U.S. Electrical Stock News

NasdaqGS:ADI
NasdaqGS:ADISemiconductor

AI Infrastructure Stocks Retail Investors Are Watching After SpaceX’s $18.4b Spending Shock

SpaceX has just shocked the market by pouring $18.4b into AI projects, with spending far beyond its recent revenue jump and sending the stock sharply lower. That kind of aggressive move can reshuffle where capital flows across the wider AI infrastructure space. This article walks through 3 stocks exposed to this news, explaining how they might be affected by the surge in cloud and compute demand and outlining where key risks could sit. The stocks covered below are just a starting sample from...
NasdaqGS:CRVL
NasdaqGS:CRVLHealthcare

CorVel (CRVL) Stock Climbs As Profit Strength Meets Inflation Questions

CorVel’s stock jumped 5.9% to US$62.57 into the close, which indicates traders responded positively to the results. The key point is that the earnings beat was meaningful. Revenue reached about US$259.9m and basic earnings per share came in near US$0.63, with the quarter supported by strong performance in payment integrity and broader workers’ compensation services. CorVel entered this report with mixed short-term returns but a solid earnings track record and a valuation that already sat...
NYSE:HPP
NYSE:HPPOffice REITs

Hudson Pacific Properties (HPP) Stock Rallies On Core FFO Rebound Despite Wider Losses

Hudson Pacific Properties stock jumped 7.1% to US$14.97 after the Q2 release, a sharp move for a company that came into today with a flat week and a tough recent track record. The headline was not earnings per share. The market latched on to a different story. Core funds from operations, or core FFO, nearly tripled to US$23.1 million and management nudged full year core FFO guidance higher. The short term price pop is about relief and renewed confidence. The bigger question for you is whether...
NasdaqGS:RARE
NasdaqGS:RAREBiotechs

Ultragenyx (RARE) Stock Revenue Record Clashes With Ongoing Cash Burn

Ultragenyx Pharmaceutical stock slipped 3.4% to about US$24.93 as investors digested a fresh set of numbers that mixed record sales with continued losses. Q2 revenue reached US$214m, led by rare disease drugs such as Crysvita, while the company still reported a net loss of US$92m, or US$0.90 per share. For traders focused on this week, that loss keeps the pressure on. For investors thinking in years rather than days, the key points are the record top line, the active late stage pipeline and...
NasdaqGS:GH
NasdaqGS:GHHealthcare

Guardant Health (GH) Stock May Be Below Fair Value After Raised Guidance

Guardant Health stock has delivered very strong returns over the past few years, yet the signals on what that means for valuation are mixed, with the Discounted Cash Flow (DCF) intrinsic value estimate pointing to upside while market multiples suggest the shares screen expensive. Guardant Health has returned 347.6% over the past three years, which puts extra focus on whether the current share price leaves much margin for error. Growing adoption of the Guardant360 and Shield blood tests may...
NYSE:DECK
NYSE:DECKLuxury

Raised 2027 EPS Guidance and Major Buybacks Might Change The Case For Investing In Deckers Outdoor (DECK)

Deckers Outdoor recently reported first-quarter 2026 results, showing sales of US$1,019.53 million and net income of US$129.97 million, while also updating full-year 2027 guidance to higher expected revenue, slightly better than 21.5% operating margin, and diluted EPS of US$7.35–US$7.50 supported by ongoing share repurchases. The company’s decision to tie its raised earnings outlook to repurchasing shares worth roughly 80% of projected fiscal 2027 free cash flow underlines how capital...
NasdaqGS:FRPH
NasdaqGS:FRPHReal Estate

FRP Holdings (FRPH) Stock Revenue Growth Clashes With Vanishing Margins

FRP Holdings stock slipped 2.4% to US$21.93 after its Q2 report, yet the real story sits in a different place than the share chart. The headline this quarter is a squeeze on profitability. Trailing net profit margin has compressed to 0.3% compared with 16.5% a year earlier, and reported earnings over the past five years have retreated at an average rate of 45.8% a year. Investors are reacting to that margin picture more than to the solid real estate platform or cash on hand. The question now...
NasdaqGS:MQ
NasdaqGS:MQDiversified Financial

Marqeta (MQ) Stock Falls As Profit Gains Meet Slower Growth Outlook

Marqeta stock just handed investors a 7% one day drop, yet the earnings story leans far more toward a profitability grind than a collapse. Coming into the print, the stock had been roughly flat over three months, with only a small gain over 30 days. Then the market met a payments platform that printed about US$176m in Q2 net revenue and roughly US$8m in net income, its second straight profitable quarter. The real headline is margin power. Adjusted earnings before interest, tax, depreciation...
NYSE:PAG
NYSE:PAGSpecialty Retail

How Softer EPS Amid Rising Sales Will Impact Penske Automotive Group (PAG) Investors

Penske Automotive Group recently reported past second-quarter 2026 results, with sales rising to US$8,297.2 million while net income eased to US$260.4 million and basic earnings per share from continuing operations slipped to US$3.96. Over the same period, the company also continued its long-running repurchase program, buying 94,711 shares for US$16.1 million and bringing total buybacks under the 2010 authorization to 31.05 million shares, or 38.85% of its shares at launch. We’ll now examine...
NYSE:LPX
NYSE:LPXBuilding

Louisiana Pacific (LPX) Stock Can Siding Strength Justify A 100x P E

Louisiana-Pacific stock barely budged after earnings, up just 0.7% to US$77.36, yet the quarter itself was anything but quiet. The company posted Q2 2026 revenue of US$664m and basic earnings per share of US$0.37, with investors weighing those construction cycle exposed numbers against a rich trailing P/E of about 100x. The real story for you is the squeeze between modest profits and a high multiple, especially with trailing net profit margin running at 2.2% and a recent one off loss still...
NYSE:ZETA
NYSE:ZETASoftware

Zeta Global (ZETA) Stock Jumps As Profitability Arrives With AI Fueled Growth

Zeta Global Holdings went into this earnings print as a high growth marketing and AI platform stock with a loyal bull camp and a lot to prove on profitability. The market liked what it saw. The share price jumped 11.6% to US$27.07 after the release, extending a strong three month run. The headline this quarter is profit. Zeta Global Holdings shifted from a loss in Q1 to GAAP net income of US$8.2 million, with basic earnings per share of US$0.03, on revenue of US$442.8 million. That move into...
NasdaqGS:MRNA
NasdaqGS:MRNABiotechs

Moderna (MRNA) Begins First Phase 1 Trial For Bundibugyo Ebola Vaccine

Moderna (NasdaqGS:MRNA) has started the first Phase 1 clinical trial of an mRNA vaccine targeting the Bundibugyo strain of the Ebola virus. The trial follows authorization from Health Canada and is conducted in partnership with the Coalition for Epidemic Preparedness Innovations, or CEPI. Moderna and CEPI have pledged to support access to the Bundibugyo ebolavirus vaccine for low and middle income countries if it is approved. For investors watching how Moderna's mRNA platform extends beyond...
NYSE:DOC
NYSE:DOCHealth Care REITs

Healthpeak Properties (DOC) Stock Finds Support In Stronger FFO

Healthpeak Properties stock barely budged, up less than 1% to around US$21.79, even though the earnings story was all about stronger cash generation. For a real estate investment trust, funds from operations is what matters, and Healthpeak reported adjusted funds from operations of US$0.46 per share in the quarter with total revenue of US$771.6m. The market reaction looks muted compared with that core cash figure and a raised full year adjusted funds from operations guidance range. Investors...
NYSE:BANC
NYSE:BANCBanks

The Bull Case For Banc of California (BANC) Could Change Following Q2 Loss And Surge In Charge-Offs

Banc of California, Inc. reported second-quarter 2026 results showing net interest income of US$250.5 million but a net loss of US$241.35 million, a reversal from net income a year earlier, alongside basic and diluted losses per share of US$1.61 from continuing operations. The quarter also saw net charge-offs surge to US$160,281,000 from US$44,222,000 a year ago, highlighting a sharp deterioration in credit costs even as management emphasized balance sheet repositioning efforts. We’ll now...
NasdaqGS:AEP
NasdaqGS:AEPElectric Utilities

How Investors Are Reacting To American Electric Power (AEP) Revenue Growth With Softer Earnings And New EPS Guidance

American Electric Power Company, Inc. has already reported its second-quarter 2026 results, with sales rising to US$5,311 million and revenue to US$5,445 million, while net income declined to US$713 million and diluted EPS from continuing operations eased to US$1.30. For the first half of 2026, the company paired higher revenue of US$11,465 million with lower net income of US$1,587 million and issued full-year GAAP EPS guidance of US$6.16 to US$6.46, highlighting a shift toward top-line...
NasdaqCM:NAGE
NasdaqCM:NAGEPersonal Products

Niagen Bioscience (NAGE) Stock Sinks As Profit Cushion Thins

Niagen Bioscience stock just absorbed a sharp reality check, closing at US$2.96, which is a 14.7% slide from the prior session. That kind of move grabs attention, yet the Q2 print itself was more muted than the chart suggests. Revenue landed at US$29.8m and net income was about US$1m, keeping the company in the black but at a much slimmer level than earlier quarters. For investors with a longer lens, the headline is not the single quarter. It is how this thinner profitability sits against...
NasdaqGS:ROCK
NasdaqGS:ROCKBuilding

Gibraltar Industries (ROCK) Stock Reprices As OmniMax Lifts Revenue And Leverage Looms

The market just put Gibraltar Industries on a pedestal. The stock jumped 14.2% to US$54.86 the first trading day after earnings, after already strong gains over the past quarter. That kind of one day repricing only happens when investors decide the story has changed. The headline this time is clear. Q2 revenue reached about US$509.5m with the first full quarter of OmniMax in the fold and adjusted earnings per share landed solidly in profitable territory after a weak Q1. The real question for...
NYSE:SBH
NYSE:SBHSpecialty Retail

How Sally Beauty’s Lowered 2026 Sales Outlook and COLORfest Pivot Could Shape SBH’s Investment Case

Sally Beauty Holdings reported past third-quarter 2026 results showing sales of US$935.49 million and higher year-on-year earnings, while also trimming its full-year Fiscal 2026 consolidated net sales guidance to a range of US$3.73 billion to US$3.73 billion. At the same time, the company is pushing COLORfest and COLORfest on Campus and broadening into skin and body care, highlighting a focus on younger consumers and higher-margin categories despite its more cautious sales outlook. We’ll now...
NYSE:GME
NYSE:GMESpecialty Retail

GameStop (GME) Is Down 13.0% After Swapping US$1.4 Billion Notes for Equity - What's Changed

Earlier this month, GameStop agreed to exchange about US$1.40 billion of its zero-coupon convertible senior notes for shares of Class A common stock, cutting long-term debt without using cash. This large debt-for-equity swap raises fresh questions about future share dilution while potentially reshaping how investors view GameStop’s balance sheet strength. With a recent 7-day share price decline and new focus on debt reduction via equity, we’ll explore how this reshapes GameStop’s investment...
NasdaqGM:SUPN
NasdaqGM:SUPNPharmaceuticals

Supernus Pharmaceuticals (SUPN) Jumps On Merger Terms, Is The Stock Still Cheap?

Merger terms reshape the outlook for Supernus Pharmaceuticals stock Supernus Pharmaceuticals (SUPN) is in focus after Indivior Pharmaceuticals agreed on a US$3.6b all stock merger of equals, with Supernus investors set to receive Indivior shares based on a fixed exchange ratio. See our latest analysis for Supernus Pharmaceuticals. The merger announcement comes as Supernus Pharmaceuticals’ share price has moved sharply on the day with an 8.46% 1 day share price return, yet its year to date...
NYSE:GPN
NYSE:GPNDiversified Financial

Global Payments (GPN) Stock Rich Multiple Clashes With Margin Strain

Global Payments slipped 0.9% to close at US$87.48 on Thursday, a muted reaction for a stock that had climbed roughly 25% over the past three months. The headline from this earnings release is not the top line. It is the pressure running through the income statement and into the valuation. Trailing net profit margins sit at 4.8% and interest expense is not well covered by earnings, yet the stock trades on a P/E of 47.1x against much lower peer and industry multiples. For short term traders...
NYSE:MCD
NYSE:MCDHospitality

McDonald’s (MCD) Stock Shrugs Off U.S. Stumbles As Cash Flow Holds

McDonald's stock added 2.1% today, a calm move for a company that just posted one of its more emotionally charged quarters in years. The market appears to be latching onto a clean headline: basic earnings per share came in at US$3.32 and global same restaurant sales grew 1.3%. The real story is a profit engine that still throws off cash while U.S. execution missteps stir anxiety. For now, investors are treating this as a fixable margin and traffic wobble rather than a broken profit model. The...
NasdaqGS:METC
NasdaqGS:METCMetals and Mining

Ramaco Resources (METC) Stock Sinks As Coal Losses Deepen Doubts

Ramaco Resources stock came into today already on the back foot after a 30 day slide of about 24%, and the earnings release did little to cheer traders. The share price dropped another 4.2% to US$9.24 as the market focused on another quarterly loss and continued to treat the stock as a high risk story. The headline is simple. Ramaco Resources is still losing money on its coal business, with Q2 basic earnings per share in the red and net income showing a double digit million loss, even as...
NYSE:NNN
NYSE:NNNRetail REITs

NNN REIT (NNN) Stock Looks Past Price Drift As AFFO Guidance Improves

NNN REIT stock barely flinched after earnings, edging up about 0.4% to US$47.36. That muted move sits awkwardly against a quarter built around one clear headline: the real story is cash generation. Adjusted funds from operations, or AFFO, reached US$0.90 per share and supported a quarterly dividend of US$0.62 with room to spare. For a net lease REIT that lives or dies on rent checks and payout capacity, the raised full year AFFO guidance and tighter bad debt outlook matter far more than...