U.S. Hotel and Resort REITs Stock News

NasdaqGS:VSNT
NasdaqGS:VSNTMedia

Has Versant Media Group (VSNT) Fallen Far Enough To Be A Bargain?

Versant Media Group stock has fallen about 21.1% year to date, yet both its Discounted Cash Flow (DCF) intrinsic value estimate and market multiples currently suggest the shares trade at a discount to underlying fundamentals. With the share price down 21.1% year to date, the market has turned cautious on Versant Media Group even as valuation work points to upside potential. The completed acquisition of sports technology company Full Swing may support revenue and cash flow growth, while the...
NYSE:NVR
NYSE:NVRConsumer Durables

Earnings Drop And Heavy Buybacks Might Change The Case For Investing In NVR (NVR)

NVR, Inc. recently reported past second-quarter and six-month 2026 results, with net income of US$236.46 million and US$434.82 million respectively, alongside lower basic and diluted earnings per share versus the prior year. At the same time, NVR completed a previously announced buyback by repurchasing 67,331 shares for US$442.25 million, which can meaningfully affect per-share metrics and capital allocation perceptions. We will now examine how the earnings decline, despite substantial...
NYSE:MTD
NYSE:MTDLife Sciences

Mettler Toledo International (MTD) Could Be 4% Overvalued As Strong Earnings Reignite Interest

Earnings update and why Mettler-Toledo International stock is back in focus Mettler-Toledo International (MTD) drew fresh attention after reporting second quarter 2026 results, with sales of US$1,027.31 million and net income of US$232.9 million, both above the prior year period. For the first half of 2026, the company reported sales of US$1,974.44 million and net income of US$402.35 million. Earnings per share from continuing operations also came in higher than the same periods in 2025 on...
NYSE:S
NYSE:SSoftware

SentinelOne (S) Expands AI Security Tools, Is The Stock Overvalued?

SentinelOne (S) is back in focus after unveiling governed, closed-loop response automation across its Singularity Platform and expanding Wayfinder Frontier AI Services, moves that sharpen its pitch around AI-driven cybersecurity operations. See our latest analysis for SentinelOne. The latest product updates and client wins arrive as momentum in SentinelOne's stock has picked up, with a 30-day share price return of 14.51% and a year-to-date share price return of 36.95%. However, the 5-year...
NYSE:EPD
NYSE:EPDOil and Gas

Will Strong Q2 2026 Results and Completed Buybacks Change Enterprise Products Partners' (EPD) Export-Led Narrative?

Enterprise Products Partners reported past second-quarter 2026 results with sales of US$18,269 million and net income of US$1,841 million, alongside completing a US$1,711.23 million share repurchase program initiated in 2019. The combination of higher year-on-year revenue and earnings, plus ongoing capital returns through buybacks, highlights how the partnership is using its midstream footprint to convert volume growth into profitability and unitholder returns. We'll now examine how...
NYSE:TSN
NYSE:TSNFood

Tyson Foods (TSN) Stock Jumps As Margin Recovery Gains Credibility

Tyson Foods stock is up about 3% the day after earnings, a sharp move for a mature food producer that has left some investors wondering what changed. The headline is margin repair finally showing through the income statement. Adjusted operating income reached US$547m on a 3.9% margin, backed by strong Chicken and Prepared Foods results, even as Beef remains under pressure. Short term traders may focus on the price pop and a mixed recent return profile. Long term holders are more likely...
NYSE:KO
NYSE:KOBeverage

Coca Cola Stock Leads 3 Low Volatility Picks For Uncertain Fed Signals

With Fed Chair Kevin Warsh weighing fewer interest rate meetings and dialling back policy guidance, the market’s usual playbook for reading the Fed is under pressure. Less frequent signals can mean sharper price swings when decisions arrive, which often pushes investors to look harder at stocks with steadier trading histories and cleaner balance sheets. This article focuses on three low volatility stocks that appear closely tied to this shift in communication. Each one sits in our screener...
NYSE:NTB
NYSE:NTBBanks

Bank Of N.T. Butterfield & Son (NTB) Reports Q2 2026 Results, Is It Fully Priced?

The Bank of N.T. Butterfield & Son (NYSE:NTB) drew fresh attention after reporting second quarter 2026 results and affirming its latest dividend, giving investors new data on earnings, margins, and capital returns. See our latest analysis for Bank of N.T. Butterfield & Son. Over the past year, Bank of N.T. Butterfield & Son has seen firm momentum, with a year to date share price return of 25.05% and a 1 year total shareholder return of 41.85%, supported by recent earnings and dividend news at...
NYSE:ALX
NYSE:ALXRetail REITs

Alexander's (ALX) Stock Rally Leans On Asset Gains Not Core Cash Flow

Alexander's stock is up about 2.7% today, a sharp bounce for a real estate investment trust that has been drifting lower over the past month. The excitement rests on a single headline number. Basic earnings per share for the quarter came in at US$30.24, far above the recent run rate and inflated by a one off gain that also pushed trailing profit margins to very high levels. That spike flatters the P/E and makes Alexander's look optically cheap. The key issue for investors is the balance sheet...
NasdaqGS:MMYT
NasdaqGS:MMYTHospitality

MakeMyTrip (MMYT) After Q1 Results AI Push And IPO Filing Is The Valuation Gap Too Wide

MakeMyTrip (NasdaqGS:MMYT) drew fresh attention after reporting fiscal 2027 first quarter results that combined higher reported revenue with lower net income, along with heavier AI investment and an IPO filing for its Indian subsidiary. See our latest analysis for MakeMyTrip. At a share price of US$61.78, MakeMyTrip has seen strong near term momentum, with an 8.48% 1 day share price return and 24.83% 90 day share price return, while the 1 year total shareholder return is down 33.38% and the 5...
NasdaqGS:PLTR
NasdaqGS:PLTRSoftware

3 Cash Flow Stocks Trading Below Fair Value Right Now

With government bond markets, oil prices and manufacturing data all pulling in different directions across major regions, many investors are looking for simple ways to focus on what really matters: cash. The Undervalued Stocks Based On Cash Flows screener targets companies where projected cash generation is strong yet the share price sits below SWS DCF fair value estimates. That combination can appeal if you want potential value without betting on any single sector. This article highlights...
NasdaqGS:CLBK
NasdaqGS:CLBKBanks

Columbia Financial (CLBK) Following Q2 Results And Dividend Looks Fully Valued

Columbia Financial (CLBK) released its second quarter 2026 results on July 30, pairing higher net interest income and net income with a declared quarterly dividend and updated credit quality figures. See our latest analysis for Columbia Financial. At a share price of $10.64, Columbia Financial has given investors a 51.80% year to date share price return and a 63.35% total shareholder return over the past year. The recent 7 day pullback and 1 day decline suggest that momentum has cooled...
NYSE:UVE
NYSE:UVEInsurance

Universal Insurance Holdings (UVE) Could Be Fully Valued On Strong Earnings And Buybacks

Universal Insurance Holdings earnings and buyback catch investor attention Universal Insurance Holdings (UVE) is back in focus after its 23 July earnings release, which highlighted higher revenue, net income and earnings per share for the second quarter and first half of 2026. See our latest analysis for Universal Insurance Holdings. Universal Insurance Holdings shares have climbed steadily, with a 39.48% year to date share price return and a 92.16% total shareholder return over the past...
NYSE:EG
NYSE:EGInsurance

Everest Group (EG) Earnings And Buybacks Put Its Valuation Back In Focus

Everest Group (EG) reported second quarter 2026 results on July 29, with revenue of US$3.96b and net income of US$559m, while extending a long-running share repurchase program. See our latest analysis for Everest Group. Everest Group shares have eased in the very short term, with a 7 day share price return of 6.68% lower and a 1 day move slightly lower. The stock still shows an 11.23% year to date share price return and a 1 year total shareholder return of 16.26%, supported by buybacks...
NasdaqGM:FUTU
NasdaqGM:FUTUCapital Markets

Futu Holdings (FUTU) Is Up 5.1% After Class Action Highlights Alleged CSRC Licensing Lapses

In recent days, several U.S. law firms have highlighted an ongoing securities class action against Futu Holdings, alleging that the company operated multiple securities-related businesses in mainland China without required China Securities Regulatory Commission licenses and failed to fully disclose associated regulatory risks during the May 24, 2023 to May 27, 2026 period. The complaints, which also name Futu’s CEO Leaf Hua Li and CFO Arthur Yu Chen, focus on whether unlicensed operations...
NYSE:COR
NYSE:CORHealthcare

Gilead Stock And Two Defensive Picks For Uncertain Markets

Global markets are wrestling with shifting inflation signals, changing central bank policies, tighter emissions rules and uneasy trade relations. That mix can unsettle many stocks, yet it often draws attention to large cap defensive stocks that focus on steady balance sheets, reliable dividends and lower volatility. This article looks at how the latest news backdrop connects with our Global Large Cap Defensive Stocks screener and why some investors are watching this space more closely. Read...
NYSE:BRO
NYSE:BROInsurance

Is Brown & Brown (BRO) A Bargain As Strong Q2 Results Reopen The Valuation Debate?

Brown & Brown (BRO) is back in focus after reporting second quarter 2026 results that show higher revenue and net income compared with a year earlier, drawing fresh attention to the stock’s recent performance. See our latest analysis for Brown & Brown. Brown & Brown’s recent earnings, active buybacks and affirmed dividend have come alongside a 26.91% 90-day share price return but a 21% decline in 1-year total shareholder return. This indicates that recent momentum is rebuilding from a weaker...
NYSE:WSM
NYSE:WSMSpecialty Retail

Does Another Earnings Beat Reshape the Bull Case for Williams-Sonoma’s Digital-First Strategy (WSM)?

In recent quarters, Williams-Sonoma has repeatedly reported earnings above analyst expectations, most recently posting earnings of US$1.93 per share versus a US$1.80 estimate, reflecting a consistent pattern of outperformance prior to today. This track record, alongside a positive Earnings ESP of 3.38% and a favorable analyst ranking, has reinforced investor confidence in the company’s upcoming earnings report. With Williams-Sonoma again outperforming earnings expectations, we’ll now examine...
NYSE:BRK.A
NYSE:BRK.ADiversified Financial

How Investors May Respond To Berkshire Hathaway (BRK.A) Shift Toward Whole-Company Deals And Integration

Berkshire Hathaway, now led by Greg Abel, has been reshaping its portfolio and operations in recent months, deploying a record cash pile through acquisitions like Taylor Morrison and OxyChem while trimming positions such as Chevron and adding to Alphabet. This marks a clear evolution from Warren Buffett’s traditionally hands-off, stock-picking approach toward more hands-on integration of acquired businesses and a sharper focus on where Berkshire’s very large cash reserves are...
NYSE:CRCL
NYSE:CRCLSoftware

Circle Internet Group (CRCL) Deepens New York Oversight Is Regulatory Prestige Now Core To Its Valuation?

Circle Internet Group, Inc. recently received a limited purpose trust charter from the New York Department of Financial Services for Circle Internet Trust Company LLC, doing business as Circle New York Trust, formalizing its regulatory status in one of the world’s most stringent financial jurisdictions. This charter builds on Circle’s long relationship with New York regulators since its 2015 BitLicense, reinforcing USDC’s position within a highly regulated framework as blockchain-based...
NasdaqCM:ONDS
NasdaqCM:ONDSCommunications

Ondas (ONDS) Is Up 6.5% After Naming Ex‑Mossad Chief Barnea To Lead AI Defense Pivot

Recently, Ondas announced that former Mossad Director David Barnea has joined Ondas Defense Ltd. as Global President and Chairman, bringing his intelligence and defense leadership experience to support the company’s push toward a unified, AI-enabled, multi-domain defense technology platform and operational expansion. The more than US$70,000,000 in new defense orders secured alongside Barnea’s appointment highlights how leadership changes and contract momentum are aligning around Ondas’...
NYSE:FOUR
NYSE:FOURDiversified Financial

Shift4 Payments (FOUR) Expanded Shift4 One Abroad, Is The Upside Already Priced In?

Shift4 Payments (FOUR) is back in focus after fresh commentary on its Shift4 One international rollout and updated full-year guidance for gross revenue less network fees, set against mixed investor sentiment and recent travel-related headwinds. See our latest analysis for Shift4 Payments. The recent commentary on Shift4 Payments comes against a mixed backdrop. The 90 day share price return of 26.59% points to building momentum after a weaker period, while the 1 year total shareholder return...
NasdaqGS:TROW
NasdaqGS:TROWCapital Markets

Is T. Rowe Price (TROW) Quietly Rewriting Its Investment Story With Private Markets And Buybacks?

T. Rowe Price Group’s recent quarter showed higher revenue and net income compared with a year earlier, alongside ongoing share repurchases that have now totaled 137.07 million shares for about US$11.34 billion since the 2003 authorization. The company is pairing this earnings momentum with an expansion into private markets and insurance-linked solutions, including a new Goldman Sachs co-branded interval fund and a proprietary index for fixed index annuities, signaling a broader move beyond...
NasdaqGS:MAR
NasdaqGS:MARHospitality

Marriott (MAR) Stock Falls As Fee Growth Meets Owner Pushback

Marriott International stock just took a sharp beat, sliding about 7% today from a previous close near US$372 to roughly US$347, even after posting headline results that looked strong on the surface. Adjusted diluted earnings per share for the quarter landed at US$3.19 and adjusted EBITDA reached US$1.59b, both solid prints for a global hotel operator tied closely to travel demand. The short term story is about that drop on your screen. The longer term story is about whether investors still...