U.S. Banks Stock News

NYSE:FHN
NYSE:FHNBanks

First Horizon (FHN) Earnings Strength And 28.5% Net Margin Test Bullish Narratives

First Horizon (FHN) has come into its Q1 2026 earnings season following a solid 2025 finish, with Q4 revenue of US$888 million, basic EPS of US$0.52 and net income of US$257 million setting the tone against a trailing twelve month backdrop that includes 29.5% earnings growth and net profit margins of 28.5%. Over the last few quarters, revenue has moved from US$718 million in Q4 2024 to US$888 million in Q4 2025, while quarterly EPS stepped from US$0.30 to US$0.52 and trailing twelve month EPS...
NasdaqGM:SPWR
NasdaqGM:SPWRElectrical

SunPower (SPWR) FY 2025 Loss Deepens Bear Narratives On Profitability

SunPower FY 2025 earnings snapshot SunPower (SPWR) has just wrapped up FY 2025 with Q4 revenue of about US$79.7 million and a basic EPS loss of US$0.14, setting a cautious tone around profitability even as top line activity continues. Over the recent quarters, revenue has moved from US$88.7 million in Q4 2024 to US$82.7 million in Q1 2025, US$67.5 million in Q2 2025 and US$70.0 million in Q3 2025, before reaching US$79.7 million in Q4. EPS shifted from a profit of US$0.58 in Q4 2024 to mixed...
NYSE:KMX
NYSE:KMXSpecialty Retail

CarMax (KMX) Margin Compression And EPS Loss Challenge Bullish Growth Narratives

CarMax FY 2026 earnings snapshot CarMax (KMX) has just closed out FY 2026 with fourth quarter revenue of US$6.4b, a basic EPS loss of US$0.85 and net income of US$120.7m in the red, alongside a 2% same store sales decline. This puts a clear spotlight on margins. Over the year, quarterly revenue has moved from US$8.0b in Q1 2026 to US$6.4b in Q4 2026, while basic EPS has ranged from US$1.38 in Q1 to a loss of US$0.85 in Q4. Trailing twelve month EPS stands at US$1.68 and net income at...
NYSE:PGR
NYSE:PGRInsurance

Progressive (PGR) Combined Ratio Of 87.4% Tests Bearish Margin Narratives

Progressive (PGR) opened 2026 with solid momentum, coming off Q4 2025 revenue of about US$22.7b and basic EPS of US$5.03, backed by trailing 12 month figures of US$87.6b in revenue and EPS of US$19.29, alongside year over year earnings growth of 33.6%. Over the past reported periods, revenue has moved from roughly US$20.3b in Q4 2024 to US$22.7b in Q4 2025, while quarterly EPS ranged between about US$3.99 and US$5.42. This sets up a story where margin trends and underwriting performance take...
NasdaqCM:SMID
NasdaqCM:SMIDBasic Materials

Smith Midland (SMID) 62.9% Earnings Growth Reinforces Bullish Narratives

Smith-Midland (SMID) has wrapped up FY 2025 with fourth quarter revenue of US$23.1 million and net income of US$2.1 million, translating to EPS of US$0.40 and rounding out a trailing 12 month EPS figure of US$2.36 on revenue of US$93.4 million. Over recent quarters the company has seen revenue move from US$18.5 million in Q4 FY 2024 to US$23.1 million in Q4 FY 2025, while quarterly EPS over the same period went from US$0.26 to US$0.40. This gives a clear sense of how the top line and per...
NYSE:MS
NYSE:MSCapital Markets

Morgan Stanley (MS) Margin Gain And EPS Surge Test Bullish Narratives Heading Into Q1 2026

Morgan Stanley (MS) has just wrapped up Q1 2026 with investors looking closely at how recent revenue and EPS trends stack up against its premium share price of US$191.62 and a trailing net profit margin of 23.1%. Over the last six reported quarters, total revenue has moved from US$15.3 billion in Q3 2024 to US$17.9 billion in Q4 2025, while quarterly EPS shifted from US$1.91 to US$2.72 across the same stretch, and trailing twelve month EPS reached US$10.32. With earnings over the past year...
NYSE:CWK
NYSE:CWKReal Estate

Cushman And Wakefield Balances Sotheby’s Lawsuit With New Las Vegas Mandate

Cushman & Wakefield (NYSE:CWK) has filed a lawsuit against Sotheby’s, seeking an alleged unpaid $10 million commission tied to the Weill Cornell real estate transaction. The firm has also been appointed to manage The Ellison, a large multifamily community in Las Vegas. These developments come alongside recent share price levels of $13.89 and a 70.4% return over the past year. For investors watching NYSE:CWK, these moves highlight both legal and operational developments. The commission...
NasdaqGM:LARK
NasdaqGM:LARKBanks

Landmark Bancorp (LARK) Net Interest Margin Strengthens To 3.86% Challenging Cautious Earnings Narratives

Landmark Bancorp (LARK) just closed FY 2025 with fourth quarter revenue of US$18.2 million and basic EPS of US$0.78, while trailing twelve month revenue reached US$68.3 million and EPS came in at US$3.09, up from US$58.2 million and US$2.15 a year earlier. Over that same period, trailing twelve month net income moved from US$13.0 million to US$18.8 million. This sets up a results season where investors are likely to focus on how a 27.5% net profit margin shapes views on the bank's earnings...
NYSE:TDG
NYSE:TDGAerospace & Defense

TransDigm’s New US$500m Bond Raises Questions On Debt And M&A Plans

TransDigm Group (NYSE:TDG) has completed a $500 million senior bond offering. The new fixed income issuance is described as supporting liquidity as the company’s financial flexibility grows. The move may be relevant for upcoming corporate actions, such as acquisitions or balance sheet adjustments. TransDigm, a major supplier of aircraft components, tends to attract attention whenever it taps debt markets, because funding decisions can influence future capital allocation. For investors...
NasdaqGS:SAIL
NasdaqGS:SAILSoftware

Assessing SailPoint (SAIL) Valuation After A Mixed Stretch In Recent Share Performance

Recent share performance and what it signals SailPoint (SAIL) has drawn attention after a mixed run in its share price, with a gain of 5.8% over the past day contrasting with negative returns over the week, month, past 3 months and year. See our latest analysis for SailPoint. That 5.8% 1 day share price return stands out against a weaker trend, with the 30 day share price return of 22.02% and year to date share price return of 37.94% pointing to fading momentum from earlier levels. At the...
NYSE:QSR
NYSE:QSRHospitality

Popeyes One Piece Tie Up Tests Restaurant Brands International’s Gen Z Reach

Popeyes, part of Restaurant Brands International, has launched its first anime collaboration with Toei Animation's "One Piece". The tie up introduces a themed menu, limited time items, co branded merchandise, and a promotional giveaway. The campaign is designed to connect with Gen Z and anime fans and is positioned as a consumer engagement push for the brand. For investors watching Restaurant Brands International, ticker NYSE:QSR, this move comes alongside recent share performance and an...
NYSE:C
NYSE:CBanks

Citigroup (C) Cost Efficiency Gains Reinforce Bullish Earnings Narratives In Q1 2026

Citigroup (C) opened 2026 with Q1 revenue of US$22.1b and basic EPS of US$3.31, set against trailing twelve month revenue of US$78.7b and EPS of US$8.44 that has been growing at about 21.2% year over year. Over the past year, the bank has seen revenue move from US$71.0b to US$78.7b and net income from US$11.5b to US$14.7b. EPS rose from US$6.03 to US$8.44, giving investors a cleaner read on earnings momentum. With net profit margins reported at 18.7% and a 1.82% dividend yield, the latest...
NYSE:MTB
NYSE:MTBBanks

M&T Bank (MTB) Margins Hold At 29.4% Net Profit Challenging Bearish Narratives On Profitability

M&T Bank (MTB) has just posted its Q1 2026 scorecard, with the most recent quarterly snapshot showing Q4 2025 revenue of US$2.4b and basic EPS of US$4.71 off net income of US$718m. Over the last year, revenue in the quarterly data has ranged from US$2.2b in Q1 2025 to US$2.4b in Q4 2025, while basic EPS has moved from US$3.33 to US$4.71. This gives investors a clear view of how the profit line has tracked alongside top line trends. With trailing 12 month earnings growth and profit margins...
NYSE:BAC
NYSE:BACBanks

Bank Of America (BAC) Margins Strengthen And Challenge Cautious Earnings Narratives

Bank of America (BAC) just turned in its latest scorecard for Q1 2026, with recent quarterly revenue running at US$29.9b in Q4 2025 and basic EPS of about US$0.98 helping push trailing twelve month EPS to roughly US$3.86 on revenue of US$107.4b. Over the past year, revenue has moved from US$100.0b on a trailing basis in Q4 2024 to US$107.4b in Q4 2025, while trailing EPS stepped up from about US$3.23 to US$3.86, setting the backdrop for earnings that are described here as growing 14.6% over...
NasdaqCM:ORBS
NasdaqCM:ORBSMultiline Retail

Eightco Holdings (ORBS) Deepening Losses Reinforce Bearish Narratives Despite Premium Sales Multiple

Eightco Holdings (ORBS) just posted its FY 2025 third quarter numbers, reporting revenue of US$5.3 million and a loss per share of US$0.58, alongside a trailing twelve month loss per share of US$2.42 on revenue of US$43.1 million. Over the past few reported quarters, revenue has moved from US$7.6 million in Q2 FY 2025 and US$9.9 million in Q1 FY 2025, while quarterly EPS has ranged from a loss of US$0.38 to a loss of US$0.87 and was US$1.81 in Q3 FY 2024. With the business still loss making...
NYSE:KRP
NYSE:KRPOil and Gas

EnCap Trim Highlights Kimbell Royalty Partners Q4 Strength And Payout Question

EnCap Partners reduced its ownership stake in Kimbell Royalty Partners (NYSE:KRP) by more than 5%, shifting the mix of major holders in the partnership. Kimbell reported strong Q4 results, raised its cash distribution, and highlighted its royalty focused model during its latest update. The combination of a large holder trimming its position and fresh financial results gives investors new information on both capital flows around KRP units and the partnership’s recent operating...
NasdaqCM:FRHC
NasdaqCM:FRHCCapital Markets

How Investors Are Reacting To Freedom Holding (FRHC) Exploring A Kazakhstan Common Stock Offering

Freedom Holding Corp. recently announced that it is considering an offering of its common stock in Kazakhstan, to be conducted outside the United States under Regulation S of the Securities Act of 1933. The potential Kazakhstan offering highlights the group’s intent to access additional international capital pools while broadening its investor base in a core operating market. Next, we’ll examine how this exploration of a Kazakhstan common stock offering could influence Freedom Holding’s...
NYSE:JPM
NYSE:JPMBanks

JPMorgan Chase (JPM) Net Margin Slip Tests Bullish Premium Ahead Of Q1 2026 Earnings

JPMorgan Chase (JPM) has kicked off 2026 with investors weighing a recent stretch of strong top line and solid profitability, capped by Q4 2025 revenue of US$41.1b and basic EPS of US$4.64 on net income of US$12.7b. Over the past year, the bank has seen revenue move from US$40.1b in Q4 2024 to US$41.1b in Q4 2025, while trailing twelve month basic EPS sat at US$20.05 on net income of US$55.7b. This sets the stage for a results season where the focus is firmly on how comfortably margins are...
NYSE:NOG
NYSE:NOGOil and Gas

Northern Oil And Gas ESG Report Adds Detail To Valuation Debate

Northern Oil and Gas (NYSE:NOG) has released its 2025 ESG Report. The report includes an independent cybersecurity assessment and detailed climate risk analysis. The company states it has surpassed its carbon offset commitments for the reporting period. For readers tracking NYSE:NOG, the new ESG Report arrives with the stock at $25.68 and a mixed return profile. Shares are up 16.7% year to date and 22.5% over the past year, while the 3 year return shows an 11.9% decline and the 5 year...
NasdaqGS:CENT
NasdaqGS:CENTHousehold Products

Central Garden And Pet Reshapes Distribution And Sustainability Story With Phillips JV

Central Garden & Pet (NasdaqGS:CENT) has formed a nationwide pet distribution joint venture with Phillips Pet Food & Supplies, supported by external financing and asset integration efforts. The company is also rolling out a new sustainability initiative through Nylabone’s ocean friendly chew toys collection. These moves refocus the business toward branded products and bring environmental considerations further into its pet offerings. For investors watching the pet care sector, this joint...
NasdaqGS:VIAV
NasdaqGS:VIAVCommunications

Avnu Recognition Puts Viavi Solutions TSN Tools And Valuation In Focus

Viavi Solutions (NasdaqGS:VIAV) has had its TTworkbench gPTP test suite and TestCenter M1 Appliance recognized as Avnu Certification Test Tool solutions. The recognition is part of the Avnu Alliance Time-Sensitive Networking Component Certification Program. This moves Viavi further into certification tooling for multi-vendor Time-Sensitive Networking across sectors such as automotive, industrial automation, and aerospace. For investors tracking networking and test equipment, this update...
NasdaqCM:PGY
NasdaqCM:PGYSoftware

Pagaya’s $600 Million AAA ABS Deal And What It Means For PGY Stock

Pagaya Technologies completed a $600 million AAA-rated personal loan asset-backed securities transaction. The deal brought four new institutional investors onto Pagaya's funding platform. The securitization closed during a period of market volatility, indicating continued access to capital markets for the company. For investors tracking NasdaqCM:PGY, this funding update sits alongside a share price of $13.01 and a mixed return profile. The stock is up 5.2% over the past week and 18.4% over...