U.S. Logistics Stock News

NasdaqGS:VRSN
NasdaqGS:VRSNIT

VeriSign (VRSN) On Earnings And Buyback News Its Fair Value Debate Returns

How VeriSign’s latest earnings, guidance and capital returns set the stage VeriSign (VRSN) is back in focus after releasing second quarter 2026 results, updating full year guidance, affirming its dividend and lifting its share repurchase authorization. This gives investors several fresh data points to assess. See our latest analysis for VeriSign. The earnings beat, higher 2026 guidance, affirmed dividend and larger buyback authorization have coincided with a 7.04% 1 day share price return and...
NYSE:MA
NYSE:MADiversified Financial

Mastercard (MA) Weighs Vocalink Sale, Is The Stock Fully Priced?

Vocalink sale talks put Mastercard’s UK footprint in focus Mastercard (MA) is weighing a potential majority sale of its UK payments subsidiary Vocalink to British banks, bringing fresh attention to the company’s role in critical UK retail payment infrastructure. The review centers on Vocalink’s position in processing much of the UK’s retail payments and follows ongoing debate over foreign ownership of key national systems, which could influence how investors think about Mastercard’s...
NYSE:CHE
NYSE:CHEHealthcare

Is Chemed (CHE) Fully Valued On Barington Capital's Push For Change?

Barington Capital has escalated its campaign at Chemed (CHE), pressing the board to launch a strategic review, cut executive perks, and refresh governance. These moves put fresh attention on how the company allocates capital. See our latest analysis for Chemed. Chemed’s share price has moved to US$511.13, with a 1 month share price return of 10.33% and a 3 month share price return of 21.38%. The 1 year total shareholder return of 10.26% contrasts with a slightly negative 3 year total...
NYSE:OVV
NYSE:OVVOil and Gas

Ovintiv (OVV) Is Up 9.3% After Raising 2026 Output Guidance Despite First-Half Net Loss

Ovintiv Inc. reported past second-quarter 2026 results showing revenue of US$3,013 million and net income of US$456 million, alongside detailed production metrics across oil, NGLs, and natural gas. Despite higher quarterly profits, the company recorded a net loss of US$174 million for the first half of 2026, while still raising production guidance, continuing dividends, and completing a meaningful share buyback. Now we will examine how Ovintiv’s stronger-than-prior-year quarterly earnings...
NasdaqCM:DRTS
NasdaqCM:DRTSMedical Equipment

Alpha Tau Medical (DRTS) Clinical Win Puts Its Pricey Valuation Back In Focus

Alpha Tau Medical (NasdaqCM:DRTS) is back in focus after reporting clinical data showing a 100% objective response rate for its Alpha DaRT plus pembrolizumab regimen in elderly head and neck cancer patients, presented at a major specialist conference. See our latest analysis for Alpha Tau Medical. Despite the sharp one day share price pullback of about 5.6% to US$12.50, Alpha Tau Medical still shows strong momentum, with a 30 day share price return of about 14.9% and a year to date share...
NYSE:VIPS
NYSE:VIPSMultiline Retail

Vipshop Holdings (VIPS) Sees Customer Recovery, Is The Stock Trading At A Discount?

How Vipshop Holdings Stock Has Been Trading Recently Vipshop Holdings (VIPS) has seen mixed share performance recently, with the stock down over the past year even as the price gained over the past month and the past 3 months. See our latest analysis for Vipshop Holdings. At a share price of $14.25, Vipshop Holdings reflects mixed momentum, with a 30 day share price return of 8.45% contrasting with a year to date decline of 19.54% and a 1 year total shareholder return that is down 5.23%. This...
NYSE:NOG
NYSE:NOGOil and Gas

Is Permian Shut‑Ins and Aggressive Buybacks Altering The Investment Case For Northern Oil and Gas (NOG)?

Northern Oil and Gas, Inc. recently updated its second-quarter 2026 production guidance, explaining that operators shut in about 7,000 Boe per day in the Permian due to adverse wellhead economics, while Williston and Uinta output exceeded internal expectations and supported record gas volumes despite the curtailments. The company also completed a US$157.0 million buyback program launched in July 2024, retiring 5,651,040 shares and highlighting management’s continued emphasis on returning...
NasdaqGS:FRMI
NasdaqGS:FRMISpecialized REITs

Does Fermi (FRMI) Have the Governance Backbone to Match Its New Leadership Bench?

Earlier in July 2026, Fermi Inc. appointed Rob Masson as CFO and named George Wentz, Anna Bofa, and Jacobo Ortiz to key officer roles, while director Miles Everson resigned after raising concerns about board governance and access to meeting minutes. The unusual combination of fresh senior leadership appointments and a public director departure over transparency issues raises important questions about how Fermi balances rapid growth ambitions with board oversight. Now we'll consider how the...
NasdaqGS:GILD
NasdaqGS:GILDBiotechs

AstraZeneca Pressure Puts Krystal Biotech, TG Therapeutics And Gilead Stocks In Focus

Healthcare investors are watching AstraZeneca closely after fresh comments about operating at Chinese speed, reaffirming a 2030 sales goal of $80b and reporting 6% revenue growth at constant exchange rates in the first half of 2026, even as the Wainua trial setback put its pipeline under scrutiny. This mix of confidence, competition from China and pressure to accelerate drug development could reshape how large pharmaceutical and biotechnology stocks are viewed. This article walks through 3...
NasdaqGS:INTU
NasdaqGS:INTUSoftware

Do TurboTax Pressures and Litigation Shift the Real Story on Intuit’s (INTU) AI Strategy?

In July 2026, Pomerantz LLP disclosed a past class action lawsuit against Intuit, alleging that from August 2025 to May 2026 the company misled investors about its competitive strengths, TurboTax growth outlook, and business model resilience amid intensifying tax-prep competition and a major workforce reduction. The filings and management’s own comments about losing price-sensitive TurboTax customers highlight how rising competition and pricing pressure may be reshaping Intuit’s core tax...
NYSE:ARLO
NYSE:ARLOElectronic

Arlo Technologies (ARLO) Leans On Subscription Growth, Is The Stock A Bargain?

How Arlo Technologies Stock Has Been Trading Around Recent Performance Figures Arlo Technologies (ARLO) has been drawing attention after recent performance metrics highlighted mixed returns over different periods, prompting investors to reassess how the stock’s current pricing lines up with its fundamentals. See our latest analysis for Arlo Technologies. At a share price of $12.87, Arlo Technologies has seen a 1-day share price return of 2.71%, while its year to date share price return is...
NYSE:TX
NYSE:TXMetals and Mining

Ternium (TX) Is Up 6.3% After Expanding Pesqueria Capacity Plan Linked To Nearshoring Demand Narrative

Recently, Ternium has drawn fresh investor attention as analysts highlight a gap between its current valuation and its reported financial results, while the company continues heavy investment in its Pesqueria Industrial Center to expand steelmaking capacity. An interesting angle is how these capacity additions are being closely linked to potential long-term demand tied to nearshoring trends and infrastructure projects, which some investors see as a key support for the company’s operational...
NasdaqGS:TSLA
NasdaqGS:TSLAAuto

Tesla Stock Keeps Founder Led Growth Investing In Focus

Global markets are being pulled in several directions by inflation, energy prices and shifting central bank policies, which leaves many investors wondering where to find leaders who are truly aligned with long term performance. Founder led companies can offer a different kind of anchor, with decision makers who often think in decades instead of quarters and have a personal stake in the outcome. This Founder Led Companies screener is built to surface those businesses. In this article, you will...
NasdaqGS:ROCK
NasdaqGS:ROCKBuilding

How Gibraltar’s Exit from Solar to Refocus on Core Segments Will Impact Gibraltar Industries (ROCK) Investors

Gibraltar Industries has completed the sale of its Renewables business, exiting solar operations to concentrate its resources on the Residential, Agtech, and Infrastructure segments. This move simplifies the company’s portfolio but heightens its dependence on these core end markets, sharpening both execution risk and capital allocation decisions. Next, we’ll examine how Gibraltar’s exit from Renewables and renewed focus on core businesses may reshape its broader investment narrative. The...
NasdaqGS:BPOP
NasdaqGS:BPOPBanks

Is Popular (BPOP) Undervalued After Higher Earnings, Raised Guidance, And A Bigger Buyback?

Popular (BPOP) just delivered a packed update for investors, combining higher second quarter earnings, a raised full year net interest income outlook, a larger dividend, and a fresh share repurchase authorization. See our latest analysis for Popular. At a share price of $171.73, Popular has seen momentum build recently, with a 90 day share price return of 13.92% and a 1 year total shareholder return of 52.42% reinforcing a much stronger 3 and 5 year record. If Popular’s strong recent run has...
NYSE:ROK
NYSE:ROKElectrical

How Rockwell’s Aalo-X Nuclear Control Deal Could Shape the Long-Term Narrative for ROK Investors

Aalo Atomics recently selected Rockwell Automation as the control platform provider for its Aalo-X test reactor, part of the U.S. Department of Energy Reactor Pilot Program accelerating advanced nuclear technologies. This collaboration highlights Rockwell Automation’s role in supplying integrated control and information systems for emerging modular nuclear reactors, linking its automation expertise directly to the energy transition and next-generation power infrastructure. We’ll explore how...
NYSE:CAH
NYSE:CAHHealthcare

UnitedHealth Stock And 2 Dividend Names Worth Watching As Tariffs Stir Markets

Tariffs of 10 to 12.5% on 60 major U.S. trading partners, oil above US$100, and the prospect of a more hawkish Federal Reserve create a tricky backdrop for stock picking. In this kind of policy and inflation tug of war, many investors look to large U.S. dividend stocks with established payout histories and relatively lower volatility as potential anchors in a portfolio. This article walks through 3 stocks from a U.S. Large-Cap Dividend Stocks screener that appear particularly exposed to these...
NYSE:CVNA
NYSE:CVNASpecialty Retail

DoorDash Stock And Other US Consumer Discretionary Names Facing Lower Oil Prices

Oil prices have just swung lower, with Brent crude pulling back to US$92.12 after briefly moving above US$100, as tensions between the US and Iran cooled and military strikes paused around the Strait of Hormuz. For consumer discretionary stocks, that shift in energy costs can influence everything from shopper confidence to travel budgets. At the same time, shipping routes remain disrupted, so the picture is far from simple. This article walks through 3 US Consumer Discretionary stocks that...
NasdaqGS:GOOGL
NasdaqGS:GOOGLInteractive Media and Services

Alphabet (GOOGL) Deepens AI Spending While Maintaining Payouts: Is Its Capital Allocation Playbook Changing?

In late July 2026, Alphabet reported second-quarter 2026 results showing higher sales and net income alongside an affirmation of its US$0.22 quarterly dividend, while also filing a US$69.24 billion shelf registration for up to 200 million Class C shares tied to employee stock plans. At the same time, Alphabet signaled an unprecedented AI and data center buildout, with capital expenditure guidance and long-term contractual obligations in the hundreds of billions of dollars, marking a sharp...
NYSE:FAF
NYSE:FAFInsurance

Earnings Beat And New Esri Data Partnership Might Change The Case For Investing In First American Financial (FAF)

In July 2026, First American Financial reported second-quarter revenue of US$2,117.3 million and net income of US$218.5 million, while affirming a disciplined, synergy-focused acquisition strategy and steady technology investment plans. A key development was First American Data & Analytics making its extensive property intelligence datasets available within Esri’s ArcGIS ecosystem, deepening the company’s role in GIS-driven property and risk analysis workflows. We’ll now examine how this...
NYSE:SSB
NYSE:SSBBanks

Is SouthState’s Q2 Capital Return Surge Altering The Investment Case For SouthState Bank (SSB)?

SouthState Bank Corporation has reported its second-quarter 2026 results, including US$575.95 million in net interest income, US$230.02 million in net income, net charge-offs of US$8 million, a higher quarterly dividend of US$0.66 per share, and completion of a 2.53% share repurchase program totaling US$247.6 million. Together, stronger earnings, modest credit costs, a dividend increase, and sizable buybacks point to management’s confidence in SouthState’s balance sheet and long-term capital...
NYSE:BFH
NYSE:BFHConsumer Finance

The Bull Case For Bread Financial Holdings (BFH) Could Change Following Aggressive Buybacks And Capital Returns Strategy – Learn Why

Bread Financial Holdings reported past second-quarter 2026 results showing net interest income of US$1,039 million and net income of US$146 million, alongside ongoing share repurchases and a declared quarterly dividend of US$0.23 per share. The completion of a large buyback tranche, retiring around 17% of shares since 2025, highlights management’s emphasis on capital returns alongside earnings growth. We’ll now examine how Bread Financial’s stronger earnings and sizeable share repurchases...
NasdaqGS:UFPI
NasdaqGS:UFPIBuilding

How Investors May Respond To UFP Industries (UFPI) 3% Quarterly Dividend Increase And Capital Return Focus

On July 22, 2026, UFP Industries’ board declared a quarterly cash dividend of US$0.36 per share, payable September 15, 2026, to shareholders of record on September 1, 2026, reflecting a 3% increase from the 2025 dividend rate. This dividend increase highlights management’s willingness to return more cash to shareholders, reinforcing the company’s stance on capital deployment and income-focused appeal. We’ll now examine how this higher quarterly dividend shapes UFP Industries’ investment...
NYSE:RTX
NYSE:RTXAerospace & Defense

RTX Stock And 2 Aerospace Picks Backed By Long Term Defense Demand

With inflation, energy prices and interest-rate expectations all pulling on markets at once, many investors are looking for themes that are closely linked to government spending, long-lived contracts and essential services. The Aerospace And Defense screener focuses on companies that manufacture or provide services to this sector, which is often tied to national priorities and long planning cycles. This article highlights 3 stocks from the Aerospace And Defense screener and explains how each...