U.S. Life Sciences Stock News

NYSE:ORI
NYSE:ORIInsurance

Old Republic International (ORI) Stock May Offer A 41% Discount On Q2 Earnings Preview

Old Republic International has delivered a 147.3% total return over five years, yet its valuation checks and intrinsic value estimate still suggest the stock may be pricing in less than its full potential at the recent US$41.32 close. Over the past five years, Old Republic International has returned 147.3%, which puts current pricing in the context of a stock that has already rewarded long term holders. Heading into the upcoming earnings release, the key swing factor for valuation is whether...
NYSE:BNY
NYSE:BNYCapital Markets

Record Q2 Earnings And Upgraded 2026 Outlook Could Be A Game Changer For Bank of New York Mellon (BNY)

In mid-July 2026, Bank of New York Mellon Corporation reported record second-quarter results with higher net interest income of US$1,446 million and net income of US$1,761 million, alongside a US$0.63 quarterly common dividend, preferred dividends, share repurchases totaling about US$1.10 billion, and a US$500 million senior preferred fixed-income offering. Analyst optimism has intensified as BNY raised its 2026 outlook after delivering record revenue and very strong earnings per share...
NasdaqGS:EVRG
NasdaqGS:EVRGElectric Utilities

Evergy (EVRG) Gains Momentum, Is It Still 4% Undervalued?

Evergy (EVRG) is back on investor radar after recent share price moves, prompting a closer look at how the US$19.98b utility’s fundamentals and recent returns stack up for long term holders. See our latest analysis for Evergy. At a share price of US$86.65, Evergy’s recent 90 day share price return of 6.67% and 18.57% year to date move sit alongside a 1 year total shareholder return of 28.59%, indicating that momentum has been building over both shorter and longer horizons. If you are...
NasdaqGS:GLXY
NasdaqGS:GLXYCapital Markets

Galaxy Digital (NasdaqGS:GLXY) Appoints Steven Bandrowczak To Its Board And Audit Committee

Galaxy Digital (NasdaqGS:GLXY) has appointed Steven Bandrowczak as an Independent Director. Bandrowczak will also serve on the Audit Committee, bringing enterprise technology and data infrastructure experience to the Board. The appointment adds public company governance and M&A expertise as Galaxy Digital builds out its institutional and infrastructure platform. Galaxy Digital, trading at $24.32, has delivered a very large 3 year return, while the 1 year return is down 23.7% and the 5 year...
NYSE:RPM
NYSE:RPMChemicals

RPM International (RPM) Stock Faces Margin Decline Reinforcing Bearish Profitability Narrative

RPM International (RPM) has just closed out FY 2026 with fourth quarter revenue of US$2.2 billion and basic EPS of US$1.76, supported by net income of US$222.9 million. Trailing 12 month revenue came in at US$7.9 billion with EPS of US$5.21 and net income of US$661.4 million. Over recent periods the company has reported quarterly revenue ranging from US$1.6 billion to US$2.2 billion and EPS between US$0.40 and US$1.78, which gives investors a view of how earnings track through RPM...
NYSE:NFG
NYSE:NFGGas Utilities

Should Raised Earnings Estimates And ESP Signal Require Action From National Fuel Gas (NFG) Investors?

National Fuel Gas recently reported that analysts had raised earnings estimates ahead of its June 2026 quarter results, even as year-over-year earnings were projected to decline while revenues were expected to increase. This combination of rising estimates, a positive Earnings ESP signal, and an established record of earnings surprises has sharpened investor focus on how the upcoming July 29 earnings release could compare with consensus expectations. With analysts lifting earnings estimates...
NYSE:KMI
NYSE:KMIOil and Gas

Kinder Morgan (KMI) Stock EPS Growth Reinforces Bullish Earnings Narrative In Q2 2026

Kinder Morgan (KMI) has put fresh numbers on the board for Q2 2026, reporting revenue of US$4.5 billion and net income of US$867 million. This translates to basic EPS of US$0.39, set against 27.4% earnings growth over the past year and a trailing net margin of 19.2%. The company’s quarterly revenue has moved from US$4.0 billion and EPS of US$0.32 in Q2 2025 to US$4.5 billion and EPS of US$0.39 in Q2 2026. Over the same period, trailing twelve month EPS has increased from US$1.22 to US$1.55,...
NasdaqGS:PEP
NasdaqGS:PEPBeverage

3 Consumer Staples Stocks Built To Hold Up Under Inflation Pressure

With markets wrestling with an 82% chance of a September Federal Reserve rate hike, $100 Brent crude, and U.S. gasoline at $4 per gallon, investors are being forced to think harder about where to find relative resilience. Consumer staples stocks do not escape higher inflation or borrowing costs, but their focus on everyday essentials can put them in a different position when budgets tighten. This article looks at how the latest macro shocks connect to large-cap staples and highlights three...
NYSE:BF.B
NYSE:BF.BBeverage

Brown Forman (BF.B) Stock Looks Cheap On Cash Flow But Fair On Earnings

Brown-Forman stock has fallen sharply over the past few years, yet the latest Discounted Cash Flow (DCF) intrinsic value estimate suggests the shares may still be trading at a discount to what the company’s cash flows imply. Brown-Forman shareholders have seen the stock decline about 60.4% over the past 3 years, which puts recent pricing under closer scrutiny for signs of a possible reset or a value trap. The planned retirement of long-serving CEO Lawson Whiting and a difficult operating...
NasdaqGS:STLD
NasdaqGS:STLDMetals and Mining

Steel Dynamics (STLD) Stock May Be 32% Undervalued Despite Record Shipments

Steel Dynamics stock has surged over the past few years, yet current valuation checks still point to upside, with both the Discounted Cash Flow (DCF) intrinsic value estimate and earnings based multiples suggesting the shares may be trading below what the fundamentals imply. Steel Dynamics has delivered a very strong 301.2% return over the past 5 years, which puts extra focus on whether recent gains are already pricing in its fundamentals. Record steel shipments and broad based demand can...
NasdaqCM:GEVO
NasdaqCM:GEVOOil and Gas

Gevo (GEVO) Could Be 66% Undervalued On Board Appointment And Earnings Focus

Gevo (GEVO) is drawing fresh attention after appointing Todd Werpy, a long-tenured leader in sustainable technologies and biotechnology, to its Board of Directors, alongside interest around the upcoming second quarter 2026 earnings call. See our latest analysis for Gevo. Gevo’s share price has climbed in recent weeks, with a 30 day share price return of 30.71% and a 7 day move of 15.09%. Year to date, however, the share price return is down 11.16%, while the 1 year total shareholder return of...
NYSE:AWI
NYSE:AWIBuilding

Armstrong World Industries’ Bigger Buyback and Steady Dividend Might Change The Case For Investing In AWI

Armstrong World Industries recently affirmed a quarterly dividend of US$0.3390 per share, payable on August 19, 2026, and, on July 21, 2026, increased its share repurchase authorization by US$800 million to a total of US$2.50 billions, extending the program through December 31, 2029. Together, the larger and longer buyback plan and the maintained dividend highlight the company’s current focus on returning cash to shareholders. We’ll now examine how the expanded share repurchase authorization...
NasdaqGS:IPAR
NasdaqGS:IPARPersonal Products

Interparfums (IPAR) Stock May Be Rich Following Second Quarter Sales Update

Interparfums stock has delivered a 77.9% total return over the past five years, yet its current market price sits between two conflicting valuation signals, with a Discounted Cash Flow (DCF) estimate pointing to meaningful upside while earnings based multiples suggest the shares are not cheap. Over five years, Interparfums has returned 77.9%, which puts recent share performance firmly in positive territory and raises the bar for what counts as attractive value today. The recent update on net...
NasdaqGS:TSLA
NasdaqGS:TSLAAuto

Electric Vehicles Update - Accelerating Growth Driven By Innovation And Policy Incentives

The U.S. battery electric vehicle (BEV) market is poised for significant growth, propelled by charging network expansion, government policy incentives, and technological advancements in battery and fast-charging systems. The market, valued at USD 102.56 billion in 2025, is projected to reach USD 715.50 billion by 2033, with a compound annual growth rate of 25.6% from 2026 to 2033. Federal and state emissions regulations are encouraging automakers to intensify investments in zero-emission...
NasdaqGS:HWC
NasdaqGS:HWCBanks

3 US Bank Stocks Facing A Higher Rate Test

Surging bond yields, oil above $100 a barrel, and rising war related spending tied to Iran are putting traditional US bank stocks under a very different kind of spotlight. Higher rates can reshape funding costs, loan demand, and bond portfolios, while broad equity weakness adds another layer of pressure. For investors looking at large cap US lenders, this mix of inflation worries and fiscal strain can create both potential openings and clear risks. This article breaks down how three US bank...
NYSE:MSI
NYSE:MSICommunications

How Rising Analyst Optimism on Earnings Outlook Will Impact Motorola Solutions (MSI) Investors

In the past week, analyst reports highlighted growing optimism around Motorola Solutions, with upward revisions to earnings estimates and a favorable Zacks Rank ahead of its upcoming quarterly update. This combination of a positive Earnings ESP and a strong track record of recent earnings surprises has raised expectations for how the company might perform when it reports next. Next, we’ll examine how this rising analyst confidence in Motorola Solutions’ earnings outlook could influence the...
NYSE:MCD
NYSE:MCDHospitality

McDonald's (MCD) Could Be 10% Overvalued After Its Dividend Affirmation

McDonald's (MCD) has just affirmed its shareholder payout policy, declaring a quarterly cash dividend of $1.86 per share, payable on September 16, 2026, to investors of record on September 1. See our latest analysis for McDonald's. That dividend decision comes at a time when McDonald's share price has been under pressure, with the stock down over the year to date and the 1 year total shareholder return declining 8.59%, signalling fading momentum despite the long term 5 year total shareholder...
NYSE:AXS
NYSE:AXSInsurance

AXIS Capital (AXS) Stock Still Looks Cheap After A 161% Run

AXIS Capital Holdings has delivered a strong share price run over the past five years, yet the current valuation checks still suggest the stock trades on the cheap side rather than looking fully priced in. AXIS Capital Holdings has returned 160.9% over the past five years, which puts more focus on whether today’s price still offers a margin of safety after such a solid run. For a financial group like AXIS Capital Holdings, investors may see disciplined underwriting and balance sheet strength...