U.S. Luxury Stock News

NYSE:K
NYSE:KFood

Kellanova (K): Assessing Valuation After a Year of Steady Share Price Gains

Kellanova (K) has quietly delivered steady gains over the past year, with the stock up about 6% and roughly 4% in the past 3 months, outpacing many packaged food peers. See our latest analysis for Kellanova. That steady climb reflects a market that is gradually rewarding Kellanova for consistent execution, with a 90 day share price return of just over 4% and a five year total shareholder return nearing 70%. This may hint that momentum is still quietly building. If Kellanova’s slow and steady...
NYSE:BETA
NYSE:BETAAerospace & Defense

Eve eVTOL Motor Deal Could Be A Game Changer For BETA Technologies (BETA)

Earlier this week, Eve Air Mobility announced it has chosen BETA Technologies to supply electric pusher motors for its conforming prototypes and future production eVTOL aircraft, a potential 10-year opportunity valued at up to US$1 billion tied to Eve’s 2,800-aircraft backlog. The decision follows an extensive testing and validation phase of BETA’s motors, signalling growing confidence in its electric propulsion platform as a core component of next-generation urban air mobility fleets. Next,...
NasdaqGS:SYBT
NasdaqGS:SYBTBanks

How Investors Are Reacting To Stock Yards Bancorp (SYBT) Sm-All Star Nod and New Market President

Stock Yards Bancorp recently announced that Stock Yards Bank & Trust has appointed veteran banker Rick Seadler as Bowling Green Market President, while the company was also named to Piper Sandler’s elite 2025 “Sm-All Stars” list for top-performing small-cap banks. This combination of fresh local leadership and third-party recognition for growth, profitability, credit quality, and capital strength reinforces Stock Yards Bancorp’s franchise quality among regional peers. With that backdrop,...
NYSE:AHL
NYSE:AHLInsurance

Taking Another Look at Aspen Insurance Holdings (AHL) Valuation After Its Recent Share Price Climb

Recent performance and valuation context Aspen Insurance Holdings (AHL) has been quietly grinding higher this year, with the stock up about 14% year to date. This move has prompted investors to revisit how its fundamentals stack up at current levels. See our latest analysis for Aspen Insurance Holdings. After a steady climb, the current share price of $37.0 reflects a year to date share price return of nearly 14%. This suggests investors are gradually pricing in improved profitability and a...
NasdaqGS:NFE
NasdaqGS:NFEOil and Gas

Does New Fortress Energy’s 90% Slide in 2025 Create a Valuation Opportunity?

If you are wondering whether New Fortress Energy is a bargain after its big sell off, you are not alone. This stock now sits in territory where price and value may be telling very different stories. In the very short term the shares have bounced, up 28.7% over the last week and 5.4% over the last month, but that comes after a brutal slide of 90.4% year to date and 87.3% over the past year. Those moves have unfolded against a backdrop of ongoing execution on its liquefied natural gas...
NasdaqGS:SFIX
NasdaqGS:SFIXSpecialty Retail

Stitch Fix (SFIX) Narrows Q1 2026 Losses, Testing Bearish Profitability Narratives

Stitch Fix (SFIX) has kicked off Q1 2026 with revenue of $342 million and a basic EPS of about -$0.05, while net income excluding extraordinary items came in at roughly -$6.4 million, keeping the business in loss making territory as it enters the new fiscal year. The company has seen quarterly revenue move from $319 million in Q4 2024 to $319 million in Q1 2025 and then to $342 million in Q1 2026, alongside EPS running between about -$0.29 and -$0.05 over that stretch. This sets a clear...
NYSE:GBX
NYSE:GBXMachinery

Does Greenbrier’s Share Price Slump Signal a Long Term Opportunity in 2025?

Wondering if Greenbrier Companies is quietly setting up a value opportunity, or if the stock's slump is telling you to stay away? This breakdown will help you make sense of the numbers without the hype. The share price has bounced 3.9% over the last week and 8.5% over the last month, but it is still down 24.4% year to date and 29.7% over the past year, even after gaining 42.2% over 3 years and 51.8% over 5 years. Investors have been reacting to a mix of macro rail freight and industrial...
NYSEAM:DC
NYSEAM:DCMetals and Mining

Dakota Gold (DC): Valuation Check After Richmond Hill Drill Results and Expanding Resource Potential

Dakota Gold (DC) is back on radar after fresh assay results from its Richmond Hill Oxide Heap Leach project confirmed high grade gold hits and step out drilling that pushes resource boundaries outward. See our latest analysis for Dakota Gold. The latest drill success comes on top of Dakota Gold’s recent conference appearances in London, and the market seems to be taking notice, with a year to date share price return of around 133 percent and a 1 year total shareholder return above 140...
NYSE:IDT
NYSE:IDTTelecom

IDT (IDT) Q1: EPS Outperformance Reinforces Bullish Margin-Expansion Narrative

IDT (IDT) just opened fiscal 2026 with Q1 revenue of $322.8 million and basic EPS of $0.89, setting the tone for another data heavy year for investors tracking its earnings trajectory. The company has seen quarterly revenue move from $309.6 million in Q1 2025 to $322.8 million in Q1 2026, while basic EPS stepped up from $0.68 to $0.89 over the same stretch, framing a story in which profit per share is edging ahead of the top line. With net income and margins nudging higher in the background,...
NYSE:WLY
NYSE:WLYMedia

Is Wiley a Bargain After a 25% Slide and DCF Value Near 45 Dollars?

If you have been wondering whether John Wiley & Sons at around $32 is a bargain or a value trap, you are not alone and this article is going to tackle that question head on. Despite being a long established name in publishing and research, the stock has had a rough ride lately, falling about 10.9% over the last week, 15.2% over the last month and roughly 24.9% year to date, which naturally raises questions about whether the market has become too pessimistic. Some of this share price weakness...
NYSE:PB
NYSE:PBBanks

How Investors Are Reacting To Prosperity Bancshares (PB) Earnings Beat And Insider Stock Sales

Earlier this week, Prosperity Bancshares reported third-quarter 2025 earnings per share of US$1.45, an 8.2% year-over-year increase that exceeded expectations, while director Ned S. Holmes sold US$77,096 of company stock in several transactions. Beyond the insider sales, the earnings call highlighted management’s focus on growth initiatives and a constructive outlook, which has drawn renewed attention from analysts and investors. Now we’ll examine how Prosperity Bancshares’...
NasdaqGM:AVDL
NasdaqGM:AVDLPharmaceuticals

Is Avadel Pharmaceuticals Still Attractive After a 113.4% One Year Surge in 2025?

If you are wondering whether Avadel Pharmaceuticals at around $21 a share still has room to run or is already priced for perfection, you are not alone. This breakdown is designed to give you a clear, valuation focused view. The stock has dipped about 0.7% over the last week, but it is still up 12.6% over the past month and 94.0% year to date, with a 113.4% gain over the last year shifting how the market thinks about its risk and reward profile. Much of that surge has been driven by growing...
NasdaqGS:STRA
NasdaqGS:STRAConsumer Services

Does Strategic Education’s Recent Rebound Signal a Mispriced Opportunity in 2025?

If you have been wondering whether Strategic Education is quietly turning into a value opportunity or just another value trap, you are not alone. This is exactly what we are going to unpack. The stock has crept up 2.7% over the last week and 7.2% over the last month, yet it is still down 13.2% year to date and 15.9% over the past year. This combination signals a mix of recovery potential and lingering market skepticism. Recent attention has focused on Strategic Education's position in the...
NYSE:KNOP
NYSE:KNOPOil and Gas

KNOT Offshore Partners (NYSE:KNOP) Profit Rebound Tests Bear Narratives on Earnings Quality

KNOT Offshore Partners (NYSE:KNOP) has just laid out another steady quarter, with Q2 2025 revenue of about $86 million and EPS of $0.15 setting the tone for its latest update. The business has seen revenue move from roughly $74 million in Q2 2024 to $86 million in Q2 2025, while EPS has swung from a loss of about $0.42 a year ago to positive territory across recent quarters, signaling a very different earnings backdrop for unitholders to digest. With that shift in profitability now clearer...
NYSE:BF.B
NYSE:BF.BBeverage

Brown‑Forman (BF.B) Margin Compression Reinforces Bearish Profitability Narratives After Q2 2026 Results

Brown Forman (BF.B) has just posted Q2 2026 results showing revenue of $1.0 billion and basic EPS of $0.47, backed by net income of $224 million as the spirits maker works through a period of softer margins. The company has seen quarterly revenue move from $1.1 billion in Q2 2025 to $1.0 billion in Q2 2026, with basic EPS shifting from $0.55 a year ago to $0.47 this quarter, while trailing twelve month net income came in at $810 million on revenue of $3.9 billion. Against a backdrop of lower...
NasdaqGM:DOMO
NasdaqGM:DOMOSoftware

Domo (DOMO) Narrows Q3 Net Loss, Testing Bearish Profitability Narratives

Domo (DOMO) has just put Q3 2026 on the books with revenue of about $79.4 million and a basic EPS loss of roughly $0.25, keeping the focus firmly on how efficiently the business is converting its topline into sustainable earnings. The company has seen quarterly revenue hover in a tight band around $78 million to $80 million over the past six reported periods, while EPS has similarly stayed in negative territory between approximately $0.25 and $0.56 per share, underscoring that margins remain...
NYSE:HPE
NYSE:HPETech

Hewlett Packard Enterprise (HPE): TTM Net Loss Challenges Bullish Margin-Recovery Narrative

Hewlett Packard Enterprise (HPE) has wrapped up FY 2025 with fourth quarter revenue of $9.7 billion, Basic EPS of $0.11, and net income of $146 million, putting a spotlight on how its margins are holding up late in the fiscal year. The company has seen revenue move from $8.5 billion and Basic EPS of $1.02 in Q4 2024 to $9.7 billion and $0.11 in Q4 2025. Over the same period, trailing twelve month EPS has swung from $1.95 to slightly negative, setting up a nuanced debate around the trade off...
NasdaqGS:ULTA
NasdaqGS:ULTASpecialty Retail

Ulta Beauty (ULTA) Q3: 6.3% Comps Rebound Tests Margin-Squeeze Bear Narrative

Ulta Beauty (ULTA) just turned in another busy quarter, with Q3 2026 revenue of about $2.9 billion, basic EPS of $5.16, and net income of $230.9 million. This sets the stage for investors to recheck the trajectory of its beauty retail engine. The company has seen quarterly revenue move from $2.53 billion in Q3 2025 to $2.86 billion in Q3 2026 alongside EPS holding in the mid single digits. Trailing 12 month revenue has climbed to roughly $12.0 billion and EPS to $26.25, giving investors a...
NasdaqGS:SWBI
NasdaqGS:SWBILeisure

Smith & Wesson (SWBI) Q2: Thin 2.1% TTM Margin Tests Bullish Earnings Recovery Narrative

Smith & Wesson Brands (SWBI) has just posted a mixed Q2 2026 print, with revenue of about $124.7 million translating into basic EPS of roughly $0.04 on net income of $1.9 million. This sets a cautious tone around profitability. The company has seen quarterly revenue move from roughly $129.7 million in Q2 2025 to $124.7 million this quarter, while EPS has swung from $0.09 a year ago to a small profit after a loss of about $0.08 in Q1 2026, leaving investors watching whether margins can rebuild...
NYSE:IOT
NYSE:IOTSoftware

Samsara (IOT) Turns Q3 EPS Positive, Testing Bearish Valuation Narratives

Samsara (IOT) just posted Q3 2026 numbers with revenue of $416 million and Basic EPS of $0.01, marking a rare quarter in the black with net income of about $7.8 million. The company has seen revenue move from $300 million in Q2 2025 to $416 million in Q3 2026, while quarterly EPS shifted from a loss of about $0.09 to a modest profit as losses narrowed over time, and that margin progress is now front and center for investors dissecting this print. See our full analysis for Samsara. With the...
NasdaqGS:ZUMZ
NasdaqGS:ZUMZSpecialty Retail

Zumiez (ZUMZ) Q3: Profit Rebound Strengthens Bullish Margin-Recovery Narrative

Zumiez (ZUMZ) just posted a solid Q3 2026 print, with revenue of about $239 million and EPS of $0.57 as the specialty retailer continued to lean into its recent return to profitability. The company has seen revenue move from roughly $222 million in Q3 2025 to $239 million this quarter, while EPS climbed from $0.06 to $0.57, signaling a much healthier earnings run-rate as comparable sales rose 7.6% and margins pushed back into more comfortable territory for investors. See our full analysis for...