U.S. Consumer Durables Stock News

NasdaqGM:CRMD
NasdaqGM:CRMDPharmaceuticals

Is CorMedix (CRMD) A Potential Opportunity After Recent Share Price Volatility?

If you are wondering whether CorMedix at around US$7.27 is priced as a bargain or a trap, you are not alone. That is exactly what this valuation focused rundown aims to unpack. The stock has been volatile recently, with a 7.2% gain over the last 7 days, a 42.0% decline over 30 days, and year to date and 1 year returns of 40.2% and 41.5% declines. The 3 year return sits at 68.7% and the 5 year return at a 16.9% decline. Recent trading moves have put CorMedix back on the radar for investors...
NasdaqGM:RUM
NasdaqGM:RUMInteractive Media and Services

Rumble Merger With Northern Data Shifts Focus To AI Infrastructure And Valuation

Rumble, listed as NasdaqGM:RUM, plans to merge with Northern Data AG in a deal focused on artificial intelligence and high performance computing. The transaction is expected to bring Northern Data AG's GPU resources and data center assets under Rumble's umbrella. The companies describe the combination as a way to build out cloud services, AI capabilities, and international reach beyond Rumble's current video platform focus. Rumble started as a video hosting and streaming platform, and the...
NYSE:TEL
NYSE:TELElectronic

TE Connectivity Fortunes Align With Record AI And Industrial Growth

TE Connectivity (NYSE:TEL) has been named to Fortune's World's Most Admired Companies list for the ninth consecutive year. The company reported record first quarter sales and orders, supported by demand in AI, industrial automation, and transportation. TE Connectivity, trading at $223.84, operates at the intersection of several high priority technology trends. The stock is up 47.0% over the past year and 101.6% over five years, which reflects meaningful long term shareholder gains. The...
NYSE:PKG
NYSE:PKGPackaging

Is Packaging Corporation of America (PKG) Pricing Reflecting Its Recent DCF Upside Signal

If you are wondering whether Packaging Corporation of America’s current share price lines up with its underlying worth, this article will walk you through the key signals that matter. The stock last closed at US$225.39, with returns of 1.8% over the past week, 7.9% over the last 30 days, 6.8% year to date, and a 3.8% decline over the past year. The 3 year and 5 year returns sit at 77.3% and 94.6% respectively. Recent news coverage has focused on the company as a major player in the US...
NasdaqGS:MORN
NasdaqGS:MORNCapital Markets

Morningstar Launches GenAI 20 Index To Reframe Its Growth Story

Morningstar has launched the PitchBook GenAI 20 Index, a new benchmark focused on leading generative AI companies. The index is designed to track influential GenAI names from their private market phase through public listing. This creates a single measure of exposure to generative AI across both private and public markets. Morningstar, listed as NasdaqGS:MORN, is rolling out this index while its own share price stands at $210.9. The company’s 1 year return is a 35.4% decline, with a 3 year...
NasdaqGS:RMBS
NasdaqGS:RMBSSemiconductor

Is It Too Late To Consider Rambus (RMBS) After Its Strong Multi Year Share Price Run

If you are wondering whether Rambus shares still offer value after a strong run, you are not alone. This article is built to walk you through what the current price might be implying. The stock last closed at US$115.31, with returns of 6.8% over 7 days, 22.5% over 30 days, 16.1% year to date and 83.1% over 1 year, and a very large gain over 5 years that is more than 5x the starting point. Recent attention on Rambus has largely centered on its position within the semiconductor and memory...
NYSE:FTV
NYSE:FTVMachinery

Should Fortive’s (FTV) Q3 Earnings Compression and 2025 EPS Cut Require Action From Investors?

In its past Q3 2025 earnings release, Fortive reported revenue growth but a 75% earnings drop, with operating margin compressing by 390 basis points to 15.5% and full-year 2025 EPS guidance indicating a 38% decline. This combination of higher sales but weaker profitability highlights mounting pressure on Fortive’s cost structure and the resilience of its underlying business model. We’ll now examine how Fortive’s sharp earnings compression and weaker full-year guidance could reshape the...
NasdaqGS:EVRG
NasdaqGS:EVRGElectric Utilities

The Bull Case For Evergy (EVRG) Could Change Following Data-Center-Fueled Power Demand Surge - Learn Why

Evergy recently approached its fourth-quarter earnings report, with analysts expecting a double-digit profit increase supported by rising electricity demand in its Kansas City service area. A key driver behind this earnings optimism is the region’s rapid build-out of large data centers, which are contributing to more stable, long-term power demand for the utility. We’ll now examine how this data-center-fueled demand growth shapes Evergy’s broader investment narrative and future business...
NYSEAM:KULR
NYSEAM:KULRElectrical

What KULR Technology Group (KULR)'s Caban Supply Deal and U.S. Expansion Means For Shareholders

KULR Technology Group, Inc. previously announced a five-year preferred battery supply agreement with Miami-based Caban Energy, expected to generate an estimated US$30,000,000 in revenue from 2026 and supported by the takeover of Caban’s Plano, Texas manufacturing assets. This move extends KULR’s energy-storage footprint into telecom and digital infrastructure, positioning its lithium-based battery solutions as critical backup power for data centers, communications networks, and 5G-related...
NYSE:RBA
NYSE:RBACommercial Services

A Look At RB Global (RBA) Valuation After Q3 Beat Analyst Upgrades And New Contract Wins

RB Global (RBA) is back on investors’ radar after a packed quarter, with earnings and revenue ahead of forecasts, fresh analyst upgrades, new contracts in Australia and the UK, a US$0.31 dividend, and insider stock activity. See our latest analysis for RB Global. The latest quarterly beat and contract wins line up with a 30 day share price return of 9.65% and a 90 day gain of 13.95%, while the 1 year total shareholder return of 29.37% and 3 year total shareholder return of about 2.1x suggest...
NasdaqCM:BVFL
NasdaqCM:BVFLBanks

BV Financial (BVFL) Net Interest Margin Above 4% Reinforces Bullish Earnings Narratives

BV Financial (BVFL) capped FY 2025 with fourth quarter total revenue of US$12.4 million and basic EPS of US$0.57, while trailing twelve month EPS stood at US$1.44 on revenue of US$42.1 million. Over recent reporting periods, total quarterly revenue has ranged from US$8.9 million to US$12.4 million, with quarterly EPS moving from US$0.18 in late FY 2024 to US$0.57 in Q4 FY 2025 as investors weigh those earnings against the current share price of US$18.82. With a net profit margin of 32.1% on a...
NasdaqCM:AREC
NasdaqCM:ARECOil and Gas

Why American Resources (AREC) Is Up 22.4% After Tokenizing Neodymium And Advancing 99.9% Samarium Purity

In January 2026, American Resources, via its portfolio company ReElement Technologies and in partnership with SAGINT, reported minting the world’s first utility token for refined neodymium oxide while also announcing commercial protocols to produce ultra-high-purity samarium exceeding 99.9% for magnet-grade defense and industrial applications. Together, blockchain-based critical mineral tokenization and high-purity samarium production highlight American Resources’ growing role in securing...
NYSE:BAH
NYSE:BAHProfessional Services

Booz Allen Hamilton (BAH) Q3 EPS Of US$1.64 Tests Bullish Undervaluation Narrative

Booz Allen Hamilton Holding (BAH) has put up another detailed scorecard for Q3 2026, with revenue of US$2.6b, Basic EPS of US$1.64, and net income excluding extra items of US$198m setting the tone for the quarter. Over recent periods, revenue has ranged from US$2.6b to US$3.1b while quarterly Basic EPS has moved between US$1.42 and US$3.02, giving investors a clear view of how top line and per share earnings have tracked together. With a trailing net profit margin holding at 7.3%, this update...
NYSE:MTB
NYSE:MTBBanks

Is It Time To Reassess M&T Bank (MTB) After Strong Multi Year Share Price Gains

If you are wondering whether M&T Bank's current share price offers value or is starting to look stretched, you are in the right place for a clear, valuation focused look at the stock. The share price recently closed at US$213.82, with returns of 0.7% over 7 days, 3.2% over 30 days, 4.8% year to date and 10.7% over 1 year, while the 3 year and 5 year returns sit at 52.8% and 89.2% respectively. Recent news coverage around M&T Bank has centered on its position in the U.S. regional banking...
NYSE:DCH
NYSE:DCHAuto Components

Is American Axle (AXL) Still Attractive After Recent Share Price Momentum And Valuation Checks

If you are wondering whether American Axle & Manufacturing Holdings at US$8.28 is a bargain or already pricing in its prospects, you are in the right place to size up its current valuation. The stock has recently shown strong momentum, with returns of 7.5% over the last week, 28.2% over the last month, 27.6% year to date, and 41.3% over the past year, while the 3 and 5 year returns are negative at 2.6% and 6.0% respectively. These mixed longer term and shorter term results mean recent news...
NasdaqGS:MLCO
NasdaqGS:MLCOHospitality

Is Melco Resorts & Entertainment (MLCO) Attractive After Recent Share Price Swings?

If you are wondering whether Melco Resorts & Entertainment is a bargain or a value trap at around US$6.35, you are not alone. The answer starts with looking closely at what you are really paying for its business today. The stock has had a mixed run, with a 3.6% gain over the last 7 days, a 20.7% decline over the last 30 days, a 15.4% decline year to date, but a 13.4% gain over the last year, set against much larger declines of 53.1% and 60.3% over the last 3 and 5 years. Recent coverage of...