U.S. Consumer Services Stock News

NasdaqGS:POWI
NasdaqGS:POWISemiconductor

Power Integrations (POWI) Stock Still Looks Expensive On Fresh Analyst Target Hikes

Power Integrations stock has surged 78.2% year to date, yet based on current checks it still screens as expensive rather than a clear bargain. That creates a tension for investors between strong recent momentum and valuation metrics that point to a premium. The 78.2% gain year to date indicates that expectations for Power Integrations have reset sharply higher and may leave less room for disappointment. Recent analyst interest in Power Integrations' high power GaN portfolio and product...
NYSE:SKT
NYSE:SKTRetail REITs

Is Tanger (SKT) Stock Above Fair Value After A 151% Run?

Tanger stock has delivered a strong 151.2% return over the past five years. At a recent price of US$39.16, the Discounted Cash Flow (DCF) intrinsic value estimate and market multiples both suggest it no longer looks obviously cheap or clearly stretched. A 151.2% five year return means early shareholders have already seen substantial gains, so fresh buyers now need to pay closer attention to what they are getting for the current price. For a real estate focused company like Tanger, investor...
NasdaqCM:PLUG
NasdaqCM:PLUGElectrical

Plug Power (PLUG) Secures 50 MW Role In Australia’s Largest Green Hydrogen Project

Plug Power (NasdaqCM:PLUG) has been selected to supply 50 MW of electrolyzer capacity for Orica’s Hunter Valley Hydrogen Hub in Australia. The project has reached final investment decision with government backing, moving into execution as Australia’s largest green hydrogen development. The hub is intended to replace natural gas with renewable hydrogen in ammonia and ammonium nitrate production, creating a new industrial-scale use case for green hydrogen. Plug Power enters this contract with...
NasdaqGS:ACHC
NasdaqGS:ACHCHealthcare

Acadia Healthcare Company (ACHC) Rejoins Smaller Russell Indexes As Fair Value Questions Return

Index reshuffles have put Acadia Healthcare Company (ACHC) in focus, as the stock moves out of several Russell 1000 and midcap benchmarks and into the Russell 2000 and its value subset. See our latest analysis for Acadia Healthcare Company. The index reshuffle comes during a sharp shift in momentum for Acadia Healthcare Company, with the share price delivering a 21.41% 1 month return and 115.12% year to date, but a 59.01% decline in 3 year total shareholder return. This highlights how recent...
NYSE:EPAC
NYSE:EPACMachinery

Enerpac Tool Group (EPAC) Stock Margins Near 15% Reinforce Steady Industrial Narrative

Enerpac Tool Group (EPAC) has just posted its Q3 2026 numbers, with revenue of US$167.6 million and net income of US$29.8 million translating to basic EPS of US$0.58, against a trailing twelve month EPS base of US$1.78 and net income of US$93.3 million on revenue of US$634.1 million. The company has seen quarterly revenue move around the mid US$140 million to US$160 million range over recent periods, with basic EPS between roughly US$0.31 and US$0.58 per quarter. Earnings over the last year...
NasdaqGS:PENG
NasdaqGS:PENGSemiconductor

Penguin Solutions (PENG) Stock Tests Bullish Narrative As Q3 Profitability Reaches 0.73 EPS

Penguin Solutions (PENG) opened its Q3 2026 update with total revenue of US$478.7 million and basic EPS of US$0.73, alongside trailing twelve month EPS of US$1.45 on revenue of about US$1.5 billion. This highlights the scale of its current earnings profile. The company has reported quarterly revenue rising from US$324.3 million in Q3 2025 to US$478.7 million in Q3 2026, while basic EPS has shifted from a small loss in Q3 2025 to US$0.73 this quarter. As a result, this reporting season is...
NasdaqGM:PAHC
NasdaqGM:PAHCPharmaceuticals

Phibro Animal Health (PAHC) Stock Still Looks Below Fair Value Despite A 143% Return

Phibro Animal Health stock has delivered a strong 143.3% return over the past 3 years, yet its current checks still suggest the shares look inexpensive relative to the fundamentals. Phibro Animal Health's 143.3% return over 3 years points to a stock that has already rewarded patient holders, which raises the bar for what counts as good value today. Future growth in animal health demand can support earnings and cash flow, while any pressure on input costs or pricing power may limit how much...
NYSE:EFX
NYSE:EFXProfessional Services

Equifax (EFX) Is Buying Círculo De Crédito To Grow In Mexico

Equifax (NYSE:EFX) has signed a definitive agreement to acquire Círculo de Crédito, a major credit bureau in Mexico. The deal is aimed at expanding Equifax's presence in Mexico's growing credit market. The acquisition is expected to add new data assets and create synergies across Equifax's Latin American operations. For Equifax, the Círculo de Crédito deal fits into its broader role as a global data, analytics, and technology company that supports lenders and other institutions. Mexico's...
NasdaqGS:DORM
NasdaqGS:DORMAuto Components

Dorman Stock And 2 U.S. Manufacturing Picks for a Tariff Driven Supply Chain Shift

Potential U.S. tariffs on Canadian goods and tighter rules on forced labour are putting a spotlight on where companies source and build their products. For investors, that creates both risk and opportunity, as supply chains tied to Canada could face higher costs while more U.S. domestic manufacturing becomes relatively more attractive. This article looks at how that backdrop connects to three stocks from a U.S. Domestic Manufacturing Stocks screener that appear exposed to this news. You will...
NYSE:MBGL
NYSE:MBGLProfessional Services

What Mobility Global (MBGL)'s S&P Spin-Off And Index Debut Means For Shareholders

On July 1, 2026, S&P Global completed the spin-off of its Mobility division as Mobility Global Inc., which began trading independently on the NYSE under the ticker MBGL, backed by new bylaws, a refreshed board, and leadership appointments across key business units. The spin-off immediately positioned Mobility Global inside a wide range of major equity indices and was accompanied by a more than US$1.01 billion shelf registration tied to an employee stock ownership plan, underscoring its scale...
NasdaqGS:PCAR
NasdaqGS:PCARMachinery

Higher For Longer Rates Are Reviving US Large Cap Value Stocks

With the Federal Reserve under Kevin Warsh turning more hawkish and inflation still running at 4.1% on the PCE measure in May, higher for longer interest rates are reshaping where risk and opportunity sit in US large caps. Value stocks with solid balance sheets and dependable dividends are back in focus as investors reassess what they hold through tighter monetary conditions and rising volatility. This article looks at 3 large cap value stocks from our screener that are closely exposed to...
NasdaqGM:EH
NasdaqGM:EHAerospace & Defense

Is EHang Holdings (EH) A Bargain After Joining Hong Kong’s Sandbox?

EHang Holdings (EH) is drawing attention after being selected for Hong Kong's Low-Altitude Economy Regulatory Sandbox X, which allows compliant trial operations of its pilotless EH216-S eVTOL within the city. See our latest analysis for EHang Holdings. Despite the Hong Kong sandbox announcement highlighting EHang Holdings’ role in urban air mobility, the stock’s recent performance has been weak. The share price is down 30.1% over 30 days, and the 1-year total shareholder return has declined...
NYSE:ABG
NYSE:ABGSpecialty Retail

How Investors Are Reacting To Asbury Automotive Group (ABG) Being Dropped From The Russell 2000 Dynamic Index

Asbury Automotive Group, Inc. was recently removed from the Russell 2000 Dynamic Index, and previously announced it would release second-quarter 2026 financial results before the market opened on Tuesday, July 28, 2026, with a conference call later that morning. This index removal can influence institutional ownership patterns and trading volumes, potentially affecting how investors view Asbury’s size, liquidity, and role in auto retail portfolios. We’ll now examine how Asbury’s removal...
NasdaqGS:TOWN
NasdaqGS:TOWNBanks

3 U.S. Financial Stocks Worth Watching Before Social Security Runs Dry

Social Security’s trust fund is projected to run dry by 2032, and that kind of deadline can reshuffle risk across the U.S. financial sector. Higher government borrowing, pressure on Treasury markets, and shifting interest rates can all influence how banks, insurers, and lenders are priced and perceived. This article looks at what that backdrop could mean for investors and highlights 3 stocks from our U.S. Financial Sector Stocks screener that currently screen well on health, value, and growth...
NasdaqGS:AGYS
NasdaqGS:AGYSSoftware

Agilysys (AGYS) Stock Could Be Undervalued As Its 5 Year Gain Nears 99%

Agilysys stock has almost doubled over the past 5 years, yet the valuation checks send a mixed message, with the Discounted Cash Flow (DCF) intrinsic value estimate pointing to roughly 19.8% upside while earnings based multiples suggest the shares screen as expensive. Over 5 years, Agilysys has returned about 98.6%, which puts current pricing in the context of a strong long term gain that investors now have to justify on fundamentals. Recent attention on Agilysys as a growth stock, backed by...
NasdaqGS:OTEX
NasdaqGS:OTEXSoftware

Open Text (NasdaqGS:OTEX) Is Reworking Its Software Platform Around AI And Cybersecurity

Open Text (NasdaqGS:OTEX) is advancing AI integration across its enterprise software platform while expanding its cybersecurity capabilities. The company is consolidating recent acquisitions into a more unified product stack focused on automation, analytics, and security. These moves are reshaping Open Text's core offerings for content management and information governance. Open Text is known for enterprise software that helps organisations manage large volumes of information, automate...
NasdaqCM:ALOY
NasdaqCM:ALOYMetals and Mining

REalloys (ALOY) Stock Trades At A Premium Despite Army Processing Deal

REalloys stock has delivered a very large 3 year gain while its recent valuation checks suggest the shares are not an obvious bargain at the current price. After that run and a series of high profile partnership announcements, the issue for investors is how much of the rare earths story is already reflected in the valuation. REalloys has returned about 3.5x over the past 3 years, which puts extra focus on whether the current price still offers an attractive entry point for new capital. The...
NasdaqCM:ONDS
NasdaqCM:ONDSCommunications

Ondas (ONDS) Stock Looks Cheap With Broader Valuation Support

Ondas stock has gone through a very large three year upswing, yet the broader valuation checks still lean towards the shares looking inexpensive rather than stretched. Ondas has returned about 4.6x over the past three years, which puts the recent pullback in a very different context for anyone looking at the longer run. The recent acquisition of DZYNE Technologies and the push into autonomous defense systems can support higher revenue expectations, while ongoing insider selling and...
NYSE:WRBY
NYSE:WRBYSpecialty Retail

3 Growth Stocks With High Insider Confidence

The United States market has remained flat over the last week but is up 20% over the past year, with earnings forecast to grow by 18% annually. In this environment, growth stocks with high insider ownership can be particularly appealing as they often signal strong internal confidence in a company's future potential.
NasdaqGS:MCHX
NasdaqGS:MCHXMedia

3 Promising Penny Stocks To Consider In July 2026

In the last week, the market has stayed flat, but over the past 12 months, it has risen by 20%, with earnings forecast to grow annually by 18%. While penny stocks might seem like a term from a bygone era, they continue to offer intriguing opportunities for investors seeking affordability and growth potential. By focusing on smaller or newer companies with strong financials and solid fundamentals, investors can uncover promising options in this often-overlooked segment of the market.
NasdaqGS:LKFN
NasdaqGS:LKFNBanks

CB Financial Services And 2 More Top Dividend Stocks For Your Portfolio

Over the last 7 days, the United States market has remained flat, yet it has shown a strong performance with a 20% rise over the past year and an expected annual earnings growth of 18%. In such a dynamic environment, selecting dividend stocks like CB Financial Services can be advantageous for investors seeking steady income and potential capital appreciation.
NasdaqGS:KLAC
NasdaqGS:KLACSemiconductor

KLA (KLAC) Stock Jumps After 9.2% Guidance Raise As AI Questions Grow

KLA (NasdaqGS:KLAC) raised its quarterly EPS guidance by 9.2%, citing AI demand as a core growth driver. The guidance update was followed by a sharp move higher in the stock, with the share price recently at $216.47. Soon after, a sector wide sell off in semiconductors followed Samsung's record quarterly profit report. Investors are weighing new AI chip competition from China and questions about how durable AI driven demand will be for equipment suppliers like KLA. KLA sits at the center...