U.S. Diversified Financial Stock News

NYSE:AXS
NYSE:AXSInsurance

Axis Capital Holdings (AXS) Combined Ratio Near 90% Tests Bullish Profitability Narratives

AXIS Capital Holdings (AXS) just wrapped up FY 2025 with fourth quarter revenue of US$1.7 billion, basic EPS of US$3.73 and net income of US$282.0 million, capped by a combined ratio of 90.4%. The company has seen quarterly revenue move from US$1.47 billion in Q4 2024 to US$1.73 billion in Q4 2025, while basic EPS over that stretch ranged from US$2.06 in Q3 2024 to US$3.79 in Q3 2025 and trailing twelve month EPS landed at US$12.52 on revenue of US$6.6 billion. With earnings up 59.7% over the...
NYSE:TT
NYSE:TTBuilding

Trane Technologies (TT) Margin Improvement Reinforces Bullish Narratives Despite Premium Valuation

Trane Technologies (TT) has just posted fresh FY 2025 numbers, with Q3 revenue at US$5.7b and basic EPS of US$3.85, set against trailing 12 month revenue of US$21.1b and EPS of US$13.18 that frame the latest quarter in a broader earnings run rate. Over recent periods the company has seen quarterly revenue move from US$4.7b in Q1 2025 to US$5.7b in Q3 2025, while basic EPS has shifted from US$2.74 to US$3.85, giving investors a clear sense of how the top and bottom lines are tracking through...
NYSE:CNX
NYSE:CNXOil and Gas

CNX Resources (CNX) Margin Compression To 15.1% Reinforces Bearish Debt And Earnings Narratives

CNX Resources (CNX) closed out FY 2025 with fourth quarter revenue of US$610.5 million and EPS of US$1.45, while trailing twelve month EPS came in at US$4.48 on revenue of US$2.2 billion. Over the past few quarters, the company has seen revenue move from US$610.6 million in Q1 2025 to US$450.8 million in Q3 2025 before returning to US$610.5 million in Q4, with quarterly EPS ranging from a loss of US$1.34 in Q1 to a high of US$3.02 in Q2. For investors, the key question now is how these...
NasdaqGS:SEIC
NasdaqGS:SEICCapital Markets

SEI Investments (SEIC) Margin Strength Reinforces Bullish Narratives After FY 2025 Q3 Results

SEI Investments (SEIC) has put up a solid set of FY 2025 numbers so far, with third quarter revenue of US$578.5 million and basic EPS of US$1.33 feeding into trailing 12 month revenue of about US$2.2 billion and EPS of US$5.56, alongside earnings growth of 27.9% over the past year. Over recent periods, revenue has moved from US$537.4 million in Q3 2024 to US$578.5 million in Q3 2025, while quarterly basic EPS has shifted from US$1.20 to US$1.33. The trailing net profit margin now sits at...
OTCPK:CCNB
OTCPK:CCNBBanks

Coastal Carolina Bancshares Q4 Net Margin Strength Reinforces Bullish Earnings Narratives

Coastal Carolina Bancshares (CCNB) has wrapped up FY 2025 with fourth quarter revenue of US$10.4 million and basic EPS of US$0.48, supported by net income of US$3.1 million. Trailing twelve month figures show revenue of US$39.2 million and EPS of US$1.73. The company has seen revenue move from US$33.1 million to US$39.2 million on a trailing basis, with EPS rising from US$1.37 to US$1.73 over the same periods. This puts the latest quarterly print in the context of a steadily higher earnings...
NYSE:URI
NYSE:URITrade Distributors

United Rentals (URI) Margin Compression Challenges Bullish Valuation Narrative After Q4 2025 Results

United Rentals (URI) has put up another busy year, with Q4 2025 revenue of US$4.2b and basic EPS of US$10.31, alongside full year trailing twelve month revenue of US$16.1b and EPS of US$38.71. Over the past six quarters, revenue has moved from US$4.1b in Q4 2024 to US$4.2b in Q4 2025, while quarterly EPS has ranged from US$7.93 to US$10.93. This gives you a clear sense of how the top and bottom lines have translated into the current share price of US$787.04. Taken together, the latest print...
NYSE:CSW
NYSE:CSWBuilding

CSW Industrials (CSWI) Margin Improvement Tests Bullish Earnings Narratives

CSW Industrials (CSWI) has put up another solid quarter in Q3 2026, with quarterly context showing revenue moving from US$193.6 million in Q3 2025 to US$276.9 million in Q2 2026. EPS shifted from US$1.60 to US$2.42 over the same period, and trailing twelve month EPS reached US$8.55 on revenue of US$964.8 million. Over the last year, net income for the trailing twelve months rose from US$115.6 million to US$143.6 million as margins widened from 13.8% to 14.9%. This sets the scene for investors...
NasdaqCM:CRDF
NasdaqCM:CRDFBiotechs

Cardiff Oncology (CRDF) Valuation Check After New Onvansertib Phase 2 Data And Leadership Changes

Why Cardiff Oncology is back on investors’ radar Cardiff Oncology (CRDF) has drawn fresh attention after reporting dose dependent Phase 2 data for onvansertib in first line RAS mutated metastatic colorectal cancer, while also announcing a leadership shake up, including a new interim CEO. See our latest analysis for Cardiff Oncology. The encouraging onvansertib data and leadership changes have arrived during a weak share price stretch, with a 7 day share price return of 45.6% decline and a 1...
NYSE:OII
NYSE:OIIEnergy Services

Oceaneering International (OII) Is Up 6.9% After Upbeat Subsea Robotics Outlook And Diversification Push

In recent days, Oceaneering International has attracted heightened attention as analysts raised earnings estimates and highlighted stronger demand across its subsea robotics and offshore services businesses. Investor interest has also been supported by the company’s push into defense and other non-energy applications, which is seen as enhancing diversification away from traditional offshore oil and gas cycles. We’ll now examine how this improving analyst sentiment around Oceaneering...
NYSE:CAVA
NYSE:CAVAHospitality

CAVA CEO Stock Sale Puts Growth Story And Risks In Spotlight

CAVA Group CEO and President Brett Schulman recently sold a significant block of NYSE:CAVA shares. The size of the sale has sparked fresh questions about executive confidence and investor sentiment toward the company. Insider transactions of this scale are drawing attention because they can influence how investors view near term prospects. CAVA Group, trading as NYSE:CAVA, last closed at $62.7, with the stock showing a 6.3% decline over the past week and a 4.6% gain over the past month...
NYSE:FLS
NYSE:FLSMachinery

Is It Too Late To Consider Flowserve (FLS) After Its Strong Multi‑Year Share Price Run?

If you are wondering whether Flowserve's share price still offers value after a strong run, or if you might be turning up late, this article walks through what the numbers are actually saying about the stock. Flowserve shares most recently closed at US$78.64, with returns of 0.1% over 7 days, 12.1% over 30 days, 11.2% year to date and 26.8% over 1 year, plus a very large 3 year and strong 5 year return profile. Recent attention on Flowserve has focused on how the business fits into demand...
NasdaqGS:PFBC
NasdaqGS:PFBCBanks

Why Preferred Bank (PFBC) Is Down 9.1% After Mixed Signals In A Strong Q4 Earnings Beat

Preferred Bank reported past fourth-quarter 2025 results with net interest income of US$69.98 million and net income of US$34.82 million, both higher than the prior year, and full-year 2025 earnings per share also improved on both a basic and diluted basis. Beneath the headline beat, management flagged elevated deposit costs amid intense competition and a classified loan downgrade that could take up to two quarters to resolve, sharpening attention on funding and credit risk. We’ll now...
NYSE:TXT
NYSE:TXTAerospace & Defense

Textron (TXT) Earnings Growth Outpaces Sales And Supports Steady Margin Narrative

Textron (TXT) has wrapped up FY 2025 with Q4 revenue of US$4.2b and basic EPS of US$1.33, alongside trailing twelve month revenue of US$14.8b and EPS of US$5.12. Over recent periods, revenue has moved from US$3.6b in Q4 2024 to US$4.2b in Q4 2025, while quarterly EPS shifted from US$0.76 to US$1.33, with trailing EPS moving in a tighter range between about US$4.38 and US$5.12. With net profit margins holding in the low single digits and edging higher year on year, the latest numbers point to...
NasdaqGM:ASTL
NasdaqGM:ASTLMetals and Mining

Assessing Algoma Steel Group (NasdaqGM:ASTL) Valuation After Hanwha Ocean Defense Agreement Spurs Fresh Interest

Why Algoma Steel Group (ASTL) Is Back On Investors’ Radar Algoma Steel Group (NasdaqGM:ASTL) is in focus after signing a binding memorandum of understanding with Hanwha Ocean related to Canada’s Patrol Submarine Project. The agreement outlines a potential US$250 million package of mill investment and steel purchases. See our latest analysis for Algoma Steel Group. The Hanwha Ocean agreement comes at a time when Algoma Steel Group’s share price has shown short-term momentum, with a 7-day share...
NYSE:PSTG
NYSE:PSTGTech

Is It Too Late To Consider Pure Storage (PSTG) After Strong Multi Year Share Gains?

If you are wondering whether Pure Storage is still a reasonable entry at around US$74 or if the easy value is gone, this article walks through what the current price might imply about the stock. Pure Storage shares last closed at US$74.29, with returns of 3.6% over 7 days, 8.6% over 30 days, 7.7% year to date, 9.8% over 1 year and a very large gain over 3 years of around 1.5x, plus 179.2% over 5 years. This naturally raises questions about how expectations are now priced in. Recent news...
NYSE:BIPC
NYSE:BIPCGas Utilities

Is It Too Late To Consider Brookfield Infrastructure (BIPC) After Its Strong 1-Year Rally?

If you are wondering whether Brookfield Infrastructure is still reasonably priced or if the recent run has pushed it too far, this article breaks down what the current share price might be saying about value. The stock last closed at US$46.44, with total returns of 2.5% over the past week, 0.9% over the past month, 2.6% year to date and 20.3% over the past year, as well as 20.1% over three years and 29.1% over five years. These returns sit alongside ongoing interest in listed infrastructure...
NYSE:T
NYSE:TTelecom

AT&T (T) Margin Surge And 103.7% Earnings Growth Test Bearish Narratives

AT&T (T) closed out FY 2025 with Q4 revenue of US$33.5b and basic EPS of US$0.53, while trailing twelve month revenue came in at US$125.6b with basic EPS of US$3.05. Over the past six quarters, revenue has ranged from US$30.2b to US$33.5b per quarter and basic EPS has moved from a small loss of US$0.03 in Q3 2024 to US$1.30 in Q3 2025. This gives investors a clear view of how the top and bottom line have tracked through the year. With net income of US$21.9b over the last twelve months and a...
NasdaqGS:SYBT
NasdaqGS:SYBTBanks

Stock Yards Bancorp (SYBT) Net Interest Margin Resilience Reinforces Bullish Narratives

Stock Yards Bancorp (SYBT) has rounded out FY 2025 with fourth quarter revenue of US$102.7 million and basic EPS of US$1.25, backed by trailing twelve month revenue of US$390.6 million and EPS of US$4.77 that sit against a 22.4% earnings growth rate cited for the past year. The company has seen revenue move from US$342.5 million and EPS of US$3.91 on a trailing basis in late 2024 to US$390.6 million and EPS of US$4.77 by the end of 2025. This sets the backdrop for investors weighing how...
NasdaqCM:BNAI
NasdaqCM:BNAIIT

Brand Engagement Network (BNAI) Is Up 624.1% After Exclusive African AI Licensing Partnership Announcement

In January 2026, Brand Engagement Network, Inc. announced a partnership with Valio Technologies to create an exclusive AI licensing framework for government and commercial markets across Africa, including a regulated, institution-approved student wellbeing pilot at Nelson Nelson Nelson University. This collaboration highlights how Brand Engagement Network’s Engagement Language Model and Retrieval-Augmented Generation technologies are being used to deliver governed, localized AI solutions...
NYSE:KEY
NYSE:KEYBanks

Is KeyCorp (KEY) Pricing Reflect Regional Bank Concerns Or Future Earnings Potential

If you are wondering whether KeyCorp's current share price reflects its true worth, you are not alone. This article is built to help you make sense of that question. KeyCorp shares last closed at US$21.31, with a 1.8% decline over the past week, a 1.6% gain over the last month and year to date, and a 26.4% return over the past year. Recent news coverage around regional banks, including discussions about credit quality, funding costs and regulatory attention on the sector, has kept investor...
NasdaqGM:FOLD
NasdaqGM:FOLDBiotechs

Is It Time To Reassess Amicus Therapeutics (FOLD) After Last Year’s 48.9% Gain?

If you are wondering whether Amicus Therapeutics at around US$14.28 is offering good value today, the key is to look past the share price and focus on what the underlying valuation signals are telling you. The stock has been relatively flat over the past month with a 0.2% return, but the 48.9% return over the last year contrasts with a small 0.5% decline in the last 7 days and a modest 0.1% return year to date, which can change how investors see both its potential and its risks. Recent...
NYSE:DD
NYSE:DDChemicals

DuPont Resin Launch And New Director Shape Specialty Growth Story

DuPont de Nemours (NYSE:DD) introduced its AmberLite FPA57 resin for the organic acid industry, targeting applications across food and beverage, pharmaceuticals, and biodegradable plastics. The company also added D.G. Macpherson, an executive from W.W. Grainger, to its Board of Directors. For investors watching NYSE:DD, these moves come as the stock trades at $44.63, with a 1 year return of 42.5% and a 5 year return of 56.7%. Recent momentum has been firm as well, with shares showing a 2.9%...
NasdaqGS:QRVO
NasdaqGS:QRVOSemiconductor

Qorvo (QRVO) Q3 Net Margin Rebound Tests Bearish Earnings Narratives

Qorvo (QRVO) has just posted its Q3 2026 numbers, with revenue of US$993 million and basic EPS of US$1.77, while trailing twelve month EPS sits at US$3.66 on revenue of about US$3.7 billion. The company has seen quarterly revenue move between US$869 million and US$1.1 billion over the last six reported periods, with basic EPS ranging from a loss of US$0.18 to a high of US$1.77. This sets up a story where improving profitability and a 9.1% net margin are front and center for how investors read...
NYSE:QXO
NYSE:QXOTrade Distributors

Is It Too Late To Consider QXO (QXO) After A 73% One Year Rally?

If you are wondering whether QXO is still good value after its recent run, this breakdown will help you see how the current share price lines up against a range of valuation checks. The stock has moved around lately, with a 1% decline over the last 7 days, a 10.4% gain over 30 days, and returns of 17.8% year to date and 73.4% over the past year. These shifts can change how investors think about both risk and potential upside. These moves come as QXO continues to attract more investor...