U.S. Entertainment Stock News

NYSE:FBK
NYSE:FBKBanks

Higher Rates Could Favor These 3 US Bank Stocks

With the Federal Reserve split on where interest rates go next, inflation still above target, and guidance from policymakers becoming harder to read, banks and insurers are suddenly right in the crosshairs of this policy debate. Some financial stocks could see margins supported if rates stay higher for longer, while others may feel pressure from funding costs and market volatility. This article looks at 3 stocks from our Financial Sector screener that appear well placed to handle this...
NYSE:LEVI
NYSE:LEVILuxury

Levi Strauss (LEVI) Stock Trades At A Discount To Cash Flow But Not Earnings

Levi Strauss stock has climbed strongly over the past three years, yet its current share price still screens as cheap relative to an intrinsic value estimate based on a Discounted Cash Flow (DCF) model and to market multiples. This raises the question of how much of the recent optimism is already reflected in the valuation. Levi Strauss has returned 86.6% over the past three years, which puts recent enthusiasm for the stock front and center for anyone assessing value today. Expectations...
NYSE:DAL
NYSE:DALAirlines

Delta (DAL) Flight Hit By Fireworks Near Chicago Midway With Everyone Safe

Delta Air Lines flight struck by consumer fireworks during landing at Chicago Midway. Incident caused minor paint damage to the aircraft, with no injuries to passengers or crew. Event raises operational and safety questions for NYSE:DAL and the broader commercial aviation sector. Delta Air Lines, traded as NYSE:DAL, is a major U.S. carrier that relies on consistent operational reliability and safety performance as core parts of its brand. An event in which a commercial jet encounters...
NYSE:XPEV
NYSE:XPEVAuto

Is XPeng (NYSE:XPEV) Reasonable After Its Robotics Push And Delivery Growth?

XPeng stock has been under pressure over the past few years, yet the valuation signals are split, with the Discounted Cash Flow (DCF) intrinsic value estimate pointing to the shares trading at a premium while market based multiples make the stock look cheaper. XPeng has declined 64.9% over the past 5 years, which means any valuation case now has to be weighed against a long stretch of weak returns. Progress in areas like humanoid robotics and autonomous driving can support higher long term...
NasdaqGS:LAES
NasdaqGS:LAESSemiconductor

IonQ Stock Leads Quantum Computing Picks Investors May Want To Watch

Quantum computing stocks sit at the crossroads of advanced technology and a world where inflation, higher-for-longer interest rates, and energy shocks are shaping market sentiment. While bond yields, oil prices, and central-bank signals keep short term traders busy, some investors are looking to long term technology platforms that are still in the early stages of commercial adoption. The Quantum Computing Stocks screener focuses on companies involved in quantum hardware, software, and...
NYSE:BABA
NYSE:BABAMultiline Retail

US Stock Market Today: S&P 500 Futures Slip As Rising Yields And Oil Bite

The Morning Bull - US Market Morning Update Thursday, Jul, 9 2026 US stock futures are pointing lower this morning, with E mini S&P 500 contracts down about 0.8% and Nasdaq 100 futures off roughly 1.2%, as rising global borrowing costs and higher oil prices unsettle sentiment. The US 10 year Treasury yield has climbed to 4.58%, a 4 week high, which effectively makes mortgages, car loans and corporate debt more expensive. At the same time, a fresh crude inventory draw in the US and oil supply...
NYSE:MBC
NYSE:MBCBuilding

Lowe's Stock And 2 Cabinet Names Facing Tougher US Tariff Enforcement

Tariff evasion and tougher enforcement are reshaping the playing field for cabinet makers and home improvement retailers, and not every stock is affected in the same way. As authorities crack down on illegal imports, some companies with stronger US manufacturing footprints may see relief from unfair competition, while heavy importers could face rising compliance costs and legal risks. This article walks through three US cabinet and home improvement stocks exposed to the latest tariff...
NasdaqGS:INDV
NasdaqGS:INDVPharmaceuticals

How Indivior’s Multi-Index Russell 2000 Defensive Inclusion (INDV) Has Changed Its Investment Story

On 27 June 2026, Indivior Pharmaceuticals, Inc. (NasdaqGS: INDV) was added to the Russell 2000 Growth-Defensive, Defensive, and Value-Defensive indices, reflecting its inclusion across multiple styles within the small-cap universe. This multi-index addition can increase Indivior’s visibility with institutional investors and index-tracking funds, potentially broadening and diversifying its shareholder base. We’ll now examine how Indivior’s inclusion in several Russell 2000 defensive-style...
NYSE:DFH
NYSE:DFHConsumer Durables

Dream Finders Homes (DFH) Following Its Geothermal Pilot Still Looks Cheap

Geothermal pilot adds an ESG angle to Dream Finders Homes Dandelion Energy’s new partnership with Dream Finders Homes (DFH) to install geothermal systems across 129 Maryland homes, backed by US$1.3 million in state funding, introduces an environmental angle some investors may track. See our latest analysis for Dream Finders Homes. These geothermal projects arrive after a busy spell for Dream Finders Homes, including a revised all cash proposal to acquire Beazer Homes and its recent removal...
NYSE:UNFI
NYSE:UNFIConsumer Retailing

United Natural Foods (UNFI) Joins Russell Growth Indices And Broadens Its Investor Reach

United Natural Foods (NYSE:UNFI) has been added to multiple Russell Growth indices. The company is now included in the Russell 2000 Growth, 2500 Growth, 3000 Growth, Small Cap Comp Growth, and 3000E Growth benchmarks. These index additions can influence investor awareness, trading activity, and potential institutional interest in the stock. United Natural Foods enters this index reshuffle with its share price at $47.18 and a value score of 5. The stock is up 41.2% year to date and 104.8%...
NasdaqGS:TTAN
NasdaqGS:TTANSoftware

Is ServiceTitan (TTAN) Quietly Becoming the Default Platform for PE-Backed Trades Consolidators?

In late June 2026, TrussPoint Roofing & Exterior Renovations announced it had chosen ServiceTitan’s cloud platform as the operational backbone for its expanding portfolio of residential roofing and exterior services brands. This partnership underlines ServiceTitan’s growing role as a core system for private equity backed consolidators seeking consistent operations and customer experience across multi location trade businesses. Next, we’ll examine how TrussPoint’s decision to standardize on...
NasdaqGM:JANX
NasdaqGM:JANXBiotechs

Janux Therapeutics (JANX) Is Up 13.6% After Removal From Multiple Russell Growth Indexes - What's Changed

In late June 2026, Janux Therapeutics, Inc. was removed from multiple Russell growth benchmarks, including the Russell 3000, 2000, 2500, Small Cap Composite, and 3000E Growth Indexes. This broad index removal matters because it can prompt benchmark-tracking funds to rebalance their holdings, potentially changing the company’s investor base and trading profile. With Janux’s recent share price gains, we’ll explore how its removal from several Russell growth benchmarks shapes the company’s...
NYSE:USNA
NYSE:USNAPersonal Products

3 U.S. Consumer Staples Stocks With Pricing Power Investors Should Watch

With tariffs rolled back but pricing pressures still in play, consumer staples stocks are sitting at the center of a slow moving tug of war between company costs and household budgets. This article looks at how that tension could matter for your portfolio by focusing on 3 large U.S. Consumer Staples Companies that appear well placed to handle ongoing price adjustments and inflation risks. Each stock is exposed to the same tariff related news, but may respond differently based on its brand...
NasdaqGM:DAVE
NasdaqGM:DAVEConsumer Finance

Dave (DAVE) Stock Could Be 44% Overvalued Following CTO Appointment

Dave stock has delivered an extremely strong three year return while the Excess Returns intrinsic value estimate currently points to the shares trading at a premium, and the broader valuation checks lean expensive rather than clearly cheap. Over the past three years, Dave has delivered a very large total return of roughly 7x, which naturally raises the bar for what counts as good value today. The appointment of Gopi Kuchimanchi as Chief Technology Officer may support expectations for further...
NasdaqGM:KRUS
NasdaqGM:KRUSHospitality

Kura Sushi USA (KRUS) Stock Q3 Profit Challenges Ongoing Unprofitable Narrative

Kura Sushi USA (KRUS) just reported Q3 2026 results with total revenue of US$85.9 million and basic EPS of US$0.03, alongside net income of US$0.4 million. This puts a spotlight on how its top line and earnings are tracking against expectations for a still unprofitable stock. The company has seen quarterly revenue move from US$73.5 million in Q1 2026 to US$80.0 million in Q2 2026 and now US$85.9 million in Q3 2026. Basic EPS shifted from a loss of US$0.25 in Q1 2026 and a loss of US$0.14 in...
NYSE:GXO
NYSE:GXOLogistics

GXO Logistics (GXO) Renews Castorama Partnership In France For Greener Automated Logistics

GXO Logistics (NYSE:GXO) has renewed its long-standing logistics partnership with Castorama in France. The relationship now spans roughly three decades and focuses on automation, digitization and sustainability. The renewed agreement includes efforts to cut the carbon footprint of operations and support Castorama’s omnichannel expansion. For investors tracking NYSE:GXO, the renewed Castorama contract in France adds another data point on how the company positions itself in contract logistics...
NasdaqGS:MMSI
NasdaqGS:MMSIMedical Equipment

Merit Medical Systems (MMSI) Could Be 21% Below Fair Value Following Splashwire Recall

Why Merit Medical Systems stock is in focus after the Splashwire recall Merit Medical Systems (MMSI) is drawing attention after a voluntary Class II recall of over 5,000 Splashwire Hydrophilic Guide Wire units. The development is raising questions about quality controls, customer relationships, and any knock on effects for product availability. See our latest analysis for Merit Medical Systems. Merit Medical Systems' share price has recently been under pressure, with the year to date share...
NYSE:SKT
NYSE:SKTRetail REITs

Is Tanger (SKT) Stock Above Fair Value After A 151% Run?

Tanger stock has delivered a strong 151.2% return over the past five years. At a recent price of US$39.16, the Discounted Cash Flow (DCF) intrinsic value estimate and market multiples both suggest it no longer looks obviously cheap or clearly stretched. A 151.2% five year return means early shareholders have already seen substantial gains, so fresh buyers now need to pay closer attention to what they are getting for the current price. For a real estate focused company like Tanger, investor...
NasdaqCM:PLUG
NasdaqCM:PLUGElectrical

Plug Power (PLUG) Secures 50 MW Role In Australia’s Largest Green Hydrogen Project

Plug Power (NasdaqCM:PLUG) has been selected to supply 50 MW of electrolyzer capacity for Orica’s Hunter Valley Hydrogen Hub in Australia. The project has reached final investment decision with government backing, moving into execution as Australia’s largest green hydrogen development. The hub is intended to replace natural gas with renewable hydrogen in ammonia and ammonium nitrate production, creating a new industrial-scale use case for green hydrogen. Plug Power enters this contract with...
NasdaqGS:ACHC
NasdaqGS:ACHCHealthcare

Acadia Healthcare Company (ACHC) Rejoins Smaller Russell Indexes As Fair Value Questions Return

Index reshuffles have put Acadia Healthcare Company (ACHC) in focus, as the stock moves out of several Russell 1000 and midcap benchmarks and into the Russell 2000 and its value subset. See our latest analysis for Acadia Healthcare Company. The index reshuffle comes during a sharp shift in momentum for Acadia Healthcare Company, with the share price delivering a 21.41% 1 month return and 115.12% year to date, but a 59.01% decline in 3 year total shareholder return. This highlights how recent...
NYSE:EPAC
NYSE:EPACMachinery

Enerpac Tool Group (EPAC) Stock Margins Near 15% Reinforce Steady Industrial Narrative

Enerpac Tool Group (EPAC) has just posted its Q3 2026 numbers, with revenue of US$167.6 million and net income of US$29.8 million translating to basic EPS of US$0.58, against a trailing twelve month EPS base of US$1.78 and net income of US$93.3 million on revenue of US$634.1 million. The company has seen quarterly revenue move around the mid US$140 million to US$160 million range over recent periods, with basic EPS between roughly US$0.31 and US$0.58 per quarter. Earnings over the last year...
NasdaqGS:PENG
NasdaqGS:PENGSemiconductor

Penguin Solutions (PENG) Stock Tests Bullish Narrative As Q3 Profitability Reaches 0.73 EPS

Penguin Solutions (PENG) opened its Q3 2026 update with total revenue of US$478.7 million and basic EPS of US$0.73, alongside trailing twelve month EPS of US$1.45 on revenue of about US$1.5 billion. This highlights the scale of its current earnings profile. The company has reported quarterly revenue rising from US$324.3 million in Q3 2025 to US$478.7 million in Q3 2026, while basic EPS has shifted from a small loss in Q3 2025 to US$0.73 this quarter. As a result, this reporting season is...
NYSE:EFX
NYSE:EFXProfessional Services

Equifax (EFX) Is Buying Círculo De Crédito To Grow In Mexico

Equifax (NYSE:EFX) has signed a definitive agreement to acquire Círculo de Crédito, a major credit bureau in Mexico. The deal is aimed at expanding Equifax's presence in Mexico's growing credit market. The acquisition is expected to add new data assets and create synergies across Equifax's Latin American operations. For Equifax, the Círculo de Crédito deal fits into its broader role as a global data, analytics, and technology company that supports lenders and other institutions. Mexico's...
NasdaqGS:DORM
NasdaqGS:DORMAuto Components

Dorman Stock And 2 U.S. Manufacturing Picks for a Tariff Driven Supply Chain Shift

Potential U.S. tariffs on Canadian goods and tighter rules on forced labour are putting a spotlight on where companies source and build their products. For investors, that creates both risk and opportunity, as supply chains tied to Canada could face higher costs while more U.S. domestic manufacturing becomes relatively more attractive. This article looks at how that backdrop connects to three stocks from a U.S. Domestic Manufacturing Stocks screener that appear exposed to this news. You will...