U.S. Healthcare Services Stock News

NasdaqGS:OZK
NasdaqGS:OZKBanks

Is Softer Q2 Profitability Altering The Investment Case For Bank OZK (OZK)?

Bank OZK has reported past results for the second quarter and first half of 2026, with Q2 net interest income at US$392.15 million versus US$396.75 million a year earlier and net income at US$167.37 million compared with US$182.98 million. Despite slightly higher six-month net interest income of US$777.71 million, lower net income and earnings per share highlight pressure on profitability relative to the prior year. Next, we will examine how the softer year-on-year earnings and...
NasdaqGS:CSIQ
NasdaqGS:CSIQSemiconductor

The Bull Case For Canadian Solar (CSIQ) Could Change Following New US Heterojunction PV Cell Plant Opening

CS PowerTech Inc., a subsidiary of Canadian Solar, recently opened the first phase of its flagship PV cell manufacturing facility in Jeffersonville, Indiana, which at full capacity is expected to produce over 6 GWp annually, support more than 1,200 skilled jobs, and represent nearly US$1 billion of local investment. This facility, the first in the U.S. designed for heterojunction bifacial N-type solar cells and paired with Canadian Solar’s Mesquite, Texas module plant, creates a more...
NasdaqGS:ALKT
NasdaqGS:ALKTSoftware

Alkami (ALKT) Stock Faces A Clear Profitability Gap Despite ARR Growth

Alkami Technology stock is barely blinking after earnings, trading around US$17.68 and off only 0.7% on the day. The price action looks calm for a company that just put a very clear issue on the table. Revenue is growing and annual recurring revenue stands at US$512m, yet the business is still producing quarterly net losses and relies on adjusted EBITDA to show operating progress. The emotional tug of strong software growth is clashing with the financial reality that Alkami remains in...
NYSE:XHR
NYSE:XHRHotel and Resort REITs

Should Xenia’s Q2 Loss and 2026 Guidance Cut Prompt Rethinking of Xenia Hotels & Resorts’ (XHR) Outlook?

Xenia Hotels & Resorts, Inc. recently reported second-quarter 2026 results showing higher revenue of US$166.67 million but a swing to a US$19.34 million net loss, and it cut full-year guidance to a range spanning a US$6 million net loss to US$6 million net income, citing macroeconomic uncertainty. The company’s updated outlook, which now allows for a full-year loss despite year-on-year revenue growth, highlights pressure on profitability and the limits of management’s forecasting...
NYSE:KMX
NYSE:KMXSpecialty Retail

CarMax Stock And 2 Auto Retailers Riding The Used EV Price Surge

Used car dealers are suddenly at the center of the electric vehicle story. In 2026, used EV prices are rising even as new EV sales are down 28% and used EV sales are up 20%. High gasoline prices linked to the Iran war and the end of federal tax credits are pushing more buyers toward pre owned electric models, especially at the lower end of the market. That shift affects margins, inventory risk, and pricing power for auto retail stocks. This article looks at three stocks exposed to these...
NasdaqGS:CLMT
NasdaqGS:CLMTOil and Gas

Calumet (CLMT) Rallies On Higher Earnings Views As Fair Value Questions Grow

Calumet (CLMT) has caught investor attention after a strong run relative to the wider Oils Energy sector, supported by higher full year earnings estimates and renewed interest in its specialty products and renewable fuels business. See our latest analysis for Calumet. The recent move in Calumet’s share price to $43.75, along with a 30 day share price return of 20.09% and year to date share price return of 123.79%, sits alongside a very large 5 year total shareholder return of about 7x. This...
NasdaqGS:CWCO
NasdaqGS:CWCOWater Utilities

Abbott Stock And 2 Dividend Compounders Built For Sticky Inflation

Stubborn inflation, louder Fed talk about interest rate hikes and higher energy costs linked to new geopolitical risks are pushing investors to rethink how they use dividend stocks. Reliable dividend payers with solid balance sheets can sometimes help offset inflation pressure, although they are not a cure all. This article looks at 3 stocks from an Inflation-Resistant Dividend Stocks screener that appear closely tied to the latest policy and inflation headlines. You will see how each stock...
NYSE:KLAR
NYSE:KLARDiversified Financial

Klarna Group (KLAR) Is Up 8.1% After Powering Apple’s New U.S. Hardware Leasing Program

Klarna AB recently became the leasing provider behind Apple’s new Upgrade program in the United States, offering 12–36 month leasing options on eligible iPhone, Mac, iPad and Apple Watch devices with seamless application and management through Apple’s channels and the Klarna app. This partnership gives Klarna deeper access to Apple’s extensive U.S. customer base and embeds its financing solutions directly into one of the most widely used hardware ecosystems. We’ll now examine how Klarna’s...
NYSE:HUBS
NYSE:HUBSSoftware

Is HubSpot (HUBS) Stock Fully Priced After Its AI Push?

HubSpot stock has rebounded sharply in the short term, yet the longer term share price record and a low value score suggest the current valuation may still be demanding for new investors. Over the past 5 years, HubSpot shareholders have seen the share price decline 64.7%, which raises questions about how much of the business opportunity is already reflected in today’s price. The recent launch of Agent Hub and Agent Builder can support confidence in HubSpot’s role in AI powered customer...
NasdaqGM:OLLI
NasdaqGM:OLLIMultiline Retail

Ollie's (OLLI) Stock Looks Reasonable On Cash Flow While Earnings Look Stretched

Ollie's Bargain Outlet Holdings has had a difficult run for shareholders over the past year, yet the valuation picture is mixed, with the Discounted Cash Flow (DCF) intrinsic value estimate suggesting the stock trades below that level while market based multiples point the other way. The share price is down 46.8% over the past year, which raises the question of whether the current level already reflects weaker expectations. Future cash flow growth from the discount retail format can support...
NasdaqGS:HBAN
NasdaqGS:HBANBanks

The Bull Case For Huntington Bancshares (HBAN) Could Change Following Mixed Earnings And Credit Trends - Learn Why

Huntington Bancshares’ latest quarterly report showed higher net interest income of US$2,052 million and net income of US$727 million, alongside increased net charge-offs of US$119 million and an unchanged US$0.155 common dividend, with preferred dividends declared across multiple series. These results highlight a contrast between stronger core earnings and rising credit costs, as the bank continues to return capital via dividends and a completed US$50 million share repurchase. We’ll now...
NYSE:NVST
NYSE:NVSTMedical Equipment

Envista Holdings (NVST) Could Be 6% Undervalued On Q2 Earnings Focus

What triggered the latest move in Envista Holdings stock Envista Holdings (NVST) shares moved 5.2% higher after investors focused on the company’s upcoming Q2 2026 results, due on August 5, and on expectations for revenue and earnings performance. See our latest analysis for Envista Holdings. That 5.2% single day move comes on top of a stronger recent trend for Envista Holdings, with a 7 day share price return of 6.15% and a year to date share price return of 28.08%. The 1 year total...
NasdaqGS:AMGN
NasdaqGS:AMGNBiotechs

Amgen Stock Leads 3 Cardiovascular Pharma Picks After Novo Nordisk Trial Miss

A failed late stage heart drug trial at Novo Nordisk, with shares in Copenhagen down 8.6% and U.S. ADRs down 9.8% in premarket trading, has pushed cardiovascular pipelines into the spotlight. When a high profile project like ziltivekimab does not deliver a meaningful reduction in major cardiovascular events, attention often shifts to other companies exposed to the same news. This article walks through 3 stocks from our Cardiovascular Pharma Stocks With Upside From Novo Nordisk Setback...
NasdaqCM:RIOT
NasdaqCM:RIOTSoftware

Does Zacks’ Strong Sell on Riot (RIOT) Hint at Deeper Cracks in Its Earnings Story?

Riot Platforms, Inc. recently saw analyst sentiment sour as Zacks assigned it a Rank #5 (Strong Sell) following earnings estimate cuts, ahead of the company’s now-upcoming 5 August 2026 earnings report. This shift contrasts with previously favorable brokerage recommendations and highlights a widening gap between earnings-based signals and traditional analyst ratings for the Bitcoin miner and data center operator. Next, we’ll examine how this recent Strong Sell rating and earnings uncertainty...
NYSE:TOST
NYSE:TOSTDiversified Financial

Toast (TOST) Stock Looks Fair On Fair Value But Rich On Earnings

Toast stock has delivered a 58.9% gain over the past three years, yet on current checks it screens as expensive, with an Excess Returns intrinsic value estimate that sits close to the market price while traditional earnings multiples lean toward an overvaluation signal. Recent shorter term share price weakness and a low overall value score add to the question of whether the current price leaves much room for error. Toast has returned 58.9% over three years, which suggests long term holders...
NasdaqGS:SAIA
NasdaqGS:SAIATransportation

Does Saia (SAIA) Look Expensive Given Its Fair Value Gap?

Saia stock has delivered a 45.2% gain over the past five years, yet both the intrinsic value estimate using a Discounted Cash Flow (DCF) approach and market multiples currently point to the shares trading at a premium. Over the last five years, Saia has returned 45.2%, which means long term holders have already seen a meaningful payoff from the story so far. Strong recent operating execution and record revenue may support expectations for future cash flows, while a sizeable investment plan...