U.S. Electrical Stock News

NasdaqGM:PAMT
NasdaqGM:PAMTTransportation

PAMT (PAMT) Stock Price Slides As Losses Keep Pressure On

PAMT just erased 18% of its market value in a day, yet the headline from this quarter is not the share price move. The key story is a fresh profit squeeze. Revenue reached US$164.7m in Q2 2026, but the company still reported a net loss of US$7.4m and basic earnings per share of a US$0.36 loss. For a stock that has looked cheap on a price to sales basis, this latest step back into deeper losses is what investors now have to process. Love PAMT's revenue scale but concerned about the fresh...
NasdaqGS:RXRX
NasdaqGS:RXRXBiotechs

Recursion Pharmaceuticals (RXRX) Stock Sinks As Cash Burn Dominates AI Drug Story

Recursion Pharmaceuticals stock closed at US$3.17, down about 4% on the day, as investors reacted quickly to another quarter of heavy spending to fuel its artificial intelligence driven drug discovery push. The headline is simple: revenue for Q2 2026 came in at US$7.67 million while the company reported a net loss of US$131.01 million, keeping the focus firmly on the cash burn story. Over a longer lens, the trailing twelve month revenue of US$54.86 million now sits against losses from...
NYSE:CHCT
NYSE:CHCTHealth Care REITs

Community Healthcare Trust (CHCT) Stock Sinks After Dividend Cut Clouds FFO Stability

Community Healthcare Trust stock just dropped 13.1% to US$15.39, capping a tough run over the last week and quarter, yet the core cash story looks more resilient than that move suggests. The headline from this earnings release is not earnings per share. It is the real estate investment trust engine of Funds From Operations and Adjusted Funds From Operations, with second quarter FFO of US$13.2m and AFFO of US$15.4m holding firm while the company resets its dividend policy. Is Community...
NasdaqGM:AMAL
NasdaqGM:AMALBanks

Amalgamated Financial (AMAL) Stock Ignores Record Profit As Cost Risks Linger

Amalgamated Financial stock barely flinched after earnings, closing up just 1% at US$50.31. The move looks modest compared with what the bank just put on the table. Q2 delivered record net income of US$34.8 million and a strong return on tangible common equity above 16%. The key question for you is whether this restrained price reaction reflects healthy skepticism or an underappreciation of how much earnings power the deposit franchise and balance sheet shift are starting to show. Is...
NasdaqGM:FRPT
NasdaqGM:FRPTFood

Freshpet (FRPT) Stock Jumps As Margin Gains Power Growth Story

Freshpet just served up the kind of quarter that makes a 14.6% one day jump in the stock look less like hype and more like a gut level repricing. Heading into the release, shares had already climbed strongly in recent months. The latest print added fuel, with Q2 net sales of US$305.6m and an adjusted gross margin of 48.6% standing out in a crowded pet food aisle. The heart of this story is margin power. Adjusted EBITDA reached US$52.2m as the fresh pet food specialist showed it can turn shelf...
NYSE:ELAN
NYSE:ELANPharmaceuticals

Elanco Animal Health (ELAN) Stock Eyes Margin Momentum As Debt Questions Linger

Elanco Animal Health stock inched up 2.4% to US$26.22 after its second quarter report, a measured move for a business that just put a far stronger profit story on the table than its trailing losses suggest. The headline is margin power. Adjusted EBITDA climbed to US$288 million and adjusted gross margin reached 58.1%, even as revenue came in at US$1.37b. Traders reacted calmly to a set of numbers that point to a company still carrying past unprofitability on its back while current quarter...
NasdaqGS:GFS
NasdaqGS:GFSSemiconductor

GLOBALFOUNDRIES (GFS) Stock Sinks As Cash Flow Doubts Cloud Margin Gains

GLOBALFOUNDRIES stock came into earnings already bruised after a weak month, then dropped another 4.9% to about US$49.50 by Thursday’s close. The market leaned straight into fear even as the headline result told a more balanced story. Revenue reached US$1.786b and non International Financial Reporting Standards gross margin landed near 30%, both key markers for a contract chip manufacturer trying to prove it can turn volume into dependable profit. Today’s move looks driven more by emotion...
NasdaqCM:APPS
NasdaqCM:APPSSoftware

Digital Turbine (APPS) Stock Jumps As Higher Guidance Reshapes The Story

Digital Turbine just reminded investors that short term trading and long term narratives are not always aligned. The stock closed at US$9.51 before the results and then rose to US$13.17, a one day jump of about 38%. That kind of move usually signals a reset in expectations rather than a routine quarter. The headline this time is clear. Digital Turbine reported year on year revenue of about US$166 million and higher adjusted earnings before interest, tax, depreciation and amortization...
NYSE:VPG
NYSE:VPGElectronic

Vishay Precision Group (VPG) Stock Sinks As Losses Expose Margin Strain

Vishay Precision Group entered this earnings release with a stock that had already declined over the past month, then the floor gave way. Shares closed at US$73.56 on Thursday, down about 27% in a single session, as investors reacted to a fresh quarterly loss and softening margins. The headline from the release is simple and uncomfortable. Revenue was around US$83.9m, yet Vishay Precision Group reported a net loss of about US$1.7m and lower earnings per share than in recent quarters. The gap...
NYSE:GSL
NYSE:GSLShipping

Global Ship Lease (GSL) Stock Stays Cheap Even As Margins Slip

The market clipped Global Ship Lease by about 2% today, yet the earnings story looks calmer than the share price suggests. Q2 revenue came in at US$198.7m with basic earnings per share of US$2.48, keeping profitability in focus for a container-ship lessor that still reports a trailing net margin of 48.7%. The bigger debate now is not whether Global Ship Lease is profitable. It is whether a stock trading on a P/E of 4.1, with a sizeable gap to a DCF-based value, is being priced on fear of...
NYSE:MS
NYSE:MSCapital Markets

Morgan Stanley Stock And High Leverage Risks Investors Should Watch

When markets are leaning on record levels of leverage, a small shock can quickly turn into a scramble for cash, collateral and exits. That is where both risk and opportunity sit for investors watching stocks tied to prime brokerage, hedge fund financing and trading activity. This article unpacks how that leverage story touches three specific stocks, with one potentially benefiting and two that could face tougher questions. Morgan Stanley (MS) Morgan Stanley is a global financial services...
NYSE:PRGO
NYSE:PRGOPharmaceuticals

Perrigo (PRGO) Stock Reprices Fast As Profit Returns Meet Margin Pressure

Perrigo just rose 23.1% in a single session, which indicates sentiment shifted far faster than the underlying story changed. The stock entered this report trading on a low trailing price-to-sales ratio of 0.4x, far below the broader pharmaceuticals group, and investors finally treated that discount as more than background noise. The main focus is profit tone, not revenue. After a string of heavy losses, Perrigo posted Q2 basic earnings per share of US$0.64, and net income from continuing...
NasdaqGS:GBLI
NasdaqGS:GBLIInsurance

Global Indemnity Group (GBLI) Stock Rises On Underwriting Strength And Stubborn Costs

Global Indemnity Group stock jumped 4.8% to US$28.52 the first trading day after earnings, which signals investors liked what they saw. The headline is simple: profitability in the core insurance engine looked solid while the expense ratio stayed heavy as the company keeps plowing money into technology and new platforms. Q2 basic earnings per share of US$0.77 and net income of US$11.1m sat on top of a quarter where the accident year combined ratio held comfortably below 100%. For an insurer...
NYSE:HRI
NYSE:HRITrade Distributors

Herc Holdings (HRI) Returned To Profit, Is The Stock Fully Valued?

Herc Holdings (HRI) is back in focus after reporting second quarter 2026 earnings that shifted from a net loss a year ago to a net profit, alongside higher reported sales and revenue. See our latest analysis for Herc Holdings. The strong second quarter result appears to have come alongside brisk recent trading in Herc Holdings, with a 7 day share price return of 18.05% and a 30 day share price return of 24.43%. At a latest share price of $168.83, the stock is still up 10.82% year to date and...
NYSE:SYY
NYSE:SYYConsumer Retailing

Sysco (SYY) Stock Gains Ground As Cash Flow Counters Margin Strain

Sysco stock came into the print treading water after a flat month and a small decline over the past week. A 1.7% pop to US$84.21 after the earnings release signals cautious relief rather than euphoria. The market is reacting to one core message: earnings growth held up while margins stayed tight. The key headline is simple. Sysco pushed quarterly revenue to about US$22.1b and delivered adjusted earnings per share of US$1.53 with free cash flow of US$2.1b for the year. The stock’s move...
NasdaqGS:PLMR
NasdaqGS:PLMRInsurance

Palomar Holdings (PLMR) Stock Slips Despite Rising Profit And Higher Guidance

Palomar Holdings stock slipped about 1.6% today to roughly US$134, even as the company delivered another strong insurance earnings print. Adjusted net income reached US$63.8 million and adjusted earnings per share came in at US$2.36, both firmly higher than a year ago, and management lifted full year adjusted net income guidance again. So the short term price move looks muted, while the longer term story of growing premiums, a sub 80% adjusted combined ratio and high returns on equity remains...
NYSE:TDC
NYSE:TDCSoftware

Teradata (TDC) Stock Price Reset Sharpens Focus On 5.4x P/E

Teradata stock just endured a brutal reset, sliding almost 24% to about US$26 even though the latest quarter showed solid earnings power. Non GAAP operating margin reached 21.5% and non GAAP earnings per share came in at US$0.69, comfortably ahead of guidance. That clash between price and profit is the real story. Over the past month the stock was already under pressure, with the 30 day return down 28%. Now investors are weighing a much cheaper P/E of 5.4x against a business that just...
NYSE:UBER
NYSE:UBERTransportation

Uber (UBER) Stock Drops As Margin Reset Clouds Profit Surge

Uber Technologies just handed investors a sharp reality check. The stock closed at US$68.18, down 5.3% on Thursday, even as the latest quarter showed the company printing US$14.2b in revenue and US$2.4b in net income. The market focused on the hit to confidence. The numbers tell a more complex story. Over the last year Uber converted its scale into US$9.6b of net income and a 17.3% profit margin. That margin sits below the prior year, which keeps pressure on the long view. The key question...
NasdaqGS:JJSF
NasdaqGS:JJSFFood

J&J Snack Foods (JJSF) Stock Jumps As Margin Gains Eclipse Sales Decline

The market wasted no time rewarding J&J Snack Foods. The stock jumped about 7.7% the day after earnings, even as headline net sales for the June quarter came in at US$426 million, which was lower than a year ago. What lit the spark was not top line growth. It was a clean story on margins in a packaged foods business where costs have been a pressure point. Gross margin reached 35.5% and adjusted earnings per share landed at US$1.96. For a company often viewed as a steady snack and frozen...
NYSE:RRX
NYSE:RRXElectrical

Regal Rexnord (RRX) Stock Price Faces Margin And Cash Flow Doubts

Regal Rexnord just took a heavy hit. The stock closed at US$220.04 before earnings and then dropped about 17% to roughly US$183.24. That is a sharp reset for a company that had already been under pressure over the past month. The twist is that the headline numbers did not collapse. Q2 2026 basic earnings per share landed at about US$1.75 on revenue of roughly US$1.56b, with trailing P/E around 37.6x. The key question now is whether this selloff reflects short term fear or a longer term...
NasdaqGS:AVT
NasdaqGS:AVTElectronic

Avnet (AVT) Stock Repriced Higher After Record Sales And EPS

Avnet stock jumped 5.1% to US$97.22 after earnings, a sharp move for a company often treated as a steady, low‑drama electronics distributor. The market is reacting to one thing above all: the quarter capped FY 2026 with record quarterly sales of US$8.3b and record adjusted earnings per share of US$2.28, which is a powerful finish for a business that lives on thin component margins. Coming into this print, Avnet shares had already logged double digit gains over the past month. Today’s reaction...
NasdaqGS:SNDX
NasdaqGS:SNDXBiotechs

Syndax Pharmaceuticals (SNDX) Stock Climbs On Revenue Strength As Losses Persist

Syndax Pharmaceuticals stock closed up 4.4% at US$19.92, a sharp move for a company that came into this week with a slightly negative 30 day return and a soft 90 day run. The headline today is simple: Q2 revenue reached US$72.8m with Revuforj and Niktimvo together delivering US$115m in quarterly commercial sales, and management reiterated that the balance sheet is funded to support late stage programs. Short term traders are reacting to the bounce. Long term investors are likely focused on...
NasdaqGM:ACNT
NasdaqGM:ACNTChemicals

Ascent Industries (ACNT) Stock Profit Return Meets Margin And Cash Strain

Ascent Industries stock inched up 1.3% to US$15.58 into the first full trading day after earnings, a muted move for a quarter that flipped the income statement from losses to a profit. Q2 basic earnings per share landed at US$0.07 with net sales of US$25.7 million, while adjusted earnings before interest, tax, depreciation and amortization turned positive. The short term reaction looks restrained given that shift. The bigger question now is whether this first profitable quarter in a while...
NYSE:OC
NYSE:OCBuilding

Owens Corning (OC) Stock Rallies On 24% Margin As Valuation Questions Linger

Owens Corning stock jumped 4.8% to US$152.47 the day after earnings, a confident move for a building products company that has been wrestling with losses over the past year. On the surface, the headline is simple. Q2 2026 delivered about US$2.8b of revenue and adjusted earnings power, with adjusted EBITDA at US$660m and a 24% margin. The key question is how that profitability compares with a still unprofitable trailing twelve months and a valuation that already trades a touch above a...