NYSE:EFX
NYSE:EFXProfessional Services

Does Equifax’s (EFX) Century-Long Dividend Streak Reflect Enduring Strength or Shift in Capital Strategy?

Equifax announced that its Board of Directors declared a quarterly dividend of US$0.50 per share, payable December 15, 2025, to shareholders of record as of November 24, marking more than 100 consecutive years of dividend payments. This longstanding commitment to shareholder returns coincides with new consumer credit data showing US consumer debt rising above US$18 trillion and certain delinquency rates indicating evolving economic pressures. We'll assess how Equifax's dividend affirmation...
NasdaqGM:NTLA
NasdaqGM:NTLABiotechs

Why Intellia Therapeutics (NTLA) Lonvo-z Data Spotlight Raises New Questions About Long-Term Competitive Advantage

On November 8, 2025, Intellia Therapeutics presented positive pooled clinical data at the ACAAI meeting, revealing that a single 50 mg intravenous dose of lonvo-z in hereditary angioedema patients led to deep, stable reductions in plasma kallikrein and a high proportion of prolonged, attack-free status. The data highlighted that 97% of patients remained both attack-free and free from long-term prophylaxis through the cut-off date, with some benefiting for up to 32 months. We'll examine how...
NasdaqGS:ASTE
NasdaqGS:ASTEMachinery

Should Astec Industries’ (ASTE) Raised Outlook and TerraSource Integration Spur Investor Action?

Astec Industries reported strong third-quarter 2025 results, including US$350.1 million in sales and a reduced net loss, while raising its full-year adjusted EBITDA outlook following successful integration of the TerraSource acquisition. A key insight is the company's improving margins and robust backlog, supported by ongoing U.S. infrastructure investments and new opportunities in rare earth mining, which have enhanced investor confidence. We'll explore how Astec Industries' raised guidance...
NasdaqGS:BLLN
NasdaqGS:BLLNHealthcare

A Closer Look at BillionToOne (BLLN) Valuation Following Sharp Year-to-Date Gains and Recent Pullback

BillionToOne (BLLN) stock drew interest today as investors took a closer look at recent company filings and performance data. With its distinctive position in healthcare diagnostics, the company remains a subject of valuation discussion. See our latest analysis for BillionToOne. After a strong start to the year, BillionToOne’s share price has surged 66.72% year-to-date, despite a recent 8.18% single-day pullback that has caught investors’ attention. The stock’s sharp movements suggest...
NYSEAM:LEU
NYSEAM:LEUOil and Gas

Is Centrus Energy’s Volatility After Uranium Market News Creating a Chance in 2025?

Wondering if Centrus Energy stock is a hidden gem or simply priced for perfection? You are not alone. Plenty of investors are trying to figure out if there is further upside ahead or if the best gains are behind it. After a monster run of 297.2% year-to-date and jumping a massive 2829.9% over the last five years, Centrus has recently cooled off, tumbling almost 20% in both the past week and month. Much of this volatility can be traced to recent headlines around uranium market expansion and...
NYSE:CUBI
NYSE:CUBIBanks

Customers Bancorp’s Full Series F Redemption Might Change the Case for Investing in CUBI

On October 30, 2025, Customers Bancorp announced it will redeem all 3,400,000 shares (US$85.0 million) of its 9.06% Series F Preferred Stock on December 15, 2025, and separately declared a US$0.5726314 quarterly dividend per share on the series, payable to holders on record as of November 30, 2025. This move, supported by Customers Bancorp’s strong capital and liquidity positions, aims to reduce funding costs and optimize the company’s capital structure for greater long-term...
NasdaqGS:CRSR
NasdaqGS:CRSRTech

Corsair Gaming (CRSR): Evaluating Valuation After Q3 Earnings Reveal Growth, Guidance Cut, and Market Reaction

Corsair Gaming (CRSR) just released its Q3 2025 earnings, showing double-digit revenue growth and improved profitability as a result of successful new products and strength in core segments. Despite these gains, shares fell following a quarterly miss against expectations and cautious full-year guidance as the company navigates a challenging DDR5 memory market and changing consumer spending. See our latest analysis for Corsair Gaming. Following a sharp post-earnings drop, Corsair Gaming’s...
NYSE:AROC
NYSE:AROCEnergy Services

A Look at Archrock (AROC) Valuation Following Recent Share Price Volatility

Archrock (AROC) shares have seen some movement recently, and investors are now taking stock of the company’s current position. With the energy sector in focus, Archrock’s steady performance continues to draw attention from those tracking its longer-term prospects. See our latest analysis for Archrock. Archrock’s share price has been a bit choppy lately, slipping back 4.88% over the past month but still up a healthy 5.86% in the last 90 days. What is really impressive, though, is the company’s...
NYSE:SRE
NYSE:SREIntegrated Utilities

Should Sempra’s (SRE) Dividend and 2025 Guidance Shift Investor Perspectives on Growth and Stability?

Sempra recently declared a US$0.645 per share quarterly dividend payable on January 15, 2026, and provided updated full-year 2025 earnings guidance, affirming its long-term growth targets. A unique aspect of this announcement is the combination of steady dividend payouts with reaffirmed high-end growth expectations, signaling management's confidence in both ongoing cash generation and the business outlook despite recent profit fluctuations. Next, we'll explore how Sempra's updated 2025...
NasdaqGS:RIGL
NasdaqGS:RIGLBiotechs

Rigel Pharmaceuticals (RIGL): Valuation Insights After Raised 2025 Guidance and Q3 Performance

Rigel Pharmaceuticals (RIGL) raised its 2025 revenue guidance to $285 million to $290 million after reporting strong third-quarter earnings and record net product sales. Investors are taking notice as the company signals confidence in its outlook. See our latest analysis for Rigel Pharmaceuticals. After lifting its guidance and reporting robust Q3 results, Rigel’s stock has shown powerful momentum, with a 22.4% one-month share price return and an impressive 103% share price surge...
NasdaqGS:SKWD
NasdaqGS:SKWDInsurance

Will Strong Q3 Results and Agricultural Expansion Change Skyward Specialty Insurance Group's (SKWD) Growth Narrative?

Skyward Specialty Insurance Group reported third-quarter 2025 results, showing revenue of US$382.53 million and net income of US$45.9 million, both higher than the prior year. This performance highlights significant expansion driven by growth in the Agricultural business and supports optimism about Skyward’s ongoing focus on specialized insurance solutions. Let's examine how the strong third-quarter revenue increase supports Skyward's broader investment narrative and future growth...
NasdaqGS:KNSA
NasdaqGS:KNSABiotechs

Is Kiniksa’s Upbeat 2025 Sales Outlook Reshaping the Investment Case for KNSA?

Kiniksa Pharmaceuticals International recently reported its third quarter results, showing a significant rise in revenue to US$180.86 million and a shift from net loss to net income, while also raising its full-year 2025 net sales guidance from US$625–640 million to US$670–675 million. This combination of higher earnings and an upward revision in sales expectations reflects increased management confidence and signals stronger business momentum as the year progresses. We'll explore how...
NYSE:JBTM
NYSE:JBTMMachinery

How Should Investors View JBT Marel After Shares Surge 12% This Week?

Curious if JBT Marel is a hidden gem or just fairly priced? Let’s dig into what really drives its value. In the past week, JBT Marel shares surged 12.1%, and they’re up 19.2% over the last year, showing some real momentum after a bumpy 30-day patch. Industry watchers have been buzzing about JBT Marel in recent months as the company continues to expand into automated food technology and makes bold strategic acquisitions. These moves have caught the market’s attention, fueling optimism about...
NasdaqGS:PRDO
NasdaqGS:PRDOConsumer Services

Perdoceo Education (PRDO): Assessing Valuation After Quarterly Growth, Fresh Guidance, and Capital Return Updates

Perdoceo Education (PRDO) recently announced third quarter results showing higher revenue and net income compared to last year. The company also provided updated earnings guidance, affirmed its dividend, and reported the completion of a share repurchase. See our latest analysis for Perdoceo Education. Momentum has cooled a bit for Perdoceo Education after a strong stretch, with a 23.1% total shareholder return over the past year and an impressive 119.9% three-year total return. This comes...
NasdaqGS:TEAM
NasdaqGS:TEAMSoftware

A Look at Atlassian (TEAM) Valuation Following Strong Results and New Share Buyback Program

Atlassian (TEAM) posted stronger quarterly numbers, with revenue climbing and net loss shrinking compared to last year. The company also issued upbeat guidance for the coming year and launched a major share buyback program. See our latest analysis for Atlassian. Despite upbeat earnings and a new buyback fueling optimism, Atlassian’s momentum has been mixed. The 1-year total shareholder return is down 34%, yet the company is still up over the past three years. This hints at long-term potential...
NYSE:LAZ
NYSE:LAZCapital Markets

Lazard (LAZ): Assessing Valuation After Recent Momentum in Share Price

Lazard (LAZ) shares are up slightly today, drawing attention from investors curious about the recent movement. With its year-to-date return just under flat and modest gains over the past month, the longer-term trajectory of Lazard is coming into focus. See our latest analysis for Lazard. Momentum in Lazard’s shares has perked up recently, with a 3.52% 7-day return capping a stretch of modest gains and suggesting renewed investor interest. While the 1-year total shareholder return is still in...
NasdaqGS:TPG
NasdaqGS:TPGCapital Markets

TPG (TPG): Evaluating Valuation After Recent Momentum Slowdown

TPG (TPG) shares have moved slightly in recent trading, prompting investors to take a closer look at what might be driving sentiment. With returns down over the past month and quarter, value remains a key question. See our latest analysis for TPG. Zooming out, TPG's momentum has clearly cooled, with a 1-month share price return of -4.70% and a year-to-date drop of -13.56%. The 1-year total shareholder return sits at -14.03%. Looking further back, its 3-year total return remains an impressive...
NYSE:CYD
NYSE:CYDMachinery

Assessing China Yuchai International (NYSE:CYD) Valuation Following Increased Stake in HL Global Enterprises

China Yuchai International (NYSE:CYD) recently raised its stake in HL Global Enterprises to 49.11%. By expanding its influence over HLGE's operations, the company signals a clear intent to deepen its involvement in the hospitality sector. See our latest analysis for China Yuchai International. China Yuchai's latest move to boost its stake in HL Global Enterprises arrives as shares continue a remarkable surge, highlighted by a 295.54% year-to-date share price return and a three-year total...
NYSE:ARE
NYSE:AREHealth Care REITs

How Lowered Guidance and Major Write-Down Will Impact Alexandria Real Estate Equities (ARE) Investors

Alexandria Real Estate Equities recently lowered its 2025 earnings guidance, reported a US$323.9 million real estate impairment for the third quarter, and posted a quarterly net loss of US$232.75 million, alongside year-over-year declines in both sales and revenue. A sharp increase in real estate impairments compared to the prior year and the downward revision of earnings outlook signal ongoing challenges for Alexandria’s portfolio performance and valuation. We'll explore how the large real...
NYSE:BRBR
NYSE:BRBRPersonal Products

How Investors May Respond To BellRing Brands (BRBR) Investigation Into Reported Demand and Sales Practices

Bleichmar Fonti & Auld LLP recently announced an investigation into BellRing Brands, Inc. over potential federal securities law violations relating to alleged misrepresentations of its sales growth and consumer demand. This development raises important questions about whether BellRing's reported sales momentum may have been temporarily influenced by trade inventory loading rather than genuine end-consumer demand. We'll review how the scrutiny over reported sales practices may impact BellRing...
NYSE:SITE
NYSE:SITETrade Distributors

SiteOne Landscape Supply (SITE): Assessing Valuation After Recent Shifts in Shareholder Returns

SiteOne Landscape Supply (SITE) stock has moved slightly this week, and investors are watching after modest but continued annual revenue and net income growth. The recent returns have lagged broader markets, which has sparked valuation discussions among market watchers. See our latest analysis for SiteOne Landscape Supply. Over the past year, SiteOne’s share price has seen its ups and downs, with a current price of $122.87 and a one-year total shareholder return of -19.13%. While recent...
NYSE:ENS
NYSE:ENSElectrical

EnerSys (ENS): Examining Valuation After Recent Share Price Surge

EnerSys (ENS) shares have been quietly trending higher, gaining over 15% in the past month and nearly 38% over the past 3 months. Investors are taking note as the company posts steady revenue and net income growth. See our latest analysis for EnerSys. Momentum has really picked up for EnerSys lately, with the share price climbing over 43% year-to-date and delivering a total shareholder return of 36.8% over the past year. This kind of run suggests investors are seeing renewed growth potential...
NasdaqGS:LECO
NasdaqGS:LECOMachinery

Strong Earnings and Completed Buybacks Might Change the Case for Investing in Lincoln Electric (LECO)

In the past week, Lincoln Electric Holdings reported third quarter 2025 earnings with sales of US$1,061.23 million and net income of US$122.63 million, both higher than the prior year, and announced the completion of a share repurchase program, having bought back a total of 4,692,047 shares since February 2020 for US$862.22 million. The combination of increased earnings and steady share buybacks highlights the company's continued focus on returning value to shareholders through both...
NYSE:AR
NYSE:AROil and Gas

Why Antero Resources (AR) Is Up 8.9% After Returning to Profit and Completing Share Buyback

Antero Resources reported third quarter 2025 results showing US$1.21 billion in revenue and US$76.18 million in net income, compared to losses the previous year, and completed the repurchase of 31,749,955 shares under its buyback program announced in 2022. This shift from a net loss to profitability, combined with the conclusion of a substantial share repurchase initiative, highlights improved operational performance and capital allocation discipline. We’ll explore how this return to...