U.S. Entertainment Stock News

NasdaqGS:BBIO
NasdaqGS:BBIOBiotechs

BridgeBio (BBIO) Stock Still Looks Pricey After FDA Filing Acceptance

BridgeBio Pharma stock has delivered a 149.6% return over the past three years, yet its valuation checks lean expensive and suggest the recent strength may already price in a lot of good news. With the company now highlighting a potential blockbuster opportunity around its encaleret program, investors are weighing strong share price gains against a weaker value score. BridgeBio Pharma has returned 149.6% over three years, which puts extra focus on whether the current share price still offers...
NYSE:CBU
NYSE:CBUBanks

Community Financial System (CBU) Stock Wobbles As Record Profit Meets Deposit Drift

Community Financial System stock slipped about 2.8% to US$64.75 after its latest earnings, even though the bank reported another record quarter. That move comes after a slightly weaker month for the shares, while the business has been posting steady progress. The headline this time is earnings power. Basic earnings per share reached US$1.16 in Q2 2026 on revenue of US$218.5m, with management highlighting record operating profit before credit provisions. For a regional bank built on steady...
NYSE:ATR
NYSE:ATRPackaging

How Do AptarGroup’s (ATR) Dividend And Sustainability Honors Reframe Its Competitive Moat Narrative?

AptarGroup, Inc. recently declared a quarterly cash dividend of US$0.48 per share, payable on August 20, 2026, to shareholders of record on July 30, 2026. The company was also recognized by TIME as one of the World's Most Sustainable Companies for the third consecutive year, underscoring its integration of renewable energy, emissions reduction and circularity into core operations. Next, we’ll explore how TIME’s sustainability recognition may influence AptarGroup’s investment narrative,...
NYSE:NVT
NYSE:NVTElectrical

U.S. Onshoring Stocks To Watch As Tariff Uncertainty Reshapes Infrastructure Spending

Trade policy has rarely felt this unpredictable. With US tariffs in flux after the Supreme Court’s 2026 ruling and the USMCA shifting to yearly reviews, cross border supply chains face a moving target. That kind of uncertainty can hold back long term investment, but it can also push capital toward companies rooted in U.S. infrastructure, manufacturing and onshoring. This article looks at 3 stocks from our U.S. Domestic Infrastructure and Industrial Onshoring screener that appear closely tied...
NasdaqGS:ACGL
NasdaqGS:ACGLInsurance

Arch Capital Group (ACGL) Could Be 3% Undervalued Following Mixed Second Quarter Earnings

Arch Capital Group (ACGL) stock is in focus after the company reported second quarter 2026 earnings. Revenue and net income were lower than a year ago, but first half earnings per share were higher than in the prior period. See our latest analysis for Arch Capital Group. Arch Capital Group’s share price has reacted positively around the earnings release, with a 1-day share price return of 2.50% and a 30-day share price return of 9.17%. The 1-year total shareholder return of 23.64% alongside a...
NYSE:RLI
NYSE:RLIInsurance

RLI (RLI) Reports Stronger 2026 Results, Is The Stock Already Overvalued?

RLI (RLI) stock is in focus after the insurer reported second quarter 2026 results, with revenue of US$575.57 million and net income of US$168.03 million, alongside a completed US$12.04 million share repurchase. See our latest analysis for RLI. RLI’s recent earnings and buyback news come on the back of strong short term momentum, with a 27.27% 90 day share price return and a 50.94% five year total shareholder return suggesting sustained investor interest. If this kind of move has you thinking...
NYSE:GS
NYSE:GSCapital Markets

Does Goldman Sachs Group (GS) Have More Value After 210% Run?

Goldman Sachs Group stock has delivered a very strong 3 year run, yet its current valuation picture is more nuanced. The intrinsic value estimate from the Excess Returns model points to a level close to the market price, while the earnings multiple checks lean more supportive. Goldman Sachs Group has returned about 209.9% over 3 years, which puts extra focus on whether today’s price still makes sense against its fundamentals. New initiatives in private markets access and risk management...
NYSE:VNO
NYSE:VNOOffice REITs

Is Vornado Realty Trust (VNO) Fully Valued As Q2 2026 Earnings Near?

Vornado Realty Trust (VNO) heads into its upcoming second quarter 2026 earnings release with investor attention on expected year over year gains in revenue and funds from operations per share, alongside improving signals from the U.S. office market. See our latest analysis for Vornado Realty Trust. At a share price of $40.06, Vornado Realty Trust has seen a 36.49% 90 day share price return and an 86.80% three year total shareholder return, which points to building momentum ahead of the...
OTCPK:PSBQ
OTCPK:PSBQBanks

PSB Holdings (OTCPK:PSBQ) Stock Sees Revenue Growth But Earnings Pressure Persists

PSB Holdings stock edged 1.6% higher to US$51.50 into the close, which suggests investors are leaning optimistic. The earnings story is more nuanced. Quarterly net income from continuing operations of US$3.3 million sits inside a full year picture where net profit margin has improved to 25.9%. At the same time, the stock trades on a trailing P/E of 14.7x that is above regional bank peers, and the allowance for bad loans coverage at 83% keeps credit risk squarely in focus. Love PSB Holdings'...
NasdaqGS:AGYS
NasdaqGS:AGYSSoftware

Agilysys (AGYS) Stock Jumps As Subscription Growth Reshapes The Story

Agilysys stock jumped 7.2% to about US$110 after earnings, a sharp move for a company already riding a strong year. Yet the story behind that pop is more about quality than hype. Hospitality software is a grind it out business and this quarter the company leaned into that with record Q1 revenue of US$87.7m and an adjusted EBITDA margin of 20.8%. Subscription revenue passed a key milestone, taking the lead over point of sale for the first time. The full numbers sketch a company pushing harder...
NYSE:GNRC
NYSE:GNRCElectrical

Generac (GNRC) Stock Looks Cheap on Cash Flow at Current Levels

Generac Holdings has delivered a strong share price recovery over the past year, yet the valuation picture is split. The Discounted Cash Flow (DCF) intrinsic value estimate points to meaningful upside from current levels, while market based multiples suggest the stock is on the expensive side. Over the past 5 years the stock is down 51.4%, which means long term holders have not yet recovered from earlier losses despite the more recent rebound. Future revenue and cash flow growth expectations...
NYSE:SGHC
NYSE:SGHCHospitality

Analysts’ Upbeat Earnings Forecasts Could Be A Game Changer For Super Group (SGHC) (SGHC)

In recent trading, Super Group (SGHC) Limited outpaced the broader market as investors reacted to analyst expectations for very strong year-over-year earnings growth ahead of its August 4, 2026 earnings release. This shift in sentiment highlights how earnings expectations and recent upward estimate revisions can quickly influence perceptions of the online betting and gaming operator’s prospects. With analysts now expecting very strong upcoming earnings, we’ll examine how this optimism...
NYSE:BRX
NYSE:BRXRetail REITs

Brixmor (BRX) Stock Dips Even As Rent Growth Hits Full Stride

Brixmor Property Group came into this earnings print with the stock slightly on the back foot, down over the past month and slipping another 1.6% to US$31.83 after the release. That is a muted reaction for a retail REIT that just posted quarterly NAREIT funds from operations of US$0.58 per share and same property net operating income growth of 5.8%. The real story is not the headline profit figure. It is the strength of cash rent and a record signed but not commenced pipeline that now...
NasdaqGS:ROAD
NasdaqGS:ROADConstruction

Construction Partners (ROAD) Stock Looks Discounted As Its 228% Run Draws Scrutiny

Construction Partners stock has delivered very strong gains over the past five years, yet its current share price of US$106.66 trades at a discount to an intrinsic value estimate based on a Discounted Cash Flow (DCF) model while earnings based multiples point to a level that looks roughly in line with the broader market. Over the last five years, Construction Partners has returned 228.2%, which puts recent short term pullbacks into the context of a long period of strong shareholder...
NYSE:DINO
NYSE:DINOOil and Gas

HF Sinclair (DINO) Stock Shrugs Off Profit Surge As Refining Risks Linger

HF Sinclair stock slipped about 2% today to around US$89 even as the company dropped one of its heaviest earnings punches in recent quarters. Q2 basic earnings per share landed just under US$5, on revenue north of US$10b, and refining plus Lubricants & Specialties did much of the lifting. Over the past three months the stock has already returned more than 35%. The muted reaction suggests investors are looking past the headline beat. The key issue now is how this profit surge fits with...
NYSE:UDR
NYSE:UDRResidential REITs

UDR (UDR) Stock Sees Buybacks Cushion Flat Revenue And Sunbelt Drag

UDR stock barely flinched after earnings, slipping only 0.7% to about US$39, even though the headline numbers could have justified a louder move. Coming into this week the stock had drifted lower over the past month, yet sat comfortably above its spring levels. The real story today is that funds from operations per share, the core yardstick for apartment real estate investment trusts, landed at the top of guidance and nudged full year expectations higher. In the short term that looks...
NasdaqGM:CBFV
NasdaqGM:CBFVBanks

CB Financial Services (CBFV) Stock Finds Support Despite Lingering Margin Questions

CB Financial Services stock quietly added 2.5% today, which looks like a calm reaction to a report that pulls investor attention straight to margins. Quarterly earnings per share landed at about US$0.85 on revenue of roughly US$15.5m, enough to support the move but not the real story. The headline is the squeeze. Net interest margin for the quarter sat at 3.73% while the trailing net profit margin over the past year has eased to about 15%. The market is treating that as manageable. The...
NasdaqGS:TEAM
NasdaqGS:TEAMSoftware

3 AI Infrastructure Stocks With High Insider Ownership Investors Are Watching

Global markets are wrestling with inflation questions, shifting rate expectations and sharp moves in bond and oil markets. In this setting, many readers are looking for companies where growth outlooks are supported not only by analyst forecasts but also by committed insiders with significant ownership. The Fast Growing Stocks With High Insider Ownership screener focuses on exactly that combination. It highlights businesses where management and major shareholders are financially aligned with...
NYSE:FLG
NYSE:FLGBanks

Is Flagstar Bank National Association (FLG) Undervalued On Its Earnings Miss And $250 Million Buyback?

Flagstar Bank National Association (FLG) came under pressure after second quarter adjusted earnings fell short of consensus expectations, even as the company highlighted higher net interest income and lower expenses alongside a new US$250 million share repurchase program. See our latest analysis for Flagstar Bank National Association. At a share price of US$13.98, Flagstar Bank National Association has seen a 7 day share price return that fell 5.73% and a 30 day share price return that...
NYSE:XPRO
NYSE:XPROEnergy Services

Expro (XPRO) Stock Richly Priced As Thin Margins Squeeze Earnings

Expro stock slipped about 1.6% to US$15.42 into the close, which looks mild given how much the earnings story hinges on one issue. The real headline is margin pressure. Quarterly revenue sat at US$393.2m, yet trailing net profit margin is only 1.3% and is still feeling the weight of a US$27.6m one off loss in the last 12 months. For short term traders, that thin profitability can look uncomfortable. For longer term investors it raises a sharper question about how much they are paying for...
NYSE:ECL
NYSE:ECLChemicals

Ecolab (ECL) Stock Climbs On Strong Growth As Margin Pressure Lingers

Ecolab stock jumped about 4% to roughly US$282.90 after the Q2 print, a sharp move for a steady compounder in water, hygiene and industrial services. The headline was clear. Adjusted earnings per share stepped up again and the business delivered mid single digit organic sales growth with better pricing power coming through the income statement. Short term traders focused on the beat and the higher full year earnings range. Longer term investors will be more interested in what this quarter...
NYSE:CMS
NYSE:CMSIntegrated Utilities

CMS Energy (CMS) Stock Can Reaffirmed Guidance Offset A Sharp Profit Drop?

CMS Energy came into this earnings day with a flat share price and a flat story. The stock is up just 0.1% today and roughly flat over three months, which indicates that investors were waiting to see if the utility narrative still holds. The headline from this quarter is a clear profit squeeze. Q2 basic earnings per share were US$0.37 on US$1.8b of revenue, well below the recent quarterly run rate, while the company is reaffirming full year earnings guidance and relying on a premium P/E of...
NasdaqGS:LKQ
NasdaqGS:LKQRetail Distributors

Is LKQ’s (LKQ) Green Parts Push Quietly Rewriting Its Long-Term Competitive Playbook?

Earlier this week, LKQ Europe released a new industry roadmap and whitepaper calling for coordinated adoption of new, reused, recycled and remanufactured parts, alongside a commitment to upskill 24,000 technicians in 13 countries by 2028 to keep vehicle repair reliable, sustainable and commercially viable. The twin publications highlight LKQ Europe’s effort to shape aftermarket standards around sustainability and EV-ready repair capabilities, potentially strengthening its position as a key...
NasdaqGS:JBLU
NasdaqGS:JBLUAirlines

JetBlue (JBLU) Stock Rallies While Margin Pressure Keeps Losses Deep

JetBlue Airways shares jumped about 10.5% to around US$6 in the first full session after earnings, a sharp move for a stock that has spent the past year wrestling with heavy losses and deep investor skepticism. The market clearly liked what it saw. Yet the headline is not profit. JetBlue just posted another quarterly loss of roughly US$247 million, even as revenue reached about US$2.7b. The real story for you is the margin strain. Revenue is holding up, but the path back from loss making to...