U.S. Energy Services Stock News

NYSE:GPC
NYSE:GPCRetail Distributors

Genuine Parts (GPC) Stock Faces Ultra Thin Margins That Test Bullish Recovery Narrative

Genuine Parts (GPC) has put solid headline numbers on the board for Q2 2026, with revenue of about US$6.5 billion and basic EPS of US$1.65, alongside net income of US$227.6 million. Trailing 12 month figures show revenue of roughly US$25.1 billion and basic EPS of US$0.24 tied to net income of US$32.8 million. Over recent quarters, revenue has shifted from US$6.0 billion in Q4 2025 to US$6.3 billion in Q1 2026 and US$6.5 billion in Q2 2026. Over the same period, basic EPS moved from a Q4 2025...
NasdaqGS:GILD
NasdaqGS:GILDBiotechs

Gilead (GILD) Stock Could Still Trade At A Discount Following Its 127% Run

Gilead Sciences stock has quietly turned in a strong run over the past five years, yet on traditional valuation checks it still screens as inexpensive relative to its fundamentals. This raises the question of whether the market is fully reflecting that track record and the current news flow. Gilead Sciences has returned 126.8% over 5 years, which puts its recent share price strength front and center in any discussion of value. On the fundamental side, expectations around the HIV portfolio,...
NasdaqGM:CRML
NasdaqGM:CRMLMetals and Mining

Critical Metals (CRML) Valuation Needs More Than a Book-Value Check

Critical Metals stock has delivered a strong 57.2% gain over the past year, yet on the current checks it still screens as expensive rather than a clear bargain. Recent price pressure and fresh corporate moves now put the focus squarely on whether the valuation leaves enough support for new investors. The 57.2% return over the last 12 months highlights how quickly sentiment around Critical Metals has shifted, even after more recent share price weakness. The newly launched review to monetize...
NasdaqGS:LAUR
NasdaqGS:LAURConsumer Services

Laureate Education (LAUR) Stock Looks Cheap Relative To Fair Value

Laureate Education has delivered a very large 437.5% return over the past five years, yet its current valuation checks and recent pullback invite a closer look at whether the stock still offers value after such a strong run. Over five years, Laureate Education has returned 437.5%, which puts more focus on whether today’s price still leaves room for an attractive long term outcome. Future growth in student enrollment and margins can support the current share price, while any pressure on cash...
NasdaqGS:TMC
NasdaqGS:TMCMetals and Mining

Tribunal’s Due-Process Ruling on Seabed Rights Might Change The Case For Investing In TMC (TMC)

The Seabed Disputes Chamber of the International Tribunal for the Law of the Sea recently ordered the International Seabed Authority to respect due-process requirements while reviewing TMC the metals’ subsidiary NORI’s exploration contract extension, recognizing a real and imminent risk to NORI and TOML’s legal rights. This unanimous ruling reduces a key source of regulatory uncertainty for TMC the metals’ deep-sea nodule operations, strengthening its procedural standing in ongoing...
NasdaqGS:COKE
NasdaqGS:COKEBeverage

Is Coca-Cola Consolidated (COKE) Below Fair Value Or Already Priced Richly?

Coca-Cola Consolidated stock has delivered very strong returns over the past few years, yet its valuation signals are split, with the Discounted Cash Flow (DCF) intrinsic value estimate pointing to a sizeable gap to the current price while earnings based multiples suggest the shares are expensive. That leaves investors weighing a market price that has run hard against a mixed set of valuation checks. Coca-Cola Consolidated has returned about 371.8% over 5 years, which puts recent valuation...
NasdaqGS:XEL
NasdaqGS:XELElectric Utilities

Nuclear Energy Stocks Back In Focus As Higher Power Demand Reshapes Investor Screens

Nuclear energy stocks are back in focus as investors weigh stubborn inflation risks, higher bond yields and ongoing pressure from global energy prices. Reliable baseload power and reduced dependence on fossil fuels are attracting fresh attention to uranium producers, enrichment businesses and reactor operators. The Nuclear Energy Stocks screener helps you quickly filter this universe down to companies directly tied to uranium supply and nuclear generation, so you are not guessing where the...
NYSE:UNF
NYSE:UNFCommercial Services

UniFirst (UNF) Stock May Stay Above Fair Value As Earnings Look Rich

UniFirst stock has delivered a strong run over the last few years, yet the current valuation checks suggest the shares are not an obvious bargain at about US$289.48. Over the past 3 years, UniFirst has returned 92.1%, which places extra weight on whether the current price already reflects much of the progress investors have been paying for. Expectations for steady cash generation from UniFirst's uniform and services contracts can support the current valuation. However, any pressure on...
NYSE:ELS
NYSE:ELSResidential REITs

Equity LifeStyle Properties (ELS) Heads Into Q2 Earnings With An Undervalued Narrative

Upcoming Q2 Earnings Put Focus on Equity LifeStyle Properties Equity LifeStyle Properties (ELS) is drawing attention after announcing it will release Q2 2026 results after the market closes on July 22, an event investors often watch for fresh information. With a market value of about US$13.1b and operations across 453 properties as of March 31, 2026, the upcoming earnings update may help investors reassess how the stock fits within their income and real estate exposure. See our latest...
NasdaqGS:HBCP
NasdaqGS:HBCPBanks

Home Bancorp (HBCP) Stock Net Interest Margin Strength Supports Bullish Narrative

Home Bancorp (HBCP) opened Q2 2026 with total revenue of US$39.0 million and basic EPS of US$1.50, backed by trailing twelve month revenue of US$152.0 million and EPS of US$6.04 that frame the latest quarter within a solid year of earnings delivery. The company has seen revenue move from US$135.4 million to US$152.0 million and basic EPS rise from US$4.81 to US$6.04 on a trailing basis over the last five reported periods. This context can help investors consider how Q2 fits into that earnings...
NasdaqGS:INTU
NasdaqGS:INTUSoftware

Is Intuit (INTU) Stock Cheap After Its 62% Slide?

Intuit stock has had a tough stretch, with the price well below where it was a year ago, yet the current valuation checks suggest the shares may now be screening on the cheap side rather than clearly overpriced. Over the past 1 year, Intuit has declined 61.8%, which puts recent returns sharply out of step with the longer term expectations some investors still have for the business. Legal scrutiny around the TurboTax-related securities fraud class actions may weigh on sentiment, while...
NasdaqGM:MAZE
NasdaqGM:MAZEPharmaceuticals

3 Valuation Signals For Maze Therapeutics (MAZE) As Shares Close At $29.30

Maze Therapeutics (MAZE), a clinical stage biopharmaceutical company, has drawn investor attention after recent trading. The stock last closed at $29.30 and has shown mixed returns over the past week and month. See our latest analysis for Maze Therapeutics. Looking beyond the latest move to $29.30, Maze Therapeutics has seen a 14.10% 1 month share price return and a 10.57% 3 month share price return, while its year to date share price return is down 26.33% and the 1 year total shareholder...
NYSE:AMC
NYSE:AMCEntertainment

AMC (AMC) Stock Faces Ongoing Losses As Narrower Q2 Deficit Tests Bullish Narratives

AMC Entertainment Holdings (AMC) opened Q2 2026 with revenue of US$1.6 billion and a loss of US$11.4 million, translating to basic EPS of a US$0.02 loss, providing a clear snapshot of where the business stands coming out of the latest quarter. The company reported quarterly revenue of US$1.40 billion in Q2 2025 and US$1.60 billion in Q2 2026, while quarterly basic EPS moved from a US$0.01 loss to a US$0.02 loss, which keeps the focus on how efficiently the larger top line is translating into...
NYSE:S
NYSE:SSoftware

AI Stocks To Watch With Datadog Atlassian And SentinelOne In Focus

Artificial intelligence is sitting at the center of market attention, as energy driven inflation risks, tight central bank policy and shifting trade patterns keep pressure on traditional growth stories. While oil prices, bond yields and tariff headlines move daily, AI related spending on chips, software, cloud and large language models is still a key focus for many companies and investors. This article uses an AI Stocks screener that targets businesses directly tied to the ChatGPT and broader...
NYSE:DKL
NYSE:DKLOil and Gas

Delek Logistics Partners (DKL) Stock Looks Fully Valued After A 113% Run

Delek Logistics Partners stock has delivered strong returns over the past several years, yet the current market pricing screens as expensive on key valuation checks, leaving investors weighing a solid track record against a relatively full valuation. Over the last 5 years, Delek Logistics Partners has returned 113.2%, which puts more pressure on today’s buyers to justify the higher entry price. Future cash flow resilience and the partnership’s ability to fund its capital needs efficiently...
NasdaqGS:ANDE
NasdaqGS:ANDEConsumer Retailing

Andersons (ANDE) Stock Looks Below Fair Value On Earnings Alone

Andersons stock has delivered a very strong 226.3% total return over the past five years, yet the current valuation checks point to a mixed picture rather than a clear bargain or clear overvaluation at the recent price of US$77.85. A 226.3% return over five years indicates that long term holders in Andersons have been strongly rewarded, which raises the bar for new buyers assessing what is already priced in. For Andersons, the key support for valuation is whether the business can keep...
NYSE:VMI
NYSE:VMIConstruction

Valmont Industries (VMI) Stock Sees Margins Reach 11.3% Challenging Cautious Earnings Narratives

Valmont Industries (VMI) has reported another solid quarter, with Q2 2026 revenue of US$1.1 billion and basic EPS of US$6.19 supported by net income of US$119.9 million, set against trailing 12 month EPS of US$24.54 on revenue of US$4.2 billion. The company’s revenue increased from US$1.0 billion in Q1 2026 to US$1.1 billion in Q2 2026, while basic EPS rose from US$5.55 over the same period. This gives investors a fresh look at how recent earnings momentum is feeding into margins. See our...
NasdaqGM:ADMA
NasdaqGM:ADMABiotechs

3 U.S. Drug Manufacturing Stocks Investors Are Watching As Tariffs Rise

Tariffs on imported generic drugs are set to rise sharply over the next few years, and that kind of policy shock rarely stays contained to one corner of the market. For investors, the question is which U.S. pharmaceutical and biotech manufacturing stocks might stand to benefit if production shifts closer to home, and which could face new pressures through supply chain or pricing risks. This article looks at how the new tariff path could affect larger domestic drug manufacturers and contract...
NasdaqGM:KEEL
NasdaqGM:KEELSoftware

Keel Infrastructure (KEEL) Secures Sherbrooke Approval, Is The AI Upside Already Priced In?

Keel Infrastructure stock reacts to Sherbrooke data center and capacity shift Keel Infrastructure (KEEL) is in focus after securing Sherbrooke approval to consolidate 96 MW of existing Bitcoin mining capacity into a single campus and recategorize it for high performance computing and AI workloads. The agreement with Hydro Sherbrooke, along with a land purchase plan east of Montréal, gives Keel Infrastructure a defined path toward an HPC and AI oriented data center project, subject to...
NasdaqCM:BGM
NasdaqCM:BGMPharmaceuticals

BGM Group (BGM) Stock Faces EPS Swing To Loss Challenges Bullish Growth Narratives

BGM Group (BGM) has reported FY 2025 first half revenue of about US$14.3 million and a basic EPS loss of US$0.03 per share, setting a mixed tone for investors watching the company’s momentum against a higher revenue base. The company has seen revenue move from roughly US$12.6 million in the first half of FY 2024 to US$14.3 million in the first half of FY 2025, while basic EPS shifted from a profit of US$0.06 to a loss of US$0.03. This puts the spotlight firmly on how much of that top line is...
NasdaqGS:LINC
NasdaqGS:LINCConsumer Services

3 Stocks Riding The AI Reskilling Trend In The US

AI is reshaping work, and not just in tech. As automation spreads and job postings in exposed industries come under pressure, demand for reskilling, upskilling, and smarter human capital management is in sharper focus. That is the core idea behind this Workforce Reskilling and Human Capital Development screener. It looks at companies tied directly to training, staffing, and credentialing that could stand to gain as employers and workers adapt. In this article, you will see 3 stocks that...
NasdaqGS:MCRI
NasdaqGS:MCRIHospitality

Monarch Casino & Resort (MCRI) Stock Net Margin Expansion Tests Cautious Growth Narratives

Monarch Casino & Resort (MCRI) has put up another solid quarter, with Q2 2026 revenue of US$142.6 million and basic EPS of US$1.82, while trailing twelve month EPS sits at US$6.37 on revenue of US$562.0 million. The company has seen quarterly revenue move between US$125.4 million and US$142.8 million since early 2025, with basic EPS ranging from US$1.08 to US$1.82 over the same stretch. This sets up a story where earnings growth of 45.7% and a net profit margin of 20.4% over the past year...
NasdaqGM:WVE
NasdaqGM:WVEPharmaceuticals

Is Wave Life Sciences (WVE) Undervalued Or Is Its RNA Pipeline Already Priced In?

Wave Life Sciences (WVE) has attracted investor attention after recent share price swings, with the stock closing at US$5.79. The move comes against a backdrop of mixed short term and longer term returns. See our latest analysis for Wave Life Sciences. Recent trading puts Wave Life Sciences on a weak near term trend, with the 7 day share price return down 5.55% and the 90 day share price return down 21.54%. However, the 3 year total shareholder return of 48.08% shows a much stronger longer...
NasdaqGM:ANIP
NasdaqGM:ANIPPharmaceuticals

US Generic Drug Stocks With Domestic Manufacturing in Focus

Tariffs on imported generic drugs of up to 200% from 2029 could reshape where and how the medicines in US pharmacies are made, and that has real implications for US-based generic drug stocks. With 90% of US prescriptions filled by generics and about 70% of those sourced from overseas, investors are right to pay attention as policy pressure builds for more domestic manufacturing. This article looks at how that policy shock could affect US-based generic manufacturers and highlights three stocks...