U.S. Consumer Finance Stock News

NasdaqGS:PODD
NasdaqGS:PODDMedical Equipment

Is Insulet (PODD) A Bargain Following Its Calm Partnership?

Insulet (PODD) stock is drawing attention after the company announced a global partnership with Calm to offer free mindfulness and sleep resources tailored to people living with diabetes and their caregivers. See our latest analysis for Insulet. The Calm partnership lands at a time when Insulet's recent 30 day share price return of 4.27% contrasts with a year to date decline of 41.68% and a 1 year total shareholder return decline of 43.55%. This suggests short term momentum has picked up...
NYSE:ALLY
NYSE:ALLYConsumer Finance

Ally Financial (ALLY) Beats On Earnings, Is The Upside Already Priced In?

Ally Financial (ALLY) is back in focus after reporting second quarter results that showed higher net interest income and net income, along with fresh executive appointments that reshape leadership across auto finance, technology and investor relations. See our latest analysis for Ally Financial. The latest 1 day share price return of 1.77% to US$43.68 comes after a period where the 30 day share price return is down 7.40% and the year to date share price return is down 4.55%. At the same time,...
NYSE:FHN
NYSE:FHNBanks

AI-Centric Leadership Hires and Solid Q2 Results Could Be A Game Changer For First Horizon (FHN)

First Horizon Corporation recently appointed Scott Serpico as Senior Vice President, Head of Product, and Catherine Wood as Senior Vice President, Head of Commercial Banking Strategy, while also reporting second-quarter 2026 net income of US$271 million and basic earnings per share from continuing operations of US$0.55. These leadership moves concentrate on expanding products and embedding AI and technology across commercial banking, highlighting management’s emphasis on product innovation...
NYSE:PEG
NYSE:PEGIntegrated Utilities

Does PSEG’s ESOP Share Offering and Steady Dividend Reveal a Deeper Capital Strategy for PEG?

Public Service Enterprise Group Incorporated recently filed a US$239.31 million shelf registration to offer 3,000,000 shares of common stock for an employee stock ownership plan and earlier affirmed a quarterly dividend of US$0.6700 per share payable on September 30, 2026. This combination of an ESOP-related equity offering and maintained cash returns to shareholders highlights how PSEG is balancing employee incentives with ongoing income for investors. We’ll now examine how the ESOP-related...
NYSE:JXN
NYSE:JXNDiversified Financial

Leadership Shuffle at Jackson Financial (JXN) Could Be A Game Changer For Its Risk Discipline

Jackson Financial Inc. has outlined a leadership transition, with CEO Laura L. Prieskorn retiring on September 30, 2026, and current CFO Don W. Cummings becoming CEO, President, and a director, while long-time executive Brian M. Walta steps into the roles of Executive Vice President and Chief Financial Officer on October 1, 2026. This internal succession plan, elevating experienced finance and risk leaders from within Jackson’s existing ranks, signals an emphasis on continuity in capital...
NasdaqGS:FFIV
NasdaqGS:FFIVCommunications

AI-Focused Upgrades And New HR Chief Might Change The Case For Investing In F5 (FFIV)

Earlier this month, F5, Inc. launched new fleet management capabilities for F5 Insight for ADSP to tighten security and streamline BIG-IP software updates, while also appointing Cathy Peterman as Executive Vice President and Chief People Officer to lead its global people strategy. These moves highlight how F5 is responding to AI-accelerated cyber risks with more automated, auditable operations while deepening its leadership bench to support its push in application security and AI. We’ll now...
NasdaqGS:CME
NasdaqGS:CMECapital Markets

Should CME Group’s Strong Q2 2026 Results and Buybacks Prompt Action From CME (CME) Investors?

CME Group Inc. recently reported past second-quarter 2026 results, with revenue of US$1,706.2 million and net income of US$1,041.8 million, alongside higher earnings per share compared with the same period a year earlier. For the first half of 2026, CME Group delivered higher revenue and net income while completing a US$1,495.75 million buyback covering 1.48% of its shares, highlighting active capital returns alongside operational performance. Next, we’ll examine how this earnings...
NasdaqGS:TSEM
NasdaqGS:TSEMSemiconductor

Tower Semiconductor (TSEM) Expands In Japan As AI Demand Meets An Undervalued Narrative

Tower Semiconductor (TSEM) has announced a dual track expansion of its 300mm Silicon Photonics, Silicon Germanium, and advanced packaging capacity in Japan, backed by government grants and aimed at long term AI and data center demand. See our latest analysis for Tower Semiconductor. The expansion update arrives after a volatile stretch for Tower Semiconductor, with the share price falling 10.39% on the day to US$233.37 but still showing firm upward momentum through a 20.57% 90 day share price...
NYSE:PATH
NYSE:PATHSoftware

UiPath (PATH) Stock Has Weak Returns But Cash Flow Looks Strong

UiPath stock has fallen about 82% over the past five years. Current valuation checks suggest the shares now trade at a discount to what the company’s cash flows may justify, creating a clear tension between a weak long term return profile and an intrinsic value estimate that points to upside. Over five years, UiPath shareholders have seen the stock decline around 82%. This puts the recent valuation debate in the context of a long period of weak returns. The recent AI driven pricing contract...
NasdaqGS:CASH
NasdaqGS:CASHBanks

How Lower Income, New EPS Targets and Credit Probes At Pathward Financial (CASH) Has Changed Its Investment Story

On July 22, 2026, Pathward Financial, Inc. reported lower quarterly net interest income of US$112.91 million and net income of US$28.97 million, updated its fiscal 2026 EPS guidance to US$7.80–US$8.20, introduced 2027 EPS guidance of US$9.50–US$10.00, and detailed completion of a share repurchase totaling 3,872,821 shares for US$303.85 million. A securities law firm has since opened an investigation into Pathward’s disclosures around rising nonperforming loans and renewable energy...
NasdaqGS:CVBF
NasdaqGS:CVBFBanks

Is CVB Financial (CVBF) Cheap After Mixed Earnings Signals?

Mixed earnings signals at CVB Financial CVB Financial (CVBF) recently reported second quarter and six month results that combined higher net interest income with slightly lower net income and earnings per share, giving investors a mixed picture of profitability and growth. See our latest analysis for CVB Financial. Against this latest earnings release and the recent board appointment of Michael J. Maddox, CVB Financial's recent momentum is positive, with a 10.10% 90 day share price return and...
NYSE:PBI
NYSE:PBICommercial Services

Pitney Bowes (PBI) Could Be 4% Overvalued As New Board Appointment Draws Focus

Pitney Bowes (PBI) drew investor attention after appointing La Vonda Williams to its Board of Directors, adding nearly two decades of finance and operations experience to the company’s recently formed Strategic Review Committee. See our latest analysis for Pitney Bowes. The recent appointment to Pitney Bowes' Strategic Review Committee comes after a period where momentum has shifted, with a 73.09% year to date share price return and a very large 3 year total shareholder return of 405.45%...
NYSE:MAS
NYSE:MASBuilding

Will Masco’s New Enterprise CMO Role Reshape MAS’s Brand‑Led Investment Narrative?

Masco Corporation recently appointed Brad Hiranaga as its first Chief Marketing Officer, reporting directly to CEO Jon Nudi and joining the Executive Committee to lead enterprise-wide brand growth, marketing, commercial excellence, digital acceleration and customer capabilities. By creating a CMO role and hiring a leader with more than 25 years of brand-building experience across consumer, hospitality and outdoor sectors, Masco is signaling a fresh emphasis on sharpening its portfolio of...
NasdaqGS:SIGI
NasdaqGS:SIGIInsurance

Is Selective Insurance Group (SIGI) Undervalued On Strong Q2 Results?

Why Selective Insurance Group Stock Is Back on Investors’ Radar Selective Insurance Group (SIGI) moved into focus after reporting second quarter 2026 results that included higher revenue and net income, along with continued dividends and share repurchases that highlight current capital return priorities. See our latest analysis for Selective Insurance Group. At a share price of $96.33, Selective Insurance Group has seen a 12.52% 90 day share price return and a 25.33% 1 year total shareholder...
NYSE:BYD
NYSE:BYDHospitality

Boyd Gaming (BYD) Q2 Results Put Its Valuation Narrative Under Closer Scrutiny

Mixed Q2 Earnings Put Boyd Gaming Stock Under Closer Scrutiny Boyd Gaming (BYD) is drawing fresh attention after second quarter results showed sales and total revenue roughly in line with last year, while net income and earnings per share from continuing operations declined. See our latest analysis for Boyd Gaming. Following the mixed second quarter, Boyd Gaming’s share price has been relatively muted, with a 30 day share price return of down 2.97% and a year to date share price return of...
NasdaqGS:MKTX
NasdaqGS:MKTXCapital Markets

Is MarketAxess Holdings (MKTX) Undervalued Following Its Recent Share Price Rebound?

MarketAxess Holdings (MKTX) continues to draw investor attention after a period of mixed share performance, with recent gains over the past month contrasting with steeper declines over the past 3 months and the past year. See our latest analysis for MarketAxess Holdings. At a share price of $116.69, MarketAxess Holdings has seen a 1 day share price return of 2.08%, while its 1 year total shareholder return is down 42.77%. This shows recent momentum following a much weaker longer term...
NasdaqGS:MANH
NasdaqGS:MANHSoftware

Manhattan Associates (MANH) Nears Earnings, Is The Stock Fully Valued?

Upcoming Earnings Put Manhattan Associates In Focus Manhattan Associates (MANH) is back on investors’ radar as the supply chain software company heads into its earnings report this Tuesday after the bell, following a prior quarter that topped revenue expectations. See our latest analysis for Manhattan Associates. Manhattan Associates’ recent 10.03% 1 month share price return and 8.09% 3 month share price return contrast with a year to date share price decline of 9.33% and a 1 year total...
NasdaqGS:TLN
NasdaqGS:TLNRenewable Energy

Talen Energy (TLN) Reports Stronger Results, Is The Stock Still Cheap?

The renewed focus on Talen Energy (TLN) centers on its latest quarterly report, which showed higher revenue and net profit, along with a supportive PJM capacity auction outcome that extends contracted revenue visibility for its fleet. See our latest analysis for Talen Energy. Despite the recent PJM auction support and stronger quarterly figures, Talen Energy’s share price has pulled back, with the 30 day share price return down 10.94% and the year to date share price return down 9.28%. At the...
NYSE:ITGR
NYSE:ITGRMedical Equipment

Is Integer Holdings (ITGR) Fairly Valued Following Its Recent Share Price Gains?

Recent Price Moves and Business Scale Integer Holdings (ITGR) has attracted fresh attention after recent trading, with the stock last closing at $98.62. The company has a market value of around $3.3 billion and reports annual revenue of about $1.86 billion. See our latest analysis for Integer Holdings. Recent trading has added to a run of stronger share price returns for Integer Holdings, with a 30 day share price return of 5.04% and a year to date gain of 28.44% even though the 1 year total...
NYSE:TJX
NYSE:TJXSpecialty Retail

TJX Companies (TJX) Could Be 13% Below Fair Value On Stronger Customer Growth

How TJX Companies Stock Has Been Performing TJX Companies (TJX) has delivered a total return of 24.50% over the past year and 85.44% over the past 3 months, with the stock last closing at US$154.22. Shorter term moves have been more muted, with the stock up 0.48% on the day and down 0.95% over the past week. Over the past month the stock shows a decline of 0.78%, and year to date performance is slightly lower by 0.04%. See our latest analysis for TJX Companies. For TJX Companies, the share...
NYSE:TFIN
NYSE:TFINBanks

Triumph Financial (TFIN) Could Be 4% Undervalued After Its Second Quarter 2026 Results

Triumph Financial (TFIN) has drawn investor attention after reporting second quarter 2026 results, with net interest income of US$98.83 million and net income of US$11.37 million from continuing operations. See our latest analysis for Triumph Financial. Following the earnings release, Triumph Financial's share price has eased in the very short term, with a 1-day share price return down 3.75% and a 7-day share price return down 1.21%. However, the 90-day share price return of 13.69%, year to...
NYSE:RBA
NYSE:RBACommercial Services

Is RB Global's Higher Dividend Shaping a New Capital Allocation Story for RBA?

RB Global, Inc. previously announced that on July 21, 2026, its Board of Directors declared a quarterly cash dividend of US$0.33 per common share, payable on September 17, 2026 to shareholders of record on August 25, 2026, and classified as an eligible dividend for Canadian income tax purposes. This dividend decision highlights the company’s ongoing cash returns to shareholders while it continues to operate global marketplaces for commercial assets and vehicles under brands such as Ritchie...
NYSE:FR
NYSE:FRIndustrial REITs

First Industrial Realty Trust (FR) Reports Strong Earnings, Is The Stock Fully Valued?

First Industrial Realty Trust (FR) has drawn fresh attention after reporting second quarter 2026 earnings, with sales of US$194.94 million and net income of US$77.1 million, alongside updated half-year results. See our latest analysis for First Industrial Realty Trust. At a share price of US$66.99, First Industrial Realty Trust has posted a 5.36% 30 day share price return and a 15.70% year to date share price return, while the 1 year total shareholder return of 41.89% points to momentum that...
NasdaqGS:SLM
NasdaqGS:SLMConsumer Finance

Is SLM (SLM) A Bargain As Earnings And Its Dividend Keep Valuation In Focus?

SLM (SLM) shares are in focus after the company reported second quarter 2026 earnings and affirmed a quarterly dividend of $0.13 per share, with payment scheduled for September 15, 2026. See our latest analysis for SLM. At a share price of $24.29, SLM has seen its 7 day and 30 day share price returns decline 4.11% and 4.56% respectively, while the 1 year total shareholder return is down 24.33% but the 3 year total shareholder return is up 60.27%. This suggests longer term holders have fared...