U.S. Media Stock News

NYSE:BX
NYSE:BXCapital Markets

Blackstone (BX) Stock Margins And EPS Beat Narratives On Fundraising-Led Q2 2026 Results

Blackstone (BX) opened Q2 2026 with solid headline numbers, reporting total revenue of about US$4.9 billion and basic EPS of US$1.54 alongside net income of roughly US$1.2 billion. The company has seen quarterly revenue move from about US$3.8 billion in Q2 2025 to US$4.9 billion in Q2 2026, while EPS shifted from roughly US$0.98 to US$1.54 over the same period as trailing twelve month EPS reached about US$4.47. With a trailing net margin of 22.2% and earnings forecasts pointing to faster...
NYSE:BY
NYSE:BYBanks

What Byline Bancorp (BY)'s Record Q2 Earnings and Higher Dividend Mean For Shareholders

Byline Bancorp, Inc. reported strong second-quarter 2026 results, with net interest income of US$100.84 million, net income of US$40.18 million, EPS of US$0.90, lower net charge-offs of US$4.45 million, a higher quarterly dividend of US$0.14 per share, and completion of a US$19.07 million buyback program. This combination of record profitability, improved credit costs, and enhanced capital returns highlights management’s confidence in the bank’s operating model and balance-sheet...
NYSE:MCD
NYSE:MCDHospitality

Should McDonald's (MCD) Dividend Hike and New Menu Items Require Action From Investors?

McDonald’s recently declared a quarterly cash dividend of US$1.86 per share, payable on September 16, 2026, to shareholders of record as of September 1, 2026, while also rolling out new breakfast and lunch items such as the Honey Brown Butter Bacon Egg & Cheese Biscuit and Caesar Sauce-based sandwiches. These moves highlight how McDonald’s is pairing menu innovation with ongoing cash returns to shareholders at a time when consumers remain highly price sensitive and focused on value. Next,...
NYSE:DGX
NYSE:DGXHealthcare

Quest Diagnostics (DGX) Stock Earnings Beat Supports Defensive Profitability Narrative

Quest Diagnostics (DGX) has just posted its Q2 2026 numbers, with revenue of US$3.0 billion, basic EPS of US$2.88 and net income of US$320 million setting the tone for the latest update. The company has seen revenue move from US$2.76 billion and EPS of US$2.51 in Q2 2025 to US$3.0 billion and EPS of US$2.88 in Q2 2026. Trailing 12 month revenue sits at US$11.6 billion with basic EPS of US$9.62. With net margin for the trailing period a touch higher than last year and earnings up over the past...
NYSE:BMI
NYSE:BMIElectronic

Badger Meter (BMI) Faces Class Action Lawsuits, Is The Stock Cheap?

Badger Meter (BMI) is back in focus after multiple law firms announced securities class action lawsuits alleging the company pulled forward customer orders to inflate revenue, shortly after management pointed to roughly flat organic growth. See our latest analysis for Badger Meter. The latest lawsuits and softer earnings have come after a sharp reset in expectations, with Badger Meter’s share price return down 28.39% year to date and its 1 year total shareholder return down 33.86%, despite a...
NasdaqGS:MTSI
NasdaqGS:MTSISemiconductor

MACOM (MTSI) Stock Looks Expensive As AI Growth Fund Interest Builds

MACOM Technology Solutions Holdings stock has delivered a very strong 332.6% return over the past 5 years, yet its current checks lean expensive, raising the question of how much of the AI and connectivity optimism is already in the price. Over 5 years, MACOM Technology Solutions Holdings has returned 332.6%, which places recent share performance firmly at the high end of what many investors typically see over this kind of window. Recent interest tied to MACOM Technology Solutions Holdings'...
NYSE:WWW
NYSE:WWWLuxury

Will Wolverine’s New Data-Driven Tinuiti Partnership Redefine Wolverine World Wide's (WWW) Marketing-Led Margin Story?

Wolverine World Wide recently appointed Tinuiti as its Media Agency of Record in North America to unify and modernize its data-driven brand and performance marketing. This move highlights Wolverine’s attempt to better connect marketing spend with measurable business outcomes at a time of stagnant sales and sector-lagging earnings growth. We’ll now explore how this new, data-focused marketing partnership could influence Wolverine World Wide’s investment narrative and future margin...
NasdaqGS:NDAQ
NasdaqGS:NDAQCapital Markets

Nasdaq (NDAQ) Stock Faces Questions As 35% Margin Challenges Slower Growth Narratives

Nasdaq (NDAQ) has just posted its Q2 2026 scorecard, with revenue of US$1.5 billion and basic EPS of US$0.90. This is set against trailing 12 month revenue of US$5.6 billion and EPS of US$3.46 that reflects earnings growth of 30.4% and revenue growth of about 7.2% over the past year. Over the last six reported quarters, the company has seen revenue move from US$1.24 billion in Q1 2025 to US$1.5 billion in Q2 2026, while quarterly basic EPS shifted from US$0.69 to US$0.90. This has been...
NYSE:AIG
NYSE:AIGInsurance

American International Group (AIG) Lifts Dividend, Is It Still A Bargain?

American International Group (AIG) has drawn fresh attention after lifting its annualized dividend by 14.3%, giving the stock a dividend yield above the industry average and prompting investors to reassess its income profile and earnings outlook. See our latest analysis for American International Group. At a share price of $79.06, American International Group has seen a 3.84% 1 month share price return and a 5.22% 3 month share price return. Its 5 year total shareholder return of 87.08%...
NasdaqGS:WGS
NasdaqGS:WGSHealthcare

GeneDx Holdings (WGS) Write Off And Lawsuit Put Valuation Back In Focus

GeneDx Holdings (WGS) has come under pressure after disclosing a US$31.2 million write off tied to its Fabric Genomics acquisition, reducing revenue guidance by US$65 million, and facing a securities class action lawsuit. See our latest analysis for GeneDx Holdings. These disclosures have sharply shifted sentiment around GeneDx Holdings, with the share price falling 6.9% over the past week and 55.3% year to date. This has occurred even though the three year total shareholder return remains...
NasdaqGS:TRMB
NasdaqGS:TRMBSoftware

Trimble (TRMB) Stock May Be Cheap On Cash Flow Yet Fair On Earnings

Trimble’s share price is down about 38% over the past five years, yet the stock screens as materially cheaper than its Discounted Cash Flow (DCF) intrinsic value estimate, while earnings-based multiples suggest pricing that looks roughly in line with peers. That split leaves Trimble looking like a stock where long term cash flow assumptions are more positive than what the current market valuation implies. Over five years, Trimble has delivered a share price decline of about 38%, which means...
NYSE:MAS
NYSE:MASBuilding

Masco (MAS) Draws Fresh Valuation Attention, Is The Upside Already Priced In?

Recent analyst commentary on Masco (MAS) has put fresh attention on the stock, following an overweight rating and a higher implied valuation range relative to its latest closing price. See our latest analysis for Masco. Masco’s recent 2.5% 1 day share price return to US$79.27 sits within a stronger trend, with a 90 day share price return of 6.9% and a 5 year total shareholder return of 45.7%. This points to building momentum around the company’s long term home improvement exposure. If this...
NYSE:PM
NYSE:PMTobacco

Philip Morris International (PM) Stock Looks Fairly Valued Following Its 144% Run

Philip Morris International stock has delivered a very strong 143.6% return over the past 5 years, and with the current valuation screens suggesting the shares are about fairly priced, the key tension for investors is whether that performance already reflects most of the intrinsic value suggested by the Discounted Cash Flow (DCF) work. Over 5 years, Philip Morris International has returned 143.6%, which puts the recent share price near a level where it no longer looks obviously cheap. Growth...
NYSE:MTG
NYSE:MTGDiversified Financial

What MGIC Investment (MTG)'s Higher Dividend and Buybacks Focus Means For Shareholders

Earlier this year, MGIC Investment Corporation’s board approved a quarterly cash dividend of US$0.17 per share, a 13% increase over the previous payout, payable on August 20, 2026, to shareholders of record as of August 5, 2026. This higher dividend underscores management’s emphasis on returning cash to investors at a time when analysts already expect share count to decline through buybacks. Next, we’ll examine how this dividend increase and MGIC’s capital return approach shape the company’s...
NYSE:U
NYSE:USoftware

Unity (U) Stock Seems Near Fair Value Following Unity 7 Reveal

Unity Software stock sits in an awkward spot for valuation focused investors, with a share price that has fallen sharply over five years while the broader checks now suggest it is closer to fairly priced than a clear bargain. Over the past five years, Unity Software shareholders have seen the stock decline 73.3%, which sets a low bar for what would count as a convincing recovery story. Recent attention on Unity 7 and talk of potential acquisition interest can support optimism on future cash...
NasdaqGS:TSCO
NasdaqGS:TSCOSpecialty Retail

Tractor Supply (TSCO) On Missed Earnings And Lower Guidance Has A Valuation Debate Open

Tractor Supply (TSCO) is in the spotlight after reporting second quarter results that missed Wall Street expectations, lowering its 2026 guidance, and moving to close roughly 75 underperforming Petsense locations. See our latest analysis for Tractor Supply. Tractor Supply's share price has shown a modest rebound recently, with a 1-day share price return of 2.31% and a 30-day share price return of 3.19%, but momentum follows a much weaker trend. The year-to-date share price return is down...
NasdaqCM:EOSE
NasdaqCM:EOSEElectrical

Eos Energy (EOSE) Is Down 16.0% After Capital Raise And Defense Storage Wins - What's Changed

In July 2026, Eos Energy Enterprises filed a US$19.9 million shelf registration for 5,000,000 common shares tied to an ESOP offering, completed a US$37.74 million rights-based composite units offering, and reported record preliminary second-quarter revenue alongside new defense and utility-scale storage project milestones for its Z3 battery platform. These moves collectively bolster funding for Frontier Power USA and accelerate deployment of Eos’s American-made, zinc-based long-duration...
NYSE:CRS
NYSE:CRSAerospace & Defense

Is Carpenter Technology (CRS) Expensive As Earnings Expectations Lift Ahead Of July 30?

Carpenter Technology (CRS) is in focus ahead of its July 30 earnings report, with expectations for year over year growth in earnings and revenue shaping how investors assess the recent share price momentum. See our latest analysis for Carpenter Technology. The recent move in Carpenter Technology’s share price, with a 7 day share price return of 8.23% and a 90 day share price return of 41.22%, comes on top of very large multi year total shareholder returns. This suggests that momentum has been...
NYSE:PAY
NYSE:PAYDiversified Financial

Paymentus Holdings (PAY) Stock Looks Stretched After A 166% Return

Paymentus Holdings stock has delivered a strong 166.1% return over the past three years, yet its current valuation checks point to a share price that screens as expensive rather than as an obvious bargain. Over the past three years, Paymentus Holdings has returned 166.1%, which puts extra focus on whether the current price still reflects a reasonable expectation for the business. For a payments platform reliant on scaling transaction volumes and managing technology costs, expectations for...
NasdaqCM:SBET
NasdaqCM:SBETHospitality

Sharplink (SBET) Stock Still Looks Overvalued Even As Sales Back The Story

Sharplink stock has seen its share price fall very sharply over the past five years, yet today the valuation checks still lean expensive rather than pointing to a clear bargain. Over the last five years, Sharplink’s share price has declined about 99%, which raises questions about how much long term value the current business model can support. Backing for the EthSystems launch may support Sharplink’s role in Ethereum focused privacy solutions. At the same time, execution risk around turning...
NasdaqGS:DXCM
NasdaqGS:DXCMMedical Equipment

Does DexCom’s (DXCM) Longer-Wear G7 Approval Hint At A Durable Edge In Connected Diabetes Care?

In July 2026, DexCom, Inc. received Health Canada authorization for its Dexcom G7 15 Day Continuous Glucose Monitoring System for adults with diabetes, offering up to 15.5 days of wear, best-in-class accuracy with an overall MARD of 8.0%, and multiple app-based connectivity and data-sharing features. This approval not only extends DexCom’s CGM presence in Canada but also underscores how longer wear duration and fewer sensor changes may strengthen its competitive position in digitally...
NYSE:KO
NYSE:KOBeverage

Coca Cola (KO) Stock Looks Fully Priced As 67% Five Year Run Continues

Coca-Cola stock has delivered a 67.2% total return over the past 5 years, yet there is a clear split between what its intrinsic value estimate suggests and what traditional market multiples imply, with the Discounted Cash Flow (DCF) pointing to some undervaluation while earnings based ratios look rich. A 67.2% return over 5 years puts Coca-Cola in the camp of long term winners, which can compress the margin of safety if cash flows do not keep pace with investor expectations. Recent...
NasdaqGS:ADI
NasdaqGS:ADISemiconductor

Will Lofty Q3 2026 Earnings Expectations Reshape Analog Devices' (ADI) AI and Automation Narrative?

Earlier this year, Analog Devices announced it would release its third-quarter fiscal 2026 results on 19 August 2026, with senior executives hosting a conference call to discuss performance and business outlook. Analysts’ expectations for a very large year-on-year earnings increase, supported by prior strength in industrial, data center, and automotive demand, have drawn attention to ADI’s high-margin, high-cash-flow profile. With analysts expecting strong upcoming quarterly earnings, we’ll...
NYSE:ARES
NYSE:ARESCapital Markets

Is Ares’ European Private Credit Push Quietly Reshaping Its Fee Model And Risk Profile (ARES)?

Morgan Stanley recently reiterated a Hold rating on Ares Management ahead of its late-July Q2 2026 earnings release, while investors also focused on the firm’s lending role in Charterhouse Capital Partners’ acquisition of French emergency building repairs group Batibig. This renewed analyst attention, combined with Ares’ expanding footprint in European private credit, is reshaping how the market views its fee-based growth and risk profile. We’ll now examine how this refreshed analyst...