U.S. Hotel and Resort REITs Stock News

NYSE:CACI
NYSE:CACIProfessional Services

CACI (CACI) Stock Looks Fairly Valued As Its 97% Run Sets In

CACI International has nearly doubled shareholders' money over the past five years. With the stock around US$497.75 and a mixed value score, the current price does not look like a clear bargain or a clear stretch either. The stock has returned about 97.3% over five years, which sets a high bar for anyone buying CACI International today to expect similar gains. The recent US$500m counter drone contract and SkyValor deployment can support long term revenue visibility. At the same time, the...
NasdaqGS:KYIV
NasdaqGS:KYIVWireless Telecom

Does Kyivstar Group (NasdaqGS:KYIV) Trade At A Premium Or Fair Value?

Kyivstar Group stock has delivered a 30.1% return over the past year, yet its current checks point to pricing that looks broadly in line with fundamentals rather than clearly cheap or clearly expensive. The 30.1% one year gain puts recent shareholders comfortably ahead, which raises the question of how much of Kyivstar Group's progress is already reflected in the share price. Growth in digital services and new partnerships around areas such as AI and mobility can support revenue...
NYSE:FLUT
NYSE:FLUTHospitality

Flutter Entertainment (FLUT) Stock Still Looks Cheap On Its 65% Slump

Flutter Entertainment stock is down 65.1% over the past year. Yet the broader valuation checks still lean toward the shares looking cheap rather than fully priced. With sentiment starting to shift after recent research pointing to easing concerns around prediction markets, the gap between weak past returns and a supportive valuation read is back in focus for investors. Over the last 12 months, Flutter Entertainment has declined 65.1%, which means the market has already priced in a...
NasdaqGS:SYBT
NasdaqGS:SYBTBanks

Stock Yards Bancorp (SYBT) Earnings Improved, Is The Stock Still Cheap?

Stock Yards Bancorp earnings put recent moves in context Stock Yards Bancorp (SYBT) has drawn fresh attention after reporting second quarter and first half 2026 results, with both net interest income and net income higher than the same periods a year earlier. For the second quarter, net interest income was US$87.83 million compared with US$73.47 million a year ago, while net income reached US$40.06 million versus US$34.02 million. Basic earnings per share from continuing operations were...
NasdaqCM:LQDA
NasdaqCM:LQDAPharmaceuticals

Is Liquidia (LQDA) Stock Too Rich After A 35x Run?

Liquidia has delivered an extremely strong run over the past few years, yet the stock now screens as expensive on the broader valuation checks. That combination puts the recent share price strength up against a weak overall value score and an overvalued read on market multiples. Liquidia has returned roughly 35x over the past 5 years, which sets a high bar for any further upside to be justified by fundamentals. Expectations for the company to convert its pipeline and business model into...
NYSE:BKT
NYSE:BKTCapital Markets

Prologis Stock Faces A Tougher Test As Treasury Yields Reshape Investor Flows

Soaring Treasury yields and richer returns on inflation protected bonds are pulling investor attention away from parts of the stock market and toward government debt. That shift in retirement flows and institutional asset allocation can pressure some stocks that rely heavily on equity demand, while others tied more directly to long term Treasuries may see stronger interest. This article walks through three stocks that are closely linked to this story, with one that could be positioned on the...
NYSE:ETR
NYSE:ETRElectric Utilities

Is Entergy (ETR) Fairly Valued As Its Fresh Dividend Puts Income In Focus?

Entergy (ETR) has been in focus after its board declared a quarterly dividend of $0.64 per share, payable on September 1, 2026, to shareholders of record as of August 13, 2026. See our latest analysis for Entergy. Entergy's recent dividend decision comes as the stock has eased in the short term, with the share price down over the past week and quarter, while longer term total shareholder returns over one, three and five years remain strong and indicate momentum built over time. If this...
NYSE:QGEN
NYSE:QGENLife Sciences

Qiagen (QGEN) Stock Could Be A Cash Flow Bargain Yet Fair On Earnings

Qiagen has delivered a roughly 20% decline over the past five years, yet the current share price around US$41.40 sits at a discount to its intrinsic value estimate from a Discounted Cash Flow (DCF) model, while market based multiples suggest the stock is closer to fairly valued. That mix leaves investors weighing a model that points to upside against a track record of weak long term returns. Over five years, Qiagen shares are down about 20%, which suggests the market has been cautious on the...
NYSE:NKE
NYSE:NKELuxury

Nike (NKE) Stock Looks Reasonable On Its Sportswear Refresh

Nike stock has had a difficult run over the last five years, yet its current valuation signals are more mixed than the share price slide alone might suggest. The Discounted Cash Flow (DCF) intrinsic value estimate sits close to the market price, while earnings based multiples screen the stock as undervalued. Nike shares have declined 73.8% over five years, which puts the current price in sharper focus for investors assessing what is already priced in. The push to refresh the sportswear...
NYSE:FCX
NYSE:FCXMetals and Mining

Should Freeport-McMoRan’s (FCX) Strong Q2 and Higher Copper-Gold Sales Outlook Require Investor Action?

In July 2026, Freeport-McMoRan reported second-quarter results showing sales of US$7,029 million and net income of US$984 million, alongside guidance for materially higher copper and gold sales in the second half of 2026 and into 2027. The combination of higher earnings per share compared with a year ago and management’s expectation of meaningfully increased metal volumes points to a company leaning on operational momentum and volume growth rather than top-line expansion alone. We’ll now...
NasdaqGS:HON
NasdaqGS:HONIndustrials

Honeywell Stock Leads This Wildfire Resilience Investing Watchlist

Europe’s harsher wildfire seasons are turning fire prevention, insurance risk and climate adaptation into live investment questions rather than distant themes. The latest headlines around early warning systems, firefighting gear, forest management and resilient infrastructure are feeding directly into earnings expectations and capital spending plans. This article looks at three stocks that are exposed to this news. Two sit on the potential opportunity side through fire detection, resilience...
NYSE:AXP
NYSE:AXPConsumer Finance

American Express (AXP) Stock Looks Cheap On Fair Value But Full On Earnings

American Express stock has more than doubled over the past three years, yet the latest intrinsic value work using the Excess Returns model suggests the shares still trade at a discount, while the broader valuation checks paint a less generous picture. For investors, that mix raises questions about how much of American Express’s earnings power and recent execution is already reflected in the current price. Over the last three years, American Express has returned about 110.5%, which puts extra...
NasdaqGS:WFRD
NasdaqGS:WFRDEnergy Services

Do Weatherford’s Softer Earnings and Ongoing Buybacks Reveal a Strategic Pivot for WFRD?

In July 2026, Weatherford International reported second-quarter 2026 results showing revenue of US$1,105 million and net income of US$39 million, both lower than the same period a year earlier. Alongside softer earnings, the company disclosed it had completed a US$226.37 million buyback since July 2024, retiring 3,166,136 shares, or 4.37% of its outstanding stock. We’ll now examine how the earnings slowdown, alongside ongoing share repurchases, affects Weatherford International’s existing...
NasdaqGS:WB
NasdaqGS:WBInteractive Media and Services

Weibo (WB) Stock Stays Cheap On Its 80% Five Year Slide

Weibo’s share price is still working off a long slide, with the stock down about 79.7% over the past five years, yet its current valuation checks now lean on the cheap side. That mix of weak long term returns and a stronger value read raises the question of whether the market has become too pessimistic on Weibo. Over the past five years, Weibo has fallen about 79.7%, which shows how much sentiment has reset compared with earlier periods. Future revenue and cash flow expectations can support...
NYSE:IEX
NYSE:IEXMachinery

Should IDEX’s Stronger Q2 2026 Results and Aggressive Buybacks Prompt Action From IEX Investors?

IDEX Corporation recently reported its second-quarter 2026 results, posting sales of US$920.6 million and net income of US$143.4 million, with both basic and diluted EPS from continuing operations rising from a year earlier. Alongside improved earnings, IDEX continued its long-running share repurchase program, retiring an additional 364,270 shares in the quarter and bringing total buybacks under the plan to 19,838,542 shares, or just over one-quarter of shares outstanding. Against this...
NYSE:VSH
NYSE:VSHElectronic

Vishay Intertechnology (VSH) Stock May Be Undervalued As Shares Jumped 124%

Vishay Intertechnology stock has surged 123.8% year to date, yet the latest checks suggest the shares may still trade below an intrinsic value estimate based on a Discounted Cash Flow (DCF) approach, while market based multiples look closer to fair. Year to date, the share price is up 123.8%, which puts recent volatility into focus after such a strong run. Future cash flow and margin expectations can support the current valuation, while any setback in execution or cash generation would...
NasdaqGS:LBTY.A
NasdaqGS:LBTY.ATelecom

Liberty Global (LBTY.A) Is Up 9.5% After Narrowing Losses And Completing Buyback - Has The Bull Case Changed?

Liberty Global Ltd. reported second-quarter 2026 results showing sales of US$1,172 million versus US$1,269.1 million a year earlier, with net loss narrowing to US$365.1 million from a very large loss the prior year and basic loss per share from continuing operations improving to US$1.07 from US$8.09. Over the first half of 2026, Liberty Global’s sales were broadly stable at US$2,446.6 million while net loss shrank to US$27.3 million from a very large loss a year earlier, and the company also...
NasdaqGS:NTRS
NasdaqGS:NTRSCapital Markets

Northern Trust (NTRS) Stock Looks Fairly Valued After Strong Earnings

Northern Trust stock has climbed 148.5% over the past three years, and with recent earnings strength and a higher dividend, many investors are asking whether the current price around intrinsic value still leaves enough appeal. The Excess Returns intrinsic value estimate now lines up broadly with market pricing, while other checks suggest neither a clear bargain nor an obvious overvaluation. The 148.5% three year return puts Northern Trust among the stronger performers in its space, so recent...
NasdaqGS:FBIZ
NasdaqGS:FBIZBanks

First Business Financial Services (FBIZ) Stock Looks Cheap After Record Profit Run

First Business Financial Services stock jumped 4.4% to US$70.21 in the first full session after its second quarter release. That move follows a strong few months for the shares, yet the latest numbers still forced investors to reassess what they are paying for this bank. The headline is earnings power. Quarterly basic earnings per share landed at about US$1.87 on total revenue of roughly US$44.6m, and pretax, pre provision profit reached a record level. For anyone thinking beyond today’s pop,...
NYSE:RAL
NYSE:RALElectronic

Ralliant (RAL) Stock Faces Valuation Doubts Despite Stronger Margins And Guidance

Ralliant came into this earnings print with the stock already under some pressure, down over 8% in the past month even after a strong 90 day run. The immediate verdict was chilly. The share price slipped about 2.4% to US$65.37 as investors weighed a richer valuation against another quarter of reported losses over the past year. The headline today is simple. The electronic and test equipment specialist reported Q2 revenue of US$567.8m and basic earnings per share of US$0.51. Management also...
NasdaqGS:LIN
NasdaqGS:LINChemicals

Linde (LIN) Stock May Be Fully Priced Despite Record Backlog News

Linde stock has delivered a 67.4% return over the past five years, yet current checks suggest it no longer looks obviously cheap, with conflicting signals between its intrinsic value estimate and market pricing multiples. After recent share price weakness, investors are weighing whether the Discounted Cash Flow (DCF) view of a roughly fair price contrasts too sharply with multiples that screen the stock as expensive. Linde's 67.4% five year return highlights how the stock has already...