U.S. Media Stock News

NasdaqGS:CWST
NasdaqGS:CWSTCommercial Services

Is Casella Waste Systems (CWST) Undervalued As Its Hyland RNG Project Comes Online?

Casella Waste Systems (CWST) has attracted fresh attention after announcing that its Hyland Landfill in Angelica, New York is now producing Renewable Natural Gas using Waga Energy’s WAGABOX technology. See our latest analysis for Casella Waste Systems. This Hyland Landfill announcement comes after a mixed period for Casella Waste Systems, with the share price at $91.50 and a year to date share price return that is down 7.25%, while the 5 year total shareholder return of 34.94% points to a...
NYSE:RXO
NYSE:RXOTransportation

RXO Stock And 2 Logistics Shares Worth Watching As Freight Routes Shift

Extreme drought across Europe has turned rivers like the Rhine and Danube into chokepoints for energy and freight, pushing more traffic and cost pressure onto rail and road networks. For investors, that raises the question of which rail and road transportation stocks might gain from shifting cargo routes and which might struggle with higher input and congestion costs. This article looks at three stocks from a Rail and Road Transportation & Logistics screener that are directly exposed to this...
NYSE:AMBP
NYSE:AMBPPackaging

What Ardagh Metal Packaging (AMBP)'s Strong Q2 Profit Rebound and Maintained Dividend Means For Shareholders

Ardagh Metal Packaging S.A. recently reported second-quarter 2026 results showing sales of US$1,713 million and net income of US$35 million, and its board approved a quarterly interim dividend of US$0.10 per ordinary share payable on September 24, 2026 to shareholders of record on September 10, 2026. The sharp year-over-year improvement in profitability alongside the continuation of a regular cash dividend may reinforce investor confidence in both Ardagh Metal Packaging’s earnings quality...
NasdaqGM:ALVO
NasdaqGM:ALVOBiotechs

Alvotech (ALVO) Could Be 72% Undervalued Following FDA Inspection Closure

Alvotech (NasdaqGM:ALVO) is back in focus after the U.S. Food and Drug Administration closed its May 2026 inspection of the Reykjavik manufacturing facility with a Voluntary Action Indicated classification. See our latest analysis for Alvotech. The FDA update and fresh BLA activity have arrived during a sharp swing in sentiment toward Alvotech, with a 7 day share price return of 23.87% contrasting with a year to date share price decline of 23.20% and a 1 year total shareholder return that is...
NYSE:CNA
NYSE:CNAInsurance

CNA Financial (CNA) Could Be 39% Below Fair Value Following Q2 Earnings Beat

CNA Financial (CNA) drew fresh attention after reporting second quarter 2026 results that exceeded analyst expectations on both earnings and revenue, along with a reaffirmed quarterly dividend of $0.48 per share. See our latest analysis for CNA Financial. Despite the strong second quarter 2026 report and steady dividend, CNA Financial’s recent share price has cooled, with the stock down over the past week but still showing a solid 90 day share price return of 21.94% and a 5 year total...
NasdaqGS:PLTR
NasdaqGS:PLTRSoftware

US Stock Market Today: S&P 500 Futures Edge Higher As Manufacturing Strength Lifts Rate Bets

The Morning Bull - US Market Morning Update Wednesday, Aug, 5 2026 US market stock futures are pointing slightly higher this morning, with key contracts on the S&P 500 and Nasdaq 100 in positive territory. The main driver is a strong July reading for the ISM Manufacturing PMI at 55.6, a scorecard that tracks factory activity and signals healthy growth in orders, output and hiring. At the same time, the 10 year US Treasury yield is near 4.68% as investors factor in a possible interest rate...
NYSE:TFIN
NYSE:TFINBanks

Has Triumph Financial (TFIN) Run Ahead Of Its Fundamentals Following Profitability Concerns?

Why recent profitability concerns around Triumph Financial matter for investors Recent commentary on Triumph Financial (TFIN) has focused on slow growth in net interest income, a sharp earnings per share decline over five years, and a Tier 1 capital ratio viewed as vulnerable under severe stress. These issues contrast with the stock’s recent price gains and leave investors weighing profitability and capital strength against the latest share performance. See our latest analysis for Triumph...
NYSE:SCCO
NYSE:SCCOMetals and Mining

Southern Copper (SCCO) Stock May Trade At A Premium Following Q2 Revenue Beat

Southern Copper stock has delivered a very strong 289.4% return over the past five years, yet current valuation checks suggest the shares are not obviously cheap. Recent gains on the back of stronger copper demand now sit against a low overall value score and an indication that the market price leans expensive on common multiples. A 289.4% total return across five years highlights how powerful the Southern Copper share price move has been for long term holders. Revenue and earnings strength...
NYSE:AWR
NYSE:AWRWater Utilities

American States Water (AWR) 12% Above Fair Value After Its 8.2% Dividend Increase

American States Water dividend increase and what it means for investors American States Water (AWR) has drawn fresh attention after its Board approved a higher third quarter cash dividend, lifting the annualized payout by 8.2% to $2.182 per share for shareholders of record on August 17, 2026. See our latest analysis for American States Water. The dividend increase comes as American States Water trades at $85.40, with a 90 day share price return of 12.61% and an 18.18% year to date share price...
NYSE:SYY
NYSE:SYYConsumer Retailing

How Sysco’s New 2027 Sales Outlook and Completed Buybacks At Sysco (SYY) Has Changed Its Investment Story

In early August 2026, Sysco Corporation reported past fourth‑quarter and full‑year results showing higher quarterly sales and earnings per share, while full‑year net income and EPS from continuing operations were slightly lower despite higher annual sales. The company also issued fiscal 2027 guidance calling for 6%–7% sales growth and confirmed completion of a multi‑year US$3.88 billion share repurchase program that retired 48,291,225 shares, reshaping its capital structure. With Sysco now...
NYSE:ANET
NYSE:ANETCommunications

Arista Networks (ANET) Hits First $3 Billion Quarter As AI Demand Lifts Outlook

Arista Networks reported record Q2 results, reaching its first $3b revenue quarter on surging AI networking demand. The company highlighted recent product launches aimed at AI data center and enterprise networking use cases. Arista Networks was recognized as a Leader in the 2026 Gartner Magic Quadrant for Enterprise Wired and Wireless LAN. The company issued a Q3 revenue outlook above prior Wall Street estimates. Arista Networks (NYSE: ANET) is drawing attention after reaching a record Q2...
NasdaqGS:OCFC
NasdaqGS:OCFCBanks

OceanFirst Financial (OCFC) Reports Mixed Q2 Results, Is It Still Below Fair Value?

OceanFirst Financial (OCFC) has drawn fresh attention after reporting second quarter 2026 results that combined higher net interest income with a swing to a net loss, alongside ongoing dividends and completed buyback activity. See our latest analysis for OceanFirst Financial. Against that mixed earnings backdrop, OceanFirst Financial’s share price has gained 11.04% year to date and the 1 year total shareholder return of 24.16% suggests momentum has been improving rather than fading. If...
NasdaqGS:HNST
NasdaqGS:HNSTPersonal Products

Honest Company (HNST) Heads Into Q2 Earnings With Fair Value Still In Focus

Honest Company (HNST) is in focus today after announcing that its Q2 2026 earnings report and conference call are scheduled for after the market close on August 5, 2026. See our latest analysis for Honest Company. Honest Company shares closed at US$3.89, and the stock has picked up short term momentum with a 6.14% 1 day share price return and 14.75% 90 day share price return, while the 1 year total shareholder return remains down 15.43% despite a very large 3 year total shareholder return of...
NYSE:LII
NYSE:LIIBuilding

Lennox International (LII) Cuts EPS Guidance, Is It Still 17% Below Fair Value?

Lennox International (LII) recently reported second quarter 2026 results, with higher sales but slightly lower net income compared with a year earlier. The company also narrowed and reduced its full year earnings per share guidance. See our latest analysis for Lennox International. The Lennox International share price closed at US$446.74 on July 29, 2026, after the updated earnings guidance and buyback progress, with the stock down 21.63% over the past 30 days and the 1 year total shareholder...
NasdaqGS:ROST
NasdaqGS:ROSTSpecialty Retail

Ross Stores (ROST) Beat Earnings Expectations, Is The Stock Fully Valued?

Ross Stores (ROST) is back in focus after its latest quarterly report came in ahead of earnings expectations. This result extends a pattern of positive surprises and is drawing more attention from investors watching the stock’s momentum. See our latest analysis for Ross Stores. The latest earnings surprise has arrived alongside strong share price momentum for Ross Stores, with a 30 day share price return of 17.63% and a year to date share price return of 37.39%, while the 1 year total...
NYSE:SPH
NYSE:SPHGas Utilities

Does Suburban Propane Partners’ (SPH) Payout and NASCAR Tie-Up Reveal Its Long-Term Brand Strategy?

In July 2026, Suburban Propane Partners, L.P.’s Board of Supervisors declared a quarterly distribution of US$0.325 per common unit, equivalent to US$1.30 annualized, payable on August 11, 2026 to unitholders of record as of August 4, 2026. Around the same time, the partnership with NASCAR Cup Series driver and watermelon farmer Ross Chastain underscored Suburban Propane’s push to highlight propane’s role in both agriculture and motorsports, potentially broadening its reach across these...
NasdaqGS:NWL
NasdaqGS:NWLConsumer Durables

Newell Brands (NWL) Is Up 18.1% After New Credit Facility And First Sales Growth In Years

In late July 2026, Newell Brands entered a new five-year, asset-based revolving credit facility of up to US$800.0 million and reported second-quarter results showing higher sales and net income, alongside raised full-year 2026 guidance for modest net sales growth. The combination of a larger, flexible credit line and the company’s first quarterly sales growth in more than four years signals a meaningful operational and balance sheet reset, even as cost pressures and leverage remain important...
NYSE:INGR
NYSE:INGRFood

Ingredion (INGR) Stock Rises As Solutions Growth Meets Margin Strain

Ingredion stock jumped 4.2% to US$104.63 after its Q2 report, a sharp move for a company often viewed as a steady, value priced ingredient supplier. The headline is margin pressure meeting a growth story that is still intact. Net sales came in at US$1.85b with Texture & Healthful Solutions again doing the heavy lifting, while adjusted operating income of US$258m showed the profit squeeze investors have been watching. For a stock trading on an 11.1x P/E and carrying a 3.13% dividend yield,...
NYSE:ARDT
NYSE:ARDTHealthcare

Why Ardent Health (ARDT) Is Down 6.3% After Cutting 2026 Earnings Guidance On Weaker Q2 Results

In the past quarter, Ardent Health, Inc. reported second-quarter 2026 sales of US$1,622.25 million and net income of US$16.9 million, sharply lower than a year earlier, alongside reduced earnings per share from continuing operations. At the same time, the company cut its full-year 2026 guidance for diluted earnings per share and net income, signaling management now anticipates weaker profitability than previously outlined. Next, we’ll examine how Ardent’s sharply lower quarterly net income...
NasdaqGS:CSX
NasdaqGS:CSXTransportation

How Investors May Respond To CSX (CSX) Strong Q2 2026 Results And Upgraded Outlook

In July 2026, CSX Corporation reported second-quarter 2026 results showing higher sales of US$3,935 million and increased net income of US$1,002 million compared with the prior year period, alongside stronger earnings per share from continuing operations. At the same time, CSX raised its full-year 2026 outlook to mid- to high single digit revenue growth with operating margin expansion of more than 350 basis points, while continuing to return cash to shareholders through a multi-year buyback...
NYSE:SLGN
NYSE:SLGNPackaging

Silgan Holdings (SLGN) Could Be 23% Undervalued Following Its Dividend Reaffirmation

Silgan Holdings (SLGN) has reaffirmed its shareholder payout with a declared quarterly cash dividend of $0.21 per share, with a record date of September 1 and a payment date of September 15, 2026. See our latest analysis for Silgan Holdings. At a share price of $42.32, Silgan Holdings has seen short term pressure with a 7 day share price return down 11.85% and a 30 day share price return down 8.77%, while the 1 year total shareholder return is down 7.06% and the 5 year total shareholder...
NYSE:NEU
NYSE:NEUChemicals

Why NewMarket (NEU) Is Up 13.6% After Robust Q2 Earnings And Aggressive Share Buybacks

NewMarket Corporation recently reported past second-quarter and first-half 2026 results, with sales of US$747.09 million and US$1.42 billion respectively, alongside net income of US$133.75 million and US$251.82 million, and higher basic earnings per share from continuing operations versus a year earlier. In parallel, the company completed a substantial share repurchase effort, buying back 537,201 shares for US$323.76 million, which reduces the share count and can enhance the impact of its...
NYSE:F
NYSE:FAuto

Ford Stock And 2 Trade Exposed Industrial Shares Facing Tariff Pressure

Global trade policy is back in the spotlight, with record intervention in 2026, new US Section 301 tariffs on most imports, and fresh 50% duties on a slice of Canadian trade all adding friction to cross-border flows. For companies that depend on international supply chains, this means greater uncertainty around costs, pricing power, and earnings resilience. This article focuses on three stocks that appear especially exposed to these trade shocks. Each faces potential headwinds from tariffs,...
NYSE:CBT
NYSE:CBTChemicals

Cabot (CBT) Stock Price Sinks As Profit Quality Cracks

Cabot just reminded investors that profit quality still matters. The stock slid about 8.5% to roughly US$82 in the first trading session after earnings, even though adjusted earnings per share held up near the top of management’s tightened full year guidance of US$6.15 to US$6.45. The market came in focused on Cabot’s long term growth story in battery materials. The headline from this quarter is a sharp squeeze in profitability, with quarterly basic earnings per share of just US$0.12 despite...