U.S. Industrial REITs Stock News

NasdaqCM:CLSK
NasdaqCM:CLSKSoftware

Why CleanSpark (CLSK) Is Up 7.1% After Swinging From Profit To $240 Million Quarterly Loss

CleanSpark, Inc. has reported past third-quarter 2026 results showing a net loss of US$239.84 million and basic and diluted losses per share of US$0.89, alongside nine‑month losses of US$996.90 million, while also disclosing July 2026 Bitcoin production of 586 coins. The sharp swing from prior-year profitability to heavy losses highlights how CleanSpark’s cost structure and earnings profile can shift quickly in response to operating conditions. We’ll now examine how this move from prior-year...
NYSE:VYX
NYSE:VYXSoftware

Is AS Watson’s Expanded Commerce Platform Deal Altering The Investment Case For NCR Voyix (VYX)?

In August 2026, AS Watson Group announced a new multi-year enterprise agreement with NCR Voyix to roll out the Voyix Commerce Platform, including POS, self-checkout, loyalty and managed services, across selected Watsons, Superdrug, Savers, Kruidvat and Drogas banners in Europe and Asia to support its O+O retail strategy. This broad, multi-brand deployment deepens NCR Voyix’s role inside one of the world’s largest health and beauty retailers, potentially reinforcing its position as a core...
NYSE:AIZ
NYSE:AIZInsurance

Assurant’s Q2 Earnings Beat And Capital Returns Could Be A Game Changer For AIZ

Assurant, Inc. recently reported second-quarter 2026 results showing revenue of US$3,454.2 million and net income of US$298.6 million, alongside a quarterly dividend of US$0.88 per share payable on September 28, 2026 to shareholders of record on August 31, 2026. These earnings, coupled with ongoing share repurchases totaling 974,137 shares for US$229.98 million through June 30, 2026, underscore management’s focus on returning capital while the business scales its connected protection...
NYSE:PBI
NYSE:PBICommercial Services

Pitney Bowes (PBI) Stock May Still Trade At A Discount Despite A 4x Run

Pitney Bowes stock has delivered a very large 3 year return while the latest checks still suggest the shares lean cheap on traditional valuation tests. After that kind of move, investors are weighing whether the current price still offers a margin of safety or is starting to reflect most of the good news. Pitney Bowes has returned roughly 4 times an initial investment over the past 3 years, which naturally raises the bar for what counts as good value from here. Future cash generation from...
NasdaqGS:NOVT
NasdaqGS:NOVTElectronic

How Novanta’s Upgraded 2026 Outlook and Riverpoint Deal Will Impact Novanta (NOVT) Investors

In early August 2026, Novanta Inc. reported second-quarter 2026 results showing higher sales and net income year over year, and issued third-quarter and full-year 2026 GAAP revenue guidance that now includes expected contributions from its Riverpoint Medical acquisition and assumes stable foreign exchange rates. The combination of accelerating earnings, expanding revenue, and newly integrated acquisition-driven growth highlights how Novanta is reshaping its mix of medical and precision...
NasdaqCM:INDI
NasdaqCM:INDISemiconductor

Indie Semiconductor (INDI) Revenue Improved In Q2, Is The Stock Still Below Fair Value?

Why indie Semiconductor's latest earnings caught investor attention indie Semiconductor (INDI) recently reported second quarter 2026 results that included higher revenue than the same period last year and a smaller quarterly net loss. These operational changes appear to have influenced recent stock interest. See our latest analysis for indie Semiconductor. The recent second quarter revenue and net loss figures arrived alongside a sharp 7 day share price return of 26.61% and a 90 day share...
NYSE:SNDR
NYSE:SNDRTransportation

XPO Stock And 2 Trade Logistics Picks for Higher Canada Tariffs

Up to 50% U.S. tariffs on about $20b of Canadian imports are reshaping trade routes and squeezing cross border margins, which puts logistics and import focused stocks under a fresh spotlight. Supply chains do not stand still. When costs and rules change, some companies face pressure while others pick up new business. This article walks through three U.S. listed trade logistics stocks exposed to this tariff story and explains why their positioning may be relevant to your portfolio...
NYSE:CMC
NYSE:CMCMetals and Mining

Commercial Metals (CMC), Why Is This Latest Update Drawing Attention?

Commercial Metals (CMC) is back in focus after management paired a larger share repurchase plan with fresh commentary on targeted US acquisitions related to early stage construction markets. See our latest analysis for Commercial Metals. At a share price of US$72.73, Commercial Metals has seen a 9.52% 1 month share price return and a 4.90% 3 month share price return. Its 1 year total shareholder return of 29.29% and 5 year total shareholder return of 135.58% suggest momentum has been building...
NYSE:SPG
NYSE:SPGRetail REITs

Is Simon Property Group (SPG) Fully Priced Following Raised Guidance And A Higher Dividend?

Simon Property Group earnings, guidance and dividend update Simon Property Group (SPG) is back on investor radars after its second quarter 2026 earnings release, a raised full year earnings outlook, a higher common dividend and an update on ongoing share repurchases. See our latest analysis for Simon Property Group. At a share price of $221.67, Simon Property Group has seen a 20.49% year to date share price return. The 1 year total shareholder return of 34.57% and 3 year total shareholder...
NYSE:DG
NYSE:DGConsumer Retailing

Urban Outfitters Stock And 2 US Retail Picks Trading Below Fair Value

With U.S. equity futures sending a cautious but slightly upbeat signal, oil prices adding an extra layer of risk, and a packed calendar of big retail earnings ready to test consumer strength, this is one of those weeks where sentiment around U.S. Consumer Discretionary Retail Leaders can shift quickly. This article unpacks the setup and profiles 3 stocks from the screener that appear positively exposed to the latest news flow. The stocks covered below are just a starting sample, and the full...
NasdaqGS:CASY
NasdaqGS:CASYConsumer Retailing

Casey's General Stores (CASY) Expands In Texas, Is The Stock Still Below Fair Value?

Casey's General Stores (CASY) stock is back in focus after the company agreed to acquire Pak-A-Sak, a 24 store chain in the Texas Panhandle, extending its recent push into the state. See our latest analysis for Casey's General Stores. The latest acquisition news comes as Casey's General Stores trades at US$870.01, with a 1-day share price return of 2.78% and a year to date share price return of 56.40%. Its 5 year total shareholder return of 342.63% points to strong long term momentum that...
NasdaqGM:TNDM
NasdaqGM:TNDMMedical Equipment

Is Tandem Diabetes Care (TNDM) Undervalued Following Q2 Earnings And Reaffirmed Guidance?

Why Tandem Diabetes Care Stock Is Back in Focus After Q2 Earnings Tandem Diabetes Care (TNDM) is drawing fresh attention after its second quarter 2026 results, which showed higher sales, a smaller net loss, and reaffirmed full year revenue guidance near the US$1 billion range. The company reported quarterly sales of US$254.56 million compared with US$240.68 million a year earlier. Net loss narrowed to US$21.17 million, with basic loss per share from continuing operations at US$0.31 versus...
NYSE:SAM
NYSE:SAMBeverage

Boston Beer Company (SAM) Could Be 9% Below Fair Value If Margin Repair Holds

Boston Beer Company (SAM) drew fresh attention after its latest trading session, with the stock closing at US$182.30. Investors are weighing this price against the company’s recent return profile and current valuation signals. See our latest analysis for Boston Beer Company. Over the past year, Boston Beer Company has seen short term share price resilience contrast with weaker long term total shareholder return. The 1 day share price return slipped 1.87% even as the 30 day share price return...
NYSE:RXO
NYSE:RXOTransportation

RXO (RXO) Is Up 9.9% After Revenue Rises But Losses Persist Is The Thesis Shifting?

RXO, Inc. reported past second-quarter 2026 results, with sales rising to US$1,774 million from US$1,419 million a year earlier while net loss held at US$9 million, and first-half sales increasing to US$3,199 million from US$2,852 million as net loss widened slightly to US$45 million. The combination of stronger revenue volumes and unchanged quarterly loss suggests RXO converted higher demand into sales but has yet to translate that into improved profitability. With revenue growing but...
NYSE:P
NYSE:PTech

Everpure (P) Stock Could Still Be A Bargain Despite Its 5 Year Run

Everpure stock has delivered a very large 5 year gain, yet the current valuation checks point to upside, with both an intrinsic value estimate using a Discounted Cash Flow (DCF) approach and market multiples suggesting the shares may trade below what the fundamentals imply. Everpure has returned about 4.7x over 5 years, which means anyone looking at the stock today is assessing a company whose share price already reflects a long period of strong investor optimism. Growing interest from large...
NasdaqGS:MKSI
NasdaqGS:MKSISemiconductor

Is MKS (MKSI) Undervalued As Strong Q2 Earnings Meet Margin Pressure?

Why MKS stock is back in focus after Q2 earnings MKS (MKSI) has been in the spotlight after reporting second quarter 2026 results, issuing fresh earnings guidance and affirming its dividend, with investors weighing strong growth against management’s margin caution. The company reported second quarter revenue of US$1,248 million compared with US$973 million a year earlier. Net income was US$175 million compared with US$62 million a year earlier, and diluted earnings per share from continuing...
NasdaqGS:GTX
NasdaqGS:GTXAuto Components

Garrett Motion (GTX) Stock Stays Cheap After Its 303% Five Year Run

Garrett Motion stock has logged a very strong 5 year run, yet the current share price of US$28.58 still sits well below what the Discounted Cash Flow (DCF) intrinsic value estimate suggests. This raises the question of how much of the good news is already reflected in the market price. Garrett Motion has delivered a total return of about 302.6% over the past 5 years, which makes the current valuation especially important to assess. The company’s ability to keep converting its operations into...
NasdaqGS:KHC
NasdaqGS:KHCFood

How Investors Are Reacting To Kraft Heinz (KHC) Impairment-Driven Losses Amid Robust Capital Returns

In August 2026, The Kraft Heinz Company reported second-quarter results showing sales of US$6,262 million and continued net losses alongside very large goodwill and intangible asset impairment charges. At the same time, Kraft Heinz maintained its US$0.40 quarterly dividend and completed a US$1.51 billion share repurchase, underscoring a focus on capital returns despite ongoing write-downs. We’ll now explore how these substantial impairment charges and continued net losses reshape Kraft...
NYSE:WTM
NYSE:WTMInsurance

White Mountains Insurance Group (WTM) Is Back In Focus, What Is Catching Investors' Attention?

Why White Mountains Insurance Group Stock Is Back in Focus After Earnings White Mountains Insurance Group (WTM) has drawn fresh attention after releasing second quarter 2026 earnings, reporting higher revenue and net income versus a year earlier alongside continued progress on its share repurchase program. For the quarter ended June 30, 2026, the company reported revenue of US$844.6 million compared with US$689.2 million in the same period last year. Net income was US$199.5 million versus...
NYSE:TDS
NYSE:TDSWireless Telecom

Can Telephone And Data Systems (TDS) Justify Its Valuation As Earnings Turn Positive?

Why Telephone and Data Systems Stock Is Back in Focus After Earnings Telephone and Data Systems (TDS) released second quarter and first half 2026 results on 7 August, highlighting a shift from losses to profits that is shaping how investors view the stock today. See our latest analysis for Telephone and Data Systems. Despite the strong second quarter earnings reversal, Telephone and Data Systems shares have been under pressure recently. The 90 day share price return is down 17.93% and the...
NYSE:WY
NYSE:WYSpecialized REITs

Weyerhaeuser (WY) Stock Looks Below Fair Value While Earnings Look Rich

Weyerhaeuser stock is coming off a weak patch, with the share price at US$24.08 and the return over the past three years down 18.6%, while the current valuation checks point to a picture that is neither clearly cheap nor clearly expensive. The share price decline of 18.6% over three years raises the question of whether investors have grown cautious on the company’s long term earnings and cash flow prospects. Future outcomes for the stock may hinge on how consistently Weyerhaeuser can convert...
NYSE:CALY
NYSE:CALYLeisure

Callaway Golf (CALY) Could Be 19% Undervalued After Earnings Beat And Higher Guidance

Why Callaway Golf stock is back on investors’ radar Callaway Golf (CALY) is in focus after reporting second quarter 2026 results with higher sales and net income than a year earlier, along with updated guidance and fresh buyback activity. See our latest analysis for Callaway Golf. Callaway Golf’s recent earnings beat, raised guidance, and completed buyback have arrived after a mixed share price pattern, with a 30 day share price return that is down 14.29% but a year to date share price return...
NasdaqGS:UPST
NasdaqGS:UPSTConsumer Finance

Upstart Holdings (UPST) Confirmed Full Year Guidance, Is It Still Below Fair Value?

Upstart Holdings (UPST) is back in focus after its second quarter 2026 report and guidance update on 4 August 2026. The company confirmed full year revenue expectations of about US$1.4b and reported higher net income and earnings per share. See our latest analysis for Upstart Holdings. Despite the stronger second quarter earnings update and confirmation of about US$1.4b in full year revenue guidance, Upstart Holdings' share price has been under sustained pressure. The year to date share price...
NasdaqGS:WBD
NasdaqGS:WBDEntertainment

Warner Bros. Discovery Stock And 2 Media Value Plays Riding Consolidation Uncertainty

The Paramount and Warner Bros. Discovery merger saga has turned media consolidation into a real time stress test for investors. Legal challenges, ticking fees and delayed integration plans are reshaping expectations around deal risk and reward. This article walks through three U.S. Media & Entertainment Consolidation Plays stocks that are closely exposed to this news, and explains why some investors are treating the current uncertainty as a potential entry point while others see reasons to...