U.S. Logistics Stock News

NasdaqGS:GEHC
NasdaqGS:GEHCMedical Equipment

What Could GE HealthCare Technologies (GEHC) Gain From Its New CFO?

GE HealthCare Technologies (NasdaqGS:GEHC) named William K. Grogan as its next Chief Financial Officer, effective 14 September 2026. Grogan previously held senior finance roles at Xylem Inc. and IDEX Corporation, where he oversaw portfolio repositioning and large acquisition integrations. The CFO transition represents a key leadership shift for GE HealthCare, with potential implications for capital deployment and operational efficiency. For readers interested in more ideas in this area, the...
NasdaqGS:AMGN
NasdaqGS:AMGNBiotechs

Is Amgen (AMGN) Refocusing Its R&D Portfolio With The Exit From TScan’s Crohn’s Deal?

In August 2026, TScan Therapeutics disclosed that Amgen elected to terminate their May 2023 Research Collaboration and License Agreement focused on Crohn's disease, effective November 10, 2026, with no early termination penalty and the wind-down of current research activities. The move ends Amgen's exclusive rights to develop and commercialize any Crohn's disease product candidates from TScan's T-cell target discovery platform, removing potential success-based milestones of over US$500.00...
NasdaqGS:BANR
NasdaqGS:BANRBanks

Banner (BANR) Faces A Valuation Test After Its Pullback

Banner (BANR) has drawn attention after recent share price moves, with the stock edging down around 0.4% in the latest session and roughly 3.8% over the past week on modest trading interest. See our latest analysis for Banner. At a share price of $70.82, Banner has seen short term share price momentum cool after a weekly decline. However, its year to date share price return of 13.37% and 3 year total shareholder return of 79.77% still point to a stronger longer term record. If Banner's move...
NYSE:VFC
NYSE:VFCLuxury

V.F (VFC) Stock Looks Undervalued Relative To Fair Value

V.F stock has fallen sharply over the past five years, yet the current market price of US$14.31 sits at a discount to what both the Discounted Cash Flow (DCF) intrinsic value estimate and market multiples suggest the business may be worth. V.F shareholders have seen the share price decline about 78.0% over five years, which keeps expectations low despite a recent 6.9% gain over the past year. If the company can stabilise cash flows and improve profitability, that can support the intrinsic...
NasdaqGS:JAZZ
NasdaqGS:JAZZPharmaceuticals

Should FDA’s Ziihera First-Line Approval in HER2 Gastric Cancer Require Action From Jazz (JAZZ) Investors?

Jazz Pharmaceuticals recently received U.S. FDA approval for two Ziihera (zanidatamab-hrii)-based regimens as first-line treatments for adults with unresectable locally advanced or metastatic HER2-positive gastroesophageal adenocarcinoma, following Phase 3 data showing longer progression-free and overall survival versus trastuzumab plus chemotherapy. This decision positions Ziihera as the first bispecific HER2 antibody approved in combination with a PD-1 inhibitor and chemotherapy for all...
NYSE:NOW
NYSE:NOWSoftware

Is ServiceNow (NOW) Undervalued After Its AI Partnership Momentum?

ServiceNow (NOW) is back in focus after a series of AI centric announcements, including an expanded partnership with Tech Mahindra, new alliances with CoreX and Tribal, and fresh attention from Wall Street analysts. See our latest analysis for ServiceNow. ServiceNow’s recent AI partnerships and product traction have arrived alongside a sharp 30 day share price return of 29.63% and a 90 day share price return of 28.15%, although the year to date share price return is down 13.16% and the 1 year...
NasdaqGS:ZM
NasdaqGS:ZMSoftware

How Investors Are Reacting To Zoom (ZM) Spotlighting Its Anthropic Stake In AI-First Strategy

Earlier this week, Zoom Communications (NASDAQ: ZM) reported quarterly results, with attention centering on its earnings performance and commentary around AI initiatives. A particular focus was Zoom’s US$51 million stake in AI firm Anthropic, which analysts suggest could materially influence how investors view the company’s long-term value drivers. Next, we’ll examine how Zoom’s Anthropic investment interacts with its AI-first platform ambitions and what this means for the existing...
NYSE:ANET
NYSE:ANETCommunications

Why Arista Networks (ANET) Is Down 6.8% After Surging AI Orders And 2026 Outlook Hike

Earlier this month, Arista Networks reported its first quarter above US$3,000,000,000 in revenue with a 45% operating margin, raised its full-year 2026 guidance, and disclosed that multiyear purchase commitments had grown to US$9.70 billion from US$3.60 billion a year earlier. These results, supported by strong AI infrastructure demand and the Arista 2.0 platform strategy, underline how central high-performance networking has become to modern data centers. We’ll now examine how Arista’s...
NasdaqGS:PANW
NasdaqGS:PANWSoftware

Palo Alto Networks (PANW) Stock Could Be 5% Undervalued On Fresh AI Alliance News

Palo Alto Networks stock has delivered a very large 5 year gain, yet the latest valuation checks suggest the shares are not a clear bargain, with the intrinsic value estimate looking roughly in line with the market price while market based multiples lean expensive. Palo Alto Networks has returned about 3.6x over 5 years, which puts extra focus on whether the current price still leaves room for attractive long term returns. Recent alliances around AI focused cybersecurity, such as the...
NYSE:WK
NYSE:WKSoftware

Why Workiva (WK) Is Back In The Spotlight

Workiva (WK) stock has drawn fresh attention after its recent share price move, with gains of around 43% over the past month and about 52% over the past 3 months prompting closer scrutiny from investors. See our latest analysis for Workiva. Despite this sharp recent momentum in Workiva’s share price, the stock’s year to date share price return is still down 9.75%, and the 1 year total shareholder return has declined 4.7%. This highlights short term optimism set against weaker multi year...
NYSE:WFC
NYSE:WFCBanks

Wells Fargo (WFC) Could Be 14% Undervalued Following Its Asset Cap Exit

Wells Fargo (WFC) has moved into a new phase after the Federal Reserve removed its asset cap in June 2025 and the bank closed its final consent order in early 2026, reporting 17.7% ROTCE in Q2 2026. See our latest analysis for Wells Fargo. At a share price of $84.72, Wells Fargo’s recent pattern shows short term share price returns softening, with a 7 day and 30 day share price decline, while a 90 day share price return of 9.29% and a 3 year total shareholder return of 117.57% point to...
NYSE:UHAL
NYSE:UHALTransportation

U Haul Holding (UHAL) Stock Looks Above Fair Value With Sales Outpacing Value

U-Haul Holding stock has delivered a strong 40.7% gain year to date, yet its valuation checks and current pricing lean expensive rather than obviously cheap. Year to date, U-Haul Holding is up 40.7%. This means anyone buying today is paying a much higher price than at the start of 2026 and needs to think carefully about the margin of safety. For a storage and truck rental business, expectations for steady demand and cash generation can support the current share price. Any pressure on returns...
NasdaqGS:GH
NasdaqGS:GHHealthcare

Is Guardant Health (GH) A Bargain Following Its Patent Verdict Setback?

Guardant Health (GH) is in focus after a U.S. District Court upheld a major patent infringement verdict, imposing over US$245.2m in damages plus 6% ongoing royalties on 11 key products. See our latest analysis for Guardant Health. Guardant Health shares have been volatile around the patent ruling, with the stock down 4.4% on the day but still showing a 10.8% 1 month share price return and a very large 1 year total shareholder return. This suggests momentum has been building despite the legal...
NasdaqGS:AAPL
NasdaqGS:AAPLTech

Apple (AAPL) Stock Looks Fully Priced After New AI Push

Apple stock has more than doubled over the past five years, yet a fresh look at the numbers suggests investors are now paying a premium compared with one key estimate of its intrinsic value. The Discounted Cash Flow (DCF) assessment points to Apple trading above that intrinsic value, while market based multiples look broadly in line with peers and history. Apple has returned 107.8% over the past five years, which puts extra focus on whether current expectations already reflect much of the...
NYSE:TYL
NYSE:TYLSoftware

Can Tyler Technologies (TYL) Alabama Licensing Win Broaden Its Public-Sector Platform Advantage?

Tyler Technologies, Inc. recently launched Alabama’s new cloud-based licensing and user engagement platform for the Department of Conservation and Natural Resources, modernizing how more than 1,200,000 hunting, fishing, and related licenses are sold and managed each year. This rollout deepens Tyler’s multi-decade relationship with Alabama while showcasing its capability to deliver large-scale digital transformations in complex public-sector licensing systems. We’ll now examine how this...
NYSE:MP
NYSE:MPMetals and Mining

MP Materials (MP) Stock May Be Expensive Following Critical Minerals Funding News

MP Materials has delivered a strong 3 year gain, yet the stock now screens as expensive on market multiples, which raises questions about how much of the story is already in the US$57.42 share price. MP Materials has returned about 189.6% over 3 years, which puts recent weakness into the context of a very strong medium term run. Fresh interest in critical minerals linked to the US government's focus on domestic supply chains can support sentiment. Any change in policy momentum or funding...
NasdaqGS:SBUX
NasdaqGS:SBUXHospitality

Starbucks (SBUX) Back To Starbucks Story Keeps Valuation In Focus

Starbucks (SBUX) stock is back in focus after the company sold more than 2 million Unicorn Frappuccinos in one weekend, driving a 28.5% traffic surge and its biggest North America Saturday sales day. See our latest analysis for Starbucks. At a share price of US$107.49, Starbucks has posted a 28.01% year to date share price return and a 28.46% total shareholder return over 1 year, as recent product launches, menu refreshes and restructuring moves keep sentiment focused on whether this momentum...
NYSE:MOS
NYSE:MOSChemicals

Is Mosaic (MOS) Quietly Recasting Its Investment Story Through Debt Refinancing and Biosciences Expansion?

Earlier in August 2026, Mosaic raised about US$2.0 billion through new senior notes and used much of the proceeds to refinance existing debt, while its Biosciences unit launched Renuvis Enzara, an enzyme-based residue management product aimed at improving field conditions and equipment efficiency for growers. This combination of large-scale balance sheet reshaping and a new biosciences offering highlights Mosaic’s parallel efforts to manage financing costs and expand into higher-value...
NYSE:WEX
NYSE:WEXDiversified Financial

Is WEX (WEX) Using EV Fleet Payments To Quietly Redefine Its Competitive Moat?

Driivz Ltd. recently announced it has integrated WEX Inc.’s payment solutions into its OCPI-certified EV charging platform, enabling seamless billing for electric fleets using WEX DriverDash and RFID at Driivz-managed chargers worldwide. This collaboration deepens WEX’s presence in EV fleet infrastructure by tying its payments network directly into smart charging and energy management used by global fleet operators. Next, we’ll explore how integrating WEX payments into Driivz’s global EV...
NasdaqGS:AVGO
NasdaqGS:AVGOSemiconductor

Can Broadcom (AVGO) Balance Google AI Chip Competition Against Rising Leverage For Custom Growth?

Recent reports highlight that Alphabet expanded its AI chip design partnership with Marvell and bond markets raised Broadcom’s credit risk as the company discussed taking on more than US$60 billion to US$80 billion in new AI-related debt financing. These developments deepen questions about Broadcom’s reliance on a few large AI customers and the growing leverage it is using to support massive cloud and AI infrastructure deals. We’ll now examine how rising competition inside Google’s AI chip...
NasdaqGS:JBHT
NasdaqGS:JBHTTransportation

J.B. Hunt Transport Services (JBHT) Stock Dropped, So What Is Driving Attention Now?

Sector-wide freight selloff puts J.B. Hunt Transport Services (JBHT) in focus J.B. Hunt Transport Services (JBHT) fell 6.3% on August 24 in a broad freight and logistics selloff, as investors reacted to sector wide concerns about freight demand and wider macroeconomic conditions. See our latest analysis for J.B. Hunt Transport Services. Even after the recent sector driven pullback, with a 1 month share price return down 9.86% and a 7 day share price return down 8.29%, J.B. Hunt Transport...
NYSE:AIN
NYSE:AINMachinery

Albany International (AIN) Stock Looks Fully Priced Despite A 35% Slide

Albany International stock has had a weak run over the past few years, yet the current market pricing still screens as expensive rather than discounted. With a low value score and an overvalued read on traditional multiples, investors are being asked to pay up despite a history of negative returns. The share price has declined 35.5% over the past three years, which means long term holders have not been rewarded for staying invested. Future valuation can hinge on how reliably Albany...
NYSE:FRO
NYSE:FROOil and Gas

3 Energy Stocks to Watch If Sanctions Tighten Oil Supply

Geopolitics is back on centre stage, with the threat of U.S. sanctions on Chinese banks tied to Iranian oil flows rippling through expectations for crude supply, currency stability and global risk appetite. That mix can create sharp winners and losers. This article walks through three large integrated oil and gas stocks from our Global Majors screener that are closely exposed to this news, and explains why each might deserve a closer look right now. The three stocks below are just a starting...
NasdaqGM:CRML
NasdaqGM:CRMLMetals and Mining

Is Critical Metals (CRML) Fully Priced After Its Recent 15% Rebound?

Critical Metals stock moves after recent performance swings Critical Metals (CRML) has drawn fresh attention after sharp recent share price swings. The stock is up about 15% over the past month but down roughly 43% in the past 3 months. See our latest analysis for Critical Metals. For investors tracking the wider trend, Critical Metals has a mixed profile, with a 14.8% 30 day share price return but a 3 year total shareholder return that declined 38.35%. This suggests that momentum may be...