NYSE:JKS
NYSE:JKSSemiconductor

JinkoSolar (NYSE:JKS): Evaluating Valuation After a Recent 8% Share Price Rebound

JinkoSolar Holding (NYSE:JKS) has quietly climbed about 8% over the past week while still sitting roughly flat over the past year, a setup that has value focused solar investors taking another look. See our latest analysis for JinkoSolar Holding. That recent 7 day share price return of 7.98% at a last close of $26.78 looks more like a rebound than a breakout. This is especially the case when set against a 1 year total shareholder return of just 2.77% and a much weaker 3 year total shareholder...
OTCPK:BUKS
OTCPK:BUKSAerospace & Defense

December 2025 Penny Stocks Worth Watching

As the U.S. stock market navigates a complex landscape with tech stocks under pressure and indices like the Dow Jones Industrial Average experiencing fluctuations, investors are increasingly exploring diverse opportunities. Penny stocks, often associated with smaller or newer companies, remain an intriguing segment for those willing to look beyond established giants. While the term may seem outdated, these stocks can still offer surprising value and growth potential when backed by strong...
NasdaqGS:CFFN
NasdaqGS:CFFNBanks

Undiscovered US Gems to Explore This December 2025

As the Dow Jones Industrial Average continues to reach new heights, despite recent pullbacks in the tech sector, investors are keenly observing shifts in market dynamics influenced by AI bubble concerns and economic policy uncertainties. With small-cap stocks often flying under the radar amidst such volatility, identifying promising opportunities requires a focus on companies with strong fundamentals and potential for growth within their niche markets.
NYSE:DECK
NYSE:DECKLuxury

Is Deckers Outdoor Now an Opportunity After a 50% Slide and Modest Valuation Discount?

If you are wondering whether Deckers Outdoor is a beaten down bargain or a value trap, you are in the right place. We are going to unpack what the current price is really implying. The stock has bounced about 5.3% over the last week and 22.5% over the past month, but that is still against a bruising year to date slide of roughly 50.4% and a 50.2% drop over the last 12 months, on the back of what had been strong 3 and 5 year gains of 61.1% and 102.1% respectively. Recent headlines have...
NYSE:SAM
NYSE:SAMBeverage

Boston Beer (SAM) Valuation Check After Twisted Tea “Twistmas Stocking” Holiday Launch

Boston Beer Company (SAM) is leaning into the holidays with a limited edition Twisted Tea Twistmas Stocking, a nine pack dispenser designed to support seasonal sales and refresh sentiment around the stock. See our latest analysis for Boston Beer Company. The holiday themed Twisted Tea launch lands at a tricky time for investors, with the share price down sharply on a year to date basis and the 1 year total shareholder return also deeply negative. This suggests sentiment is still rebuilding...
NasdaqGS:STNE
NasdaqGS:STNEDiversified Financial

StoneCo (NasdaqGS:STNE) Valuation Check After Strong Fintech Growth and Divestment of Non-Core Operations

StoneCo (NasdaqGS:STNE) just reached a proposed settlement in its long running U.S. securities class action, a legal overhang that has loomed even as the Brazilian fintech story gained real traction. See our latest analysis for StoneCo. The proposed settlement lands after a powerful run, with the year to date share price return near 88% but more recent 30 day and 90 day share price returns turning negative, suggesting momentum is pausing as the market reassesses risk and growth. If this legal...
NasdaqGS:ADBE
NasdaqGS:ADBESoftware

Adobe (ADBE) Margin Expansion to 30% Reinforces Bullish Profitability Narratives

Adobe (ADBE) just closed out FY 2025 with Q4 revenue of $6.2 billion and basic EPS of $4.45, capping a year in which trailing twelve month revenue reached $23.8 billion and EPS came in at $16.74 alongside 28.3% earnings growth and a 30% net margin. Over the past few quarters, the company has seen revenue move from $5.6 billion in Q4 2024 to $6.2 billion in Q4 2025, while quarterly EPS stepped up from $3.82 to $4.45, setting the stage for investors to weigh solid profitability against more...
NYSE:BMI
NYSE:BMIElectronic

Has Badger Meter’s 20% Share Price Slide Opened a Long Term Opportunity for 2025?

If you have been wondering whether Badger Meter is still worth the price tag at around $182 per share, you are not alone. This article is designed to unpack that question clearly. The stock is down about 20.3% over the past year and 13.8% year to date, even though it is still up 65.2% over three years and 112.2% over five years. This combination often signals shifting expectations rather than a broken business. Recent attention on smart water infrastructure, sustainability initiatives, and...
NYSE:DCI
NYSE:DCIMachinery

Evaluating Donaldson (DCI) After Record Earnings, Guidance Upgrade and Strong Analyst Sentiment

Donaldson Company (DCI) just delivered another upside surprise, pairing record quarterly sales and earnings with a guidance bump that signals management sees this momentum carrying into 2026, not just flashing temporarily. See our latest analysis for Donaldson Company. The latest beat and guidance hike build on a strong run, with a roughly 38% year to date share price return and five year total shareholder return of about 77% pointing to steadily building momentum as investors re-rate its...
NasdaqGS:PRGS
NasdaqGS:PRGSSoftware

Is Progress Software’s Share Price Slide Now Signalling a Long Term Value Opportunity

Wondering if Progress Software is quietly becoming a value opportunity, or a trap that just looks cheap on the surface? This breakdown is designed to give you a clear, no nonsense view of what you are really buying at today’s price. The stock has bounced about 4.1% over the last week and 4.7% over the last month, but it is still down roughly 30.3% year to date and 35.2% over the past year. That tells us sentiment has been weak even as short term buyers start to nibble again. Those moves sit...
NasdaqGS:BBIO
NasdaqGS:BBIOBiotechs

BridgeBio Pharma (BBIO): Assessing Valuation After Strong Attruby Quarter and Upbeat Analyst Outlook

BridgeBio Pharma (BBIO) just delivered a quarter where revenue topped expectations, thanks largely to strong U.S. demand for its heart drug Attruby, even as the company remained in the red. See our latest analysis for BridgeBio Pharma. Those upbeat Attruby numbers and the recent insider share sale have landed as the stock keeps grinding higher, with a roughly 11 percent 1 month share price return feeding into a powerful 1 year total shareholder return above 160 percent. This is a sign that...
NYSE:AVNT
NYSE:AVNTChemicals

Evaluating Avient (AVNT) After Cost Cuts and the Dyneema Deal: What’s Priced Into the Stock?

Avient (AVNT) just doubled down on its long term playbook by cutting costs, raising prices where it can, and closing the DSM protective materials deal that brings the Dyneema brand into its portfolio. See our latest analysis for Avient. The market reaction has been cautious so far, with the share price at $31.51 and a 1 month share price return of 5.7 percent. However, a year to date share price return of negative 21.7 percent and a 1 year total shareholder return of negative 32.4 percent...
NasdaqGS:CG
NasdaqGS:CGCapital Markets

Has Carlyle’s 2025 Share Price Rally Already Baked In Its Growth Story?

Many investors are asking whether Carlyle Group at around $60 is still a smart buy or if most of the upside is already reflected in the price, and that is exactly what we are going to unpack here. The stock has climbed 6.9% over the last week, 11.7% over the past month, and is now up 18.6% year to date, adding to an increase of 123.1% over three years and 126.2% over five years. Recent headlines have focused on Carlyle sharpening its emphasis on core private equity, credit, and...
NYSE:CHWY
NYSE:CHWYSpecialty Retail

Chewy (CHWY) Q3 2026: Margin Compression Tests High-Growth Valuation Narrative

Chewy (CHWY) just posted its Q3 2026 numbers, with revenue of about $3.1 billion and net income of $59.2 million translating into basic EPS of roughly $0.14 as investors parse how the pet retailer is holding up in a tougher consumer backdrop. The company has seen quarterly revenue move from $2.88 billion in Q3 2025 to around $3.1 billion across 2026 so far, while basic EPS shifted from $0.01 a year ago to roughly the mid-$0.14 range in each quarter, setting up this print as a test of how...
NYSE:WT
NYSE:WTCapital Markets

WisdomTree’s Tokenized Income Fund And Record AUM Could Be A Game Changer For WisdomTree (WT)

In early December 2025, WisdomTree, Inc. launched the WisdomTree Equity Premium Income Digital Fund, a tokenized product tracking the Volos U.S. Large Cap Target 2.5% PutWrite Index and available via its WisdomTree Prime and WisdomTree Connect platforms. This launch comes as WisdomTree reports record assets under management of US$139.00 billion and strong net inflows, underscoring its push to blend income-focused equity strategies with blockchain-based fund structures. We’ll now examine how...
NasdaqGS:TEAM
NasdaqGS:TEAMSoftware

Is Atlassian Offering an Opportunity After a 41.5% Share Price Slide?

If you are wondering whether Atlassian is a bargain or a value trap at today’s price, you are not alone. This breakdown is designed to help you decide with greater confidence. The stock has bounced about 4.3% over the last week and 3.6% in the past month, but it is still down roughly 32.6% year to date and 41.5% over the last year. That combination often signals either deep value or lingering risk. Those moves have come as investors weigh Atlassian’s ongoing push to scale its cloud platform...
NasdaqGS:PATK
NasdaqGS:PATKAuto Components

Is Patrick Industries (PATK) Quietly Turning Outsourcing Trends Into a More Durable Competitive Edge?

Patrick Industries recently appeared in Mairs & Power Small Cap Fund’s third-quarter 2025 investor letter as a new holding, and earlier this month presented at the Raymond James TMT & Consumer Conference in New York, underscoring its profile across recreational vehicle, marine, manufactured housing, and residential construction markets. The fund’s decision to initiate a position after tariff and inventory concerns had pressured the stock highlights how some institutional investors view...