U.S. Industrial REITs Stock News

NYSE:GM
NYSE:GMAuto

What Does General Motors (GM) Restarting Its Ohio Battery Plant Signal?

General Motors (NYSE: GM) joint venture Ultium Cells is restarting production at its Warren, Ohio battery plant after a seven month shutdown tied to a reset of US BEV plans and policy responses. The plant pause followed weaker US battery electric vehicle demand and changes to purchase incentives that affected GM’s near term EV rollout plans. Ultium Cells’ restart is expected to reshape GM’s EV battery supply, cost profile, and positioning in the US electric vehicle market. For investors...
NasdaqGS:IMCR
NasdaqGS:IMCRBiotechs

Is Immunocore Holdings (IMCR) Undervalued After Stronger Revenue And Profitability Results?

Immunocore Holdings (IMCR) reported its second quarter and six month results on August 6, 2026, with higher revenue and a move from a net loss to net income over the half year period. See our latest analysis for Immunocore Holdings. At a share price of US$34.21, Immunocore Holdings shows a 90 day share price return of 18.25%, while the 1 year total shareholder return of 5.88% contrasts with a 3 year total shareholder return that is down 42.85%. This suggests that momentum has been rebuilding...
NYSE:VAC
NYSE:VACHospitality

Marriott Vacations Worldwide (VAC) Picks Vlad Anokhin To Lead Transformation

Marriott Vacations Worldwide (NYSE:VAC) appointed Vlad Anokhin as Chief Strategy & Transformation Officer, with responsibilities across data analytics, artificial intelligence and product development. Anokhin will lead company wide transformation efforts, with a focus on digital capabilities and new product initiatives. The leadership change indicates a potential shift in how Marriott Vacations Worldwide approaches technology driven decision making and long term planning. For investors who...
NasdaqGS:CLBT
NasdaqGS:CLBTSoftware

Is Cellebrite DI (CLBT) Cheap As Lower 2026 Guidance And A CEO Change Hit?

Cellebrite DI guidance cut and CEO transition put the stock in focus Cellebrite DI (NasdaqGS:CLBT) has drawn fresh attention after lowering its full year 2026 revenue outlook and confirming an internal CEO transition that installs Shiven Ramji as chief executive and board member. See our latest analysis for Cellebrite DI. At a share price of US$11.14, Cellebrite DI has seen short term momentum weaken, with the 7 day share price return down 29.94% and the year to date share price return down...
NasdaqGS:CSX
NasdaqGS:CSXTransportation

CSX (CSX) Stock May Be Above Fair Value Even As Earnings Look About Right

CSX stock has delivered a strong 71.9% return over the past three years, yet current checks point to a company that now looks closer to fairly valued than clearly cheap. The Discounted Cash Flow (DCF) intrinsic value estimate sits near the current market price and earnings multiples appear to be roughly in line with that assessment. CSX's 71.9% return over three years puts recent gains front and center for investors who care about how much upside might still be available from here. The new...
NasdaqGS:ITRI
NasdaqGS:ITRIElectronic

Itron (ITRI) Gets A Fresh Look As Its Undervalued Story Gains Ground

Itron (ITRI) has drawn fresh attention after Zacks upgraded the stock to Rank #2, citing higher earnings estimates that place the company among the stronger estimate revision stories on its coverage list. See our latest analysis for Itron. Itron’s recent Zacks Rank upgrade comes after a strong 30-day share price return of 17% and a 90-day share price return of 28.95%, even though the 1-year total shareholder return is down 21.02%. This keeps longer term sentiment more mixed. If you are...
NasdaqGS:STX
NasdaqGS:STXTech

Seagate (STX) Is Up 21.5% After Stronger Results And AI Storage Roadmap Reveal - What's Changed

In recent months, Seagate Technology Holdings has reported stronger quarterly results, with higher revenue, improved operating margins, and expanding free cash flow, while also highlighting its AI-focused storage roadmap at industry conferences such as FMS 2026 and the OCP APAC Summit in Taipei. These developments, combined with supportive U.S. policy toward domestic chipmakers and expectations of very large earnings growth, are prompting investors to reassess Seagate’s longer-term role in...
NYSE:MANU
NYSE:MANUEntertainment

Manchester United (MANU) Stock Looks Rich Following Its 48% Run

Manchester United stock has rallied strongly in 2026, yet the valuation signals are pulling in different directions. An intrinsic value estimate from a Discounted Cash Flow (DCF) model points to a discount, while market based multiples suggest the shares are priced more richly. Year to date, Manchester United is up 47.6%, which puts extra focus on whether the current share price still leaves enough potential reward for the risk involved. Future cash generation from media rights and...
NYSE:BBWI
NYSE:BBWISpecialty Retail

How Investors May Respond To Bath & Body Works (BBWI) Dividend And Disney Nightmare Before Christmas Launch

Bath & Body Works recently declared a regular quarterly dividend of US$0.20 per share, payable on September 4, 2026, to shareholders of record as of August 21, 2026, and also launched a limited-edition Disney Tim Burton’s The Nightmare Before Christmas collection across body care, home fragrance, and accessories. This collaboration introduces exclusive Jack Skellington and Sally fragrances and early access for rewards members, underscoring Bath & Body Works’ focus on seasonal product...
NasdaqGS:PPC
NasdaqGS:PPCFood

Pilgrim's Pride Stock And 2 Agriculture Producers Tied To Brazil Tariffs

Trade friction between the U.S. and Brazil is suddenly front and center, with fresh tariffs on Brazilian exports reshaping the balance for global crop suppliers. When a major competitor faces new hurdles, companies with similar products can sometimes see new openings or fresh risks. This article walks through three U.S.-listed agriculture and food producers that are closely tied to this story and explains how the latest headlines may affect their stocks. The three stocks covered below are...
NasdaqGS:CBSH
NasdaqGS:CBSHBanks

Commerce Bancshares (CBSH) Trades At A P/E Premium, Is The Discount Case More Convincing?

Commerce Bancshares (CBSH) is drawing attention after recent share price moves, with the stock closing at $60.27. Investors are weighing this valuation against its recent total returns and current profitability profile. See our latest analysis for Commerce Bancshares. Commerce Bancshares' 0.45% 1 day share price return builds on a 16.4% 90 day share price return, while the 3 year total shareholder return of 48.48% points to momentum that has developed over a longer period. If you are...
NYSE:C
NYSE:CBanks

Citigroup (C) Beats Earnings, But Is The Valuation Case Already Priced In?

Citigroup (C) has just reported a strong quarter that exceeded analyst expectations on revenue, net interest income, and earnings per share. Yet the stock reaction stayed subdued, as investors had already priced in even higher hopes. See our latest analysis for Citigroup. Citigroup’s share price reaction to the earnings beat has been muted in the very short term, with a 1 day share price return that declined 0.59%. However, momentum has been positive over longer periods, including a 30 day...
NYSE:AUB
NYSE:AUBBanks

Atlantic Union Bankshares (AUB) Stock Looks Reasonable On Earnings While Cash Flow Stays Strong

Atlantic Union Bankshares has delivered a strong 58.2% return over the past three years, yet its current checks suggest the stock now sits closer to fair value on traditional multiples while an Excess Returns estimate points to a discount to intrinsic value. For investors, the question is whether that combination of solid past returns and a mixed valuation read still leaves enough room for attractive upside. Atlantic Union Bankshares has returned 58.2% over three years, which puts recent...
NasdaqGS:VTRS
NasdaqGS:VTRSPharmaceuticals

Is Buybacks And Higher 2026 Guidance Altering The Investment Case For Viatris (VTRS)?

In early August 2026, Viatris reported second-quarter results showing higher sales and revenue than a year earlier, while also completing a share repurchase program of 103,547,908 shares for about US$1.15 billion and affirming a quarterly dividend of US$0.12 per share. The company paired this capital return with a modest increase to its 2026 revenue guidance midpoint to US$14.75 billion, suggesting management’s confidence in its operating direction despite reporting a second-quarter net...
NYSE:TSN
NYSE:TSNFood

Tyson Foods (TSN) Could Be 15% Below Fair Value After Beef Overhaul

Tyson Foods beef overhaul and why it matters for the stock Tyson Foods (TSN) is overhauling its beef operations after US cattle herds hit 75 year lows, concentrating production in three central facilities while closing or selling three others to keep harvesting capacity broadly intact. See our latest analysis for Tyson Foods. Tyson Foods shares closed at US$58.17, with a 1 day share price return of 3.16% and a 90 day share price decline of 12.08%, while the 1 year total shareholder return of...
NasdaqCM:UROY
NasdaqCM:UROYMetals and Mining

How New Orion-Linked Directors and Shelf Filing At Uranium Royalty (UROY) Has Changed Its Investment Story

Earlier this month, Uranium Royalty Corp. expanded its board from six to eight directors, adding experienced finance and mining professionals Peter Martin Rozenauers and Kevin McQuilkin, and separately filed a US$128.63 million shelf registration for up to 37,721,062 common shares tied to an ESOP-related offering. Together, the Orion-linked board appointments and sizable shelf registration point to a closer alignment with major institutional investors and potential future capital-raising...
NYSE:MA
NYSE:MADiversified Financial

Mastercard (MA) Appoints Yasemin Bedir To Lead Its EEMEA Region

Mastercard (NYSE: MA) has appointed Yasemin Bedir as president of its Eastern Europe, Middle East and Africa region and added her to the company’s Management Committee. Bedir is a nearly 20 year Mastercard veteran with experience across multiple global markets and complex regulatory environments. The EEMEA role covers a key growth region for Mastercard, with responsibilities across market expansion, product focus and stakeholder relationships. Executive shifts like this at Mastercard...
NYSE:CMP
NYSE:CMPMetals and Mining

Does Compass Minerals International (CMP) New COO Appointment Signal An Operational Shift?

Compass Minerals International (NYSE:CMP) has appointed Brandon Risner as Chief Operating Officer, effective August 3, 2026. Risner succeeds outgoing COO Patrick Merrin in the role. The company cites Risner's extensive mining industry experience and existing tenure with Compass Minerals as key factors in the appointment. The leadership change at the COO level may influence Compass Minerals' operational priorities and internal culture. For a broader view of related opportunities in this...
NYSE:MPLX
NYSE:MPLXOil and Gas

Is MPLX’s New Long‑Dated Debt Issuance Shifting the Balance Between Growth Ambitions and Unitholder Returns (MPLX)?

MPLX LP recently completed several fixed-income offerings, issuing US$1.25 billion of 4.7% notes due 2029, US$500 million of 5% notes due 2032, and US$500 million of 5.5% notes due 2036, while continuing share repurchases and reporting year-on-year growth in second-quarter revenue and earnings per share. Together, the new unsecured senior debt, past buybacks, and higher quarterly revenue and net income underscore MPLX’s focus on funding growth projects while still returning cash to...
NYSE:ALLE
NYSE:ALLEBuilding

Allegion (ALLE) Has Investors Watching, What Is Behind The Attention?

Why Allegion’s Upcoming Conference Appearance Matters For Investors Allegion (ALLE) is set to present at the Mizuho Industrials & Chemicals Conference on 12 August 2026 in New York, an event that puts its margins, cash generation, and capital allocation under a fresh spotlight. See our latest analysis for Allegion. Allegion’s recent share price has climbed 20.1% over the past month and 30.6% over the past quarter. Its year to date share price return of 2.4% and 3 year total shareholder return...
NYSE:AEM
NYSE:AEMMetals and Mining

Agnico Eagle Mines (AEM) Returns To The Spotlight, Is The Upside Already Priced In?

Agnico Eagle Mines (NYSE:AEM) is back in the spotlight after presenting at the Diggers & Dealers Mining Forum in Kalgoorlie, where Australian operations leader Ion Hann outlined the company’s position in the region’s gold sector. See our latest analysis for Agnico Eagle Mines. The presentation in Kalgoorlie comes after a strong run in Agnico Eagle Mines’ stock, with a 30 day share price return of 36.13% and a year to date share price return of 9.39%. Over a longer horizon, total shareholder...
NYSE:ACI
NYSE:ACIConsumer Retailing

Sprouts Farmers Market Stock And 2 Consumer Staples Retailers Facing Budget Pressures

With the S&P 500 hovering near records and earnings doing more of the heavy lifting than Fed policy hopes, consumer staples retailers sit in an interesting spot. Their focus on everyday essentials can matter when inflation bites and job growth cools. This article walks through 3 stocks from our U.S. Large-Cap Consumer Staples Retailers screener that appear most exposed to the latest retail earnings season and macro headlines, and explains why that could matter for your portfolio. The stocks...
NasdaqGS:HURN
NasdaqGS:HURNProfessional Services

Huron Consulting Group (HURN) Could Be 18% Undervalued After Raised EPS Guidance

Huron Consulting Group (HURN) is back in focus after its latest earnings report, where revenue reached US$475 million, up 15.4% year on year, and full year EPS guidance was raised. See our latest analysis for Huron Consulting Group. The earnings surprise and upgraded EPS guidance have come alongside a sharp shift in sentiment, with Huron Consulting Group’s 30 day share price return of 32.29% and 12 month total shareholder return of 12.58% contrasting with a decline of 11.21% year to date...
NasdaqGS:MSBI
NasdaqGS:MSBIBanks

Higher Long Term Rates Are Repricing U.S. Bank Stocks Here Are 3 To Watch

With the 30 year Treasury yield around 5.26% and long term rates staying higher for longer, money is quietly being repriced across the market. That shift can hurt some stocks yet open the door for others that earn more on loans and investment portfolios. This article walks through three U.S. banks and insurers from our screener that appear positioned to benefit from this rate backdrop and explains what investors might want to watch next. The stocks highlighted below are just a starting...