NasdaqGS:ROST
NasdaqGS:ROSTSpecialty Retail

Ross Stores (ROST) Q3 2026: Margin Slippage Tests Bullish Profitability Narrative

Ross Stores (ROST) has just posted Q3 2026 results with revenue of about $5.6 billion, basic EPS of $1.59 and net income of roughly $512 million, setting the stage for another closely watched update from the off price chain. The company has seen quarterly revenue move from around $5.1 billion in Q3 2025 to $5.6 billion in Q3 2026, while basic EPS stepped up from $1.49 to $1.59 over the same period, giving investors a clearer view of how sales scale is feeding into per share profitability...
NYSEAM:UEC
NYSEAM:UECOil and Gas

Uranium Energy (UEC) Losses Deepen, Testing Bullish Growth Narrative Ahead of Q1 2026 Results

Uranium Energy (UEC) opened Q1 2026 with trailing twelve month revenue of about $66.8 million and a basic EPS of roughly -$0.21, underscoring that the company is still firmly in loss-making territory. Over the past few reported quarters, revenue has swung from $0 to $49.8 million while quarterly EPS has ranged from about -$0.02 to -$0.07, painting a picture of a business that can generate sales but has yet to convert that into consistent profitability or stable margins. See our full analysis...
NasdaqGM:LAKE
NasdaqGM:LAKELuxury

Lakeland Industries (LAKE) Q3: Return to EPS Profit Tests Ongoing Loss-Making Narrative

Lakeland Industries (LAKE) has just posted its latest quarterly scorecard, with Q2 2026 revenue of about $52.5 million and EPS of roughly $0.08 as net income came in at $0.8 million. The company has seen revenue move from around $36.3 million in Q1 2025 to $52.5 million in Q2 2026, while EPS has swung between positive and negative over that stretch, underscoring how choppy profitability has been even as the top line has scaled higher. This leaves investors focused squarely on the staying...
NYSE:SXI
NYSE:SXIMachinery

Evaluating Standex International (SXI) After Analyst Upgrade and Earnings Beat

Analyst Upgrade and Earnings Beat Put Standex International (SXI) in Focus Standex International (SXI) just caught investors attention after a key rating upgrade from hold to buy, following earnings that topped expectations and solid year over year revenue growth. See our latest analysis for Standex International. That upbeat earnings surprise and the fresh upgrade seem to be reinforcing an already strong trend, with a roughly 30 percent year to date share price return and a powerful three...
NYSE:TRGP
NYSE:TRGPOil and Gas

Does Stronger Q3 Commodity Sales And Fees Change The Bull Case For Targa Resources (TRGP)?

In early November, Targa Resources reported past Q3 results showing growth in commodity sales and higher midstream service fees, even though earnings did not fully align with analyst expectations. This combination of revenue drivers, alongside analysts maintaining a Strong Buy consensus and projecting higher long-term earnings, has sharpened attention on Targa’s midstream fee resilience and growth potential. We’ll now examine how this stronger Q3 performance in commodity sales and midstream...
NYSE:CLH
NYSE:CLHCommercial Services

Should $110 Million PFAS Filtration Expansion at Pearl Harbor Shift Clean Harbors' (CLH) Investment Narrative?

In December 2025, Clean Harbors, Inc. announced that it had secured US$110 million in contracts over three years to expand its PFAS water filtration work at Joint Base Pearl Harbor-Hickam, where it will now filter about 4.2 million gallons of water per day using regenerative carbon filtration and resin units. This contract win highlights Clean Harbors’ role as a key PFAS mitigation partner to the U.S. military and logistics supplier V2X, reinforcing its position in specialized environmental...
NYSE:EXR
NYSE:EXRSpecialized REITs

Did EXR’s New US$600 Million Storage Platform Just Reframe Extra Space Storage’s Investment Narrative?

In recent months, Extra Space Storage reported stronger-than-expected core FFO but softer revenue and lower net income, while also revising its 2025 outlook with narrower guidance for same-store revenue and NOI growth. At the same time, the company joined forces with Blue Vista Capital Management and UBS's Unified Global Alternatives to launch a US$600 million self-storage investment platform, aligning with early signs that sector rents and occupancy are beginning to firm up. We’ll now...
NYSE:RRX
NYSE:RRXElectrical

Is Regal Rexnord's (RRX) Robotics Pivot Recasting Its Core Automation Investment Story?

In 2024, Regal Rexnord completed its transformation into a higher-margin automation and powertrain platform, building on the acquisition of Altra Industrial Motion and restructuring efforts to serve industrial, HVAC, aerospace, and automation markets. An interesting aspect of this shift is the company’s push into humanoid robotics and advanced air mobility, underpinned by partnerships with Honeywell and ABB Robotics that could broaden its role in next‑generation automation ecosystems. Now...
NYSE:AAP
NYSE:AAPSpecialty Retail

Does Advance Auto Parts’ (AAP) Supply Chain Overhaul Mark a Deeper Shift in Its Turnaround Strategy?

Advance Auto Parts recently appointed Ronald Gilbert as senior vice president of supply chain and engaged Gordon Brothers to dispose of 83 non-core sites across 38 states, while continuing a multi-year store optimization and restructuring program aimed at improving supply chain productivity. This combination of leadership change and asset rationalization highlights how central supply chain efficiency and footprint reshaping have become to Advance Auto Parts’ turnaround and operational...
NYSE:TWO
NYSE:TWOMortgage REITs

Two Harbors Investment (TWO): Reassessing Valuation After a Recent 5% Share Price Rebound

Two Harbors Investment (TWO) has quietly climbed about 5% over the past month even as its year to date return remains negative, a setup that naturally raises questions about what the market is repricing. See our latest analysis for Two Harbors Investment. The recent 5.1% 1 month share price return looks more like a tentative rebound than a trend shift, given the roughly 15% negative year to date share price return and still weak multi year total shareholder returns. Investors seem to be...
NasdaqGS:NFE
NasdaqGS:NFEOil and Gas

Is Puerto Rico’s 7‑Year LNG Deal Reshaping The Investment Case For New Fortress Energy (NFE)?

In early December 2025, New Fortress Energy Inc. received final approval for a seven-year Gas Supply Agreement with Puerto Rico, securing delivery of approximately 75 TBtu of natural gas under an estimated US$3.20 billion contract to support the island’s cleaner power generation and grid stability. This long-term deal arrives as the company works through financial distress and restructuring talks, making the contracted cash-flow visibility especially important for its ongoing...
NYSE:GME
NYSE:GMESpecialty Retail

GameStop (GME) Net Margin Breakout Tests Bullish Profitability Narratives Heading Into Q3 2026

GameStop (GME) opened Q3 2026 with momentum behind it, coming off Q2 revenue of $972 million and basic EPS of $0.38 alongside net income of $168.6 million, with trailing twelve month EPS reaching $0.81 on revenue of about $3.8 billion and net income of $362.2 million. The company has seen quarterly revenue move from $798 million in Q2 2025 to $972 million in Q2 2026, while basic EPS climbed from $0.04 to $0.38 over the same stretch, setting the stage for investors to focus on how these...
NYSE:REVG
NYSE:REVGMachinery

REV Group (REVG) Margin Compression Reinforces Bearish Narrative Despite Solid EPS Growth

REV Group (REVG) just posted its FY 2025 third quarter numbers, with revenue at $644.9 million and basic EPS of about $0.60, alongside trailing twelve month revenue of roughly $2.4 billion and EPS of about $2.14. The company has seen quarterly revenue move from $579.4 million in FY 2024 Q3 to $644.9 million in FY 2025 Q3, while basic EPS has shifted from roughly $0.35 to $0.60 over the same stretch. This sets up a results season where investors are watching how much of that topline is...
NYSE:CMP
NYSE:CMPMetals and Mining

Compass Minerals (CMP) Q4 Loss Narrows Sharply, Testing Persistent Bearish Profitability Narrative

Compass Minerals International (CMP) closed out FY 2025 with fourth quarter revenue of $227.5 million and a basic EPS loss of $0.17, setting the tone for another year where top line scale contrasts with bottom line pressure. The company has seen quarterly revenue move from $202.9 million in Q3 2024 to $227.5 million in Q4 2025, while basic EPS has hovered in negative territory, from a $1.05 loss in Q3 2024 to a $0.17 loss most recently. This leaves investors focused on whether improving...
NasdaqGS:CBRL
NasdaqGS:CBRLHospitality

Cracker Barrel (CBRL) Margins Stuck Near 1.3%, Testing Bullish Earnings-Growth Narrative

Cracker Barrel Old Country Store (CBRL) has kicked off Q1 2026 with a backdrop of Q4 2025 revenue of about $868 million and EPS of $0.30, alongside trailing twelve month EPS of $2.08 on roughly $3.5 billion in revenue. The company has seen quarterly revenue move between about $845 million and $949 million through fiscal 2025, with EPS ranging from $0.22 to $1.00, while trailing figures show a modest uptick in net margin to 1.3% from 1.2%. Against that setup, investors will be watching how...
NasdaqGS:AVAV
NasdaqGS:AVAVAerospace & Defense

AeroVironment (AVAV) Revenue Spike to $454.7M Clashes With Deepening EPS Loss Narrative

AeroVironment (AVAV) just posted its latest results with Q1 2026 revenue of about $454.7 million and a basic EPS loss of roughly $1.44, while trailing twelve month figures show revenue of around $1.1 billion and basic EPS of about negative $1.37. Over the past few reported periods, revenue has moved from $196.9 million in Q4 2024 to $189.5 million, $188.5 million, $167.6 million, $275.1 million, and now $454.7 million. Over the same stretch, EPS has shifted from a $0.22 profit to $0.76,...
NasdaqGS:DAKT
NasdaqGS:DAKTElectronic

Daktronics (DAKT) EPS Rebound Tests Bullish Profit-Margin Narrative After Volatile Year

Daktronics (DAKT) just posted its Q2 2026 scorecard with revenue of about $219 million and basic EPS of $0.34, setting a clear marker after a volatile run of recent quarters. The company has seen revenue move from $215.9 million in Q4 2024 to a range between roughly $149.5 million and $226.1 million through 2025, while quarterly EPS has swung between a loss of $0.36 and a profit of $0.46. This leaves investors focused on how durable the latest profitability really is as margins edge forward...
NYSE:JILL
NYSE:JILLSpecialty Retail

J.Jill (JILL) Margin Compression Reinforces Cautious View Despite Deep P/E Valuation Discount

J.Jill (JILL) has just posted another steady quarter, with Q2 2026 revenue of about $154 million and basic EPS of $0.69 off net income of roughly $10.5 million, giving investors a clear snapshot of how the apparel retailer is navigating a softer same store sales backdrop. The company has seen quarterly revenue move in a relatively tight band between about $142 million and $162 million over the past six reported periods, while EPS has ranged from $0.15 to $1.17. This underscores a business...
NYSE:DCI
NYSE:DCIMachinery

Is It Too Late To Consider Donaldson After Its Strong 2025 Share Price Run?

If you are wondering whether Donaldson Company at around $92 is still worth considering after its strong run, or if the easy money has already been made, you are not alone and that is exactly what we are going to unpack. The stock is up 5.2% over the last week, 4.9% over the past month, and 36.9% year to date, building on multi year gains of 28.8% over 1 year, 61.3% over 3 years, and 75.6% over 5 years. Recent moves have been supported by steady demand for its filtration solutions across...
NasdaqGS:PLAY
NasdaqGS:PLAYHospitality

Dave & Buster’s (PLAY) Margin Squeeze Tests Bullish High-Growth Narrative After Q2 2026 Results

Dave & Buster's Entertainment (PLAY) has just posted another quarter of solid headline numbers, with Q2 2026 revenue of $557.4 million and basic EPS of $0.33, alongside net income of $11.4 million. The company has seen revenue move from $453 million in Q3 2025 to $534.5 million in Q4 2025, then to $567.7 million in Q1 2026 and $557.4 million in Q2 2026, while EPS swung from a loss of $0.84 in Q3 2025 to positive readings of $0.25, $0.63, and $0.33 over the subsequent quarters. With analysts...
NasdaqGS:BL
NasdaqGS:BLSoftware

BlackLine (BL): Assessing Valuation After New Saudi Arabia Cloud Region Expansion

BlackLine (BL) just switched on a new locally hosted cloud region in Saudi Arabia, a calculated move that taps into the Kingdom’s modernization push while satisfying tight data residency and cybersecurity rules. See our latest analysis for BlackLine. That Saudi expansion comes as BlackLine’s 1 month share price return of 7.18% and 3 month gain of 5.97% hint at improving sentiment, even though its 1 year total shareholder return of negative 9.74% shows the longer term picture is still one of...
NYSE:MAC
NYSE:MACRetail REITs

What Macerich (MAC)'s Record Leasing And US$1.2 Billion Mall Sales Mean For Shareholders

On December 8, 2025, The Macerich Company reported at the Nareit REITWorld conference in Dallas that it had achieved record leasing activity of 3.2 million square feet by the third quarter and completed US$1.20 billion in mall asset sales, alongside opening more than 300 new stores including luxury and international brands. This combination of robust leasing performance and sizable asset sales highlights how Macerich is both filling space with higher-quality tenants and actively reshaping...
NYSE:WT
NYSE:WTCapital Markets

Is WisdomTree’s 2025 Valuation Justified After Strong Multi Year Share Price Gains?

If you are wondering whether WisdomTree is still a smart buy at around $11.69, you are not alone. This stock sits at the crossroads of growth, income, and structural change in asset management. After a 4.7% gain over the last week and a strong 15.6% return year to date, the stock has cooled slightly in the last month with a -0.3% move, while still sitting on hefty 3 year and 5 year gains of 125.2% and 162.2% respectively. Those moves have come as WisdomTree has leaned further into thematic...
NasdaqGM:SITM
NasdaqGM:SITMSemiconductor

SiTime (SITM) Endura Super-TCXO Launch: Taking Stock of the Valuation After a Material PNT Upgrade

The launch of SiTime (SITM) Endura Super TCXO is a meaningful step into high stakes position, navigation, and timing markets, putting ultra stable, spoof resistant timing at the center of the stock story. See our latest analysis for SiTime. Investors seem to be warming to that story, with the share price up 14.0 percent over the past month and a powerful 63.9 percent year to date share price return at 366.49 dollars, building on a 40.4 percent one year total shareholder return. If SiTime has...