U.S. Electrical Stock News

NasdaqGS:MRTN
NasdaqGS:MRTNTransportation

Marten Transport (MRTN) Faces A Fresh Valuation Test As Earnings Slip

Why Marten Transport Stock Is In Focus After Latest Earnings Marten Transport (MRTN) is back on investors’ radar after second quarter and six month results showed lower sales, net income, and earnings per share compared with the same periods a year earlier. See our latest analysis for Marten Transport. Marten Transport’s latest results have arrived after a period where the share price has risen 30.22% year to date, while the 1 month share price return of 14.60% and 3 year total shareholder...
NYSE:COUR
NYSE:COURConsumer Services

Did Coursera’s (COUR) Surging Q2 Revenue and Deeper Losses Just Reframe Its Path to Scale?

In July 2026, Coursera reported second-quarter 2026 results showing revenue of US$298.6 million, up from US$187.1 million a year earlier, alongside a significantly wider net loss of US$80.4 million and higher loss per share. The company also issued third-quarter 2026 revenue guidance of US$364 million to US$372 million and full-year 2026 guidance of US$1.22 billion to US$1.25 billion, giving investors clearer visibility into its growth and spending plans. We’ll now examine how Coursera’s...
NYSE:PRKS
NYSE:PRKSHospitality

United Parks & Resorts (PRKS) Could Be 3% Overvalued On New Park Expansion Push

United Parks & Resorts (PRKS) is back in focus after Busch Gardens Tampa Bay opened the new Lion & Hyena Ridge habitat, part of the company’s planned $200 million, five year park enhancement program. See our latest analysis for United Parks & Resorts. At a share price of $45.51, United Parks & Resorts has a 90 day share price return of 27.27% and a year to date share price return of 25.65%, even though the 1 year total shareholder return is down 4.13%. This suggests improving momentum in the...
NasdaqGS:DHC
NasdaqGS:DHCHealth Care REITs

How Investors Are Reacting To Diversified Healthcare Trust (DHC) Narrowing Losses Amid Softer Revenue

Diversified Healthcare Trust has reported its second-quarter and first-half 2026 results, with quarterly revenue of US$365.39 million and a net loss of US$37.42 million, both improved versus the prior year despite lower sales. Loss per share from continuing operations narrowed to US$0.16 for the quarter and US$0.34 for the first half, highlighting progress on reducing losses even as total revenue eased year on year. Next, we’ll examine how the reduced net loss and updated full-year guidance...
NasdaqGS:CENX
NasdaqGS:CENXMetals and Mining

3 US Manufacturing Stocks In Focus As Tariffs Reshape Supply Chains

Tariffs on 99% of American imports and a lawsuit from 25 states have put global supply chains under a spotlight again. For US domestic manufacturers, this mix of legal risk and trade friction can create both pressure and potential openings as companies reassess how and where they source and produce. This article looks at three US manufacturing stocks from our screener that are closely exposed to the latest tariff news. You will see how each company might be positioned, why the current...
NasdaqGS:TCBI
NasdaqGS:TCBIBanks

Stronger Earnings and Capital Returns Might Change The Case For Investing In Texas Capital Bancshares (TCBI)

In July 2026, Texas Capital Bancshares reported higher second-quarter net interest income of US$260.38 million and net income of US$84.95 million versus a year earlier, while also disclosing US$16.08 million in net charge-offs, completing a US$98.19 million buyback of 1,009,771 shares and declaring both common and preferred dividends payable in September 2026. This combination of earnings strength, measured credit costs, and concurrent capital returns through share repurchases and dividends...
NYSE:CRM
NYSE:CRMSoftware

Is Salesforce’s US$1.6 Billion VA AI Deal Reshaping the Investment Case for CRM?

Salesforce recently announced that the U.S. Department of Veterans Affairs awarded it a three-year Agentic Enterprise License Agreement worth up to US$1.60 billion to modernize care and service delivery with Missionforce and AI agents across its nationwide healthcare and benefits network. This contract deepens Salesforce’s role in federal healthcare technology while spotlighting its Agentforce and Missionforce platforms as core tools for AI-driven workflow modernization in highly regulated...
NYSE:DD
NYSE:DDIndustrials

DuPont (DD) Stock Looks Reasonable On Cash Flow While Earnings Look Stretched

DuPont de Nemours stock has returned 59.9% over the past 5 years, yet the valuation picture is split. The Discounted Cash Flow (DCF) intrinsic value estimate suggests the shares trade at a 28.8% discount, while earnings based multiples screen the stock as overvalued and the broader checks lean cautious. Over 5 years, DuPont de Nemours has delivered a 59.9% total return, which puts recent gains in the context of a longer period of solid compounding. Expectations around the company’s ability...
NYSEAM:TMP
NYSEAM:TMPBanks

How Stronger Earnings, Higher Dividend and Capital Moves Will Impact Tompkins Financial (TMP) Investors

Tompkins Financial Corporation recently reported second-quarter 2026 results showing higher net interest income and net income versus a year earlier, alongside increased net charge-offs, while its Board approved a regular quarterly cash dividend of US$0.70 per share, up US$0.03 from the prior quarter. The company also completed a share repurchase tranche and filed an omnibus shelf registration for common and preferred stock, signalling financial flexibility and ongoing capital management...
NYSE:UAMY
NYSE:UAMYMetals and Mining

Is United States Antimony (UAMY) A Bargain Following Its Sharp Rally?

United States Antimony (UAMY) stock has drawn fresh attention after a sharp 11.6% move in the latest session, prompting investors to reassess recent returns and the company’s mixed operating picture. See our latest analysis for United States Antimony. The latest 1 day share price return of 11.64% comes after a tougher spell, with the 30 day share price return down 23.82% and the 90 day share price return down 55.12%. At the same time, the 1 year total shareholder return stands at 64.53% and...
NYSE:RF
NYSE:RFBanks

Is Regions Financial (RF) Undervalued As Wealth Management Growth Supports Its Fair Value?

Recent share performance and business snapshot Regions Financial (RF) shares recently closed at US$31.48, with the stock showing positive total returns over the past month, past 3 months, year to date and over the past year. The company reports annual revenue of US$7.24b and net income of US$2.15b. It operates through Corporate Bank, Consumer Bank and Wealth Management segments, all focused on customers in the United States. See our latest analysis for Regions Financial. Recent price action...
NYSE:XYL
NYSE:XYLMachinery

How Xylem’s Buybacks, Shelf Filing and Trimmed 2026 Outlook Will Impact Xylem (XYL) Investors

Xylem Inc. recently filed an omnibus shelf registration covering a wide range of securities and, in the latest quarter, reported higher year-over-year revenue and earnings alongside a US$1.05 billion completed share repurchase, while also recording US$4 million of intangible asset impairments. At the same time, management slightly reduced its full-year 2026 revenue growth outlook even as it reiterated plans to deploy about US$1 billion annually toward acquisitions, highlighting an active...
NYSE:PRSU
NYSE:PRSUHospitality

Pursuit Attractions And Hospitality (PRSU) Rebrands Following A Strong Run, Is It Still Cheap?

Pursuit Attractions and Hospitality (PRSU) recently completed its rebranding from Viad Corp, bringing its portfolio of travel experiences under a single identity. This shift now anchors investor attention on the stock’s recent performance and fundamentals. See our latest analysis for Pursuit Attractions and Hospitality. The recent rebrand has arrived after a strong run, with Pursuit Attractions and Hospitality recording a 53.55% year to date share price return and a 77.02% total shareholder...
NasdaqGS:AMAT
NasdaqGS:AMATSemiconductor

Applied Materials (AMAT) Stock Looks Fairly Valued Despite China Risks

Applied Materials stock has delivered very strong gains over the last few years, yet the latest valuation checks suggest it no longer looks like an obvious bargain, especially with sector volatility back in focus after recent headlines on interest rates and Chinese competition. Applied Materials has returned 291.5% over the past 5 years, which puts extra pressure on today’s buyers to justify the current price with future cash flows. Expectations around continued demand for semiconductor...
NYSE:BMY
NYSE:BMYPharmaceuticals

Bristol Myers Squibb (BMY) After AstraZeneca Deal Talk Looks Fully Valued

Bristol-Myers Squibb (BMY) is back in focus after reports of early stage merger talks with AstraZeneca that could create a combined group valued near US$400b based on current market capitalizations. See our latest analysis for Bristol-Myers Squibb. The merger speculation comes on top of a strong run for Bristol-Myers Squibb, with the stock showing a 12.63% 1 month share price return and a 22.47% year to date share price return. The 1 year total shareholder return of 49.65% points to momentum...
NYSE:JAN
NYSE:JANHealth Care REITs

Charter Hall Stock And 2 More Shares Linked To Retiree Spending

Retiree spending sits at the heart of many consumer and healthcare trends, and a proposed change to Social Security cost of living adjustments could reshape that flow of money. If benefits eventually track the higher of CPI-W or CPI-E from 2027 to 2036, some companies exposed to retiree demand may see a different backdrop for revenue, dividends, and capital allocation. This article walks through three stocks from the Retiree Consumer Spending Beneficiaries screener that appear closely tied to...