U.S. Energy Services Stock News

NYSE:MTZ
NYSE:MTZConstruction

July 2026's Top Growth Stocks With Strong Insider Ownership

The United States market has remained flat over the last week but is up 20% over the past year, with earnings projected to grow by 18% annually in the coming years. In this environment, identifying growth companies with strong insider ownership can be a strategic approach as it often indicates confidence from those closest to the business and potential alignment with shareholder interests.
NasdaqGM:SERA
NasdaqGM:SERABiotechs

Sera Prognostics Among 3 Intriguing Penny Stocks To Consider

In the last week, the United States market has stayed flat, but it is up 20% over the past year, with earnings expected to grow by 18% per annum over the next few years. Investing in penny stocks—though often considered a niche area—can still present growth opportunities, especially when these stocks are supported by strong financial health. Here, we explore several intriguing penny stocks that stand out for their financial strength and potential for long-term growth.
NasdaqGS:CRNX
NasdaqGS:CRNXPharmaceuticals

Crinetics Pharmaceuticals (CRNX) Agreed To A $10 Billion All Cash Sale To Vertex

Vertex Pharmaceuticals agreed to acquire Crinetics Pharmaceuticals (NasdaqGS:CRNX) in an all cash deal valued at about US$10b. The boards of both companies approved the transaction unanimously. The deal is expected to close in Q3 2026, subject to regulatory and Crinetics shareholder approvals. Crinetics Pharmaceuticals focuses on endocrine diseases, an area where larger drug makers have been looking to expand their presence. Vertex is set to add Crinetics' pipeline and clinical expertise to...
NYSE:CNM
NYSE:CNMTrade Distributors

How Investors May Respond To Core & Main (CNM) Being Removed From Key Russell Growth Indices

In late June 2026, Core & Main, Inc. (NYSE:CNM) was removed from multiple Russell growth benchmarks, including the Russell 1000 Growth, 3000E Growth, 2500 Growth, Midcap Growth, and Small Cap Comp Growth indices. This broad index removal could reshape the company’s investor base and trading patterns as funds tracking these benchmarks adjust their Core & Main holdings. We’ll now explore how Core & Main’s removal from several Russell growth indices may affect its previously outlined investment...
NasdaqGS:MLKN
NasdaqGS:MLKNCommercial Services

How MillerKnoll’s Return To Profitability And 2027 Margin Guidance At MillerKnoll (MLKN) Has Changed Its Investment Story

MillerKnoll, Inc. recently reported past fourth-quarter and full-year 2026 results showing higher sales of US$1,004.2 million and US$3.84 billion respectively, alongside a move from losses to net income and positive earnings per share from continuing operations. The company also issued fiscal 2027 guidance calling for US$928 million–US$968 million in first-quarter sales and US$3.93 billion–US$4.13 billion for the full year, signaling expectations for higher revenue with gross margins...
NasdaqGM:LWAY
NasdaqGM:LWAYFood

3 Consumer Staples Stocks for Rising Grocery Bills

With grocery and gas bills squeezing household budgets, consumer staples stocks are sitting at the center of a crucial affordability story. High inflation at 4.2%, wage pressure, and weakening confidence from 57% of Americans who see the economy as worsening are reshaping how and where people spend. That creates different types of risks and potential opportunities across food, beverage, and household product companies. This article walks through 3 stocks from our Consumer Staples screener...
NYSE:SBSI
NYSE:SBSIBanks

3 Bank Stocks Built For Tighter Credit Standards

When a major lender like HSBC pulls back from riskier private credit, it sends a clear signal about how banks are thinking about risk, capital and funding costs. For you as an investor, that shift can affect where the steadier opportunities and pressure points show up across large, established financial stocks. This article looks at how tightening underwriting standards and rising regulatory attention around private credit might filter through to more conservative banking stocks. It will walk...
NasdaqGM:CCXI
NasdaqGM:CCXICapital Markets

Churchill Capital Corp XI (CCXI) Adds A Convertible Note, Is The Agility Upside Already Priced In?

Churchill Capital Corp XI (CCXI) drew fresh attention after outlining a new unsecured promissory note of up to US$1,500,000, convertible into units at US$10.00. This adds another layer to its pending Agility Robotics merger. See our latest analysis for Churchill Capital Corp XI. The Agility Robotics deal and the new convertible note come on the heels of a sharp shift in market sentiment, with Churchill Capital Corp XI’s 30 day share price return of 67.35% and year to date share price return...
NYSE:NSP
NYSE:NSPProfessional Services

3 US Services Stocks With AI Exposure And Low Valuation Multiples

The latest ISM Services Index reading points to a US services sector that is still expanding, but with signs of cooling demand and shifting cost pressures. For investors, that mix of steady growth, moderating activity, and cooler input costs can change how certain service stocks look on a risk and reward basis. This article unpacks what that backdrop might mean for companies in our US Services Sector Stocks screener and highlights 3 stocks that appear positively exposed to these conditions,...
NasdaqCM:FMNB
NasdaqCM:FMNBBanks

Rate Cut Hopes Put These 3 US Regional Bank Stocks In Focus

Cooling Dutch inflation, with June consumer prices up 2.9% year on year and the HICP reading at 2.5%, is putting fresh attention on interest rate expectations and on sectors that tend to react when borrowing costs move. If the European Central Bank leans more dovish, funding conditions and asset valuations across Financials and Real Estate could shift in ways that matter for your portfolio. This article highlights 3 large, financially solid stocks from our Interest Rate Sensitive Sectors...
NYSE:FLS
NYSE:FLSMachinery

3 Stocks Including Broadcom That May Be Priced Below Estimated Value

In the last week, the United States market has stayed flat, yet over the past 12 months, it has experienced a notable rise of 20%, with earnings forecasted to grow by 18% annually. In this context, identifying stocks that may be undervalued can provide opportunities for investors seeking to capitalize on potential growth while considering current market conditions.
NYSE:MAS
NYSE:MASBuilding

Ferguson Stock And 2 U.S. Export Picks Tied to New Trade Deals

The U.S. Industrial Exporters screener focuses on companies that sit right where trade policy meets real-world revenue. With a new U.S.-EU agreement, questions around USMCA, and ongoing U.S.-China tensions, these exporters face both fresh openings and added friction in key markets. For investors, that mix of risk and potential reward can make careful stock selection more important than ever. This article walks through 3 stocks from the screener that appear positively exposed to the latest...
NYSE:WS
NYSE:WSMetals and Mining

Worthington Steel (WS) Is Down 7.2% After Major Impairment-Driven Loss and New Credit Facility - What's Changed

Worthington Steel, Inc. recently reported fourth-quarter 2026 results showing sales of US$929.2 million but a net loss of US$48.7 million, driven largely by US$94.5 million of goodwill and long-lived asset impairment charges. Around the same time, the company refinanced its asset-based revolving credit facility with a new agreement of up to US$550.0 million and affirmed a US$0.16 quarterly dividend, signaling an effort to balance balance-sheet flexibility with continued cash returns to...
NYSE:EVC
NYSE:EVCMedia

Why Entravision Communications (EVC) Is Down 6.7% After Removal From Key Russell Value Indices

In late June 2026, Entravision Communications Corporation (NYSE:EVC) was removed from several major Russell value and small‑cap benchmarks, including the Russell 2000 Value and Russell 3000 Value indices. This broad index removal can matter because many index‑tracking and benchmark‑aware funds may adjust their holdings, potentially reshaping how the company fits into diversified portfolios. We will now examine how Entravision’s removal from multiple Russell value indices influences its...
NasdaqCM:SHAZ
NasdaqCM:SHAZIT

How Investors May Respond To SharonAI Holdings (SHAZ) Russell Index Debut And $1.6 Billion NVIDIA Deal

In late June 2026, SharonAI Holdings Inc. (NasdaqCM: SHAZ) was added to multiple Russell indices and closed an oversubscribed US$1.60 billion private placement to help fund a six-year compute collaboration with NVIDIA, including plans for an AI factory in Australia using up to 40,000 Grace Blackwell GB300 GPUs. The combination of broad Russell index inclusion and backing from institutional investors such as Situational Awareness L.P. and Oaktree Capital Management L.P. signals growing...
NasdaqGS:CRDO
NasdaqGS:CRDOSemiconductor

US Stock Market Today: S&P 500 Futures Rise As Inflation Worries Ease

The Morning Bull - US Market Morning Update Tuesday, Jul, 7 2026 US stock futures are pointing higher this morning, with E-mini S&P 500 contracts up about 0.4% and Nasdaq-100 futures ahead almost 1%, as investors respond to cooler inflation signals from Europe and easing bond yields. In Germany, June inflation sits at 2.8% for headline and 2.4% for core, meaning prices are rising but by less than economists expected, which can ease pressure on central banks to keep rates high. At the same...
NasdaqGS:ANDE
NasdaqGS:ANDEConsumer Retailing

How Broad Russell Growth Index Additions At Andersons (ANDE) Have Changed Its Investment Story

On 27 June 2026, The Andersons, Inc. was added to multiple Russell growth benchmarks, including the Russell 2000 Growth, 2500 Growth, 3000 Growth, 3000E Growth, Small Cap Comp Growth, and 2000 Growth-Defensive indices. This cluster of index inclusions can meaningfully broaden Andersons’ investor base as passive and benchmark-aware funds adjust their holdings to reflect the changes. We’ll now examine how Andersons’ broad Russell growth index additions might reinforce or challenge the...
NasdaqGS:ASTE
NasdaqGS:ASTEMachinery

Does Broad Russell Growth-Index Inclusion Alter the Bull Case for Astec Industries (ASTE)?

In late June 2026, Astec Industries, Inc. was added to multiple Russell growth and small-cap benchmarks, including the Russell 2500 Growth, 3000 Growth, 3000E Growth, Small Cap Comp Growth, 2000 Growth, and 2000 Growth-Defensive indices. This broad index inclusion materially increases Astec’s visibility with institutional investors and index-tracking funds that allocate capital based on these Russell benchmarks. We’ll now examine how Astec’s broad Russell growth-index inclusion could...
NYSE:LCLN
NYSE:LCLNCapital Markets

SK Hynix IPO Could Lift 3 Capital Markets Stocks

The planned US$28b SK Hynix IPO on Nasdaq, combined with its focus on HBM chips for AI data centers, is creating a busy moment for capital markets specialists that help bring large deals to investors. When money flows into blockbuster offerings, the companies that advise, underwrite or list around them can see meaningful shifts in activity and risk. This article looks at how that SK Hynix listing wave may touch a handful of recent and upcoming financial listings, and highlights 3 stocks from...