U.S. Entertainment Stock News

NYSE:BRBR
NYSE:BRBRPersonal Products

BellRing Brands (BRBR) Net Margin Compression Challenges Bullish Earnings Narratives

Latest Results Set the Stage for a Margins Conversation BellRing Brands (BRBR) opened its Q2 2026 reporting window with recent quarterly revenue of US$537.3 million and basic EPS of US$0.37, numbers that drop straight into a wider debate about how sustainable its profitability really is. Over the last few reported periods, revenue has moved between US$532.9 million and US$648.2 million while basic EPS has ranged from US$0.17 to US$0.60, giving investors a clear view of how the top line and...
NYSE:WEC
NYSE:WECIntegrated Utilities

WEC Energy Group (WEC) Margin Compression To 15.9% Tests Bullish Growth Narratives

WEC Energy Group (WEC) opened 2026 earnings season with Q1 results anchored by prior year revenue of about US$2.5 billion and basic EPS of US$0.97 in Q4 2025, alongside net income excluding extra items of US$316.6 million. This gave investors a clear read on recent profitability. Over recent quarters the company has seen revenue range from US$2.0 billion to US$3.1 billion, with basic EPS moving between US$0.77 and US$2.28 across 2025 and trailing twelve month EPS of US$4.84 on total revenue...
NasdaqGS:IART
NasdaqGS:IARTMedical Equipment

Integra LifeSciences Holdings (IART) Trailing US$516 Million Loss Tests Earnings Turnaround Narrative

Integra LifeSciences Holdings (IART) Q1 2026 Earnings Snapshot Integra LifeSciences Holdings (IART) has opened 2026 with Q1 results that sit against a backdrop of recent quarterly revenue between US$380.7 million and US$442.6 million and EPS swinging from a profit of US$0.25 in Q4 2024 to a loss of US$6.31 in Q2 2025 and US$0.02 in Q4 2025. Trailing 12 month EPS stands at a loss of US$6.74 on revenue of about US$1.6 billion. Over the past six reported quarters, revenue has ranged from...
NYSE:VEEV
NYSE:VEEVHealthcare Services

Veeva Systems (VEEV) Is Up 8.0% After Joining The S&P 500 Index What’s Changed

Veeva Systems Inc. was recently added to the S&P 500 index, replacing Coterra Energy after its acquisition by Devon Energy, with inclusion taking effect on May 7, 2026. This index upgrade materially broadens Veeva’s investor base by drawing in S&P 500 index trackers and benchmarked institutional funds, potentially reshaping trading liquidity and ownership patterns. Next, we’ll explore how Veeva’s S&P 500 inclusion and resulting index-fund demand intersect with its existing AI-driven...
NYSE:HUBB
NYSE:HUBBElectrical

Assessing Hubbell (HUBB) Valuation After Recent Pullback And Modest Undervaluation Indications

Recent performance snapshot for Hubbell stock With no single headline event driving Hubbell (HUBB) today, the stock’s recent trading profile and fundamentals are doing most of the talking for investors watching the electrical and utility solutions specialist. See our latest analysis for Hubbell. Hubbell’s share price has eased in the short term, with a 1-day share price return of a 1.59% decline and a 7-day share price return of a 6.77% decline. However, the 1-year total shareholder return of...
NYSE:SWK
NYSE:SWKMachinery

How Investors May Respond To Stanley Black & Decker (SWK) Raising EPS Outlook And Authorizing Buybacks

In late April 2026, Stanley Black & Decker reported first-quarter sales of US$3,846.4 million with lower net income of US$59.6 million, recorded US$22.7 million in asset impairment charges tied to a Tools and Outdoor exit, raised its 2026 GAAP EPS guidance to US$4.15–US$5.35 following the CAM sale, affirmed a US$0.83 quarterly dividend, authorized a new US$500 million share repurchase program, and filed a US$607.06 million ESOP-related shelf registration for 7,750,000 common shares. An...
NYSE:EQR
NYSE:EQRResidential REITs

A Look At Equity Residential (EQR) Valuation After Recent Share Price Momentum

Equity Residential stock overview Equity Residential (EQR) has drawn investor interest after recent share price moves, with the stock showing positive returns over the past month and past 3 months, while its 1 year total return remains slightly negative. See our latest analysis for Equity Residential. The recent 9.92% 1 month share price return, on top of a 5.03% 3 month share price return, contrasts with a 1.87% decline in 1 year total shareholder return. This suggests that momentum has...
NYSE:USB
NYSE:USBBanks

U.S. Bancorp Expands Payments And Capital Markets While Shares Screen Undervalued

Elavon, a U.S. Bancorp subsidiary, has launched integrated business solutions for small and medium sized businesses, offering unified payment and operations tools. U.S. Bancorp has announced a pending acquisition of BTIG for up to $1b, expanding into additional business lines and client segments if completed. U.S. Bancorp (NYSE:USB) is trading around $55.6, with the stock up 41.4% over the past year and 113.8% over the past 3 years. Over shorter periods, returns have been mixed, with a 5.0%...
NasdaqGS:QLYS
NasdaqGS:QLYSSoftware

A Look At Qualys (QLYS) Valuation After Recent Share Price Rebound

What recent performance suggests about Qualys (QLYS) stock Qualys (QLYS) has seen mixed share performance recently, with a small 1 day pullback, a gain over the past week and month, and a decline across the past 3 months and year to date. See our latest analysis for Qualys. At a share price of US$92.14, the stock has staged a short term rebound, with solid 7 day and 30 day share price returns. However, this follows a sharp 90 day share price decline and weak 1 year total shareholder return,...
NYSE:SWX
NYSE:SWXGas Utilities

How Reaffirmed Guidance and Great Basin Expansion Progress Will Impact Southwest Gas Holdings (SWX) Investors

Southwest Gas Holdings, Inc. reported past first-quarter 2026 results with revenue of US$585.12 million, net income of US$138.37 million, and earnings per share of US$1.91, while also raising its quarterly dividend by 4% to US$0.645 per share. Management reaffirmed full-year earnings guidance and advanced major regulatory rate cases in Arizona and Nevada alongside strong shipper interest in the Great Basin 2028 pipeline expansion project, underscoring the company’s focus on regulated returns...
NasdaqGS:MAR
NasdaqGS:MARHospitality

Marriott International (MAR) Valuation Check After New Luxury Openings In Italy Vietnam And India

Marriott International (MAR) has been active in the luxury and premium hotel segment, with the official opening of W Sardinia, new Ritz Carlton and Marriott branded properties planned in Vietnam, and a future JW Marriott resort in India. See our latest analysis for Marriott International. These luxury openings and signings come as Marriott International trades at US$354.52, with a 30-day share price return of 6.81% and a 1-year total shareholder return of 42.04%, indicating momentum that has...
NYSE:GM
NYSE:GMAuto

How Investors May Respond To General Motors (GM) Strong Q1 Results And Bigger Bet On V‑8 Trucks

General Motors recently declared a quarterly cash dividend of US$0.18 per share, payable on June 18, 2026, and reported first‑quarter 2026 revenue of US$43,624 million and net income of US$2,627 million, while modestly lowering its full‑year 2026 net income and earnings per share guidance ranges. Alongside these mixed financial signals, GM is committing billions of dollars to new V‑8 engines, transmissions, and U.S. and Canadian manufacturing, highlighting a reinforced focus on profitable...
NYSE:WLK
NYSE:WLKChemicals

Westlake (WLK) Trailing Losses Challenge Bullish Margin Recovery Narratives After Q1 2026 Results

Westlake (WLK) has just posted Q1 2026 results that follow a tough run of earnings, with recent quarterly revenue figures ranging from about US$2.5 billion to US$3.0 billion and EPS moving from a small profit in late 2024 to losses through 2025. Over that span, revenue has moved from US$3,117 million in Q3 2024 to US$2,533 million in Q4 2025, while basic EPS has shifted from US$0.83 to a loss of US$4.23. This has left investors focused squarely on how quickly margins can stabilize from...
NYSE:ETN
NYSE:ETNElectrical

Eaton (ETN) Margin Softness Tests Bullish Data Center Growth Narratives

Eaton (ETN) has just opened 2026 with Q1 numbers that build on a steady run of results, following Q4 2025 revenue of about US$7.1b and basic EPS of US$2.92 on net income of US$1,132m. Over the past year, the company has seen trailing twelve month revenue move from US$24.9b to US$27.4b, while trailing EPS shifted from US$9.54 to US$10.48, giving you a clear view of how the top and bottom lines have scaled together. With net profit margins recently reported at 14.9%, slightly below last year,...
NYSE:NOG
NYSE:NOGOil and Gas

A Look At Northern Oil And Gas (NOG) Valuation After Weak Q1 Results And Share Price Pullback

First quarter earnings jolt for Northern Oil and Gas (NOG) Northern Oil and Gas (NOG) drew fresh investor focus after reporting first quarter revenue of US$5.03 million and a net loss of US$522.85 million, along with detailed updates on oil and natural gas production. See our latest analysis for Northern Oil and Gas. NOG's share price has softened recently, with a 5.8% 1 month share price return decline and a 3.3% 7 day fall. However, the year to date share price return of 21.08% and 1 year...
NasdaqGS:OLMA
NasdaqGS:OLMABiotechs

Assessing Olema Pharmaceuticals (OLMA) Valuation After A Year Of Strong Returns And Recent Share Price Weakness

Why Olema Pharmaceuticals Stock Is On Investors’ Radar Olema Pharmaceuticals (OLMA) has drawn attention after a stretch of mixed returns, including a loss over the past 3 months and a gain over the past year, which is prompting fresh questions about how investors view its clinical pipeline. See our latest analysis for Olema Pharmaceuticals. At a share price of $14.64, Olema’s recent 3 month share price decline of 44.42% contrasts with a very large 218.26% 1 year total shareholder return. This...
NYSE:AEE
NYSE:AEEIntegrated Utilities

A Look At Ameren (AEE) Valuation After Recent Steady Share Price Performance

Ameren stock snapshot after recent performance Ameren (AEE) has seen relatively muted share price moves recently, with a 1 day return of about a 1% decline, a flat month, and a modest gain over the past 3 months. This has prompted a closer look at fundamentals. See our latest analysis for Ameren. At around $111.64, Ameren’s recent share price moves have been fairly calm, with a steadier trend over the past year supported more by total shareholder return than short term price swings. If you...
NYSE:COR
NYSE:CORHealthcare

Is Cencora (COR) Pricing Reflect Its DCF Upside After Recent Share Price Weakness

If you are wondering whether Cencora's current share price lines up with its underlying worth, it helps to look past the headline numbers and focus on what the valuation signals are really saying. The stock closed at US$305.90, with returns of a 2.0% decline over the last week, a 5.8% decline over the last month, a 9.7% decline year to date, a 5.9% gain over one year, 86.7% over three years and 168.5% over five years. This gives you a mix of recent weakness and longer term strength to think...
NYSE:STNG
NYSE:STNGOil and Gas

Scorpio Tankers Q4 EPS Run Rate Tests Bearish Profit Decline Narrative

Scorpio Tankers (STNG) has just posted its latest Q1 2026 update with recent quarterly numbers showing Q4 2025 revenue of US$252.7 million and basic EPS of US$2.72, backed by net income of US$128.1 million. Over the past year, the company has seen quarterly revenue move from US$204.0 million in Q4 2024 to US$214.0 million in Q1 2025, US$230.2 million in Q2, US$241.4 million in Q3 and US$252.7 million in Q4. Over the same period, quarterly EPS shifted from US$1.48 to US$1.26, US$1.59, US$1.81...
NasdaqGS:ITRI
NasdaqGS:ITRIElectronic

Assessing Itron (ITRI) Valuation As Investor Day Spotlight Shifts To Software And Outcomes Growth

Recent coverage around Itron (ITRI) has shifted focus toward its software driven Outcomes and Resiliency Solutions businesses, with an upcoming Investor Day expected to clarify long term targets and the company’s evolving revenue mix. See our latest analysis for Itron. Itron’s share price has faced pressure in recent months, with a 90 day share price return of 17.19% and a 1 year total shareholder return of 20.87%, even as investors weigh its recent earnings, cybersecurity disclosure, and...
NasdaqGS:VRTX
NasdaqGS:VRTXBiotechs

Vertex Pharmaceuticals (VRTX) Profitability Return Tests Bullish Narratives Ahead Of Q1 2026 Earnings

Vertex Pharmaceuticals (VRTX) opened 2026 with Q1 results that build on a solid recent run, following Q4 2025 revenue of US$3.2 billion and basic EPS of US$4.69, supported by trailing 12 month revenue of US$12.0 billion and basic EPS of US$15.46. Over the past few quarters, the company has seen revenue move from US$2.8 billion in Q1 2025 to US$3.2 billion in Q4 2025, while basic EPS shifted from US$2.52 to US$4.69. This points to a business where profitability trends are front and center for...
NasdaqGS:IDXX
NasdaqGS:IDXXMedical Equipment

Idexx Laboratories (IDXX) Margin Strength Reinforces Bullish Earnings Narrative Before Q1 2026

IDEXX Laboratories (IDXX) is coming off a year where trailing twelve month revenue reached about US$4.3 billion and basic EPS was US$13.17, with earnings up 19.3% over the past year. Over recent quarters, revenue has moved from US$954.3 million in Q3 2024 to US$1.1 billion in Q4 2025, while quarterly basic EPS has ranged between roughly US$2.64 and US$3.66, giving you a clear view of how the top and bottom line have been tracking into the latest Q1 2026 update. With net profit margins at...
NasdaqGS:AEIS
NasdaqGS:AEISElectronic

Advanced Energy Industries (AEIS) Net Margin Improvement Tests Bullish Long Term Narratives

Advanced Energy Industries (AEIS) has put fresh numbers on the table for Q1 2026, with recent quarterly revenue figures showing a move from US$374.2 million in Q3 2024 to US$489.4 million in Q4 2025 and basic EPS shifting from a loss of US$0.38 in Q3 2024 to US$1.40 in Q4 2025, while trailing twelve month EPS reached US$3.97 on revenue of about US$1.8 billion. Over that stretch, net income excluding extraordinary items moved from a loss of US$14.1 million in Q3 2024 to a profit of US$52.5...
NYSE:GGG
NYSE:GGGMachinery

Assessing Graco (GGG) Valuation After Recent Share Price Weakness

Graco stock performance and business snapshot Graco (GGG) has drawn investor interest after recent share price moves, including a one-month return of about a 7% decline and a past three-month return of about a 14% decline, prompting closer attention to its fundamentals. The company reports annual revenue of about US$2.25b and net income of about US$516.24m, with revenue and net income growth both in the mid single digit range, and a market value of around US$12.93b. See our latest analysis...