U.S. Consumer Services Stock News

NYSE:SRFM
NYSE:SRFMAirlines

Is Surf Air Mobility (SRFM) Undervalued As Palantir, Wheels Up And Hawaiʻi Plans Build Out?

Surf Air Mobility (SRFM) is back on traders’ screens after a cluster of fresh announcements around its SurfOS software, a wider Palantir partnership, a Wheels Up subscription deal, and new electric aircraft plans in Hawaiʻi. See our latest analysis for Surf Air Mobility. For context, Surf Air Mobility’s 7 day share price return of 15.31% around these Palantir, Wheels Up and Hawaiʻi announcements sits against a 30 day share price return that is down 10.34% and a year to date share price return...
NasdaqGS:PCVX
NasdaqGS:PCVXBiotechs

Vaxcyte (PCVX) Updates VAX A1 Trial, Is It Still A Bargain?

Vaxcyte (PCVX) is back in focus after updating investors on its VAX-A1 clinical trial targeting Group A strep infections, along with renewed attention from Wall Street that is highlighting the company’s broader vaccine pipeline. See our latest analysis for Vaxcyte. Against this backdrop, Vaxcyte’s recent 19.75% 1 month share price return and 25.68% year to date share price return, alongside a 75.61% 1 year total shareholder return, suggest momentum has been building as investors react to the...
NasdaqGM:PLBL
NasdaqGM:PLBLRetail Distributors

Is Polibeli Group (PLBL) Fully Valued As It Explores A Thailand AI Computing Center?

Polibeli Group (PLBL) has drawn fresh attention after signing a non-binding Memorandum of Understanding with Thailand based AUTHAIKAM COMPANY LIMITED to explore a potential artificial intelligence computing center project in Thailand. See our latest analysis for Polibeli Group. Polibeli Group's latest MOU arrives after a sharp near term rebound, with a 30 day share price return of 72.44% and a 90 day share price return of 16.59%, while the year to date share price return is still down 5.52%...
NasdaqGS:CME
NasdaqGS:CMECapital Markets

Progressive Stock And 2 Dividend Shares For Higher Income In Uncertain Rate Markets

With inflation readings mixed across regions and central banks rethinking rate paths, many investors are turning to income as a steadier part of their portfolio. The Dividend Powerhouses (3%+ Yield) screener focuses on companies paying more than a 5% yield that is described as well covered, growing and stable. In a world where policy signals, government debt concerns and uneven growth data keep markets guessing, that kind of consistency can be appealing. In this article, you will see 3 of the...
NYSE:AVEX
NYSE:AVEXAerospace & Defense

Why AEVEX (AVEX) Is Up 20.3% After New USAF Deal And Leadership Shake-Up

In late June 2026, AEVEX Corp. announced a US$50.0 million U.S. Air Force contract to expand unmanned mission-support capabilities and appointed veteran defense executive Murali Krishnan as Chief Growth Officer to lead global growth initiatives. These moves, alongside the renewal of AEVEX’s US$15.2 million FIRIS wildfire-intelligence contract with Cal OES and its broad inclusion across multiple Russell indices, underscore the company’s growing role in both defense and civil mission-critical...
NYSE:BEKE
NYSE:BEKEReal Estate

KE Holdings (NYSE:BEKE) Extends Share Buybacks, Is The Stock Still Cheap?

KE Holdings (BEKE) is back in focus after a series of share repurchases on the Hong Kong and New York exchanges, a pattern that coincides with a recent move in the stock price. See our latest analysis for KE Holdings. For context, KE Holdings shares are trading at US$15.09, with a 7 day share price return of 5.82% after recent repurchases, but a 1 year total shareholder return that is down 13.31% and a 5 year total shareholder return that is down 60.52%. This points to short term momentum but...
NasdaqGS:MRCY
NasdaqGS:MRCYAerospace & Defense

Tesla Stock Slide Puts These Autonomous Vehicle Hardware Names In Focus

Tesla’s recent 7% share price drop after stronger than expected Q2 deliveries has put the spotlight back on how much of its US$1.6t valuation depends on future autonomy and robotaxi potential, rather than short term sales. For investors, that kind of “sell the news” reaction is a reminder that headlines around self driving technology can quickly reshape expectations. This article looks at 3 stocks exposed to the same autonomy theme, all drawn from an Autonomous Vehicle Technology screener, to...
NasdaqCM:WYFI
NasdaqCM:WYFIIT

Does WhiteFiber’s (WYFI) Shift Into Value-Defensive Indices Recast Its AI Data Center Narrative?

On 27 June 2026, WhiteFiber, Inc. was removed from several Russell growth benchmarks and added to the Russell 2000 Value-Defensive and Russell 2000 Defensive indices, signaling a reclassification of the stock’s style and risk profile. This shift from growth-oriented to value-defensive indices can influence how quantitative funds and asset allocators treat WhiteFiber, potentially altering trading flows and longer-term investor positioning. We’ll now examine how WhiteFiber’s move into...
NYSE:SOC
NYSE:SOCOil and Gas

Sable Offshore (SOC) Is Down 42.3% After Equity and Convertible Refi to Address Exxon Debt - What's Changed

Sable Offshore Corp. recently completed a dual capital raise, issuing 32,467,533 common shares at US$3.08 and US$300 million of 6.5% convertible senior notes due 2031, as part of a broader refinancing package tied to its senior secured term loan with Exxon Mobil. By combining discounted equity, convertible debt and new secured credit facilities, the company is reshaping its capital structure while advancing production from key offshore platforms. Given the recent 7-day share price decline,...
NYSE:MSI
NYSE:MSICommunications

Motorola Stock And 2 Blue Chips For Steady Dividends In A Volatile Market

With the Dow Jones at record levels on the back of AI enthusiasm, a rebound in Asian tech stocks, softer U.S. jobs data, and oil prices back at pre war levels, investors are weighing where more resilient opportunities might sit. This Global Large Cap Blue Chip Stocks screener focuses on financially strong companies with moderate risk and steady dividends, which some investors use as an anchor when markets react to headlines. In this article, you will see 3 stocks from the screener that appear...
NasdaqGM:VCEL
NasdaqGM:VCELBiotechs

Vericel (VCEL) Could Be 33% Undervalued After Insider Sales Raised Fresh Questions

Vericel (VCEL) is in focus after several senior executives exercised stock options and sold shares in late June under pre-arranged Rule 10b5-1 trading plans, drawing attention to insider activity at the company. See our latest analysis for Vericel. Against this insider activity backdrop, Vericel’s share price has climbed to $46.98, with a 1-day share price return of 4.05% and a 30-day share price return of 31.63%. The 1-year total shareholder return of 12.55% and 5-year total shareholder...
NasdaqGS:COO
NasdaqGS:COOMedical Equipment

Cooper Companies (COO) Could Be 8% Below Fair Value On Sustainability Report Focus

Why Cooper Companies’ sustainability report is drawing investor attention Cooper Companies (COO) is back in focus after releasing its 2025 Corporate Sustainability Report, which introduces first-time Scope 3 emissions disclosure, alignment with SASB and TCFD frameworks, and updates on vision care and women’s health products. See our latest analysis for Cooper Companies. Cooper Companies’ recent 19.64% 1 month share price return and 3.13% 1 day move suggest improving momentum after a year to...
NasdaqGS:VNET
NasdaqGS:VNETIT

Did China’s US$295 Billion AI Buildout Just Shift VNET Group’s (VNET) Investment Narrative?

Recently, China outlined a very large, approximately US$295 billion plan to expand data-center and AI infrastructure, a move that investors see as potentially increasing long-term demand for providers such as VNET Group. This sizeable government-backed buildout has sharpened attention on VNET’s combination of high operational leverage and heavy debt, underlining both its upside exposure to AI infrastructure demand and its financial risk profile. We’ll now examine how China’s very large...
NYSE:LOAR
NYSE:LOARAerospace & Defense

Is Loar Holdings (LOAR) Cheap Following Its Russell Index Removal?

Loar Holdings (LOAR) was recently dropped from several Russell growth and size-based benchmarks. This can influence how index funds and ETFs position the stock and may shift trading volumes around the company. See our latest analysis for Loar Holdings. Despite Loar Holdings being removed from several Russell growth benchmarks, recent share price momentum has been strong, with a 30-day share price return of 24.86% and a 90-day share price return of 41.83%, while the 1-year total shareholder...
NYSE:OFRM
NYSE:OFRMFood

Consumer Staples Stocks Facing Rising Energy Costs Investors May Want To Watch

Consumer staples stocks are back in focus after the latest inflation report showed headline CPI at 4.2% in May 2026, with energy prices jumping 3.9% in a single month and 23.5% over the past year. Higher and more volatile energy costs, combined with uncertainty around Federal Reserve policy and the U.S.-Iran conflict, can ripple through sectors that sell everyday essentials. This article looks at three large consumer staples stocks from our screener that appear closely tied to these inflation...
NYSE:RSI
NYSE:RSIHospitality

Mobileye Stock Leads This Cash Flow Value Screen for Digital Innovation Investors

With inflation trends, growth signals and policy shifts pulling markets in different directions, it pays to focus on what companies actually generate in cash. The Undervalued Stocks Based On Cash Flows screener does exactly that, highlighting businesses where discounted cash flow (DCF) estimates from SWS suggest a gap between current share price and fair value. For investors who care about paying less than something might be worth, this can be a useful starting point. In this article, you...