U.S. Logistics Stock News

NYSE:RGA
NYSE:RGAInsurance

Will RGA’s (RGA) Valuation and Automation Push Change Reinsurance Group of America's Narrative?

In recent days, Reinsurance Group of America has drawn attention as Zacks highlighted its favorable valuation metrics, strong earnings outlook, and industry-supported business momentum, including participation in the pension risk transfer market and ongoing product repricing efforts. An interesting angle is how RGA’s solid in-force book and increasing use of automation and digital underwriting are being viewed as drivers of more predictable earnings and operational efficiency within the...
NYSE:CWK
NYSE:CWKReal Estate

Is Cushman & Wakefield’s Distressed Debt And Logistics Push Altering The Investment Case For CWK?

In August 2026, Cushman & Wakefield expanded its capabilities by hiring loan restructuring specialist Steve Klein as Managing Director, adding veteran tenant rep broker Drew Morris in Houston, and securing the exclusive listing assignment for GO Industrial’s 1,100,500-square-foot industrial project in Phoenix. Together with Cushman & Wakefield’s report of a very large year-over-year jump in Tri-State industrial leasing and positive net absorption, these moves highlight the firm’s deeper...
NYSE:SFL
NYSE:SFLOil and Gas

SFL (NYSE:SFL) Stock Draws Fresh Interest As Profit Rebounds Meet Capex Questions

SFL stock inched 2.7% higher to US$12.35 into the close, a measured move for a company that just put a much stronger earnings picture on the table. The market seemed willing to pay up a little for stability, but not yet buying into the full story. The headline is simple. SFL delivered Q2 revenue of about US$200.8m and net income of about US$33.8m, with basic earnings per share around US$0.25. For a capital intensive shipping and energy lessor, the real focus for investors was solid profit...
NasdaqCM:TOYO
NasdaqCM:TOYOSemiconductor

Clover Health Stock Stands Out Among Financially Fit Penny Stocks

With Zambia’s inflation easing to 6.2% in August and the kwacha showing resilience, investor confidence in risk assets is getting a quiet boost. That kind of backdrop can make solid, financially healthy penny stocks more interesting for investors hunting early stage opportunities without going all in on fragile balance sheets. This article highlights three Financially Fit Penny Stocks that screen for stronger fundamentals and may deserve a closer look now. The three Financially Fit Penny...
NasdaqGM:PAHC
NasdaqGM:PAHCPharmaceuticals

Phibro Animal Health (PAHC) Stock Looks Discounted Despite A 161% 3 Year Run

Phibro Animal Health has delivered very strong 3 year share price gains, yet the stock still screens as undervalued on the broader valuation checks. For investors, that raises the question of whether the recent performance has already captured most of the opportunity or if the current pricing still leaves room for upside. Phibro Animal Health is up about 160.8% over 3 years, which puts recent returns well ahead of many slower growing peers in the animal health space. The valuation outlook...
NYSE:DY
NYSE:DYConstruction

Dycom Industries (DY) Stock Cools As Backlog Becomes The Big Question

Dycom Industries stock eased about 1% today, extending a soft patch that has left the shares down over the past week, month and quarter. That cool reaction sits awkwardly against a quarter in which Dycom posted record revenue of about US$2.0b and adjusted earnings per share of US$5.29, both ahead of its own outlook. The market seems more focused on what comes next. Dycom raised full year revenue guidance into the mid US$7b range and highlighted a US$12.2b backlog. For investors, the focus now...
NasdaqGS:MBWM
NasdaqGS:MBWMBanks

Mercantile Bank (MBWM) Stock Looks Cheap On Fair Value But Fair On Earnings

Mercantile Bank stock has delivered a strong 5 year return, yet current valuation checks suggest the market price may still sit below a conservative view of intrinsic value. The Excess Returns model points to a meaningful discount, while traditional earnings multiples look broadly in line with peers. Over the past 5 years, Mercantile Bank has returned 125.9%, which puts recent share price moves in the context of a stock that has already created substantial value for long term holders. The...
NYSE:STZ
NYSE:STZBeverage

Has Constellation Brands (STZ) Fallen Far Enough To Trade Below Fair Value?

Constellation Brands stock has retreated sharply over the past three years, yet it still screens as undervalued on broader checks. This puts its current share price under close scrutiny for value focused investors. The share price is down about 46.1% over the past three years, which puts recent weakness at the center of any valuation discussion. Management focus on consumer insights and execution, along with a planned US$100 million commitment to its agricultural supply chain, may support...
NasdaqGS:NVDA
NasdaqGS:NVDASemiconductor

Nvidia (NVDA) Stock Jumps On AI Scale As Margin Durability Looms

NVIDIA stock rose 8.8% to about US$228 in Thursday trading, extending a solid month that had already seen the shares gain by double digits. That jump came as investors absorbed a Q2 report focused on scale and profitability in artificial intelligence data center demand. The headline figures are straightforward: NVIDIA reported US$96.2b in quarterly revenue and roughly US$59.7b in net income, while maintaining gross margin guidance in the mid-70s despite noted expectations for higher memory...
NYSE:BBWI
NYSE:BBWISpecialty Retail

Bath & Body Works (BBWI) Stock Slides As Tariff Refunds Cloud Profit Strength

Bath & Body Works came into this print trading like a problem stock, down over the past month and now slipping another 1.3% to about US$18.65 on the day. The headline from the quarter is not the share price. It is the earnings power that shows up in a roughly US$0.58 basic earnings per share on US$1.5b of revenue, with net income of US$118m. For a retailer known for fragrance and body care, this quarter is really about profit quality. The immediate selloff reflects market expectations rather...
NYSE:GS
NYSE:GSCapital Markets

Goldman Sachs (GS) Stock May Trade At A Discount As Asset Management Deal Expands

Goldman Sachs Group stock has logged a very strong 3 year run, yet current checks suggest it now looks closer to fairly valued on intrinsic value estimates while earnings based multiples still screen as relatively undemanding. With the Excess Returns model pointing to only a modest 7.8% discount to estimated intrinsic value, the stock no longer looks like a clear bargain after the rally. Goldman Sachs Group has delivered a 237.9% return over the past 3 years, which sets a high bar for anyone...
NasdaqGM:QCRH
NasdaqGM:QCRHBanks

How QCR Holdings’ Dividend Hike At QCRH Has Changed Its Investment Story

QCR Holdings, Inc. recently announced that its Board of Directors increased the quarterly cash dividend to US$0.15 per share from US$0.10, payable on October 5, 2026, to shareholders of record as of September 18, 2026. This higher payout highlights management’s emphasis on returning capital to shareholders while underscoring the board’s confidence in the bank’s capital position and earnings resilience. We’ll now examine how this higher quarterly dividend shapes QCR Holdings’ investment...
NasdaqGS:WDC
NasdaqGS:WDCTech

Western Digital (WDC) Retired Part Of Its 2028 Convertible Debt Early

Western Digital (NasdaqGS:WDC) has completed a privately negotiated deal to retire a portion of its 2028 convertible debt using cash and newly issued stock. The company used cash to cover the base principal amount and issued a limited number of shares to settle the conversion premium. This reduces long term debt obligations. The transaction is intended to cut future interest payments and limit stock dilution for existing shareholders ahead of the 2028 maturity. Western Digital is far from...
NYSE:EMR
NYSE:EMRElectrical

What Does Emerson Electric (EMR) 13 Year Energy Deal Mean For Its Growth?

Emerson Electric (NYSE:EMR) and Equinor have entered a new 13-year collaboration to supply advanced measurement instrumentation and analytical technologies across Equinor's global offshore and onshore energy operations. The agreement deepens a relationship that spans more than four decades and positions Emerson as a key technology partner for Equinor's digitalization and automation efforts. The multi year commitment focuses on measurement innovation and operational excellence across European...
NasdaqCM:BWEN
NasdaqCM:BWENElectrical

Broadwind Stock Leads U.S. Industrials Screen Built For Reshoring Demand

With fresh 50% U.S. “emergency” tariffs on Canadian goods shaking long standing trade links, investors are suddenly being forced to rethink which companies are most exposed to cross border friction and which ones lean more on U.S. based production. That kind of shock can shuffle winners and laggards quickly, which creates both risk and potential opportunity. This article walks through three stocks from a reshoring focused screener that could be positively exposed to this new backdrop. The...
NasdaqGS:TIGR
NasdaqGS:TIGRCapital Markets

UP Fintech Holding (NasdaqGS:TIGR) Stock Grapples With Profit Return And Thinner Margins

UP Fintech Holding stock dropped 7.3% to US$5.06 after the Q2 2026 report, a sharp move for a broker that many investors view as a steady compounder with a low P/E and a large discount to its discounted cash flow estimate. The headline this quarter is simple: revenue hit a record US$182.0m and the company swung back to a US$39.4m profit after a Q1 loss tied to a one off penalty. For a business priced as if its best days might be behind it, this return to profitability and fresh revenue high...
NasdaqGS:OKTA
NasdaqGS:OKTAIT

Okta (OKTA) Stock Price Surges As AI Bookings And Profit Grow

Okta entered this earnings print already priced as a high‑expectation identity stock, and the market just pressed that bet harder. The share price jumped 28.6% to US$172.89 in regular trading, a move that tells you traders saw more than just a solid quarter. The headline is simple. Okta turned in a profitable Q2 with basic earnings per share of US$0.67 on US$805 million of revenue, and bookings in what management called a record non Q4 quarter. The real story for investors now is whether this...
NasdaqGS:SFM
NasdaqGS:SFMConsumer Retailing

What Is Sprouts Farmers Market (SFM) Gaining From Its 480 Store Pasta Rollout?

Sprouts Farmers Market (NasdaqGS:SFM) has entered a nationwide partnership with Giadzy to stock Italian-made gluten-free pasta across all 480 stores. The deal marks Giadzy's first placement in a national retail chain in the United States. The new gluten-free pasta line expands Sprouts' specialty and health-focused product assortment for shoppers seeking premium options. For investors tracking how specialty grocers refine their product mix and customer appeal, it can be useful to compare...
NasdaqGS:TBBK
NasdaqGS:TBBKBanks

Bancorp (TBBK) Rebounds Over 90 Days, Is The Stock Still Cheap?

Recent Share Performance And Business Profile Bancorp (TBBK) has drawn investor attention after recent trading, with the stock near $66.44 as of 26 August 2026. The move comes against a mixed pattern of short and longer term returns. Over the past day the share price edged up about 0.2%, while it is down roughly 0.7% over the past week and about 3% over the past month. Over the past 3 months, the stock shows a gain of about 20%, although the 1 year total return reflects a decline of about...
NYSE:MTRN
NYSE:MTRNMetals and Mining

Materion (MTRN) Climbed, But What Is Drawing Fresh Attention?

Wall Street interest in Materion (MTRN) has increased after analysts collectively raised earnings estimates and highlighted a potential 32.8% upside from current levels, drawing fresh attention to the stock’s recent performance. The recent move in Materion’s share price to US$246.15 comes after a strong run, with a 30-day share price return of 17.38% and a year to date share price return of 91.51%. The 1-year total shareholder return of 122.62% signals momentum that has built steadily rather...
NasdaqGS:APP
NasdaqGS:APPMedia

Is AppLovin (APP) Undervalued After Strong Growth And A Miss Versus Guidance?

AppLovin (APP) is back in focus after its latest quarterly update, which combined strong year over year revenue growth and an operating margin of 77.4% with results that fell short of management’s guidance. AppLovin’s share price has come under pressure, with the 30 day share price return down 25.35% and the year to date share price return down 50.17%. The 3 year total shareholder return is up more than 6x, so recent momentum has clearly faded from a much stronger longer term run. Spot...
NYSE:WRB
NYSE:WRBInsurance

Berkley Meridian Reshuffle: Does WRB’s Specialty Focus Reveal a Deeper Edge in Casualty Risk?

W. R. Berkley recently formed Berkley Meridian, combining Verus Specialty Insurance and Vela Insurance Services under president Marlo M. Morrison, and appointed Hena Choi as head of Casualty for Berkley Re Asia in Singapore, consolidating specialty capabilities across construction, professional liability, garage, casualty, and other lines. These moves suggest W. R. Berkley is tightening its specialty and reinsurance operations to offer a more consistent, efficient experience for wholesale...
NasdaqGS:COIN
NasdaqGS:COINCapital Markets

Coinbase (COIN) Opens Bitcoin Backed Mortgages To US Homebuyers

Coinbase Global (NasdaqGS:COIN) and Better Home & Finance have launched a Bitcoin-backed mortgage product to general availability in the US. The offering lets qualified homebuyers use Bitcoin as collateral for a down payment on a conforming mortgage, expanding access to crypto-backed home loans. Supporters highlight a new use case for digital assets in real estate transactions, while critics question the product's complexity and potential costs versus traditional mortgages. This launch ties...
NYSE:AX
NYSE:AXBanks

How Axos Financial’s NYSE Texas Dual Listing (AX) Has Changed Its Investment Story

Axos Financial, Inc., the holding company for Axos Bank, Axos Clearing, and Axos Invest, recently completed a dual listing of its common stock on NYSE Texas to increase investor visibility and deepen its connection to the state. This move effectively ties Axos more closely to one of the country’s most important growth markets, potentially broadening its regional investor base and brand recognition. Next, we’ll examine how Axos’s new NYSE Texas dual listing could influence its digitally...