U.S. Luxury Stock News

NasdaqCM:PLUG
NasdaqCM:PLUGElectrical

Plug Power (PLUG) Could Be 39% Undervalued As It Raises 2026 Revenue Guidance

Why Plug Power Stock Is Back in Focus After Fresh Guidance Plug Power (PLUG) drew fresh attention after second quarter 2026 results and a decision to raise full year revenue growth guidance to 15% to 16%, citing a strong commercial backlog. The company reported quarterly revenue of US$178.3 million and a net loss of US$188.21 million, alongside updated full year expectations that rely on a historically stronger second half of the year to support its hydrogen focused business. See our latest...
NYSE:PRGO
NYSE:PRGOPharmaceuticals

Why Perrigo (PRGO) Is Getting Attention Again

Perrigo (PRGO) is drawing investor attention after recent share price moves that left the stock at US$14.27 at the last close. The company’s mixed return profile and current valuation metrics are now under closer review. See our latest analysis for Perrigo. Perrigo’s recent 41.43% 1 month share price return and 32.13% 3 month share price return signal building short term momentum, although the 1 year total shareholder return is still down 34.86%. If you are looking beyond Perrigo and want...
NYSE:RDDT
NYSE:RDDTInteractive Media and Services

Does Reddit (RDDT) Stock Sit Below Fair Value After Index Inclusion?

Reddit stock has retreated sharply this year, yet current valuation checks suggest the shares are closer to fairly priced than to an obvious bargain. Year to date, Reddit has fallen 36.9%, which means the stock is resetting after earlier gains rather than pressing new highs. Inclusion in the S&P 500 can support demand from index trackers. At the same time, concerns about traffic reliance and future growth execution may limit how much investors are willing to pay for that story. Reddit scores...
NYSE:AU
NYSE:AUMetals and Mining

Are Weaker AU Earnings Revisions Undercutting Confidence in AngloGold Ashanti’s Big Growth Projects?

In recent days, AngloGold Ashanti has drawn attention after analyst earnings estimate revisions turned weaker and its Zacks Rank dropped, even as the company advances capital-intensive projects such as the Arthur Gold Project in Nevada. This split between upbeat brokerage recommendations and more cautious earnings expectations highlights growing debate over whether new reserves can offset rising costs and fiscal pressures on future profitability. We’ll now explore how this tension between...
NYSE:G
NYSE:GProfessional Services

Genpact (G) Could Be 11% Undervalued After Its Recent Run

Genpact (G) stock has been drawing fresh attention after recent trading performance, with the shares last closing at $37.59. Investors are weighing this move against the company’s return profile and fundamental business trends. See our latest analysis for Genpact. The recent 20.3% 1 month share price return and 20.5% 3 month share price return suggest short term momentum for Genpact, although the 1 year total shareholder return has declined 15.8% and the 5 year total shareholder return has...
NasdaqGS:ADI
NasdaqGS:ADISemiconductor

How Investors May Respond To Analog Devices (ADI) Strong Q3 Results, Margin Guidance and Steady Dividend

Analog Devices recently reported third-quarter 2026 results showing sales of US$4,021.9 million and net income of US$1,340.09 million, issued revenue guidance of about US$4.3 billion and a 52% operating margin for the fourth quarter, and affirmed a quarterly dividend of US$1.10 per share payable on September 15, 2026. The combination of sharply higher earnings per share compared with a year earlier and guidance pointing to continued high profitability highlights how Analog Devices is...
NYSE:RTX
NYSE:RTXAerospace & Defense

RTX (RTX) Stock Could Be 9% Undervalued On Tomahawk Contract Win

RTX stock has delivered a strong 174.7% return over the past five years, and current valuation checks and intrinsic value estimates suggest it now appears closer to fairly valued than clearly cheap or clearly expensive. Over five years RTX has returned 174.7%, which puts recent share performance well ahead of many long-term benchmarks and sets a higher bar for future returns to justify the current price. Large long-term contracts in missiles and defense systems can support expectations for...
NasdaqGS:WMT
NasdaqGS:WMTConsumer Retailing

Does Walmart’s (WMT) EV and AI Push Offset Softer U.S. Comp Sales In Its Core Story?

Walmart recently marked the opening of its 100th company-owned EV fast-charging site at a Colorado Supercenter, while reporting fiscal Q2 2026 revenue of US$187.94 billion and net income of US$6.37 billion, alongside ongoing share repurchases totaling US$4.80 billion under its latest buyback program. The company is deepening its ecosystem by integrating high-speed EV charging into the Walmart app, rolling out tap-to-pay options including Apple Pay and Google Pay across U.S. stores, and...
NasdaqGS:PEP
NasdaqGS:PEPBeverage

Is PepsiCo (PEP) A Bargain On Its South Asia HR Move?

PepsiCo (PEP) has drawn fresh attention after appointing Nidhima M. as Senior Director of HR for India, Bangladesh and Nepal. The move highlights the growing importance of these international markets. See our latest analysis for PepsiCo. PepsiCo's recent HR appointment comes as the stock shows modest positive momentum, with a 7 day share price return of 4.65% and a 30 day share price return of 5.88%, while the 3 year total shareholder return of a 10.88% decline contrasts with an 8.65% gain...
NYSE:BAC
NYSE:BACBanks

How Investors Are Reacting To Bank of America (BAC) Dividend Hike Amid Solid Q2 Results

In recent weeks, Bank of America reported a strong second quarter with net income and earnings per share higher, raised its quarterly dividend by 14% to US$0.32 per share, and continued issuing a series of senior unsecured notes across a range of maturities with fixed and step-up coupons. This combination of stronger profitability, a larger cash return to shareholders, and ongoing access to bond markets has reinforced perceptions of Bank of America’s financial resilience and funding...
NYSE:TFIN
NYSE:TFINBanks

Triumph Financial (TFIN) Following Freight Tech Optimism Still Looks Undervalued

Recent share performance and business mix for Triumph Financial Triumph Financial (TFIN) has drawn attention after a recent share price pullback, with the stock down 1.6% on the latest trading day and about 4% over the past month. Over the past 3 months the stock is up roughly 6%, with a year-to-date gain of about 16%. The 1-year total return is about 21%, while the 3-year total return is about 15% and the 5-year total return reflects a decline of about 10%. The company reports revenue of...
NYSE:MS
NYSE:MSCapital Markets

Morgan Stanley (MS) Just Gave Investors Something To Think About

Morgan Stanley (MS) has moved to return more capital to shareholders, lifting its quarterly dividend by 15% in 2026 and approving a new multi year share repurchase program of up to US$20 billion. See our latest analysis for Morgan Stanley. At a share price of US$214.08, Morgan Stanley has seen stronger momentum over longer horizons, with a 90 day share price return of 6.11% and a 1 year total shareholder return of 48.28%. The 5 year total shareholder return of 141.17% reflects how recent...
NasdaqGS:HWC
NasdaqGS:HWCBanks

Bond Trading Bank Stocks Worth Watching as Treasury Buybacks Return

Treasury’s talk of using its nearly US$1 trillion cash pile for larger long-term bond buybacks has pulled bond-trading broker-dealers and market-making banks into the spotlight again. These firms sit close to the flows that can shape funding costs, trading volumes and risk appetite across markets, which can create both opportunity and regret for investors who ignore them. This article walks through 3 stocks exposed to that news and how the story could matter to your portfolio. The 3 stocks...
NYSE:UMH
NYSE:UMHResidential REITs

Activist Pressure on Governance and Strategy Could Be A Game Changer For UMH Properties (UMH)

On August 11, 2026, Erez REIT Opportunities LP disclosed that it views UMH Properties as undervalued and has been pressing the Board on governance, capital allocation, and a possible strategic review or sale, citing the REIT’s persistent discount to net asset value and reported buyer interest. This activist push introduces external pressure on UMH’s leadership to reassess its long-term plan, potentially reshaping decisions around assets, financing, and overall corporate direction. Now, we’ll...
NYSE:AWR
NYSE:AWRWater Utilities

American States Water (AWR) Climbed, So Why Is It Drawing Fresh Attention?

Why American States Water Stock Is Drawing Fresh Attention Without a single defining news headline setting the tone, American States Water (AWR) is drawing attention to its recent stock performance and fundamentals. This is prompting investors to reassess how this regulated utility fits into their portfolios. See our latest analysis for American States Water. Over the past year, American States Water has seen momentum build, with a 90 day share price return of 19.5% contributing to a 1 year...
NasdaqGS:PGNY
NasdaqGS:PGNYHealthcare

Progyny (PGNY) Drew Fresh Attention After Its Outlook, Is It 25% Below Fair Value?

Progyny (PGNY) has come into focus after recent coverage highlighted its liquidity, operational efficiency and growth profile, following Q2 2026 revenue growth of 5.3% and full year revenue expectations of US$1.36b to US$1.385b. See our latest analysis for Progyny. Progyny’s recent Q2 update and revenue outlook appear to have drawn fresh attention, even as the 30 day share price return is down 18.46% and the year to date share price return is down 1.19%, while the 1 year total shareholder...
NasdaqCM:EOSE
NasdaqCM:EOSEElectrical

Is Eos Energy Enterprises (EOSE) Fairly Valued On Its WATTMORE Collaboration News?

EOS Energy Enterprises (EOSE) is in focus after announcing a non exclusive collaboration with WATTMORE to pair WATTMORE's Intellect Operate controls platform with Eos' Z3 long duration energy storage systems and DawnOS software. See our latest analysis for Eos Energy Enterprises. At a share price of US$3.46, Eos Energy Enterprises has seen short term pressure, with the 1 day share price return down 9.19% and the 7 day share price return down 11.96%, while the 1 year total shareholder return...
NYSE:TOST
NYSE:TOSTDiversified Financial

Toast (TOST) Expands Adyen Partnership, Is The Stock Fully Valued?

What the Adyen partnership expansion means for Toast stock Toast (TOST) is back in focus after Adyen announced an expanded U.S. partnership. The deal supports a platform that handled more than $215b in gross payment volume across about 180,000 locations in the past year. See our latest analysis for Toast. The Adyen news comes on top of strong recent momentum, with Toast’s 30 day share price return of 26.41% and 90 day share price return of 57.42%, even though the 1 year total shareholder...
NYSE:TJX
NYSE:TJXSpecialty Retail

Microsoft Stock Screens Well for Balance Sheet Strength and High ROE

Eurozone consumer confidence has improved to its strongest level since February 2026. That kind of sentiment shift often pushes investors toward companies with solid balance sheets and high return on equity, as many look for quality exposure without stretching risk appetite. This article focuses on a screener that filters for such fundamentals and highlights 3 stocks that currently meet its criteria and may deserve a closer look. The 3 stocks below are just a sample from this quality focused...
NYSE:GS
NYSE:GSCapital Markets

Goldman Sachs Group (GS), Why Is Fresh Attention Building Now?

Goldman Sachs Group (GS) is back in focus after a recent run of fixed income offerings and its involvement in large AI infrastructure financing platforms tied to NVIDIA. These developments are reshaping how some investors view the stock. See our latest analysis for Goldman Sachs Group. Recent bond issuance and the NVIDIA AI financing partnership have come alongside a modest pullback. Goldman Sachs Group’s share price is down 2.35% over the past 30 days but still shows a 13.34% year to date...
NasdaqGS:GLXY
NasdaqGS:GLXYCapital Markets

Is Galaxy Digital (GLXY) A Bargain After The Bank Leumi Digital Asset Deal?

Galaxy Digital (GLXY) is back in focus after Bank Leumi in Israel selected the company’s GalaxyOne Institutional and custody platforms to power a new digital asset trading service for its retail and mobile customers. See our latest analysis for Galaxy Digital. Galaxy Digital’s partnership news arrives after a mixed share price pattern, with the stock down 22.89% over the past 90 days and 7.72% year to date, yet supported by a very large 3 year total shareholder return that reflects...
NYSE:DHR
NYSE:DHRLife Sciences

Is Danaher’s (DHR) Acquisition-Driven Strategy Masking Deeper Questions About Organic Growth And Margins?

Recent commentary on Danaher highlights that over the past two years the company has seen flat reported revenue, no organic sales growth, declining adjusted operating margins, and falling earnings per share, raising questions about the quality and sustainability of its performance. An important insight is that Danaher’s expansion appears heavily acquisition-driven, which may be limiting near-term profitability and prompting investors to reassess how durable its earnings profile really...
NasdaqGS:NTRS
NasdaqGS:NTRSCapital Markets

What Northern Trust (NTRS)'s Expanded First Sentier Fund Servicing Mandate Means For Shareholders

Northern Trust Corporation recently expanded its long-standing relationship with First Sentier Group, being appointed fund administrator and depositary for the US$14.00 billion First Sentier Investors Global Umbrella Fund Plc in Ireland, while also taking on fund administration for the First Sentier Investors Global Growth Funds unit trust in Singapore. By consolidating custody, depositary, fund accounting and transfer agency for First Sentier’s Irish and Singapore structures, Northern Trust...
NYSE:PCG
NYSE:PCGElectric Utilities

PG&E (PCG) Expands Its V2X Program, Is The Stock Cheap Or Pricey?

PG&E (PCG) is drawing fresh attention after announcing a major expansion of its Vehicle to Everything program, adding new partners and electric vehicle models that allow customers to use cars as flexible power resources. See our latest analysis for PG&E. At a share price of $18.11, PG&E has logged an 11.31% year-to-date share price return, while the 1-year total shareholder return of 22.75% and 5-year total shareholder return of 104.51% point to momentum that has been building rather than...