U.S. Logistics Stock News

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:F
NYSE:FAuto

Should Ford’s Blue Bird Deal and Lincoln Repatriation Plans Require Action From Ford (F) Investors?

In early August 2026, Blue Bird Corporation announced a collaboration with Ford Motor under which Blue Bird will design, manufacture, and sell the next generation F-53/F-59 commercial stripped chassis paired with Ford powertrains, with new production expected to start in 2028. Ford’s plan to shift Lincoln production from China to U.S. plants by 2030, in response to tariffs and regulatory pressures, highlights how trade policy is reshaping its global manufacturing footprint and long-term cost...
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...
NYSE:DXC
NYSE:DXCIT

Is DXC Technology (DXC) Cheap Following Its AI Push And Primary Partnership?

DXC Technology (DXC) is back in focus after launching DXC Workplace Services, an AI-native offering built on its DXC OASIS platform, and securing an exclusive managed services role on Primary’s AI-focused Zero Trust security platform. See our latest analysis for DXC Technology. Despite the recent AI-focused product launches and partnerships, DXC Technology’s 1-day share price return declined 3.71% to US$10.39. However, the 30-day and 90-day share price returns of 9.71% and 16.35% suggest...
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...
NYSE:MTN
NYSE:MTNHospitality

Vail Resorts (MTN) Eyes Cost Savings And Guest Spend, Is The Stock Fully Priced?

Vail Resorts (MTN) has trailed the S&P 500 over the past six months, gaining 7.6% versus the index's 13.9% return. Investors are weighing weaker skier visit growth and its effect on revenue and reinvestment capacity. See our latest analysis for Vail Resorts. Over the past year, Vail Resorts’ share price return has been relatively muted, with a 90 day share price gain of 18.6% contrasting with a 1 year total shareholder return of just 1.25%. This suggests recent momentum has picked up after a...
NYSE:FIG
NYSE:FIGSoftware

Is Figma (FIG) Fully Valued As Earnings Lift Revenue Outlook But Losses Widen?

Figma earnings jolt puts the focus on growth and losses Figma (FIG) moved into the spotlight after its 5 August 2026 earnings report, as strong reported sales sat alongside a swing to quarterly and year to date losses and a higher full year revenue outlook. See our latest analysis for Figma. Figma’s share price closed at US$24.99 on 13 August 2026 and the stock has fallen sharply over the year despite a 30 day share price return of 4.34% and 90 day share price return of 7.39%. The 1 year...
NYSE:BXMT
NYSE:BXMTMortgage REITs

Blackstone Mortgage Trust (BXMT) Stock Looks Above Fair Value But Sales Look Weak

Blackstone Mortgage Trust stock has been under pressure in 2026, with the share price down 26.9% year to date, while the company still screens as expensive on Simply Wall St's valuation checks rather than as a clear bargain. Year to date the stock has declined 26.9%, which puts recent valuation questions front and centre for anyone already holding or looking at Blackstone Mortgage Trust. The recent decision to place about US$1b of office loans on a watch list may weigh on sentiment, while...
NasdaqGM:GHRS
NasdaqGM:GHRSPharmaceuticals

How Rising Losses And Milestone Spending At GH Research (GHRS) Have Changed Its Investment Story

GH Research PLC has reported past earnings for the second quarter and six months ended June 30, 2026, with net losses of US$15.15 million and US$34.11 million respectively, and basic loss per share from continuing operations of US$0.23 and US$0.53. The widening losses compared with the prior year period place renewed attention on the company’s spending profile and progress toward its clinical and operational milestones. With these wider reported losses as a backdrop, we will now examine how...
NasdaqGS:GFS
NasdaqGS:GFSSemiconductor

GLOBALFOUNDRIES (GFS) Is Up 6.8% After Real-Time AI Data Platform Deal With Redpanda Inc.

Earlier in August 2026, GlobalFoundries Inc. reported second-quarter 2026 results showing sales of US$1,786 million and net income of US$166 million, while also issuing third-quarter guidance, and separately announced a collaboration in which GlobalFoundries selected Redpanda Inc. to build a unified real-time data and AI platform across its global operations. This partnership is material because consolidating equipment, process, engineering, supply chain and manufacturing data into a single...
NasdaqGS:COLB
NasdaqGS:COLBBanks

Can Columbia Banking System (COLB) Stay Below Fair Value For Long?

Columbia Banking System stock has almost doubled investors' money over the past three years, yet the current checks suggest a more nuanced picture, with the intrinsic value estimate pointing to upside while market multiples look roughly in line with peers. That mix raises the question of whether the recent share price is still conservative or already baking in much of the good news. Columbia Banking System has returned 99.3% over three years, which puts extra weight on whether the current...
NasdaqGS:CRAI
NasdaqGS:CRAIProfessional Services

What’s Behind CRA International (CRAI) Stock’s Latest Move?

CRA International (CRAI) is in focus after reporting second quarter results that exceeded analyst expectations, along with broad-based growth in key consulting practices that accounted for more than 95% of total revenue. See our latest analysis for CRA International. The latest results and refinancing news come after a mixed share price run for CRA International, with the stock down 18.11% on a year to date share price basis but still showing a 59.37% three year total shareholder return. This...
NasdaqGM:AXSM
NasdaqGM:AXSMPharmaceuticals

Axsome Therapeutics (AXSM) After Mixed Earnings What Does The Valuation Narrative Say

Axsome Therapeutics earnings spark fresh look at the stock Axsome Therapeutics (AXSM) shares are back in focus after the company reported second quarter 2026 results on 10 August. Revenue for the period and first half increased, while net losses also widened. See our latest analysis for Axsome Therapeutics. Following the earnings release, Axsome Therapeutics shares have eased over the past month, with a 30 day share price return of 7.1% and a 7 day share price return of 3.3%. However, the...
BATS:CBOE
BATS:CBOECapital Markets

What Cboe Global Markets (CBOE)'s Dividend Hike And Clearing Expansion Means For Shareholders

Cboe Global Markets recently announced that its board approved a higher quarterly cash dividend of US$0.86 per share for the third quarter of 2026, up from US$0.72, payable on September 15, 2026 to shareholders of record on August 31, 2026. Alongside this dividend increase, Cboe Clear Europe has broadened its Securities Financing Transactions clearing service into fixed income lending, widening Cboe’s role in the global securities financing ecosystem. Next, we’ll explore how the sizeable...
NYSE:BAH
NYSE:BAHProfessional Services

What Does Booz Allen Hamilton (BAH) Gain From Its $1.2 Billion Notes Offering?

Booz Allen Hamilton Holding (NYSE: BAH) has completed a US$1.2b debt issuance through Senior Notes due 2030 and 2034, backed by a parent guarantee. The new Senior Notes add long dated funding to the company’s capital structure with staggered maturities in 2030 and 2034. The offering provides additional financial flexibility that management can deploy across future growth initiatives and general corporate purposes. For investors who see Booz Allen Hamilton’s latest financing move as part of...
NYSE:LOMA
NYSE:LOMABasic Materials

Loma Negra (LOMA) Faces A 33% Fair Value Gap As Q2 Earnings Land

Loma Negra Compañía Industrial Argentina Sociedad Anónima (LOMA) released second quarter 2026 results, reporting sales of ARS 238,053 million and net income of ARS 7,468 million, providing investors with updated information on profitability and earnings momentum. See our latest analysis for Loma Negra Compañía Industrial Argentina Sociedad Anónima. Loma Negra Compañía Industrial Argentina Sociedad Anónima’s recent earnings release comes as the stock trades at $9.34, with the share price down...
NasdaqGS:PLMR
NasdaqGS:PLMRInsurance

Palomar Holdings (PLMR) Starts Its First Dividend, Where Does Fair Value Sit?

Palomar Holdings dividend and earnings update Palomar Holdings (PLMR) has combined its first quarterly cash dividend with fresh second quarter results, giving investors new information on both income potential and recent operating performance. The company declared an initial quarterly dividend of US$0.45 per share, payable on September 2, 2026, to shareholders of record on August 19, 2026, with the same date set as the ex dividend date. See our latest analysis for Palomar Holdings. Palomar...
NYSE:DT
NYSE:DTSoftware

Dynatrace (DT) Is Down 5.9% After Exchangeable Notes And Outlook Trimmed Has The Bull Case Changed?

In early August 2026, Dynatrace reported first-quarter revenue of US$554.55 million with lower net income year-on-year, trimmed its full-year revenue outlook, completed a US$425.95 million share buyback, announced its CFO’s planned retirement, and later launched a planned US$1.25 billion exchangeable notes offering partly earmarked for further repurchases. Together, these actions highlight a company actively reshaping its balance sheet and leadership while fine-tuning growth expectations and...
NYSE:CLF
NYSE:CLFMetals and Mining

Cleveland Cliffs (CLF) Stock May Be 41% Undervalued On Sales And Cash Flow

Cleveland-Cliffs stock has delivered a steep loss of about 48.1% over the past five years, yet current valuation checks and the intrinsic value estimate using a Discounted Cash Flow (DCF) approach both point to shares trading at a discount to what the business may be worth. That disconnect between a weak long term share price record and an apparently cheap valuation is what investors now need to weigh. The roughly 48.1% decline over five years means long term holders have seen significant...
NYSE:GLOB
NYSE:GLOBIT

Globant (GLOB) Is Down 5.9% After Flat Q2, Cautious 2026 Outlook And New FIFA AI Deal

In August 2026, Globant reported second-quarter 2026 results showing broadly flat sales of US$614.42 million and a return to modest profitability, while issuing guidance for the third quarter and full year that points to roughly flat revenue, alongside no share repurchases under its latest buyback authorization. At the same time, the company launched its Glob.AI services model and was chosen by FIFA to rebuild its global, AI-powered fan engagement ecosystem, highlighting how its AI Pods...
NasdaqGM:GPCR
NasdaqGM:GPCRPharmaceuticals

Structure Therapeutics (GPCR) As August Updates Reframe The Case For Its Valuation

Structure Therapeutics (GPCR) has drawn investor attention after a packed August 6 update that combined second quarter earnings, fresh timelines for aleniglipron clinical data, and the appointment of experienced commercial leader John Berrios. See our latest analysis for Structure Therapeutics. At a recent share price of US$54.51, Structure Therapeutics has seen strong momentum in recent months, with a 30 day share price return of 12.44% and a 90 day share price return of 51.92%. However, the...
NYSE:MWA
NYSE:MWAMachinery

Mueller Water Products (MWA) Acquisition Plans Put Fair Value Back In Focus

Mueller Water Products (MWA) is back in focus after confirming active plans to pursue acquisitions, supported by a sizable cash position, extended debt maturities, and an ongoing share repurchase program that has reduced the share count. See our latest analysis for Mueller Water Products. The recent announcement on acquisitions and completed buybacks comes after a steady year, with Mueller Water Products showing a 5.18% year to date share price return and a 3 year total shareholder return of...