pairing financial flexibility with grassroots brand advocacy to support its digital-first ambitions. Next, we’ll...
NYSE:GS
NYSE:GSCapital Markets

Goldman Sachs (GS) Launches Private Markets Platform For Wealthy Clients

Goldman Sachs Group (NYSE:GS) has launched a new private markets platform aimed at wealthy clients and family offices. The company is expanding its alternative investments offering, including through its Alternatives unit. As part of this effort, Goldman Sachs recently completed the acquisition of AEGIS Hedging Solutions. Goldman Sachs Group is leaning into private markets at a time when many wealthier clients are looking beyond traditional public stocks and bonds. The stock trades at...
NasdaqGS:HAS
NasdaqGS:HASLeisure

Hasbro (HAS) Returns To Profit, Is The Stock Still Below Fair Value?

Hasbro (HAS) drew investor focus after reporting second quarter sales of US$1,139.6 million and net income of US$160.9 million, compared with a net loss a year earlier, and it also maintained its quarterly dividend. See our latest analysis for Hasbro. At a share price of US$88.79, Hasbro has seen short term momentum pick up, with a 7 day share price return of 8.88% and a 1 year total shareholder return of 22.40%. This comes even though the 90 day share price return declined 6.62%, suggesting...
NYSE:NCLH
NYSE:NCLHHospitality

Does Earnings Jitters And Refinancing Pressure Change The Bull Case For Norwegian Cruise Line (NCLH)?

In recent days, Norwegian Cruise Line Holdings has come under pressure ahead of its July 30, 2026 earnings release, as investors weigh expectations for weaker quarterly and full‑year results against the company’s turnaround plan. Beyond near‑term earnings concerns, the spotlight is now on how Norwegian balances high leverage, rapid cash use, and potential dilution risks while trying to convert demand and cost actions into sustainable profitability. Next, we’ll examine how concerns over...
NYSE:EG
NYSE:EGInsurance

Everest Group (EG) Earnings Optimism Keeps Valuation In Focus

Everest Group (EG) is back in focus as investors assess projections for its upcoming June 2026 quarter earnings report, where slightly lower consensus estimates contrast with a positive Earnings ESP signal. See our latest analysis for Everest Group. The recent focus on Everest Group's earnings setup comes against a backdrop of firm share price momentum, with a 30-day share price return of 11.39% and a year to date share price return of 15.14%, while the 1-year total shareholder return of...
NYSE:GLP
NYSE:GLPOil and Gas

Global Partners (GLP) Stock May Still Trade At A Discount On Earnings

Global Partners stock has delivered a 168.2% return over the past 5 years, and with the shares recently closing at US$48.38, the key question is whether the current valuation still points to a bargain or if much of that upside is already reflected in the price. Over the last 5 years, Global Partners has returned 168.2%. This puts the focus firmly on whether the current price still offers an appealing entry point after such a strong run. Future earnings and cash flow expectations can support...
NYSE:ACM
NYSE:ACMConstruction

AECOM (ACM) Wins Fresh Rail Role, But Is The Undervalued Narrative Still Convincing?

AECOM (ACM) is back in focus after being selected as Independent Certifier, alongside Bureau Veritas, for The Wave Stage 1 rail project in Queensland, a multi year role tied to the 2032 Delivery Plan. See our latest analysis for AECOM. At a share price of $70.56, AECOM has seen a 1 day share price return of 4.30% and a 7 day share price return of 3.32%. Its year to date share price return is down 26.80% and the 1 year total shareholder return is down 38.02%, so recent momentum is improving...
NasdaqGS:BOKF
NasdaqGS:BOKFBanks

Is BOK Financial (BOKF) Fully Valued Following Strong Earnings And Higher Guidance?

BOK Financial (BOKF) stock is in focus after the bank reported higher year over year second quarter and first half earnings, confirmed mid single digit revenue guidance, and pointed to stronger net interest income expectations for 2026. See our latest analysis for BOK Financial. The stock’s recent momentum has been steady, with a 30-day share price return of 3.84% and a year to date share price return of 19.89%, while the 1 year total shareholder return of 37.93% and 5 year total shareholder...
NYSE:HII
NYSE:HIIAerospace & Defense

Huntington Ingalls Industries (HII) Could Be 26% Undervalued As Earnings Optimism Builds

Recent bullish sentiment around Huntington Ingalls Industries (HII) centers on its upcoming earnings report, where a history of positive surprises intersects with fresh operational milestones and leadership changes in shipbuilding and Mission Technologies. See our latest analysis for Huntington Ingalls Industries. Huntington Ingalls Industries’ recent leadership moves in Mission Technologies and progress on Flight III destroyers come against a mixed trading backdrop, with a 7 day share price...
NasdaqCM:CELH
NasdaqCM:CELHBeverage

Tariffs Are Reshaping Consumer Staples Stocks These 3 Names Stand Out

New tariffs of 10% to 12.5% on imports from 60 countries are reshaping costs for everyday essentials, from pantry staples to cleaning products. For consumer staples stocks, higher import prices, potential margin pressure, and trade uncertainty can create both risks and opportunities, depending on how each company sources, prices, and manages supply chains. This article looks at three stocks from a Consumer Staples Stocks screener that appear well positioned to respond to these tariff changes...
NasdaqGS:NTRA
NasdaqGS:NTRABiotechs

Natera (NTRA) Stock Looks Stretched On Sales Yet Strong On Returns

Natera stock has delivered a very large 3 year gain while the current valuation checks lean expensive, so investors now face a gap between strong past returns and a low overall value score. Over the past 3 years, Natera has returned about 4.7x, which sets a high bar for any further upside to be justified by fundamentals. Progress in areas like the Signatera and Prospera testing portfolios can support expectations for future revenue, but those expectations may be sensitive to changes in...
NYSE:IVZ
NYSE:IVZCapital Markets

Invesco (IVZ) Heads Into Q2 With Higher AUM, Is The Stock Fully Valued?

Invesco (IVZ) heads into its second quarter update with investor attention focused on a 14.4% sequential rise in assets under management, potential fee revenue effects, and fresh implications from its completed Canadian business transfer. See our latest analysis for Invesco. Invesco's recent momentum is clear, with a 30 day share price return of 15.25% and a 90 day share price return of 17.33%. The 1 year total shareholder return of 42.04% and 3 year total shareholder return of about 11x...
NYSE:GDDY
NYSE:GDDYIT

GoDaddy (GDDY) Could Be 19% Undervalued Following Developer Platform Launch And Revenue Scrutiny

GoDaddy (GDDY) has drawn fresh investor attention after launching its free, globally available Developer Platform, while also disclosing that aggressive dotcom promotional pricing weighed on near term revenue and prompted a securities investigation. See our latest analysis for GoDaddy. Against this backdrop, GoDaddy’s share price has been volatile, with a 1 day share price return of 6.32% and a 30 day share price return of 14.55%. The year to date share price return is down 21.4%, and the 1...
NasdaqGS:SFM
NasdaqGS:SFMConsumer Retailing

Did Featuring LivReal’s Clean-Label Energy Drinks Just Shift Sprouts Farmers Market's (SFM) Investment Narrative?

In July 2026, LivReal announced it had secured a spot in Sprouts Farmers Market’s Innovation Set, rolling out three real-fruit flavored energy drinks nationwide at a suggested price of US$3.99 per 12-ounce can. This placement, backed by a multi-state roadshow, hundreds of in-store demos, and extensive employee sampling, underscores Sprouts’ role as a launchpad for emerging better-for-you beverage brands. Next, we’ll examine how Sprouts’ role in launching LivReal’s clean-label energy drinks...