U.S. Interactive Media and Services Stock News

NasdaqGM:NAMS
NasdaqGM:NAMSBiotechs

NewAmsterdam Pharma (NAMS) Quarterly Loss Of US$72 Million Tests Bullish Profitability Forecasts

NewAmsterdam Pharma (NasdaqGM:NAMS) has just posted its FY 2025 numbers with Q3 revenue of US$0.3 million, a basic EPS loss of US$0.61, and net income loss of US$72.0 million, setting the tone for a year that still reflects heavy investment. The company has seen quarterly revenue move between US$0.3 million and US$29.1 million over the last six reported periods, while basic EPS has ranged from a loss of US$0.15 to a loss of US$0.93. Margins remain firmly in loss-making territory even as...
NYSE:LZB
NYSE:LZBConsumer Durables

La Z Boy (LZB) Margin Compression in Q3 2026 Tests Bullish Earnings Narratives

La Z Boy (LZB) just posted Q3 2026 results with revenue of US$541.6 million and basic EPS of US$0.53, alongside net income of US$21.7 million, putting fresh numbers behind the recent pullback in profitability. The company has seen quarterly revenue move from US$521.8 million in Q3 2025 to US$541.6 million in Q3 2026, while basic EPS shifted from US$0.69 to US$0.53 over the same stretch, giving investors a clear read on how the top line and per share earnings are tracking. With trailing 12...
NYSE:DVN
NYSE:DVNOil and Gas

Devon Energy (DVN) Margins Weaken As Q4 Production Costs Challenge Bullish Efficiency Narrative

Devon Energy (DVN) has wrapped up FY 2025 with Q4 revenue of US$4.1b, basic EPS of US$0.90 and net income of US$562 million, while the trailing twelve months show revenue of US$17.2b and EPS of US$4.18. Over the past few quarters, revenue has moved between US$3.9b and US$4.3b per quarter with basic EPS ranging from US$0.77 to US$1.42. This gives investors a clear view of how top line and per share earnings have tracked through the year. With trailing net margin of 15.4% and detailed realized...
NYSE:STAG
NYSE:STAGIndustrial REITs

STAG Industrial Dividend Rise And Quarterly Shift Underline Valuation Debate

STAG Industrial (NYSE:STAG) announced a 4% dividend increase and a move from monthly to quarterly payouts. The change follows what management described as strong core financial performance and active acquisition activity. The updated dividend policy is positioned as a reflection of confidence in the company’s financial position. STAG Industrial is a real estate investment trust focused primarily on single tenant industrial properties across the US. For income focused investors, the...
NYSE:RSG
NYSE:RSGCommercial Services

Republic Services (RSG) Margin Resilience Challenges Concerns Over Slowing Earnings Growth

Republic Services (RSG) has wrapped up FY 2025 with fourth quarter revenue of US$4.1b and basic EPS of US$1.76, alongside trailing twelve month revenue of US$16.6b and EPS of US$6.86 anchoring the full year picture. The company has seen quarterly revenue move from US$4.0b in Q4 2024 to US$4.1b in Q4 2025, while basic EPS shifted from US$1.63 to US$1.76 over the same period, with trailing twelve month net income at US$2.1b providing added context for earnings power. With trailing net profit...
NYSE:CWH
NYSE:CWHSpecialty Retail

Camping World Weighs Sector RV Strength Against Debt And Cash Flow Strain

LCI Industries recently reported strong results, pointing to firm demand for RV components and active production across the sector. This contrasts with Camping World Holdings' recent earnings, which highlight financial and operational pressure, including debt and weaker cash generation. Investors are weighing robust supplier data against company specific headwinds at Camping World Holdings, NYSE:CWH. For Camping World Holdings, NYSE:CWH, the latest sector read through from LCI Industries...
NasdaqGS:LGIH
NasdaqGS:LGIHConsumer Durables

LGI Homes Tests Premium Terrata Brand With California Murieta Hills Launch

LGI Homes (NasdaqGS:LGIH) has opened Murieta Hills, its first Terrata Homes community in California. The launch brings the Terrata Homes brand into a higher priced West Coast market alongside LGI Homes’ core affordable offerings. This move expands the company’s geographic footprint and introduces a higher end product mix within its portfolio. LGI Homes, known for its focus on entry level and affordable single family homes, is adding a premium layer to its portfolio with Terrata Homes in...
NasdaqGS:EBC
NasdaqGS:EBCBanks

Eastern Bankshares LGBTQ+ Leadership Recognized As Valuation Signals Undervaluation

Eastern Bankshares, parent of Eastern Bank, earned a perfect score on the 2026 Corporate Equality Index. This marks the twelfth consecutive year the bank has received top marks for LGBTQ+ workplace inclusion. The recognition reflects the company’s long running focus on diversity, equity, and inclusion in its culture and policies. For investors following NasdaqGS:EBC, this recognition comes with the shares recently trading around $21.36 and a return of 15.2% year to date and 18.2% over the...
NasdaqGS:FELE
NasdaqGS:FELEMachinery

Franklin Electric Marries AI Efficiency Push With Higher Dividend Focus

Franklin Electric (NasdaqGS:FELE) is rolling out a value acceleration office focused on operational improvements supported by artificial intelligence tools. The company is using AI-driven initiatives to refine processes and cost management across its operations. Franklin Electric has also raised its quarterly dividend, reinforcing its pattern of returning cash to shareholders. Franklin Electric, known for its water and fueling systems, is pushing into more data driven operations as it looks...
NasdaqGS:BYND
NasdaqGS:BYNDFood

Should Beyond Meat’s (BYND) Asset Impairment and SEC Filing Delays Prompt Investor Reassessment of Management Transparency?

In recent months, multiple law firms have filed federal securities class action lawsuits against Beyond Meat, alleging that the company misrepresented the value of certain long-lived assets and its ability to file timely SEC reports, following the disclosure of a US$77.4 million non-cash impairment charge for the third quarter of 2025. The wave of litigation introduces legal, financial reporting, and governance uncertainties that could affect how investors assess Beyond Meat’s balance sheet...
NYSE:EQT
NYSE:EQTOil and Gas

Is EQT (EQT) Still Attractive After Strong Multi‑Year Share Price Gains?

If you are wondering whether EQT is still fairly priced after its recent run, you are not alone. The numbers tell an interesting story that goes beyond the headline share price. EQT last closed at US$58.63, with returns of 3.0% over 7 days, 16.0% over 30 days, 9.7% year to date, 9.4% over 1 year and a very large gain over 5 years. Recent news around EQT has focused on the broader natural gas sector, including commentary on supply trends, pricing conditions and how producers are positioning...
NYSE:CRL
NYSE:CRLLife Sciences

Charles River Laboratories NYSE CRL Quarterly Profit Streak Tests Bearish Profitability Narrative

Charles River Laboratories International (CRL) has just posted its FY 2025 third quarter numbers, with revenue of US$1,004.9 million and basic EPS of US$1.11, against a backdrop where trailing 12 month results still reflect a net loss on EPS. The company has seen quarterly revenue move between US$984.2 million and US$1,032.1 million over the first half of FY 2025, with basic EPS ranging from US$0.50 to US$1.06. Trailing 12 month revenue sits at about US$4.0 billion paired with a net loss of...
NYSE:CFR
NYSE:CFRBanks

Cullen Frost Bankers Dividend Track Record Underpins Earnings And Income Appeal

Cullen/Frost Bankers (NYSE:CFR) highlights a robust dividend record, with a pattern of regular increases that outpaces many peers. The company presents this dividend profile as evidence of sustained financial strength and a positive outlook for future earnings. The bank indicates potential for further dividend growth, reinforcing its appeal for income focused shareholders. Cullen/Frost Bankers, a Texas based regional bank, is putting its dividend front and center at a time when many...
NYSE:CBU
NYSE:CBUBanks

Reassessing Community Financial System (CBU) After Recent Share Price Swings

If you are wondering whether Community Financial System is priced fairly at around US$63.92, taking a closer look at its valuation metrics can help you see what the market might be factoring in. The stock has had mixed short term moves, with a 3.6% decline over the last 7 days, a 3.5% return over the last 30 days, and a 10.0% return year to date, while the 1 year return sits at 1.3% and the 3 year return at 18.8%. Recent coverage of Community Financial System has focused on its position...
NYSE:LBRT
NYSE:LBRTEnergy Services

Liberty Energy Targets Data Center Power And Electric Frac Earnings Shift

Liberty Energy (NYSE:LBRT) is expanding into distributed power generation aimed at gigawatt scale data center demand through its Liberty Power Innovations unit. The company is also advancing its position in electric fracking technology, focusing on lower emissions and high power efficiency at the wellsite. Together, these initiatives reflect a material shift beyond traditional oilfield services into energy support for digital infrastructure. Liberty Energy, known primarily for its hydraulic...
NYSE:SVV
NYSE:SVVMultiline Retail

Is It Time To Reconsider Savers Value Village (SVV) After Recent Share Price Pullback?

If you are wondering whether Savers Value Village is fairly priced or if the market is missing something, this article will walk you through what the current share price might be implying about its underlying worth. The stock most recently closed at US$10.62, with returns of 1.3% over 30 days, a 12.4% gain year to date, and a 5.2% decline over the past year that may have shifted how investors think about its risk and potential. Recent coverage has focused on Savers Value Village as a...
NasdaqGS:CARG
NasdaqGS:CARGInteractive Media and Services

Exploring 3 High Growth Tech Stocks In The US Market

As the U.S. stock market kicks off February with a robust performance, highlighted by significant gains in major indices such as the Dow Jones Industrial Average and S&P 500, investors are closely watching the tech sector for potential high-growth opportunities. In this dynamic environment, identifying promising tech stocks involves considering factors like innovation, market demand, and adaptability to current economic conditions.
NYSE:MGM
NYSE:MGMHospitality

3 Stocks Estimated To Be Undervalued By Up To 49.2%

As February begins, the U.S. stock market has shown notable strength with major indices like the Dow Jones Industrial Average and S&P 500 posting significant gains, reflecting optimism among investors despite ongoing economic uncertainties. In such a vibrant market environment, identifying undervalued stocks can be particularly appealing as they may offer potential for growth at a discounted price.
NYSE:LDI
NYSE:LDIDiversified Financial

Promising Penny Stocks To Consider In February 2026

As February begins, U.S. stock indexes have shown a strong start with the Dow Jones Industrial Average climbing by 515 points and the S&P 500 nearing a record high. While larger market trends capture headlines, investors often overlook smaller opportunities such as penny stocks, which despite their vintage name, continue to offer potential for significant returns when backed by solid financials. This article explores three promising penny stocks that combine balance sheet strength with...
NYSE:MCB
NYSE:MCBBanks

Undiscovered Gems in the US Market Featuring 3 Promising Stocks

As the U.S. stock market kicks off February with a notable upswing, highlighted by the Dow Jones Industrial Average's 515-point gain and the S&P 500 nearing record highs, investors are keenly observing how economic shifts and policy changes might impact small-cap stocks. Amidst this backdrop of optimism and strategic trade deals, identifying promising opportunities in lesser-known stocks can be an effective strategy for those looking to diversify their portfolios in today's dynamic market...
NYSE:CNK
NYSE:CNKEntertainment

Cinemark Holdings CNK Margin Slide Challenges Bullish Profitability Narratives After FY 2025 Q3 Results

Cinemark Holdings (CNK) has put up a mixed FY 2025 scorecard so far, with Q3 revenue of US$857.5 million and EPS of US$0.43, following Q2 revenue of US$940.5 million and EPS of US$0.81, and a Q1 loss of US$0.32 per share on revenue of US$540.7 million. The company has seen revenue move from US$734.2 million in Q2 2024 to US$921.8 million in Q3 2024, alongside EPS shifting from US$0.37 to US$1.54 over that stretch, so investors are likely to focus on how current margins stack up against that...
NYSE:FDP
NYSE:FDPFood

Fresh Del Monte Produce (FDP) Earnings Hit One Off Loss That Fuels Margin Debate

Fresh Del Monte Produce (FDP) has reported a mixed set of FY 2025 numbers, with Q3 revenue of US$1.0b and a basic EPS loss of US$0.61, set against trailing 12 month EPS of US$1.65 and net income of US$79.2m. The company has seen quarterly revenue move between US$1.0b and US$1.2b over the last six reported periods, while basic EPS has ranged from a loss of US$0.61 to a high of US$1.18. The latest quarter therefore lands at the weaker end of that spectrum and leaves investors focused on how...
NYSE:CSTM
NYSE:CSTMMetals and Mining

Constellium (CSTM) Margin Compression To 1.4% Tests Bullish Profitability Narratives

Constellium FY 2025 Results: Revenue Steady, Earnings Volatile Constellium (CSTM) just posted another quarter of mixed numbers, with Q3 2025 revenue at US$2.2b, basic EPS of US$0.63 and net income of US$88m. The latest trailing twelve month figures show revenue of about US$8.0b and EPS of US$0.80 alongside a net margin of 1.4% compared to 1.8% the prior year. Over recent quarters, the company has seen revenue move from US$1.8b in Q3 2024 to US$2.2b in Q3 2025. Quarterly EPS has swung from a...
NYSE:TPL
NYSE:TPLOil and Gas

Is It Too Late To Consider Texas Pacific Land (TPL) After Its Sharp Recent Rally

If you are wondering whether Texas Pacific Land is attractively priced or simply expensive for what you get, you are in the right place to unpack what the current share price might be implying. The stock closed at US$440.71, with returns of 6.6% over 7 days, 30.6% over 30 days, 47.9% year to date, while the 1 year return stands at a 5.3% decline and the 3 year and 5 year returns are 129.4% and 268.9% respectively. Recent news around Texas Pacific Land has focused on its position within the...