U.S. Healthtech Stock News

NasdaqGS:DRVN
NasdaqGS:DRVNConsumer Services

Driven Brands Holdings (DRVN) Stock Could Be 26% Undervalued After Q1 Results Kept Guidance Intact

Q1 2026 results and outlook snapshot Driven Brands Holdings (DRVN) has drawn investor attention after reporting Q1 2026 results that showed higher sales, revenue, and net income compared with a year earlier, while also reiterating full year revenue guidance. See our latest analysis for Driven Brands Holdings. The Q1 2026 update has come after a mixed period for Driven Brands Holdings, with the share price down 12.55% year to date and the 1 year total shareholder return declining 25.46%. At...
NasdaqGS:ATAT
NasdaqGS:ATATHospitality

How Investors Are Reacting To Atour Lifestyle Holdings (ATAT) Strong Q1 Results And Rapid Hotel Expansion

Atour Lifestyle Holdings recently reported strong Q1 2026 results, with significant year-over-year growth in revenue and net income and the opening of 110 new hotels across China. The company’s financial health score of 8.61, extensive institutional ownership near 82%, and expanding network of more than 2,000 hotels highlight its growing weight in China’s hospitality landscape. We’ll now examine how Atour’s robust Q1 results and rapid hotel network expansion could influence its existing...
NYSE:KRMN
NYSE:KRMNAerospace & Defense

Karman Holdings (KRMN) Is Up 5.3% After Expanding Contract Pipeline And Completing $854M Share Offering

Karman Holdings Inc. recently appointed PricewaterhouseCoopers LLP as its new independent auditor and oversaw a large secondary offering of 14,000,000 shares, raising about US$854,000,000 for selling stockholders without issuing new shares or receiving proceeds itself. Alongside these governance and capital-market moves, Karman reported a sharply expanded US$3,000,000,000 active contract pipeline and a higher 2026 revenue outlook, underscoring rising demand for its space and defense...
NYSE:SB
NYSE:SBShipping

Safe Bulkers (SB) Stock Margins Weaken And Challenge Bullish Earnings Narratives

Safe Bulkers (SB) has opened 2026 with Q1 revenue of US$74.4 million and basic EPS of US$0.20, setting a clear reference point for how its earnings power is holding up against weaker consensus expectations for the next few years. The company has seen quarterly revenue move from US$64.3 million in Q1 2025 to US$74.4 million in Q1 2026, while EPS shifted from US$0.05 to US$0.20 over the same period. This puts the focus firmly on how sustainably Safe Bulkers can protect margins in the face of...
NYSE:NGL
NYSE:NGLOil and Gas

NGL Energy Partners (NGL) Stock After 7x Five-Year Gain Is It Time To Pause

If you are wondering whether NGL Energy Partners is still attractively priced after its strong run, the starting point is understanding what the current unit price actually reflects. The stock closed at US$15.99, and while it is down about 3.3% over the past week and 9.3% over the past month, it is still up 61.5% year to date and 242.4% over the last year, with a very large 5 year return that is around 7x. Recent coverage has focused on NGL Energy Partners as investors reassess the...
NYSE:WCC
NYSE:WCCTrade Distributors

WESCO (WCC) Agrees To Buy Newark Engineering For A Bigger Data Center Role

WESCO International (NYSE:WCC) has entered into a definitive agreement to acquire Singapore based Newark Engineering. The deal extends WESCO’s presence in critical infrastructure services for data centers, with a particular focus on power, cooling, and lifecycle support. The acquisition adds an Asia based platform for WESCO’s global data center offering and has not been covered in prior articles. For investors watching data center infrastructure, WESCO International (NYSE:WCC) is moving to...
NasdaqGS:KHC
NasdaqGS:KHCFood

Kraft Heinz (KHC) Combines Global Units And Leadership In Major Reorganization

Kraft Heinz (NasdaqGS:KHC) is overhauling its global structure, combining regional units into three newly defined regions. The company is also integrating procurement and supply chain under a single umbrella to simplify operations. Several senior leaders are stepping down or moving into advisory roles as part of the transition. Kraft Heinz, the packaged foods and beverages company behind Heinz ketchup and Kraft cheese, is reshaping how it runs its worldwide business. The reorganization...
NasdaqGS:VRSN
NasdaqGS:VRSNIT

VeriSign (VRSN) Completes $550 Million Senior Unsecured Notes Offering

VeriSign (NasdaqGS:VRSN) completed a fixed-income offering of $550 million in senior unsecured notes. The transaction adds a sizable new layer of debt financing to the company’s capital structure. The use of proceeds has not been detailed, leaving investors watching for updates on capital allocation plans. VeriSign operates critical internet infrastructure, including key domain registry services, which positions the company at the center of online traffic and digital identity. In this...
NasdaqGS:AGYS
NasdaqGS:AGYSSoftware

Agilysys (AGYS) Gets A Fresh AI Endorsement From Wasatch And Marriott Tie Up

Wasatch Global Investors recently highlighted Agilysys (NasdaqGS:AGYS) for its perceived resilience to AI disruption. The firm pointed to Agilysys' long-term contracts and major agreement with Marriott International as key elements of its positioning. Agilysys was also cited for seeking to incorporate AI into its offerings rather than being displaced by it. Agilysys focuses on software for the hospitality sector, where reliable property management and guest experience tools are central for...
NasdaqGS:BILI
NasdaqGS:BILIInteractive Media and Services

Bilibili (BILI) Stock After Sharp Five Year Slide And Conflicting Valuation Signals

To understand whether Bilibili stock might currently offer value, it helps to start with how the share price has been behaving and what that could be telling you about expectations. Over the short term, Bilibili has been under pressure, with the share price down 6.3% over the last week and 14.0% over the last month, while year to date the stock has fallen 34.8%. Looking a bit further back, the stock has declined 15.1% over the last year and is down 85.9% over five years. Over a three year...
NYSE:NSA
NYSE:NSASpecialized REITs

National Storage Affiliates Trust (NSA) Stock Could Be 6.4% Overvalued After Institutional Buying

National Storage Affiliates Trust (NSA) is drawing attention after a sharp rise in institutional ownership, even as the company reports a year-over-year decline in quarterly revenue and net profit, along with mixed technical trading signals. See our latest analysis for National Storage Affiliates Trust. At a share price of $44.45, National Storage Affiliates Trust has seen a 19.75% 90 day share price return and a 59.38% year to date share price return. The 1 year total shareholder return of...
NasdaqGS:ULTA
NasdaqGS:ULTASpecialty Retail

Ulta Beauty (ULTA) Stock After 26% Year-To-Date Slide Is The Pullback Overdone

If you are wondering whether Ulta Beauty stock offers good value at current levels, the key is to separate short term share price moves from what the underlying business may be worth. The stock last closed at US$456.13, with the share price falling 2.5% over the past week, 7.5% over the past month, and 26.4% year to date, while the return over the past year is a decline of 3.7% and a gain of 30.7% over five years. These mixed returns have kept Ulta Beauty in focus for investors who are...
NasdaqGS:ACGL
NasdaqGS:ACGLInsurance

3 Financial Stocks With Low P E Ratios And Strong Balance Sheets

With the S&P 500 near record highs and the Shiller CAPE Ratio at 41, many investors are asking whether current valuations leave enough margin for error. One way to respond is to focus on high-quality value stocks, companies with solid balance sheets and relatively modest P/E and P/B ratios across markets such as the US, UK, Canada, and Australia. This article looks at 3 stocks from a High-Quality Value Stocks screener that are directly exposed to today’s rich market backdrop and explains why...
NasdaqGS:CBTX
NasdaqGS:CBTXBanks

3 US Financial Stocks For Higher Rates And Profit Margins

Hotter inflation data, a firm US labor market and a US Iran ceasefire that has taken crude oil below US$80 per barrel are pulling key levers for big financial stocks. Higher rates for longer can influence loan margins, bond portfolios and insurance investment income, while cheaper energy can affect credit risk and consumer spending in different ways. This article looks at how that mix of forces relates to large US banks and insurance companies, and highlights 3 stocks from our US Financials...
NasdaqCM:SKYT
NasdaqCM:SKYTSemiconductor

What SkyWater Technology (SKYT)'s Anticipated Earnings Momentum Means For Shareholders

In recent days, SkyWater Technology has drawn attention as investors look ahead to upcoming results that are expected to show strong year-over-year revenue and earnings growth, against a backdrop of mixed signals on valuation, insider activity, and financial health metrics. While analysts currently sit at a Hold stance and insiders have been net sellers, institutional ownership has increased and the market’s focus remains on the company’s anticipated operational momentum in secure U.S. chip...
NYSE:BMA
NYSE:BMABanks

3 Argentine Bank Stocks For Higher Rates And Net Interest Income

With the Federal Reserve holding rates at 3.5% to 3.75% and signaling a tougher stance on inflation, banks and insurers sit at the center of the story. Higher market interest rates, stickier inflation projections for 2026 and 2027, and mortgage costs hovering around 6.5% all shape how financial stocks may respond to this backdrop. From a curated screener of large, well-rated institutions across the US, UK, Canada, and Australia, this article walks through 3 stocks that appear positively...
NasdaqGS:ADSK
NasdaqGS:ADSKSoftware

Autodesk (ADSK) Appoints Pearson CEO To Board As Shareholders Back Bylaw Changes

Autodesk (NasdaqGS:ADSK) has expanded its board and appointed Omar Abbosh, CEO of Pearson, as a Non-Executive Director following its recent annual meeting. Shareholders approved amendments to Autodesk's Certificate of Incorporation to provide for officer exculpation under Delaware law. Proposals seeking changes to shareholder special meeting rights were put to a vote at the annual meeting and were rejected. Autodesk, best known for its design and engineering software used across...
NYSE:MUSA
NYSE:MUSASpecialty Retail

Murphy USA (MUSA) Stock Falls As Petrobras And Pemex Partnership Raises Supply Questions

Petrobras and Pemex have announced a new partnership aimed at coordinating oil, refining, and petrochemical supply across the Americas. This deal could alter fuel supply patterns in North America, affecting how Murphy USA sources product for its network. The announcement has coincided with a sell-off in NYSE:MUSA shares, as investors reassess potential supply risks and margin pressure. Murphy USA enters this news cycle with a share price of $551.26 and a long record of stock returns that...
NYSE:MOS
NYSE:MOSChemicals

Mosaic (MOS) Secures $1 Billion Term Loan To Refinance Debt

Mosaic Company (NYSE:MOS) has secured a committed delayed draw term loan credit facility of up to US$1b. The facility is intended to refinance existing debt and adjust the company’s capital structure. The announcement highlights a new financing option that Mosaic can access as needed, subject to agreed terms. Mosaic is a major producer of phosphate and potash fertilizers, so its balance sheet decisions matter to investors watching the agricultural inputs sector. The new US$1b delayed draw...
NYSE:XYZ
NYSE:XYZDiversified Financial

Block (XYZ) Launches Builderbot And Lands Sofive As A National Square Client

Block (NYSE:XYZ) has launched Builderbot, an AI native development suite aimed at speeding up internal product development. The company has also signed Sofive Soccer Centers as a national, multi location Square client across its facilities. These updates add fresh detail to Block's platform story beyond what has appeared in recent coverage. Block enters this news cycle with its stock at $74.78 and a mixed long term return profile. The shares are up 8.2% over the past week, 8.1% over the...
NYSE:BRX
NYSE:BRXRetail REITs

Brixmor Property Group (BRX) Stock After Retail REIT News And Recent Price Pullback

If you are wondering whether Brixmor Property Group is attractively priced or starting to look stretched, the current share price puts valuation questions front and center. The stock recently closed at US$30.91, with returns of 19.1% year to date and 25.3% over the past year. It has slipped 3.9% in the last week and is up 3.5% over the last month. Recent news flow around Brixmor Property Group has focused on its role as a retail focused real estate investment trust. Investors are paying...
NYSE:LII
NYSE:LIIBuilding

Lennox International (LII) Stock After Recent Capital Goods Reassessment Is It Still Attractive

If you are wondering whether Lennox International at around US$532 per share offers good value or is priced for perfection, the current numbers give you a starting point but not the full story. The stock recently closed at US$532.43, with returns of 3.0% over the past week, 10.3% over the past month, 6.7% year to date, and a decline of 1.8% over the last year, compared with 75.2% and 71.0% over the past 3 and 5 years respectively. Recent news around Lennox International has focused on its...
NYSE:ASB
NYSE:ASBBanks

Associated Banc Corp (ASB) Expands Day Of Service Into Iowa And Nebraska

Associated Banc-Corp (NYSE:ASB) held its fourth annual Day of Service, its largest volunteer event to date. This year’s event included employees in Iowa and Nebraska for the first time, following the merger with American National Corporation. Volunteers focused on community needs such as food security and youth services across the expanded footprint. For investors watching Associated Banc-Corp, the latest Day of Service adds a community dimension to a stock that recently closed at $29.2 and...
NYSE:GAP
NYSE:GAPSpecialty Retail

Gap (GAP) Joins Cascale Climate Program To Push Supplier Decarbonization

Gap (NYSE:GAP) joined Cascale's Manufacturer Climate Action Program to work on decarbonization with suppliers. The partnership focuses on science based climate targets and emissions reduction in the apparel supply chain. The initiative highlights Gap's current focus on environmental and sustainability topics that are relevant for ESG minded investors. Gap, the apparel retailer behind Gap, Old Navy, Banana Republic and Athleta, is increasing attention on how its products are made, not just...