U.S. Logistics Stock News

NYSE:SWX
NYSE:SWXGas Utilities

Should Southwest Gas (SWX) Return To Profitability And Reaffirmed 2026 Guidance Require Action From Investors?

Southwest Gas Holdings, Inc. recently reported second-quarter 2026 results showing sales of US$358.15 million and net income of US$42.12 million, alongside reaffirmed full-year earnings guidance of US$4.17–US$4.32 per share from continuing operations. The shift from a net loss in the prior-year quarter to positive earnings this year highlights the impact of restructuring and operational improvements on profitability. We’ll now examine how Southwest Gas Holdings’ return to quarterly...
NYSE:COUR
NYSE:COURConsumer Services

Is Coursera (COUR) Undervalued After Strong Sales Growth And EPS Gains?

Coursera (COUR) is back in focus after recent comments on its 15.1% annual sales growth and 68% annual earnings per share gain, along with expectations for additional sales expansion over the next year. See our latest analysis for Coursera. Despite Coursera’s recent sales and earnings updates, the 1 year total shareholder return is down 51.51% and the 3 year total shareholder return is down 64.32%. However, the 3 month share price return has risen 7.04% from a base of US$5.78, which points to...
NYSE:JNJ
NYSE:JNJPharmaceuticals

Johnson & Johnson (JNJ) Stock Could Trade Below Fair Value While Earnings Look Rich

Johnson & Johnson stock has delivered a strong 69.8% return over the past three years, yet the current checks send mixed signals, with a Discounted Cash Flow (DCF) intrinsic value estimate pointing to upside while traditional market multiples lean the other way. Over the past three years, Johnson & Johnson has returned 69.8% to shareholders, which puts more focus on whether the current price still leaves room for attractive long term returns. Progress in areas such as the seltorexant program...
NasdaqCM:SEZL
NasdaqCM:SEZLDiversified Financial

Sezzle (SEZL) Stock Looks Fairly Valued With Strong Returns But Richer Earnings

Sezzle stock has delivered a very large 3 year gain while the broader valuation checks suggest the shares no longer look like a clear bargain at the current price. After such a strong run, the key issue for investors is whether the recent re rating fairly reflects the company’s updated business model and risk profile. Over the last 3 years Sezzle has returned roughly 8.5x, which puts extra focus on whether today’s price still leaves room for a reasonable margin of safety. The planned shift...
NasdaqGS:COGT
NasdaqGS:COGTBiotechs

Has Cogent Biosciences (COGT) Run Too Far After Wider Losses?

Cogent Biosciences (COGT) recently reported second quarter 2026 results, with a net loss of US$96.41 million compared with US$73.53 million a year earlier. For the first half, net loss reached US$193.76 million versus US$145.52 million. See our latest analysis for Cogent Biosciences. The earnings update arrives after a very strong 1 year total shareholder return of 213.21%. The 90 day share price return of 21.38% and more recent 7 day share price decline of 8.67% suggest some momentum has...
NYSE:AMC
NYSE:AMCEntertainment

AMC Entertainment Holdings (AMC) Proposes Governance Changes, Is The Rebound Already Priced In?

Governance changes put AMC Entertainment Holdings (AMC) in focus AMC Entertainment Holdings (AMC) has put corporate governance firmly on the agenda, asking shareholders to vote on declassifying its board, expanding stockholder rights, and loosening limits on director numbers at the September 24, 2026 annual meeting. See our latest analysis for AMC Entertainment Holdings. The governance proposals arrive after a sharp rebound in AMC Entertainment Holdings’ share price, with a 30 day share price...
NasdaqGS:CG
NasdaqGS:CGCapital Markets

Carlyle Group (CG) Reported Weaker Results, Is The Stock A Bargain?

Carlyle Group (CG) stock is in focus after the company reported weaker second quarter 2026 results, with revenue and net income lower than a year earlier, followed closely by a new ESOP related shelf registration filing. See our latest analysis for Carlyle Group. Carlyle Group’s latest results and the ESOP related shelf registration appear to have weighed on sentiment, with the share price falling 4.14% over the last day to $49.28. The stock still shows an 8.26% 90 day share price return and...
NasdaqGS:FLEX
NasdaqGS:FLEXElectronic

Jabil Stock and 2 AI Infrastructure Names Linked To US Onshoring

Tariff worries between the US and China are again in the headlines, and supply chains built around low cost Chinese production now face fresh questions about rules, origin labels and future tariffs. That pressure can hurt some stocks and create room for others that help companies bring production closer to home. This article looks at three stocks exposed to these trade risks and explains why each might matter for your portfolio watchlist. The three stocks below are just a starting sample from...
NYSE:TPL
NYSE:TPLOil and Gas

How Investors May Respond To Texas Pacific Land (TPL) Strong Q2 Earnings And Shifting Revenue Mix

In the second quarter of 2026, Texas Pacific Land Corporation reported revenue of US$246.06 million and net income of US$153.93 million, with basic and diluted earnings per share from continuing operations of US$2.23, all higher than the same period in 2025. For the first half of 2026, the company’s revenue rose to US$482.88 million and net income to US$296.83 million, highlighting sustained earnings expansion that may influence how investors assess the balance between its oil royalty...
NasdaqGS:IOSP
NasdaqGS:IOSPChemicals

What Innospec (IOSP)'s Strong Q2 Earnings and Completed Buyback Mean For Shareholders

Innospec Inc. reported past second-quarter 2026 results showing sales of US$491.4 million and net income of US$30.8 million, with both basic and diluted earnings per share from continuing operations at US$1.25, higher than the same period a year earlier. Alongside these results, Innospec completed a previously announced share repurchase program totaling 423,617 shares for US$34.87 million, signaling ongoing use of excess cash to reduce share count while its more recent 2026 authorization...
NasdaqGS:MU
NasdaqGS:MUSemiconductor

3 AI Infrastructure Stocks With Strong Balance Sheets And Staying Power

With central banks in the North Atlantic region keeping a close eye on inflation and rate paths, investors are again paying attention to balance sheet strength and return on equity. Higher borrowing costs can expose weak finances. Solid Balance Sheet and Fundamentals stocks offer a different story, as they pair high quality balance sheets with efficient profit generation. This article walks through three standouts from the screener worth closer attention. The stocks covered below are just a...
NasdaqGS:VRNS
NasdaqGS:VRNSSoftware

Varonis Systems (VRNS) Launches Agent IBAC, Is The Stock Still Cheap?

Varonis Systems (VRNS) has introduced Agent Intent-Based Access Control within its Atlas platform, a new AI agent safeguard that checks reasoning and data access, flags risky actions, and can quarantine suspect identities or sessions. See our latest analysis for Varonis Systems. Varonis Systems’ latest AI security release lands after a period of strong share price momentum, with a 90 day share price return of 51.13% and a year to date share price return of 40.42%. However, the 1 year total...
NYSE:GEF
NYSE:GEFPackaging

Greif (GEF) Could Be 7% Overvalued As Earnings Growth Meets A Sharp Rally

Greif (GEF) has recently attracted attention after reporting year on year revenue growth of 2.6% and net income growth of 1.3%. Investors are evaluating these figures in relation to the stock’s recent share price performance. See our latest analysis for Greif. Greif’s recent earnings figures sit alongside a strong share price trend, with the stock posting a 14.45% 1 month share price return and a 42.45% 3 month share price return. The 1 year total shareholder return is 35.02%, suggesting...
NYSE:GPK
NYSE:GPKPackaging

Graphic Packaging Holding (GPK) Faces A Valuation Test Following Weak Earnings And Plant Cuts

Graphic Packaging Holding (GPK) drew fresh attention after its second quarter 2026 earnings showed net income declining sharply year over year, alongside new plant divestitures and closure plans, while full year net sales guidance moved to the high end of its range. See our latest analysis for Graphic Packaging Holding. Graphic Packaging Holding's latest footprint optimization plans and weaker quarterly net income have coincided with a share price of US$11.40 and a mixed performance, with a...
NasdaqGS:ZD
NasdaqGS:ZDInteractive Media and Services

How Investors Are Reacting To Ziff Davis (ZD) Massive Buyback And Unusual Q2 2026 Earnings Spike

Ziff Davis, Inc. has now completed a share repurchase program first announced in 2020, buying back 17,330,846 shares, or 40.61% of its stock, for US$919.31 million by June 30, 2026, while reporting second-quarter 2026 sales of US$286.74 million and net income of US$624.46 million. The quarter’s combination of lower sales, basic loss per share from continuing operations of US$1.43, and very large basic earnings per share of US$17.16 points to significant non-operating or one-off items shaping...
NYSE:RBC
NYSE:RBCMachinery

What Is Drawing Fresh Attention To RBC Bearings (RBC)?

RBC Bearings contest nomination puts spotlight on specialty aerospace products RBC Bearings (RBC) is drawing attention after its Satellite Bearing Cartridge, produced in Torrington since 2022, was nominated for the 2026 CBIA Foundation’s Coolest Thing Made in Connecticut contest. The cartridge is designed for use in outer space and is one of 16 products in the contest. For investors, the nomination highlights a niche aerospace application within RBC Bearings' broader precision components...
NasdaqGS:GOOGL
NasdaqGS:GOOGLInteractive Media and Services

AI Stocks Retail Investors Are Watching In ServiceNow Oracle And Alphabet

AI related investment is helping support growth in parts of Europe, even as higher energy costs and conflict risks keep volatility elevated. That mix of caution and targeted spending is drawing fresh attention to stocks tied to the ChatGPT and AI boom. Investors do not want to miss companies powering this shift. This article highlights 3 AI stocks from our screener that stand out on this theme. The three AI stocks below are just a starting sample, and the full screen surfaced 674 more...
NasdaqGS:ARCB
NasdaqGS:ARCBTransportation

Is ArcBest (ARCB) Still Undervalued After Its Recent Pullback?

ArcBest (ARCB) is drawing investor attention after recent share price swings, with the stock closing at US$142.88. The move comes against a backdrop of mixed short term returns and strong longer term performance. See our latest analysis for ArcBest. For context, ArcBest's share price has eased 2.63% over the last day and is down 10.59% over the past month. However, the 90 day share price return of 20.37% and 1 year total shareholder return of 99.87% point to strong momentum over a longer...
NYSE:WMS
NYSE:WMSBuilding

Advanced Drainage Systems (WMS) Could Be 17% Undervalued On Earnings Beat And Dividend Rise

Advanced Drainage Systems (WMS) recently drew investor attention after reporting quarterly results that exceeded Wall Street expectations, confirming fiscal 2027 net sales guidance, and pairing these updates with a higher quarterly dividend and continued share repurchases. See our latest analysis for Advanced Drainage Systems. Those stronger than expected results and the confirmation of fiscal 2027 net sales guidance have coincided with building momentum in Advanced Drainage Systems' stock,...
NYSE:TPC
NYSE:TPCConstruction

Tutor Perini (TPC) Could Be 15% Undervalued After Strong Earnings And A 50% Dividend Hike

Strong quarter, steady outlook and higher dividend draw attention to Tutor Perini stock Tutor Perini (TPC) is in focus after reporting second quarter earnings, reiterating its 2026 outlook for double digit revenue growth and approving a 50% increase in its quarterly dividend. See our latest analysis for Tutor Perini. The recent earnings beat, confirmed outlook and higher dividend come after a powerful run in Tutor Perini shares, with a 30 day share price return of 23.15% and a 1 year total...