U.S. Healthcare Services Stock News

NYSE:NVRI
NYSE:NVRICommercial Services

Enviri Sustainability Ranking Adds New Angle To Risk And Value Debate

Enviri (NYSE:NVRI) ranked No. 11 on Corporate Knights' inaugural USA 25 Most Sustainable Corporations list. The ranking places Enviri among a select group of U.S. companies recognized for sustainability performance. The list focuses on companies with strong environmental practices and circular economy solutions. For you as an investor, this ranking highlights how Enviri positions its business around environmental services and circular economy offerings, rather than only on short-term...
NYSE:O
NYSE:ORetail REITs

Realty Income Dividend Streak And Legal Transition Put Valuation In Focus

Realty Income (NYSE:O) announced its 134th consecutive monthly dividend increase. The company also began a leadership transition for its long-serving Chief Legal Officer. Both the dividend change and the executive move were disclosed as material company updates. Realty Income, a large net lease real estate investment trust listed on the NYSE under the ticker O, is known for its monthly dividend policy and focus on long-term lease contracts. The latest dividend adjustment, together with an...
NasdaqGS:LOCO
NasdaqGS:LOCOHospitality

El Pollo Loco (LOCO) Earnings Growth And 5.4% Margin Test Bearish Narratives

El Pollo Loco Holdings (LOCO) has reported steady third quarter FY 2025 numbers, with revenue of US$121.5 million and EPS of US$0.25, as investors focus on how the chain is handling softer same restaurant sales. The company’s quarterly revenue has moved from US$114.3 million in Q4 2024 to US$119.2 million in Q1 2025, US$125.8 million in Q2 2025, and US$121.5 million in Q3 2025. Over the same period, EPS has tracked from roughly US$0.20 to US$0.19, US$0.24, and US$0.25, providing a clearer...
NYSE:FMC
NYSE:FMCChemicals

Is FMC (FMC) Now Attractive After A 64.6% One Year Share Price Fall

If you are looking at FMC and wondering whether the steep share price reset has left the stock undervalued, this article walks through what the numbers indicate about its current price. The shares last closed at US$14.04, with returns of 0.0% over 7 days, a 12.5% decline over 30 days, a 2.1% decline year to date, and a 64.6% decline over 1 year that follows longer term falls over 3 and 5 years. Recent market attention on FMC has focused on how the business is adjusting after this extended...
NasdaqGS:GOOGL
NasdaqGS:GOOGLInteractive Media and Services

Alphabet (GOOGL) Valuation Check After Strong Long Term Returns And Recent Share Price Softness

Recent performance snapshot Alphabet (GOOGL) traded around $302.28 at the last close, with returns over the past week, month and past 3 months moving in a relatively tight band, and a 1-year total return of 83.29%. See our latest analysis for Alphabet. Alphabet’s share price at US$302.28 has seen some recent softness, with a small 7 day share price gain set against modest 30 day and year to date share price declines. However, the 1 year and 5 year total shareholder returns remain very strong,...
NasdaqGS:HCAT
NasdaqGS:HCATHealthcare Services

Health Catalyst (HCAT) Losses Swell To US$178 Million Challenging Margin Improvement Narrative

Health Catalyst (HCAT) just wrapped up FY 2025 with Q4 total revenue of US$74.7 million and a basic EPS loss of US$1.28, alongside a full year trailing twelve month revenue base of US$311.1 million and a net loss of US$178.0 million. Over recent quarters the company has seen quarterly revenue move from US$79.4 million in Q1 2025 to US$80.7 million in Q2, US$76.3 million in Q3 and US$74.7 million in Q4. Basic EPS losses ranged from US$0.35 to US$1.28 per share, underscoring a business that is...
NasdaqCM:SEZL
NasdaqCM:SEZLDiversified Financial

Assessing Sezzle (NasdaqCM:SEZL) Valuation As Sector Jitters Follow JPMorgan Private Credit Lending Curbs

Investor caution across financial stocks picked up after JPMorgan Chase said it would restrict lending to private credit providers, with concerns around liquidity and fund redemptions pressuring Sezzle (NasdaqCM:SEZL) and its peers. See our latest analysis for Sezzle. Sezzle’s recent sector driven drop sits against a mixed picture, with a 1 day share price return of 1.56%, a 7 day share price return showing a 9.75% decline, a 30 day share price return of 5.49% and a year to date share price...
NasdaqGS:COST
NasdaqGS:COSTConsumer Retailing

Costco Wholesale (COST) Q2 Same Store Sales Growth Tests Premium Valuation Narrative

Costco Wholesale (COST) has just turned in its Q2 2026 scorecard with revenue of US$69.6b and basic EPS of US$4.58, backed by net income of US$2.0b and 7% same store sales growth. The company has seen quarterly revenue move from US$63.2b in Q3 2025 to US$63.7b in Q2 2025 and then to US$69.6b in Q2 2026, while basic EPS has ranged from US$4.03 to US$5.88 over that stretch, setting the stage for investors to focus on how firmly margins are holding up behind the headline growth. See our full...
NasdaqGM:BNR
NasdaqGM:BNRBiotechs

Burning Rock Biotech (BNR) Loss Reduction Trend Tests Bearish Profitability Concerns

Burning Rock Biotech (NasdaqGM:BNR) has released its latest FY 2025 numbers with third quarter revenue of C¥131.6 million and a basic EPS loss of C¥1.56, alongside net income excluding extra items of a C¥16.8 million loss. The company has seen quarterly revenue range from C¥126.0 million to C¥148.6 million across the last six reported periods, while basic EPS moved between a loss of C¥0.90 and a much steeper loss of C¥10.53 over that time, which underscores the earnings pressure behind the...
NasdaqGS:INTU
NasdaqGS:INTUSoftware

Why Intuit (INTU) Is Down 8.6% After Soft Profit Outlook And New Anthropic AI Deal - And What's Next

In late February 2026, Intuit reported revenue growth ahead of expectations but issued weaker-than-anticipated third-quarter earnings guidance while keeping its full-year revenue outlook unchanged, prompting investors to reassess the balance between growth and profitability. At the same time, Intuit is deepening its AI push through a new multi-year partnership with Anthropic, aiming to embed specialized financial agents across consumer and mid-market business workflows. With management’s...
NYSE:PAYC
NYSE:PAYCProfessional Services

A Look At Paycom Software (PAYC) Valuation After Prolonged Share Price Weakness

Paycom Software stock overview Paycom Software (PAYC) has drawn investor attention after a period of weak longer term returns, with the share price down about 39% over the past year and 54% over three years. See our latest analysis for Paycom Software. With Paycom Software's share price at US$125.71, the stock has seen a 5.9% 1 month share price return but a 24.6% 3 month share price decline, and the 1 year total shareholder return is down 39.1%, suggesting momentum has recently been...
NasdaqGS:KYIV
NasdaqGS:KYIVWireless Telecom

Kyivstar Group (NasdaqGS:KYIV) Margin Compression And Q3 Loss Test Bullish Narratives

Kyivstar Group (NasdaqGS:KYIV) has just posted its FY 2025 numbers with Q3 revenue at US$297 million and a net income loss of US$89 million, which translated into a basic EPS loss of US$0.41 for the quarter. The business has seen quarterly revenue move from US$248 million in Q3 2024 to US$297 million in Q3 2025. Over the same period, basic EPS shifted from US$0.40 in Q3 2024 to a loss of US$0.41 in Q3 2025, setting the scene for investors to weigh healthier top line figures against pressure...
NasdaqGS:PYPL
NasdaqGS:PYPLDiversified Financial

Did Branded Checkout Lawsuits and CEO Shake-up Just Shift PayPal’s (PYPL) Investment Narrative?

In early February 2026, PayPal’s unexpectedly weak Q4 and full-year 2025 results, abrupt CEO change and sharp slowdown in Branded Checkout growth triggered multiple securities class action lawsuits alleging misleading statements about its business outlook. The litigation centers on whether PayPal’s prior assurances about Branded Checkout growth and execution gave investors an unrealistically confident view of the company’s prospects and risk profile. We’ll now examine how the shareholder...
NasdaqGM:MPB
NasdaqGM:MPBBanks

Mid Penn Bancorp MPB Net Interest Margin Stability Reinforces Bullish Regional Bank Narratives

Mid Penn Bancorp (MPB) closed out FY 2025 with fourth quarter total revenue of US$62.9 million and basic EPS of US$0.84, alongside net income of US$19.4 million. This capped a twelve month period where revenue reached US$224.6 million and EPS was US$2.59. Over the same trailing twelve month period, earnings grew at 10.3% per year over the past five years and are paired with analyst forecasts that indicate 28.22% annual earnings growth and 16.9% annual revenue growth. Investors can weigh these...
NYSE:HIMS
NYSE:HIMSHealthcare

Hims And Hers Health Weighs Eucalyptus Deal Against Growth And Valuation Risks

Hims & Hers Health (NYSE:HIMS) has agreed to acquire Australian digital health company Eucalyptus, advancing its international expansion beyond the U.S. The deal gives Hims & Hers immediate access to new markets through Eucalyptus’s existing telehealth brands and infrastructure. This move comes as attention has recently centered on the company’s partnerships and legal developments around weight loss treatments. Hims & Hers Health, trading at $24.77, has seen sharp share price swings...
NasdaqGS:TSLA
NasdaqGS:TSLAAuto

Tesla (TSLA) Valuation Check As UK Ofgem Approval Opens New Energy Market Opportunity

Tesla (TSLA) has just secured regulatory approval from UK energy watchdog Ofgem to supply electricity to homes and businesses, marking a clear push into retail power alongside its renewable generation and storage offerings. See our latest analysis for Tesla. Against that backdrop, Tesla’s recent share price performance has cooled, with a 30 day share price return of 8.66% and a 90 day return of 14.76%, even as its 1 year total shareholder return of 56.49% and 3 year total shareholder return...
NasdaqGM:LPRO
NasdaqGM:LPROCapital Markets

Open Lending (LPRO) TTM Loss Of US$4.2 Million Tests Bullish Profitability Narratives

Open Lending (LPRO) has just wrapped up FY 2025 with Q4 revenue of US$19.3 million, basic EPS of US$0.01 and net income of US$1.7 million, giving investors a fresh read on how its lending enablement model is translating into the income statement. The company has seen quarterly revenue move from US$23.5 million in Q3 2024 to US$24.4 million in Q1 2025, US$25.3 million in Q2, US$24.2 million in Q3 and US$19.3 million in Q4, while basic EPS has swung between a loss of US$1.21 in Q4 2024 and...
NasdaqGS:CG
NasdaqGS:CGCapital Markets

Assessing Carlyle Group (CG) Valuation After Recent Share Price Weakness

Carlyle Group (CG) has been on investors’ radar after recent share price weakness, with the stock showing declines over the past month and past 3 months. That pullback is prompting closer attention to fundamentals. See our latest analysis for Carlyle Group. That recent pullback includes a 14.8% 30 day share price return and a 21.8% 90 day share price return, even though the 1 year total shareholder return of 10.6% and 3 year total shareholder return of 65.7% point to much stronger longer term...
NasdaqGS:SATS
NasdaqGS:SATSMedia

EchoStar Faces Gray Media Blackout Test For Pay TV And LEO Plans

Gray Media pulled 226 local channels from DISH TV in a carriage dispute, affecting 113 US markets. The blackout impacts millions of DISH customers who rely on EchoStar’s pay TV service for local programming. The dispute centers on retransmission fees that DISH pays to carry Gray Media’s broadcast stations. The disruption adds a fresh operational and reputational issue on top of existing investor focus on NasdaqGS:SATS financials and spectrum assets. EchoStar, through its DISH TV service,...
NYSE:PAY
NYSE:PAYDiversified Financial

Assessing Paymentus (PAY) Valuation After Strong Q4 Beat And 2026 Backlog Visibility

Paymentus Holdings (PAY) is back in focus after reporting a very strong fourth quarter, with revenue rising 28.1% year over year, EPS and EBITDA ahead of expectations, and a large backlog extending visibility into 2026. See our latest analysis for Paymentus Holdings. The strong fourth quarter has arrived after a choppy period for the shares, with a 90 day share price return showing a decline of 23.78% and a 1 year total shareholder return showing a loss of 17.77%. However, the 3 year total...
NasdaqGS:PANW
NasdaqGS:PANWSoftware

Will Danet’s Mega Tender Win and Bigger Buyback Authorization Change Palo Alto Networks' (PANW) Narrative?

In recent days, Accel Solutions Group’s 80%-owned subsidiary Danet Communications announced it had won Israel’s largest network security tender, expected to deploy Palo Alto Networks’ cybersecurity products over an initial three-year term with optional extensions to a potential six years and an estimated NIS 250–500 million of non‑binding potential revenue, subject to purchase orders. Combined with Palo Alto Networks’ newly expanded US$5.11 billion share repurchase authorization and the...
NYSE:KFS
NYSE:KFSInsurance

Kingsway Financial Services (KFS) Premium P/S Multiple Faces Ongoing Losses Narrative

FY 2025 earnings snapshot Kingsway Financial Services (KFS) has wrapped up FY 2025 with fourth quarter revenue of US$38.6 million and a basic EPS loss of US$0.07, alongside net income from ongoing operations of a US$2.1 million loss, keeping the business in the red for the period. The company reported quarterly revenue increasing from US$28.7 million in Q1 2025 to US$38.6 million in Q4, while basic EPS moved within a range from a loss of US$0.13 in Q2 to a loss of US$0.07 in Q4. Over the...
NasdaqGS:AVO
NasdaqGS:AVOFood

Mission Produce (AVO) Margin Compression And Q1 Loss Test Bullish Earnings Narrative

Mission Produce (AVO) opened fiscal Q1 2026 with revenue of US$278.6 million and a small net loss of US$0.7 million, translating to EPS of US$0.01, while its trailing twelve month figures stand at US$1.3 billion in revenue and EPS of about US$0.46. Over recent quarters the company has seen revenue move from US$334.2 million in Q1 2025 to US$380.3 million in Q2, US$357.7 million in Q3 and US$319 million in Q4, with quarterly EPS ranging from roughly US$0.04 to US$0.23 over that stretch. This...
NasdaqCM:KRRO
NasdaqCM:KRROBiotechs

Korro Bio (KRRO) Losses Of US$117.3 Million Test Bullish Narratives On Profitability

Korro Bio (KRRO) has reported its FY 2025 numbers with Q4 revenue of US$1.3 million, a basic EPS loss of US$5.32 and a net income loss of US$50.0 million. Its trailing 12 month figures show revenue of US$6.4 million and a basic EPS loss of US$12.48 tied to a net loss of US$117.3 million. Over recent quarters the company has seen revenue move from US$2.3 million in Q4 FY 2024 to between US$1.1 million and US$2.6 million across FY 2025. This has come alongside quarterly basic EPS losses ranging...