U.S. Electrical Stock News

NasdaqGS:GSHD
NasdaqGS:GSHDInsurance

Goosehead Insurance (GSHD) Posts Strong Earnings And CEO Succession, Is The Stock Fully Valued?

Goosehead Insurance (GSHD) has drawn fresh attention after reporting second quarter and first half 2026 earnings, along with a planned CEO transition from Mark Miller to current President and COO Mark Jones, Jr., starting in January 2027. See our latest analysis for Goosehead Insurance. The earnings report and CEO succession news arrived after a volatile stretch for Goosehead Insurance, with a 30 day share price return of 24.61% and a 90 day share price return of 59.86%. That recent momentum...
NasdaqGS:GLBE
NasdaqGS:GLBEMultiline Retail

Flywire Stock And 2 Digital Trade Picks as WTO Delays Reshape Cross Border Payments

Global trade rules are in flux as the World Trade Organization struggles to deliver fresh agreements, while smaller digital trade deals gain traction. For investors, that mix of uncertainty and targeted reform can change how digital commerce and cross border platforms grow and operate. This article looks at three stocks from our Digital Trade and Ecommerce Sector screener that are particularly exposed to the latest WTO setbacks and the push toward plurilateral agreements. You will see how...
NYSE:MRK
NYSE:MRKPharmaceuticals

Merck (MRK) Wins EU Vaccine Approval, Is The Stock Still Below Fair Value?

Merck (MRK) is back in focus after MSD Animal Health received European Commission marketing authorization for NOBIVAC NXT HCPChFeLV, a combination feline vaccine that uses RNA particle technology and targets five significant feline pathogens. See our latest analysis for Merck. Merck’s latest product and access announcements come as the stock trades at $130.20, with a 90 day share price return of 16.08% and a 1 year total shareholder return of 69.70%, suggesting momentum has recently been...
NYSE:VRTS
NYSE:VRTSCapital Markets

Does Rising EPS And Ongoing Buybacks Change The Bull Case For Virtus Investment Partners (VRTS)?

In the past quarter, Virtus Investment Partners reported second‑quarter 2026 revenue of US$201.36 million, with net income rising to US$45.31 million and diluted earnings per share from continuing operations increasing to US$6.68 versus a year earlier. Over the same period, Virtus continued returning capital to shareholders, repurchasing 70,097 shares for US$10 million and bringing total buybacks under its long‑running program to 5,767,697 shares for US$768.25 million. We will now examine...
NasdaqGS:AZTA
NasdaqGS:AZTALife Sciences

The Bull Case For Azenta (AZTA) Could Change Following Its Latest Earnings And Revenue Turnaround - Learn Why

Life sciences company Azenta (NASDAQ: AZTA) recently reported earnings after the bell, with quarterly revenue expected to rise 3.7% year on year following a previous 16.7% decline. Analysts kept their estimates largely unchanged ahead of the release, highlighting steady expectations for a return to revenue growth and operational stability. Now we’ll examine how this anticipated return to year-on-year revenue growth could influence Azenta’s broader investment narrative and outlook. The...
NYSE:CRGY
NYSE:CRGYOil and Gas

Crescent Energy (CRGY) Nears Earnings, Is Its 34% Undervalued View Justified?

Crescent Energy (CRGY) is in focus ahead of its quarterly earnings report this Monday afternoon, with the market expecting 46.1% year-on-year revenue growth compared with 37.5% in the same quarter last year. See our latest analysis for Crescent Energy. Crescent Energy’s share price has moved to $11.43, with a 7 day share price return of 9.69% and a 30 day share price return of 22.38%. However, the 90 day share price return has fallen 12.75%, while the 3 year total shareholder return sits at...
NasdaqGS:ALHC
NasdaqGS:ALHCHealthcare

3 AI Infrastructure Stocks With Strong Earnings Growth Forecasts

With global data sending mixed messages on growth, inflation and manufacturing, healthy high growth potential stocks stand out as a way to focus on company level earnings power rather than short term macro swings. This screener filters for businesses where analysts currently expect strong earnings growth over the next 3 years and where balance sheets and cash flows are in an acceptable condition. That combination of growth outlook and financial resilience can help you focus on quality. In...
NasdaqGS:CSIQ
NasdaqGS:CSIQSemiconductor

Is Canadian Solar (CSIQ) Undervalued Following Its Indiana PV Cell Facility Opening?

Canadian Solar (NasdaqGS:CSIQ) has opened the first phase of its Jeffersonville, Indiana PV cell facility, a key step in reshoring advanced solar manufacturing and expanding its U.S. supply chain footprint. See our latest analysis for Canadian Solar. The Jeffersonville opening comes as Canadian Solar’s share price has climbed 12.96% over the past week but remains down 40.65% year to date, while the 1 year total shareholder return of 33.22% is set against weaker 3 and 5 year total shareholder...
NasdaqGS:GT
NasdaqGS:GTAuto Components

Did Goodyear's (GT) New Experiential Motor City Garage Concept Just Shift Its Investment Narrative?

Goodyear has opened its first retail concept store in Detroit, the Goodyear Motor City Garage, a destination-style auto service center that combines tire sales, maintenance services, and brand experiences, first showcased to the public during the 2026 Woodward Dream Cruise weekend. By blending a gathering space for car enthusiasts with a showcase of its technology and heritage, Goodyear is testing an experiential retail format that could influence how it engages directly with consumers and...
NYSE:VYX
NYSE:VYXSoftware

Is NCR Voyix (VYX) Undervalued Or Is Its SaaS Shift Already Priced In?

NCR Voyix (VYX) has drawn fresh attention after recent trading, with the stock closing at US$8.27 on 28 July 2026. Short term moves sit against mixed returns across the past year. See our latest analysis for NCR Voyix. The latest move takes place after a mixed stretch for NCR Voyix, with the share price return up 7.82% over the past week but down 16.13% year to date. The 1 year total shareholder return is down 36.09% and the 5 year total shareholder return is down 67.42%. If the recent swing...
NasdaqGM:XNCR
NasdaqGM:XNCRBiotechs

Xencor (XNCR) Could Be 29% Undervalued Following Its Sharp Single Day Move

Xencor (XNCR) has drawn investor attention after a sharp single day move, with the stock closing at US$20.21. Recent trading comes against a backdrop of mixed long term returns and ongoing clinical-stage development. See our latest analysis for Xencor. The latest drop comes after a strong run, with Xencor posting a 34.7% 1 month share price return and a 57.3% 3 month share price return. The 1 year total shareholder return sits at 154.2% despite weaker 3 and 5 year total shareholder...
NYSE:EFOR
NYSE:EFORIT

Everforth (EFOR) Following Weak Q2 Results, Is Its Rebound Already Priced In?

Everforth (EFOR) is back in focus after reporting second quarter 2026 results with lower sales and net income year on year, along with fresh guidance for the upcoming quarter and an update on its ongoing share buyback. See our latest analysis for Everforth. The earnings update on 29 July appears to have reset expectations for Everforth in the short term. The stock posted a 7 day share price return of 38.06% and a 30 day share price return of 61.96%. However, the year to date share price...
NasdaqCM:HYMC
NasdaqCM:HYMCMetals and Mining

How Investors May Respond To Hycroft Mining (HYMC) Wider Losses Paired With Capital-Heavy Long-Life Mine Plan

Hycroft Mining Holding Corporation recently reported its second-quarter and six-month 2026 results, with net losses of US$20.75 million and US$69.04 million respectively, both higher than a year earlier. Despite wider losses, basic loss per share from continuing operations narrowed in both periods, reflecting shifts in the company’s share base alongside an Initial Assessment outlining long mine life, substantial gold and silver potential, and multi-billion dollar capital requirements. Next,...
NYSE:BMI
NYSE:BMIElectronic

Is Badger Meter’s (BMI) Buyback Amid Softer Earnings Reframing Its Capital Allocation Playbook?

In the second quarter and first half of 2026, Badger Meter, Inc. reported lower sales and net income than a year earlier, with quarterly revenue of US$222.32 million and net income of US$29.72 million alongside a completed share repurchase of 442,788 shares for US$60.26 million under its November 2025 buyback program. The combination of weaker earnings and the completion of a US$60.26 million buyback highlights management’s focus on returning capital to shareholders even as operating...
NasdaqGS:HON
NasdaqGS:HONIndustrials

Honeywell’s Earnings Surge And Dividend Stability Could Be A Game Changer For Honeywell International (HON)

Honeywell International Inc. reported second-quarter 2026 results showing revenue of US$9,719 million and net income of US$5.68 billion, with diluted earnings per share from continuing operations of US$17.83, and its board also declared a quarterly dividend of US$0.70 per share payable on September 4, 2026. The sharp year-over-year increase in earnings, alongside a maintained cash return through dividends, highlights how Honeywell is converting higher sales into substantially greater...
NYSE:CLX
NYSE:CLXHousehold Products

Is Clorox (CLX) Undervalued After Its Earnings Miss Hit Profits?

Clorox earnings miss highlights pressure on profits Clorox (CLX) just reported fourth quarter results that showed both sales and profitability under pressure. Revenue came in at US$1,948 million, while net income was US$163 million and diluted EPS was US$1.34. These figures compared to US$1,988 million in sales, US$332 million in net income and diluted EPS of US$2.68 in the same quarter a year earlier. The scale of the earnings decline is likely a key focus for investors. See our latest...
NYSE:KEY
NYSE:KEYBanks

KeyCorp (KEY) Could Be 10% Undervalued After Stronger Q2 Earnings

KeyCorp (KEY) has drawn fresh attention after reporting second quarter 2026 results, with higher net interest income and net income alongside an increase in net loan charge offs compared with a year earlier. See our latest analysis for KeyCorp. At a share price of US$22.59, KeyCorp has seen a modest 90 day share price return of 3.29%, while the 1 year total shareholder return of 33.40% points to stronger longer term momentum, even as higher net loan charge offs temper sentiment around recent...
NYSE:CMI
NYSE:CMIMachinery

Cummins Stock And 2 US Industrial Names Backed By Data Center And Infrastructure Demand

Lower oil prices, easing inflation worries and renewed optimism around industrial demand have quickly reshaped what matters for many US industrial stocks. Some companies now sit in a potentially more comfortable spot on costs and sentiment, helped by cheaper energy, firm corporate earnings and regulatory progress for Boeing’s 737 MAX 7 that has supported the wider sector mood. This article walks through 3 stocks from a US Industrial Stocks screener that appear closely linked to these...
NasdaqGS:RXT
NasdaqGS:RXTIT

Rackspace Technology (RXT) Following Lowered Guidance And Equity Raise, Is The Bull Case Still Intact?

The sharp move in Rackspace Technology (RXT) stock was sparked by a bundle of fresh developments. Guidance was reduced for 2026, a US$250 million equity raise was announced, and multiple securities lawsuits emerged. See our latest analysis for Rackspace Technology. At a share price of US$4.13, Rackspace Technology has seen short term momentum fade, with a 1 month share price return down 36.36%, even after a 90 day gain of 133.33% and a 1 year total shareholder return of 250%. Recent...
NYSE:NKE
NYSE:NKELuxury

What NIKE (NKE)'s China Online Partner Exit Means For Shareholders

In late July 2026, Pou Sheng International (Holdings) Limited disclosed that Nike will fully terminate its products’ online sales through the Group in mainland China from January 1, 2027, following Nike’s broader move to end partner-operated online storefronts and discounted wholesale channels in the region. While Pou Sheng indicated that Nike’s online sales contributed around 15% of its 2025 revenue but little profit, the shift highlights Nike’s push to tighten distribution, curb...
NYSE:AVA
NYSE:AVAIntegrated Utilities

Avista (AVA) Stock Slips As Earnings Hold Firm But Load Growth Clouds Outlook

Avista stock slipped about 2% today, even though the latest earnings landed with more punch than the share price suggests. The headline is simple. This regulated utility reported a solid quarter of profit, with basic earnings per share of US$1.12 on revenue of US$570m, and that feeds into a trailing P/E that currently sits below peers and the wider US market. In the near term the stock appears cautious. Over a multi year horizon the key question is whether consistent earnings and that...
NYSE:GOLF
NYSE:GOLFLeisure

Acushnet Holdings (GOLF) As Analyst Targets Suggest The Stock Is Close To Fair Value

Acushnet Holdings (GOLF) has drawn investor interest after recent share price moves, with the stock closing at $101.27. The change in price invites a closer look at how current fundamentals align with this valuation. See our latest analysis for Acushnet Holdings. Recent share price returns for Acushnet Holdings show mixed momentum, with the stock up 23.33% year to date but down 14.40% over the past month, while the 1-year total shareholder return of 32.36% reflects stronger long-term...
NasdaqGM:AXSM
NasdaqGM:AXSMPharmaceuticals

Is Axsome Therapeutics (AXSM) Trading Profitability for Pipeline Expansion As Revenue Outpaces Earnings?

Axsome Therapeutics recently reported that its June 2026 quarter is expected to show higher revenue but a year-over-year decline in earnings, with the earnings release on 10 August drawing close investor scrutiny. The combination of rising sales and weaker profitability, set against mixed analyst estimate revisions, is sharpening focus on how efficiently Axsome is turning its expanding CNS portfolio into sustainable earnings. Next, we’ll examine how the expected earnings decline alongside...
NYSE:JBL
NYSE:JBLElectronic

Jabil (JBL) Earnings Beat Puts Its Valuation Back In Focus

Jabil (JBL) is back in focus after Q3 2026 results topped analyst expectations on both revenue and earnings, accompanied by higher full year guidance and new AI data center partnerships. See our latest analysis for Jabil. Despite the upbeat Q3 guidance and new AI data center agreements, Jabil’s 30 day share price return is down 16.06%, and the 90 day share price return is down 8.01%. However, the year to date share price return of 31.06% and 1 year total shareholder return of 44.34% reflect...