U.S. Hospitality Stock News

NYSE:NFG
NYSE:NFGGas Utilities

A Look At National Fuel Gas (NFG) Valuation After Strong First Quarter Earnings And Shareholder Returns

National Fuel Gas (NFG) has just posted first quarter earnings that included revenue of US$651.51 million and net income of US$181.65 million, along with higher earnings per share compared with the prior year. See our latest analysis for National Fuel Gas. Those stronger quarterly numbers sit alongside a 6.5% 1 month share price return and a 6.7% 3 month share price return. The 1 year total shareholder return of 20.2% and 5 year total shareholder return of 126.0% point to momentum that has...
NYSE:MPC
NYSE:MPCOil and Gas

Marathon Petroleum Balances Sectorwide Labor Talks With California Sustainability Push

Marathon Petroleum, ticker NYSE:MPC, has proposed a new four year labor contract to the United Steelworkers union, covering a significant portion of the U.S. refining workforce. At the same time, the company has launched a community investment initiative in California through an educational partnership focused on water recycling with the Water Replenishment District. The dual developments touch both operational labor terms and Marathon's approach to environmental education and community...
NYSE:SYF
NYSE:SYFConsumer Finance

Synchrony Financial Balances Mixed Q4 Results With Capital Returns Focus

Synchrony Financial (NYSE:SYF) reported mixed Q4 results, pairing better-than-expected adjusted earnings per share with a cautious net revenue outlook for 2025. Management highlighted growing digital engagement, new product categories and successful partner renewals as key themes from the quarter. The company also pointed to moderating consumer spending trends and the potential impact of anticipated interest rate cuts on its business. For you as an investor, the current picture around...
NYSE:CAAP
NYSE:CAAPInfrastructure

Is It Too Late To Consider Corporación América Airports (NYSE:CAAP) After Its Strong 3-Year Run?

Investors may be wondering whether Corporación América Airports still represents good value after its strong share price history, or if most of the opportunity is already reflected in the current US$28.24 price. The stock has had a mixed recent run, with a 7% decline over the last week, a 5.5% gain over the past month, and returns of 6.3% year to date and 42.7% over the last year. Over longer periods, the 3 year gain is very large and the 5 year return is also very large. Recent attention on...
NYSE:KEX
NYSE:KEXShipping

Is Strong Q4, Cash Flow Outlook And Buybacks Altering The Investment Case For Kirby (KEX)?

In January 2026, Kirby Corporation reported fourth-quarter 2025 revenue of US$851.78 million and net income of US$91.81 million, alongside continued share repurchases totaling 1,030,729 shares for US$101.60 million in the quarter. Management also projected 2026 operating cash flow of US$575 million to US$675 million and signaled an ongoing focus on both acquisitions and returning cash to shareholders, underscoring an emphasis on capital deployment. With these stronger earnings and Kirby’s...
NYSE:BG
NYSE:BGFood

Is It Time To Reassess Bunge Global (BG) After Its Strong 1-Year Share Price Surge

If you are wondering whether Bunge Global's share price fairly reflects its business today, you are not alone. This article is here to help you size up what you are actually paying for. The stock closed at US$113.94, with a 1.1% decline over the last 7 days, while returns sit at 20.8% over 30 days, 23.0% year to date, 70.2% over 1 year, 29.5% over 3 years and 71.1% over 5 years. These moves have put Bunge Global back on many investors radars, as they reassess what is already priced into the...
NYSE:EMN
NYSE:EMNChemicals

A Look At Eastman Chemical (EMN) Valuation After Earnings Softness And Fresh Analyst Optimism

Why Eastman Chemical’s latest earnings and analyst reactions matter Eastman Chemical (EMN) has been in focus after its full year 2025 earnings and a cluster of analyst rating reaffirmations and price target changes, even as some international revenues and recent performance raised questions. See our latest analysis for Eastman Chemical. Despite weaker full year 2025 earnings, Eastman Chemical’s share price has shown strong recent momentum, with a 24.21% 3 month share price return and an...
NYSE:FIS
NYSE:FISDiversified Financial

Does Fidelity National (FIS) Pairing a Higher Dividend With Streamlining Hint at a Deeper Strategic Shift?

Fidelity National Information Services, Inc. previously announced a 10% increase in its regular quarterly dividend to US$0.44 per common share, payable on March 24, 2026 to shareholders of record as of March 10, 2026, alongside ongoing cost-cutting and portfolio simplification efforts. Against the backdrop of a recent product launch in asset servicing and a higher dividend, the company’s renewed focus on core banking and capital markets technology is drawing fresh attention from investors...
NYSE:FAF
NYSE:FAFInsurance

First American Financial Faces Stagnant Growth With Questionable Valuation Appeal

First American Financial (NYSE:FAF) is experiencing a prolonged period of weak revenue and earnings per share growth. This extended phase of minimal topline and per share progress points to ongoing operational stagnation. The company’s growth trends continue to lag industry and broader market benchmarks. First American Financial, a major player in title insurance and related real estate services, sits at the crossroads of housing activity, mortgage volumes, and broader transaction trends...
NasdaqGS:MAR
NasdaqGS:MARHospitality

Is It Too Late To Consider Marriott International (MAR) After Strong Multi‑Year Share Price Gains?

Investors may be wondering if Marriott International at around US$326 per share still offers value, or if most of the opportunity has already been priced in. The stock has recorded returns of 2.1% over the last 7 days, 1.4% over 30 days, 4.2% year to date, 8.8% over 1 year, 92.4% over 3 years and 167.3% over 5 years. This raises fair questions about what you are paying for today. Recent attention on large branded hotel operators, including Marriott, has focused on how asset light models,...
NYSE:THR
NYSE:THRElectrical

Is It Too Late To Consider Thermon Group Holdings (THR) After Its 84% One-Year Surge?

If you are wondering whether Thermon Group Holdings at about US$48.77 is still reasonably priced, or if the recent enthusiasm has already been factored in, this article walks through what the current valuation might be telling you. The stock has recently seen returns of 7.0% over the last 7 days, 26.8% over 30 days, 29.6% year to date and 83.9% over the past year, with multi year returns of 83.1% over 3 years and 200.3% over 5 years. These moves have come alongside ongoing interest in...
NasdaqGS:KLIC
NasdaqGS:KLICSemiconductor

Kulicke And Soffa Industries (KLIC) Q1 Profit Of US$16.8m Tests Turnaround Narratives

Kulicke and Soffa Industries (KLIC) kicked off Q1 2026 with total revenue of US$199.6 million and basic EPS of US$0.32, setting a cleaner earnings picture against a still loss making trailing twelve month profile. The company has seen quarterly revenue move from US$166.1 million in Q1 2025 to US$199.6 million in Q1 2026, while basic EPS shifted from US$1.52 in Q1 2025 through a volatile stretch that included losses in mid 2025 before landing at US$0.32 this quarter. This puts the focus firmly...
NYSE:LEVI
NYSE:LEVILuxury

Levi Strauss Targets Gen Z Sustainability While Shares Trade Below Estimates

Levi Strauss (NYSE:LEVI) has launched the Levi’s Wear Longer Project, a new program focused on clothing repair and sustainability education for Gen Z. The company is pairing the initiative with a Super Bowl week pop-up in San Francisco that features collaborations, live experiences, and community workshops on garment repair and creative reuse. For a brand built on denim and workwear, Levi Strauss is leaning into durability as part of its broader identity, rather than only selling new...
NasdaqGS:PRGS
NasdaqGS:PRGSSoftware

Progress Software Faces Leverage Test As Acquisition Reliance Clouds Growth Outlook

Progress Software, NasdaqGS:PRGS, is facing scrutiny after the recent ShareFile acquisition increased leverage and highlighted its dependence on deal driven growth. Industry commentary is focusing on the company’s organic growth trajectory and the risk of tougher year over year comparisons as ShareFile is fully reflected in results. Investors are weighing the impact of a more leveraged balance sheet and weaker underlying trends on the company’s future guidance and risk profile. Progress...
NasdaqGS:FOXA
NasdaqGS:FOXAMedia

Fox FOXA Margin Compression Challenges Long Term Bullish Earnings Narrative After Q2 2026 Results

How Fox (FOXA) Has Been Performing Heading Into Q2 2026 Fox (FOXA) just posted Q2 2026 revenue of US$5.2b with basic EPS of US$0.53, putting fresh numbers on the board for investors watching its media earnings story. The company has seen quarterly revenue move from US$5.1b in Q2 2025 to US$5.2b this quarter, while EPS shifted from US$0.82 to US$0.53 over the same period. On a trailing twelve month basis, EPS sits at US$4.24 on revenue of US$16.6b. With net profit margin over the last year at...
NYSE:MAGN
NYSE:MAGNForestry

Magnera (MAGN) Narrowing Losses In Q1 2026 Challenges Bearish Profitability Narratives

Magnera (MAGN) just opened Q1 2026 with revenue of US$792 million and a basic EPS loss of US$0.96 per share, setting the tone for another quarter where top line and per share losses stay front and center for investors. Over the past year, the company has seen quarterly revenue move from US$702 million in Q1 2025 to US$792 million in Q1 2026, while basic EPS has ranged from a loss of US$1.69 in Q1 2025 to a loss of US$0.96 most recently, leaving margins under pressure and keeping the path to...
NasdaqGM:MIRM
NasdaqGM:MIRMBiotechs

Mirum Buyout Of Bluejay Shifts Rare Liver Story Beyond Livmarli

Mirum Pharmaceuticals agreed to acquire Bluejay Therapeutics, adding a late stage hepatitis D candidate to its rare liver disease pipeline. The deal expands Mirum's portfolio beyond its existing bile acid products, including those acquired from Travere Therapeutics. The company aims to widen its reach in rare liver diseases by reducing reliance on a single product and broadening treatment options for patients. Mirum Pharmaceuticals (NasdaqGM:MIRM), recently trading at about $98.23 per...
NYSE:AMPX
NYSE:AMPXElectrical

A Look At Amprius Technologies (AMPX) Valuation After New Nanotech Energy Manufacturing Partnership

Why the Nanotech Energy deal matters for Amprius shares Amprius Technologies (AMPX) is back in focus after announcing a manufacturing partnership with Nanotech Energy, its first U.S. based production ally, securing a domestic supply chain for high performance silicon battery cells. The agreement is geared toward mission critical customers such as L3Harris Technologies and is designed to fit updated National Defense Authorization Act sourcing rules, which prioritize trusted domestic suppliers...
NasdaqGS:ALGT
NasdaqGS:ALGTAirlines

Allegiant Travel (ALGT) Turns Q4 Profit Of US$31.9m And Tests Bearish Loss Narratives

Allegiant Travel posts mixed FY 2025 finish as profitability swings quarter to quarter Allegiant Travel (ALGT) closed out FY 2025 with fourth quarter revenue of US$656.2 million and basic EPS of US$1.76, alongside net income of US$31.9 million. The trailing twelve months still show a loss, with EPS at US$2.48 and net income of US$44.7 million. The company has seen quarterly revenue shift between US$561.9 million and US$699.1 million across 2025, with EPS moving from a loss of US$3.62 in Q2 to...
NYSE:ASGN
NYSE:ASGNIT

ASGN (ASGN) Margin Compression In Q4 FY 2025 Challenges Bullish Narratives

ASGN (ASGN) has wrapped up FY 2025 with fourth quarter revenue of US$980.1 million and basic EPS of US$0.59, set against trailing twelve month revenue of US$3.98 billion and EPS of US$2.62. Over recent periods, quarterly revenue has ranged from US$968.3 million to US$1.02 billion, while basic EPS has moved between US$0.48 and US$0.96. This gives investors a clear read on how top line scale and per share earnings have tracked into the latest full year. With net profit margins tighter than a...
NYSE:IIPR
NYSE:IIPRIndustrial REITs

Is Innovative Industrial Properties (IIPR) A Potential Opportunity After Prolonged Share Price Weakness?

If you are wondering whether Innovative Industrial Properties is starting to look like a value opportunity or remains a value trap, this article will walk you through what the current price might be implying. The stock last closed at US$47.70, with returns of a 1.6% decline over 7 days, 1.9% decline over 30 days, 3.6% decline year to date, 26.0% decline over 1 year, 26.4% decline over 3 years and 66.3% decline over 5 years, which may change how investors think about its risk and...
NYSE:SOC
NYSE:SOCOil and Gas

Sable Offshore Legal Disputes Put Pipeline Control And Governance In Focus

Sable Offshore (NYSE:SOC) is contesting federal and state actions over control of key oil pipelines tied to its Santa Ynez operations. The California Attorney General has filed a lawsuit to stop a federal transfer of regulatory oversight for these pipelines. Separately, the company faces SEC and federal investigations into alleged selective disclosure of sensitive information to certain investors. Sable Offshore focuses on offshore oil production, with its Santa Ynez operations and related...
NasdaqGS:NTRS
NasdaqGS:NTRSCapital Markets

Is Northern Trust (NTRS) Fairly Priced After A 33% One Year Share Price Climb

If you are wondering whether Northern Trust's current share price lines up with its underlying value, this article will walk through what the numbers are actually saying. The stock last closed at US$147.48, with returns of 2.3% over the past 30 days, 5.9% year to date and 33.2% over the past year. These moves may have changed how investors think about both its potential and its risks. Recent coverage around Northern Trust has focused on its position in diversified financials and broader...
NYSE:RAL
NYSE:RALElectronic

Ralliant (RAL) Earnings Collapse To US$1.4b Q4 Loss Challenges Bullish Margin Narratives

Ralliant (RAL) has closed out FY 2025 with Q4 revenue of US$554.6 million and a basic EPS loss of US$12.17, while on a trailing twelve month basis revenue was US$2.1 billion with a basic EPS loss of US$10.84. The company has seen quarterly revenue move from US$548.1 million in Q4 2024 to US$554.6 million in Q4 2025, alongside a swing in basic EPS from US$0.73 in Q4 2024 to a loss of US$12.17 in Q4 2025, setting up a results season in which investors will be weighing compressed margins against...