U.S. Construction Stock News

NasdaqGS:TSCO
NasdaqGS:TSCOSpecialty Retail

Tractor Supply (TSCO) Deepens Pet Push: Smart Diversification or Dilution of Its Core Rural Franchise?

In early August 2026, Tractor Supply Company expanded its pet assortment with more than 200 new dog and cat products, confirmed a quarterly cash dividend of US$0.24 per share payable on September 8, 2026, and implemented leadership changes following the resignation of Executive Vice President and Chief Technology Officer Robert D. Mills. The broadened pet offering, including premium nutrition, exclusive toys and enhanced pharmacy and veterinary services, underlines Tractor Supply’s push to...
NasdaqGS:CORZ
NasdaqGS:CORZSoftware

Core Scientific (CORZ) Adds AI Veteran To Its Board, Is The Stock Still 45% Undervalued?

Core Scientific (CORZ) has drawn fresh attention after appointing technology veteran Mark W. Adams to its Board of Directors, expanding the board to seven members and adding extensive AI infrastructure and semiconductor experience. See our latest analysis for Core Scientific. At a share price of $19.76, Core Scientific has seen its short term share price return soften, with a 7 day move down 13.37% and a 30 day decline of 15.88%. However, its year to date share price return of 23.58% and 1...
NasdaqGS:WIX
NasdaqGS:WIXIT

Is Wix’s New Symphony AI Platform Altering The Investment Case For Wix.com (WIX)?

Wix.com has recently launched Symphony by Wix, a standalone AI agent platform that builds proactive, customized agent teams for small and medium-sized businesses and operates on a tiered subscription model, independent of whether a company already uses Wix. By combining Symphony’s business-focused AI agents with existing AI initiatives like BASE44 and the Base1 model, Wix.com is extending its role from website creation into broader, automated business operations for SMBs. Next, we’ll examine...
NYSE:WT
NYSE:WTCapital Markets

MarketAxess Stock And Other Income Names Riding The Treasury Yield Revival

U.S. Treasury yields moving from 4.5% to 4.75% have pushed bonds back into the spotlight, while U.S. debt climbing from $24b to $32b and net interest costs rising from $475b to $1.1b have sharpened questions about risk, return and where to put fresh capital. This article walks through 3 stocks exposed to these forces and explains how they may benefit or face new tests. The three stocks covered below are only a starting sample, as the full screen surfaced 19 more publicly listed issuers and...
NasdaqGS:LCID
NasdaqGS:LCIDAuto

Why Lucid Group (LCID) Is Down 13.9% After Revenue Rose But Losses Deepened Sharply

Lucid Group, Inc. reported past second-quarter 2026 results, with sales rising to US$405.35 million from US$259.43 million a year earlier, while net loss widened to US$1.03 billion and loss per share also increased. Despite higher revenue over both the quarter and first half of 2026, Lucid’s significantly larger multi‑billion‑dollar year‑to‑date net loss underscores ongoing cost and profitability pressures. Next, we’ll examine how Lucid’s higher sales but much larger net loss in the latest...
NasdaqGS:CWST
NasdaqGS:CWSTCommercial Services

Casella Waste Systems (CWST) Stock May Trade At A Premium On Sales

Casella Waste Systems stock has delivered a 35.2% gain over the past five years, yet current checks show a split picture on value, with the Discounted Cash Flow (DCF) estimate pointing to upside while market based multiples suggest the shares are not cheap. Over five years Casella Waste Systems has returned 35.2%, which indicates the stock has already rewarded patient holders and may now warrant closer scrutiny on price versus fundamentals. The company’s long term waste and recycling...
NYSE:INVH
NYSE:INVHResidential REITs

What Is Invitation Homes (INVH) Signaling With Its Executive Leadership Changes?

Invitation Homes (NYSE:INVH) announced significant leadership changes, appointing Peter DiLello as Executive Vice President of the Investment Management Group and Bill Tierney as Executive Vice President, Chief Experience Officer. DiLello will lead the Investment Management Group, while Tierney takes on an expanded role that includes oversight of business analytics. The moves indicate a refreshed focus on both capital management and resident experience within Invitation Homes. For more...
NYSE:EMN
NYSE:EMNChemicals

Is Stronger Q2 Earnings And New Recyclable Resin Demand Altering The Investment Case For Eastman (EMN)?

Eastman Chemical recently reported second-quarter 2026 results showing higher sales of US$2,513 million and net income of US$183 million compared with a year earlier, while also declaring a quarterly dividend of US$0.84 per share payable in October 2026. In parallel, KANEBO’s adoption of Eastman’s Cristal One IM812 specialty PET resin for premium, recyclable cosmetic packaging underlines growing customer interest in Eastman’s high-performance, sustainability-focused materials. We’ll now...
NYSE:BMNR
NYSE:BMNRSoftware

Bitmine Immersion Technologies (BMNR) Buys More Ethereum, Is The Stock Cheap Or Pricey?

Bitmine Immersion Technologies (BMNR) is back in focus after disclosing additional Ethereum purchases, expanded staking of its crypto holdings, and continued common share buybacks, moves that directly shaped recent stock trading. See our latest analysis for Bitmine Immersion Technologies. Those Ethereum purchases and share buybacks come after a mixed period for Bitmine Immersion Technologies, with the stock showing a 20.76% 1 month share price gain but still sitting on a 42.00% year to date...
NYSE:SNA
NYSE:SNAMachinery

Snap-on (SNA) Just Gave Investors Something To Think About

Dividend affirmation puts Snap-on in focus Snap-on (SNA) is back on income investors’ radar after the board declared a quarterly dividend of $2.44 per share, payable on September 10, 2026, to shareholders of record on August 19. See our latest analysis for Snap-on. The dividend news comes as Snap-on trades at US$411.78, with a 90-day share price return of 12.32% and a year-to-date share price return of 17.33%. The 5-year total shareholder return of 107.68% points to sustained compounding. If...
NasdaqGS:BPOP
NasdaqGS:BPOPBanks

Is Popular (BPOP) Undervalued As Its Preferred Dividend Keeps Paying?

Popular (BPOP) has declared a monthly cash dividend of $0.132813 per share on its 6.375% Non-Cumulative Monthly Income Preferred Stock, 2003 Series A. The dividend is payable on August 31, 2026 to holders of record on August 15. See our latest analysis for Popular. Popular’s preferred dividend announcement comes against a backdrop of strong stock momentum, with a 90 day share price return of 22.21% and a year to date share price return of 38.81%, while the 1 year total shareholder return...
NYSE:VEEV
NYSE:VEEVHealthcare Services

Veeva Systems (VEEV) Expands AI CRM Role With Eli Lilly Win Is Its Moat Deepening?

Eli Lilly and Company has committed to roll out Veeva Vault CRM across its global operations, adopting Veeva’s agentic, AI-enabled commercial platform as its core customer relationship system. This global win with a leading pharmaceutical group underlines growing acceptance of Veeva’s Vault CRM Suite as the technology backbone for AI-driven commercial models in life sciences. We’ll now examine how Eli Lilly’s global Vault CRM commitment shapes Veeva’s investment narrative, especially its...
NasdaqGS:CHRW
NasdaqGS:CHRWLogistics

C.H. Robinson Worldwide (CHRW) Stock Looks Reasonable On Cash Flow Yet Rich On Earnings

C.H. Robinson Worldwide has delivered a 77.9% return over the past five years, yet its current checks suggest the stock is not especially cheap and the Discounted Cash Flow (DCF) intrinsic value estimate points to a price that is roughly in line with where shares trade today. The 77.9% five year return shows that long term holders in C.H. Robinson Worldwide have already enjoyed a strong run, which can limit how much of a bargain the stock looks now. Recent efficiency gains and cost cuts can...
NYSE:GAM
NYSE:GAMCapital Markets

Is General American Investors Company (GAM) A Bargain After Its Half Year Earnings?

What General American Investors Company’s Latest Earnings Tell You General American Investors Company (GAM) released half year earnings for the period to June 30, 2026, reporting revenue of US$12.67 million and net income of US$187.19 million, giving investors fresh insight into portfolio results. See our latest analysis for General American Investors Company. Against this latest earnings release, General American Investors Company’s share price has continued to trend higher, with a 30 day...
NYSE:STZ
NYSE:STZBeverage

Constellation Brands (STZ) Beat Expectations, Is The Stock Still 24% Undervalued?

Why Constellation Brands Stock Drew Attention After Its Cautious Outlook Constellation Brands (STZ) caught investor attention after reporting sales and earnings that topped expectations, supported by solid demand in its beer division, while choosing to keep its full year outlook unchanged. See our latest analysis for Constellation Brands. Despite the upbeat earnings and beer demand, Constellation Brands’ share price has eased over the past year, with the stock at US$133.98 and a 1 year total...
NasdaqGS:GRPN
NasdaqGS:GRPNMultiline Retail

Groupon (GRPN) Stock Looks Fair On Sales While Broader Checks Look Weak

Groupon stock has more than doubled over the past three years, yet the current valuation checks suggest it is not an obvious bargain, and the recent share price pullback keeps the debate alive for investors trying to decide what the stock is really worth today. Groupon has delivered a 105.7% return over the past three years, which puts recent share price weakness into context as part of a longer period of strong gains. The recent positive reaction to an earnings surprise can support...
NYSE:MSM
NYSE:MSMTrade Distributors

MSC Industrial Direct (MSM) Stock Dropped, What Is Drawing Attention Now?

Why MSC Industrial Direct Stock Is On Investors’ Radar Recent trading in MSC Industrial Direct (MSM) has drawn attention after a mixed stretch that includes a decline of about 2% over the past month and a gain of roughly 12% over the past 3 months. See our latest analysis for MSC Industrial Direct. At around US$120.06, MSC Industrial Direct’s recent share price pullback, including a 1-day share price return of down 2.33% and 7-day share price return of down 5.27%, sits against a much stronger...
NYSE:BC
NYSE:BCLeisure

Brunswick (BC) Earnings And Buyback Put Valuation Back In Focus

Brunswick earnings and buyback draw investor focus Brunswick (BC) is back in the spotlight after reporting second quarter and first half 2026 results, outlining an updated strategy and confirming completion of a multiyear share repurchase program. See our latest analysis for Brunswick. Brunswick's recent earnings, buyback completion and strategy update arrive after a mixed year in the market, with the share price at $81.41, a 1-year total shareholder return of 37.84% and a 5-year total...
NYSE:P
NYSE:PTech

Everpure (P) Is Up 30.3% After Second Top-Five Hyperscaler DirectFlash Design Win - What's Changed

Earlier this week, Everpure, Inc. announced a design win and long-term supply agreement with a second top-five hyperscaler, extending its DirectFlash-powered storage architecture across multiple performance tiers for large-scale cloud workloads. This second hyperscaler win, building on an initial late-2024 deal, underscores Everpure’s growing role as a core infrastructure partner in hyperscale AI and data-intensive environments. We’ll now examine how this second top-five hyperscaler design...
NasdaqGM:VCYT
NasdaqGM:VCYTBiotechs

How Investors May Respond To Veracyte (VCYT) Raising 2026 Revenue Guidance After Returning To Profit

In late July 2026, Veracyte raised its full-year 2026 revenue guidance to a range of US$590 million to US$596 million and reported second-quarter revenue of US$150.32 million, with net income of US$25.49 million compared with a small loss a year earlier. The shift from loss to profit for both the quarter and first half, alongside higher guidance, highlights improving operating leverage and confidence in the business trajectory. With Veracyte boosting full-year revenue guidance, we’ll now...
NYSE:BWA
NYSE:BWAAuto Components

BorgWarner (BWA) Launches $720 Million Debt Tenders, Is It Still 9% Undervalued?

BorgWarner (BWA) has kicked off a series of cash tender offers for its outstanding senior notes, committing up to $720 million to debt repurchases and planned redemptions as part of a wider capital allocation approach. See our latest analysis for BorgWarner. BorgWarner's announcement of multiple tender offers lands after a busy period that includes higher second quarter earnings, fresh program wins in electrified systems and an expanded share buyback authorization. The stock has seen firm...
NYSE:CWT
NYSE:CWTWater Utilities

How Investors Are Reacting To California Water Service Group (CWT) Strong Quarter and 326th Straight Dividend

In the past quarter, California Water Service Group reported higher sales of US$308.6 million and net income of US$56.47 million, alongside increased earnings per share and the declaration of its 326th consecutive quarterly dividend of US$0.335 per share. Beyond the financial results and dividend continuity, the company’s role in providing safe, treated drinking water to Indianola Elementary highlights how its operational capabilities intersect with community health and long-term service...
NYSE:GXO
NYSE:GXOLogistics

GXO Logistics (GXO) Stock Looks Overvalued On Earnings While Growth News Supports Fair Value

GXO Logistics stock has fallen 37.3% over the past five years, yet current valuation checks and recent news about growth initiatives suggest a more mixed picture rather than a clear bargain or clear overvaluation. The 37.3% share price decline over five years points to investors reassessing what they are willing to pay for GXO Logistics, even as the company continues to win new contracts and expand its operations. GXO Logistics is pushing into higher value B2B verticals and rolling out its...
NYSE:APG
NYSE:APGConstruction

APi Group (APG) Earnings And Higher Guidance Put Fair Value Back In Focus

APi Group’s Latest Earnings and Guidance Shift the Focus APi Group (APG) has drawn fresh attention after reporting higher second quarter sales and net income, alongside raising its full year 2026 revenue guidance and outlining expectations for the upcoming quarter. These updates give you new information on how management currently sees demand for fire, life safety, security and specialty contracting services, and how that view compares with the company’s recent share price performance. See...