U.S. Construction Stock News

NasdaqGS:FSLY
NasdaqGS:FSLYIT

What Is Drawing Fresh Attention To Fastly (FSLY)?

Fastly (FSLY) has drawn fresh attention after reporting second quarter 2026 results, filing an omnibus shelf registration, and raising revenue guidance for both the third quarter and full year 2026. See our latest analysis for Fastly. Fastly’s recent earnings and guidance moves have come alongside sharp share price momentum, with a 30 day share price return of 42.44% and a year to date share price return of 179.98%. The 1 year total shareholder return of 294.06% and 3 year total shareholder...
NYSE:NRGV
NYSE:NRGVElectrical

Energy Vault (NRGV) Stock Can Backlog Turn Growth Into Profits

Energy Vault Holdings stock jumped 9.5% to US$3.92 today, yet the real story sits behind that pop. Q2 revenue of US$17.4 million and a reported GAAP gross margin of 31% kept attention squarely on the quality of its storage and data center energy projects rather than the headline loss. The backlog is now about US$2.0b. That is the figure that long term investors are likely watching most closely as they weigh a premium P/S multiple against a business that is still not generating profit. Is...
NYSE:TISI
NYSE:TISICommercial Services

Team (TISI) Stock Slides As Margin Squeeze Deepens Losses

Team stock cooled off today. The share price slipped 3.1% to US$22 after investors absorbed a quarter that kept the company unprofitable but showed some repair work under the surface. The headline is simple: revenue for Q2 2026 came in at about US$228.7m, while the company reported a net loss of just under US$9.8m. The real flash point for sentiment is margin pressure. Adjusted earnings before interest, tax, depreciation and amortisation dropped to US$13.7m, as refinery turnaround delays and...
NYSE:DEA
NYSE:DEAOffice REITs

How Investors May Respond To Easterly Government Properties (DEA) Upholding Dividend Amid Lower Net Income

Easterly Government Properties, Inc. recently reported second-quarter 2026 results showing higher revenue of US$92.42 million but lower net income of US$3.05 million versus a year earlier, while raising its full-year diluted net income per share guidance to a range of US$0.23 to US$0.29. At the same time, the company affirmed a quarterly cash dividend of US$0.45 per share despite a very large payout ratio, sharpening investor focus on how its government-tenant-focused portfolio can support...
NasdaqGS:CDXS
NasdaqGS:CDXSLife Sciences

Codexis (CDXS) Stock Rallies On Longer Cash Runway Questions Remain

Codexis stock jumped 8.1% to US$1.60 on the first day after earnings, a sharp move for a company that has spent the past three months down about 37%. The market latched onto one thing: management now expects its roughly US$79.8m cash pile to fund operations and planned capital spending through 2028. Beneath that headline, the quarter still carried the weight of a US$12.0m net loss on US$14.9m in revenue. For a high-promise enzyme and RNA tools story, this print was less about revenue growth...
NasdaqCM:ATEX
NasdaqCM:ATEXTelecom

Anterix (ATEX) Stock Faces Doubts Over Spectrum Monetization Pace

Anterix stock just dropped 4.5% in a day, yet the real story is not a broken earnings engine. It is an expectations reset around how quickly its spectrum rich balance sheet can convert into cash and recurring deals. Q1 FY2027 revenue came in at about US$2 million and the headline profit line leaned on roughly US$11 million of broadband license exchange gains. The market is reacting to that quality of earnings mix and to a P/E around 19x that already prices in a lot, while the spectrum...
NYSE:VLN
NYSE:VLNSemiconductor

Valens Semiconductor (VLN) Stock Jumps On Raised 2026 Revenue Outlook

Valens Semiconductor stock jumped 12.5% to US$1.89 today, which is a sharp move for a company that has been under pressure over the past quarter. The market is latching onto one thing above all else: management raised full-year 2026 revenue guidance and Q2 revenue of US$18.1 million came in ahead of its own targets, which in semiconductors is often viewed as a clear signal investors watch for execution and demand. Love the Q2 revenue beat from Valens Semiconductor but still cautious about...
NYSE:EXPD
NYSE:EXPDLogistics

Expeditors International of Washington (EXPD) Following Strong Results Looks Fully Valued

Expeditors International of Washington (EXPD) has drawn fresh attention after reporting second quarter and six month 2026 results that show higher revenue, net income and earnings per share compared with a year earlier. See our latest analysis for Expeditors International of Washington. The strong second quarter update and ongoing buyback activity sit against a share price of $184.47, with a 90 day share price return of 20.09% and a 1 year total shareholder return of 52.47%. That combination...
NYSE:UAMY
NYSE:UAMYMetals and Mining

United States Antimony (UAMY) Stock Sinks As Margin Collapse Eclipses Profit

United States Antimony just saw nearly a quarter of its market value erased in a single session, with the stock closing down about 24% at US$4.97, even though the headline number on the income statement flashed a small profit. The market fixated on the sharp squeeze in gross margin after antimony prices dropped hard, while a US$6.8 million unrealized gain on the Larvotto stake quietly flipped the bottom line into the black. For investors, this is a sentiment clash: price is reacting to...
NasdaqCM:EVLV
NasdaqCM:EVLVElectronic

Evolv (EVLV) Stock Sinks As EBITDA Turns Positive But Doubts Linger

Evolv Technologies Holdings stock closed at US$5.72, down about 5% on the day, as investors reacted quickly to fresh Q2 numbers. The move comes after a softer week and month for the shares, which have both slipped around 4%. The emotional trigger today is clear: management put front and center a double headline of 34% year on year revenue growth to US$43.8 million and a 10.1% adjusted earnings before interest, taxes, depreciation and amortization margin. The question now is whether that...
NYSE:OMF
NYSE:OMFConsumer Finance

Will OneMain’s 2034 Debt Raise and Steady Payouts Change OneMain Holdings’ (OMF) Narrative

In the past week, OneMain Finance Corporation completed US$600 million of 7.125% senior unsecured notes due March 15, 2034, alongside announcing an additional US$500 million fixed-rate 2034 note offering, while OneMain Holdings reported second-quarter 2026 net income of US$152 million, higher net charge-offs of US$506 million, and declared a US$1.05 quarterly dividend. These moves, combined with an ongoing share repurchase program, highlight how OneMain is simultaneously funding its balance...
NYSE:GHI
NYSE:GHIDiversified Financial

Greystone Housing Impact Investors (GHI) Stock Trades Far Below Book Value

The market appeared to look past concerns and Greystone Housing Impact Investors rose about 5% today, even though the headline result was another quarterly loss. The central point is not the loss itself. It is the difference between a unit price around US$6 and a reported net book value of US$11.20 per unit, which leaves the stock trading at a steep discount to what the balance sheet indicates the portfolio is worth. Q2 included a GAAP net loss of about US$1.5 million, while cash available...
NasdaqGS:DDI
NasdaqGS:DDIEntertainment

DoubleDown Interactive (DDI) Stock Draws Focus To Cash Rich Margins

DoubleDown Interactive stock slipped slightly, down just under 1% to US$12.25, even as the latest quarter reinforced a story that is less about hype and more about hard cash. The headline is not revenue or earnings per share. It is the combination of a roughly 42% adjusted earnings before interest, tax, depreciation and amortization margin and a cash and short term investment pile of US$553.8m that leaves the market assigning a low single digit P/E to a very profitable digital gaming...
NYSEAM:HYLN
NYSEAM:HYLNElectrical

Hyliion (HYLN) Stock Eyes Navy Backing While Losses Keep Building

Hyliion Holdings came into this report on a quiet upswing, with the stock up modestly over the past three months, and then barely moved on the day, slipping only 0.8% to about $3.89. That muted reaction masks a much louder headline. The quarter was defined by a large U.S. Navy award and a jump in R&D services revenue that pushed Q2 revenue to $4.9m and prompted management to lift full year 2026 revenue guidance to about $15m. For a company still reporting sizeable quarterly losses, the story...
NYSE:FCF
NYSE:FCFBanks

First Commonwealth Financial (FCF) Stock Finds Little Reward For Stronger Margins

First Commonwealth Financial stock barely budged after earnings, up just 0.4% to US$21.62, yet the quarter itself was anything but flat. The bank posted Q2 basic earnings per share of about US$0.44 and a net interest margin of 4.01%, while keeping its cost to income ratio close to 52%. For a regional lender often viewed as a slow and steady compounding story, that mix of solid profitability and disciplined efficiency is the real headline. The modest price reaction raises a wider question...
NasdaqCM:ALM
NasdaqCM:ALMMetals and Mining

Almonty Industries (NasdaqCM:ALM) Stock Climbs On Profit Swing And Fresh Funding

Almonty Industries came into this quarter with a bruised track record of widening losses, yet the stock jumped 8.3% today as investors reacted to fresh numbers. The move signals that the market is suddenly willing to pay up for the tungsten producer, even though the business remains firmly in loss making territory. The headline this quarter is profit pressure, not growth. Recent quarters show sizeable net losses against relatively modest revenue. This keeps the spotlight on cash burn, balance...
NasdaqGS:PAGP
NasdaqGS:PAGPOil and Gas

Plains GP Holdings (PAGP) Stock Can Cash Flow Outrun A $1.26b Loss?

Plains GP Holdings came into this quarter priced like a steady midstream income stock, with the units almost flat over the past month and barely moving today, up just 0.16% to US$25.15. The market reaction is calm, but the headline is not. In Q2 the company reported a large loss at the earnings per share line, while management emphasized adjusted earnings before interest, tax, depreciation and amortization to reaffirm a full year target of US$2.88b. Is Plains GP Holdings a rare bargain after...
NYSE:JMIA
NYSE:JMIAMultiline Retail

Jumia (JMIA) Stock Rallies On Narrower Losses And Funding Questions

Jumia Technologies jumped 10.2% to US$6.40 after its Q2 print, a sharp move for a stock that had drifted over the past three months. The key point is not a sudden return to profit. It is that the marketplace is contributing more to revenue and gross profit while losses continue to narrow. For an African e commerce company that is still loss making, two numbers matter most today: revenue of about US$52 million and an adjusted EBITDA loss reduced to US$8.7 million. The share price reaction...
NasdaqGS:SND
NasdaqGS:SNDEnergy Services

Smart Sand (SND) Stock Looks Cheap Despite Fresh Quarterly Loss

Smart Sand stock jumped 6.7% to US$4.96 in regular trading, yet the real story sits beyond today’s pop. The company has just delivered another quarter that fits into a much bigger shift. Over the last 12 months Smart Sand turned profitable with what analysis describes as high quality earnings. At the same time the stock trades on a trailing P/E of 9.8x compared with higher peer and industry averages. For investors thinking in years rather than days, this earnings release is less about a...
NYSE:QSR
NYSE:QSRHospitality

Restaurant Brands International (QSR) Stock May Be 14% Undervalued Despite Q2 Earnings Beat

Restaurant Brands International stock has returned 39.4% over the past five years, and today the valuation checks suggest the shares may still trade below an estimate of intrinsic value based on a Discounted Cash Flow (DCF) model and earnings multiples. Over five years, the 39.4% total return points to steady value creation for shareholders that now needs to be weighed against what the current price implies. Execution on Burger King’s ongoing refurbishment and menu upgrade plan can support...
NYSE:FNB
NYSE:FNBBanks

Why Is F.N.B (FNB) Expanding Family Wealth For Ultra High Net Worth Clients?

F.N.B. Corporation (NYSE:FNB) has expanded its Family Wealth services for ultra-high-net-worth clients with new leadership hires and advisory offerings. The build-out focuses on customized planning and advisory support for affluent households with complex financial needs. F.N.B. reports that the expanded platform is intended to broaden its wealth management capabilities and attract more ultra-high-net-worth relationships. This kind of push into wealth management points to a wider income...
NasdaqGS:ABUS
NasdaqGS:ABUSBiotechs

Arbutus Biopharma (ABUS) Stock Profit Surge Leaves Durability Questions Open

Arbutus Biopharma slipped about 2% today, a muted reaction for a biotech that now trades on a trailing P/E of roughly 5.6x. The stock had already been treading water in recent weeks, with the 30 day return slightly in the red despite a small gain over three months. The real headline sits beyond today’s tick-by-tick action. Arbutus Biopharma is coming off a trailing twelve month stretch in which it moved into profitability with what is described as high quality earnings. For long term...
NYSE:MC
NYSE:MCCapital Markets

Moelis (MC) Affirms Dividend And Buyback Progress, Is The Stock Undervalued?

Moelis earnings, dividend and buyback update Moelis (MC) has drawn fresh investor interest after reporting second quarter and six month 2026 earnings, affirming a regular cash dividend, and updating progress on its ongoing share repurchase program. The company reported second quarter net income of US$48.59 million, compared with US$41.54 million a year earlier, and six month net income of US$87.03 million, compared with US$91.81 million. Alongside these results, the Board declared a regular...
NasdaqGS:WRLD
NasdaqGS:WRLDConsumer Finance

Upstart Stock And Other US Consumer Lenders Tied To CPI And Fed Moves

With investors fixated on the next CPI print and a Federal Reserve that looks undecided, the stakes for US consumer credit and card lenders feel unusually high. Softer inflation could ease pressure on funding costs and credit conditions, while a hotter reading might do the opposite. This article walks through three stocks that appear closely exposed to this CPI and Fed story, and explains why their setups may matter for your portfolio. The three stocks that follow are only a starting sample...