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NasdaqGM:ACMR
NasdaqGM:ACMRSemiconductor

Why ACM Research (ACMR) Is Up 9.2% After 53% Shipment Growth And Reaffirmed 2026 Guidance

Over the past month, ACM Research reported a strong first quarter with shipment growth exceeding 53% year over year and confirmed its fiscal 2026 revenue guidance range, while analysts became more optimistic and institutional investors increased their positions. This combination of robust operational performance and heightened institutional interest appears to have strengthened confidence in ACM Research’s ability to execute on its growth plans. Now we’ll examine how ACM Research’s 53%...
NYSE:CLF
NYSE:CLFMetals and Mining

Cleveland Cliffs (CLF) On Q2 Earnings And CFO Promotion Looks Slightly Undervalued

Cleveland-Cliffs (CLF) has landed on investor watchlists after second quarter 2026 results showed higher sales and a smaller net loss, alongside the promotion of CFO Celso Goncalves to President and CFO. See our latest analysis for Cleveland-Cliffs. Cleveland-Cliffs' recent results and leadership changes come after a mixed share price stretch, with the stock up 13.79% on a 1 month share price basis but still down 17.50% year to date, while the 1 year total shareholder return of 16.27%...
NYSE:SMG
NYSE:SMGChemicals

Scotts Miracle-Gro’s (SMG) Margin Squeeze: Does a Steady Dividend Mask Deeper Profitability Strains?

In its recently reported results for the quarter and nine months ended June 27, 2026, Scotts Miracle-Gro posted slightly higher sales of US$1,172.1 million and US$2,986.1 million respectively, but lower net income of US$112.2 million and US$225.8 million compared with the prior-year periods, while also affirming a US$0.66 per-share cash dividend payable in September 2026. The combination of rising revenue but weaker profitability highlights cost and margin pressures that could be...
NasdaqGS:MLKN
NasdaqGS:MLKNCommercial Services

MillerKnoll (MLKN) Stock May Be Undervalued As Cash Flow Holds Up

MillerKnoll stock has delivered a 35.6% return over the past three years, yet its valuation checks and current pricing still leave room for debate about how much upside is already reflected in the share price. The 35.6% three year return suggests that patient shareholders have been rewarded. This now puts more focus on whether the current price fairly reflects the business outlook. For MillerKnoll, investor expectations around the durability of cash generation can support the current...
NYSE:WD
NYSE:WDDiversified Financial

Should Walker & Dunlop’s (WD) Brooklyn Mixed-Income Refinance Shape Investors’ View of Its Capital Access Strategy?

Walker & Dunlop recently arranged a US$137.5 million, three-year floating-rate refinancing with AllianceBernstein for 12 Halsey, a newly completed Class A mixed-use multifamily property in Brooklyn’s Bedford-Stuyvesant, serving as exclusive advisor to developers EJS Group and Hope Street Capital. The transaction, which includes 240 residential units with 30% reserved as affordable housing under New York’s Affordable New York (421-a) program plus ground-floor retail, underscores Walker &...
NasdaqGM:BCBP
NasdaqGM:BCBPBanks

BCB Bancorp (BCBP) Stock Faces Credit Stress After Steep Quarterly Loss

BCB Bancorp came into this earnings print with the stock already under pressure, down over the past week and month, and the Q2 release did little to change that mood. The shares slipped another 2% to US$9.79 as investors absorbed a sharp quarterly loss driven by heavy credit costs and a steep drop in reported revenue to US$3.9 million. The headline for you is simple: this quarter was about balance sheet strain, not income growth. Elevated loan loss provisions and the resulting hit to earnings...
NasdaqGS:DASH
NasdaqGS:DASHHospitality

DoorDash’s New FAA-Certified Drone Network Could Be A Game Changer For DoorDash (DASH)

In July 2026, DoorDash announced it had earned FAA Part 135 air carrier certification and launched DoorDash Air, an in-house drone delivery program designed to offer a more integrated, faster delivery option for local businesses and consumers. The certification places DoorDash among a small group of approved drone operators and could meaningfully influence order routing efficiency, especially for mid-range deliveries that are harder to staff with human Dashers. Next, we’ll examine how...
NYSE:HUN
NYSE:HUNChemicals

Huntsman Stock Puts Chemical Shares Under Fresh Emissions Risk

Regulators are turning up the heat on toxic emissions, and Huntsman Corporation is now in the spotlight after UK authorities raised serious concerns over benzene levels at its Teesside plant. For investors, this kind of scrutiny can reshape the risk profile of chemical and plastics stocks very quickly. Legal action, tougher permits, and reputational damage can ripple through earnings quality, capital spending, and long term business resilience. This article walks through three stocks directly...
NYSE:CRBG
NYSE:CRBGDiversified Financial

Is Corebridge Financial (CRBG) Undervalued As New Annuity Features Reshape Its Growth Story?

Corebridge Financial (CRBG) is drawing fresh attention after introducing the Protected Growth Benefit and preset allocation options to select Power Series of Index Annuities, a product update that reshapes how customers approach growth and diversification. See our latest analysis for Corebridge Financial. Corebridge Financial’s recent annuity update comes after a mixed price pattern, with a 30-day share price return of 5.21% and a 90-day share price return of 11.62%, while the 1-year total...
NYSE:L
NYSE:LInsurance

Loews (L) Stock Holds Steady As Profit Growth Meets Underwriting Pressure

Loews stock barely budged after earnings, up around 0.2% and still roughly flat over the past month. The market reaction looks muted, yet the headline number is hard to ignore. Quarterly basic earnings per share came in at about US$2.16, and trailing twelve month earnings sit near US$8.17 per share. That earnings power feeds into a P/E of 14.1x, with the stock trading slightly above a discounted cash flow estimate of US$112.36. The key consideration for investors now is how durable that...
NYSE:FRT
NYSE:FRTRetail REITs

Is Federal Realty Investment Trust (FRT) Undervalued On Higher Revenue, Guidance, And Dividend Growth?

Federal Realty Investment Trust (FRT) is in focus after reporting second quarter 2026 results with higher revenue, updating full year earnings guidance, and approving another increase to its long running common dividend. See our latest analysis for Federal Realty Investment Trust. Federal Realty Investment Trust’s recent earnings and dividend announcements come after a strong run in the stock, with a year to date share price return of 24.86% and a 1 year total shareholder return of 38.13%...
NYSE:AMBP
NYSE:AMBPPackaging

Is Ardagh Metal Packaging (AMBP) Fairly Valued Following Earnings And Dividend News?

Why Ardagh Metal Packaging stock is in focus after earnings and dividend news Ardagh Metal Packaging (AMBP) drew investor attention after reporting second quarter and half year 2026 results alongside a new quarterly interim dividend. The combination of earnings data and cash return is central to the latest reaction. See our latest analysis for Ardagh Metal Packaging. The latest earnings and dividend update comes after a mixed price pattern for Ardagh Metal Packaging. The stock shows a 20.91%...
NasdaqGS:VSNT
NasdaqGS:VSNTMedia

Has Versant Media Group (VSNT) Fallen Far Enough To Be A Bargain?

Versant Media Group stock has fallen about 21.1% year to date, yet both its Discounted Cash Flow (DCF) intrinsic value estimate and market multiples currently suggest the shares trade at a discount to underlying fundamentals. With the share price down 21.1% year to date, the market has turned cautious on Versant Media Group even as valuation work points to upside potential. The completed acquisition of sports technology company Full Swing may support revenue and cash flow growth, while the...
NYSE:NVR
NYSE:NVRConsumer Durables

Earnings Drop And Heavy Buybacks Might Change The Case For Investing In NVR (NVR)

NVR, Inc. recently reported past second-quarter and six-month 2026 results, with net income of US$236.46 million and US$434.82 million respectively, alongside lower basic and diluted earnings per share versus the prior year. At the same time, NVR completed a previously announced buyback by repurchasing 67,331 shares for US$442.25 million, which can meaningfully affect per-share metrics and capital allocation perceptions. We will now examine how the earnings decline, despite substantial...
NYSE:MTD
NYSE:MTDLife Sciences

Mettler Toledo International (MTD) Could Be 4% Overvalued As Strong Earnings Reignite Interest

Earnings update and why Mettler-Toledo International stock is back in focus Mettler-Toledo International (MTD) drew fresh attention after reporting second quarter 2026 results, with sales of US$1,027.31 million and net income of US$232.9 million, both above the prior year period. For the first half of 2026, the company reported sales of US$1,974.44 million and net income of US$402.35 million. Earnings per share from continuing operations also came in higher than the same periods in 2025 on...
NYSE:TSN
NYSE:TSNFood

Tyson Foods (TSN) Stock Jumps As Margin Recovery Gains Credibility

Tyson Foods stock is up about 3% the day after earnings, a sharp move for a mature food producer that has left some investors wondering what changed. The headline is margin repair finally showing through the income statement. Adjusted operating income reached US$547m on a 3.9% margin, backed by strong Chicken and Prepared Foods results, even as Beef remains under pressure. Short term traders may focus on the price pop and a mixed recent return profile. Long term holders are more likely...
NYSE:KO
NYSE:KOBeverage

Coca Cola Stock Leads 3 Low Volatility Picks For Uncertain Fed Signals

With Fed Chair Kevin Warsh weighing fewer interest rate meetings and dialling back policy guidance, the market’s usual playbook for reading the Fed is under pressure. Less frequent signals can mean sharper price swings when decisions arrive, which often pushes investors to look harder at stocks with steadier trading histories and cleaner balance sheets. This article focuses on three low volatility stocks that appear closely tied to this shift in communication. Each one sits in our screener...
NasdaqGS:PLTR
NasdaqGS:PLTRSoftware

3 Cash Flow Stocks Trading Below Fair Value Right Now

With government bond markets, oil prices and manufacturing data all pulling in different directions across major regions, many investors are looking for simple ways to focus on what really matters: cash. The Undervalued Stocks Based On Cash Flows screener targets companies where projected cash generation is strong yet the share price sits below SWS DCF fair value estimates. That combination can appeal if you want potential value without betting on any single sector. This article highlights...
NYSE:COR
NYSE:CORHealthcare

Gilead Stock And Two Defensive Picks For Uncertain Markets

Global markets are wrestling with shifting inflation signals, changing central bank policies, tighter emissions rules and uneasy trade relations. That mix can unsettle many stocks, yet it often draws attention to large cap defensive stocks that focus on steady balance sheets, reliable dividends and lower volatility. This article looks at how the latest news backdrop connects with our Global Large Cap Defensive Stocks screener and why some investors are watching this space more closely. Read...
NYSE:BRO
NYSE:BROInsurance

Is Brown & Brown (BRO) A Bargain As Strong Q2 Results Reopen The Valuation Debate?

Brown & Brown (BRO) is back in focus after reporting second quarter 2026 results that show higher revenue and net income compared with a year earlier, drawing fresh attention to the stock’s recent performance. See our latest analysis for Brown & Brown. Brown & Brown’s recent earnings, active buybacks and affirmed dividend have come alongside a 26.91% 90-day share price return but a 21% decline in 1-year total shareholder return. This indicates that recent momentum is rebuilding from a weaker...
NYSE:WSM
NYSE:WSMSpecialty Retail

Does Another Earnings Beat Reshape the Bull Case for Williams-Sonoma’s Digital-First Strategy (WSM)?

In recent quarters, Williams-Sonoma has repeatedly reported earnings above analyst expectations, most recently posting earnings of US$1.93 per share versus a US$1.80 estimate, reflecting a consistent pattern of outperformance prior to today. This track record, alongside a positive Earnings ESP of 3.38% and a favorable analyst ranking, has reinforced investor confidence in the company’s upcoming earnings report. With Williams-Sonoma again outperforming earnings expectations, we’ll now examine...
NYSE:CRCL
NYSE:CRCLSoftware

Circle Internet Group (CRCL) Deepens New York Oversight Is Regulatory Prestige Now Core To Its Valuation?

Circle Internet Group, Inc. recently received a limited purpose trust charter from the New York Department of Financial Services for Circle Internet Trust Company LLC, doing business as Circle New York Trust, formalizing its regulatory status in one of the world’s most stringent financial jurisdictions. This charter builds on Circle’s long relationship with New York regulators since its 2015 BitLicense, reinforcing USDC’s position within a highly regulated framework as blockchain-based...
NasdaqGS:TROW
NasdaqGS:TROWCapital Markets

Is T. Rowe Price (TROW) Quietly Rewriting Its Investment Story With Private Markets And Buybacks?

T. Rowe Price Group’s recent quarter showed higher revenue and net income compared with a year earlier, alongside ongoing share repurchases that have now totaled 137.07 million shares for about US$11.34 billion since the 2003 authorization. The company is pairing this earnings momentum with an expansion into private markets and insurance-linked solutions, including a new Goldman Sachs co-branded interval fund and a proprietary index for fixed index annuities, signaling a broader move beyond...
NasdaqGS:MAR
NasdaqGS:MARHospitality

Marriott (MAR) Stock Falls As Fee Growth Meets Owner Pushback

Marriott International stock just took a sharp beat, sliding about 7% today from a previous close near US$372 to roughly US$347, even after posting headline results that looked strong on the surface. Adjusted diluted earnings per share for the quarter landed at US$3.19 and adjusted EBITDA reached US$1.59b, both solid prints for a global hotel operator tied closely to travel demand. The short term story is about that drop on your screen. The longer term story is about whether investors still...