U.S. Medical Equipment Stock News

NasdaqGS:ICUI
NasdaqGS:ICUIMedical Equipment

Is ICU Medical (ICUI) Cheap After Its Veterinary IV Set Recall?

ICU Medical (ICUI) is in the spotlight after voluntarily recalling 1,721,800 veterinary IV sets with drip chambers that may contain black specks, an issue regulators classify as a Class II event. The recall comes after a strong run for ICU Medical, with the share price up 8.93% over 90 days and the 1-year total shareholder return at 14.95%. However, momentum has recently cooled, with a 30-day share price return down 16.79% and short-term weakness around the latest insider sales. Scan beyond...
NasdaqCM:ASTH
NasdaqCM:ASTHHealthcare

Astrana Health (ASTH) Could Be 32% Undervalued Following Its Recent Pullback

Astrana Health (ASTH) has caught investor attention after a sharp pullback, with the share price down about 9% in the past day and roughly 12% over the past month. The latest pullback sits against a mixed backdrop for Astrana Health, with the share price return up 36% year to date but recent momentum fading over the past quarter. The 1-year total shareholder return of 15.14% contrasts with a 5-year total shareholder loss of 64.41%. Scan the pullback in Astrana Health against other potential...
NYSE:MC
NYSE:MCCapital Markets

Moelis (MC) Just Gave The Market Something To Think About

New leadership move in Moelis private capital advisory arm Moelis (MC) recently appointed Greg Guest as a Managing Director in New York, putting him in charge of promoted capital solutions within the firm’s Private Capital Advisory Group. Moelis shares trade at US$59.53 after a 1-day share price return of 0.92%, although the stock is down 10.58% over 30 days and 16.41% year to date. A 3-year total shareholder return of 50.55% points to longer term momentum that recent weakness...
NYSE:VMI
NYSE:VMIConstruction

Why Valmont Industries (VMI) Is Getting Attention Today

Valmont Industries (VMI) is back in focus after management scheduled a presentation at the 25th Annual D.A. Davidson Industrials and Services Conference, giving investors fresh access to the company’s infrastructure and agriculture story. Recent trading has been softer, with the share price down 3.1% over the past month and 17.2% over the last quarter. Even so, Valmont Industries still carries a 14.8% year-to-date share price gain and a 1-year total shareholder return of 25.5%. This suggests...
NYSE:ALV
NYSE:ALVAuto Components

Should Virtual Crash Testing Require Action From Autoliv (ALV) Investors?

Autoliv reported progress on its Human Body Model Safety Suite, a virtual crash testing platform that is now being evaluated by Toyota for vehicle safety development. The use of detailed digital human models and integrated analysis tools indicates rising demand for earlier, software-driven safety engineering in Autoliv's core customer base. We will now examine how Autoliv's investment narrative could shift as virtual safety testing gains traction with Toyota using its HBM platform. Scan...
NasdaqGM:FUTU
NasdaqGM:FUTUCapital Markets

3 Stocks That Might Be Trading Below Estimated Intrinsic Value

Over the last 7 days, the United States market has remained flat, though it has risen by 12% over the past year with earnings forecasted to grow by 17% annually. In this environment, identifying stocks that might be trading below their estimated intrinsic value can present opportunities for investors looking to capitalize on potential growth.
NYSE:OFRM
NYSE:OFRMFood

Top Growth Companies With High Insider Ownership In September 2026

In the last week, the United States market has stayed flat, yet it is up 12% over the past year with earnings expected to grow by 17% annually. In this context of steady growth, identifying companies with high insider ownership can be particularly appealing as it often signals confidence from those closest to the business in its potential for future success.
NasdaqGS:CRNT
NasdaqGS:CRNTCommunications

3 Promising Penny Stocks To Consider In September 2026

The market remained flat over the last week, but over the past 12 months, it has risen by 12%, with earnings forecasted to grow by 17% annually. In light of these conditions, identifying stocks with strong balance sheets and solid fundamentals can be key to finding value. Penny stocks, often representing smaller or newer companies, continue to offer intriguing opportunities for growth at lower price points despite being a somewhat outdated term.
NYSE:YOU
NYSE:YOUSoftware

3 Software Stocks to Watch as AI Safety Puts Cybersecurity in Focus

AI safety is suddenly front page news, with OpenAI flagging “concerning model behavior” and Microsoft’s AI chief calling it a serious situation. That raises the stakes for anything tied to cyber defense, compliance and AI governance, and it may push more capital toward companies seen as helping keep the guardrails up. This article unpacks three stocks exposed to this news and how each might fit, or not, in your watchlist. The stocks covered below are just a first pass, and the full screen...
NasdaqGS:TXN
NasdaqGS:TXNSemiconductor

Texas Instruments (TXN) Plans Dividend Hike, Is The Stock 41% Undervalued?

Texas Instruments (TXN) just put its dividend policy back in the spotlight with a planned 7% hike in the quarterly payout to $1.52 per share, subject to board approval. Texas Instruments shares have eased off their recent highs, with the 30-day share price return down 5.18% and the 90-day move down 20.05%. The stock still carries longer-term momentum, with a 45.81% 1-year total shareholder return and 75.36% over three years, as investors weigh the dividend increase, capacity buildout and data...
NYSE:LYV
NYSE:LYVEntertainment

Why Live Nation Entertainment (LYV) Is Getting Attention Now

Live Nation Entertainment (LYV) just posted Q2 2026 results that topped analyst expectations, with management lifting its outlook for revenue, adjusted operating income, fan growth, and margin expansion, putting the concert powerhouse back in the spotlight. Live Nation Entertainment's share price has eased in the short term, with a 1-month share price return down 6.39% and a 7-day share price return down 1.02%. At the same time, the year-to-date share price return sits at 15.85% and the...
NYSE:OKE
NYSE:OKEOil and Gas

Will $2 Billion Debt Tender Change ONEOK's (OKE) Narrative

ONEOK completed a corporate reorganization on September 10, 2026 and launched cash tender offers of up to US$2 billion for a range of senior notes, with early tenders already equaling the maximum aggregate amount. The combination of revised Oklahoma governance documents and a large debt repurchase program signals a focus on tighter control over key decisions and potential balance sheet repositioning that could influence long term financing costs. This article examines how ONEOK's investment...
NasdaqGS:AMBA
NasdaqGS:AMBASemiconductor

Learn Why The Bull Case For Ambarella (AMBA) Could Change Following Developer Zone Expansion

Ambarella expanded its Developer Zone, adding a Google Cloud hosted IDE, Gemini Enterprise powered agentic AI tools, and deeper ties with ZEDEDA and Ultralytics to support cloud connected fleets of CVflow based edge devices. The build once, deploy across 12 AI SoC families approach, spanning more than 200 supported model architectures and 50 million units in the field, points to a software style scale story layered on top of Ambarella’s chip base. The next area of focus is how Ambarella’s...
NYSE:CL
NYSE:CLHousehold Products

Will Premium Toothpaste Push Change Colgate's (CL) Narrative

Colgate-Palmolive's board declared a quarterly cash dividend of $0.53 per share, paid in November 2026, extending an uninterrupted payment record on its common stock that began in 1895. Management is pairing this long-running dividend commitment with increased support for premium toothpaste and higher advertising in North America as it works through recent category softness and tougher competition. We will now assess how Colgate-Palmolive's investment narrative could be influenced by this...
NYSE:BHE
NYSE:BHEElectronic

Benchmark Electronics (BHE) Could Be 13% Undervalued On Strong Q2 And Upbeat Guidance

Benchmark Electronics (BHE) has reaffirmed its quarterly dividend at $0.17 per share, following Q2 results that topped analyst expectations on both revenue and earnings and guidance that ran ahead of forecasts. At a share price of $74.55, Benchmark Electronics has seen strong momentum this year, with a year to date share price return of 69.82% and a 1 year total shareholder return of 85.22%. However, the 90 day share price return has declined 19.12% as expectations reset around the recent run...
NasdaqGS:GO
NasdaqGS:GOConsumer Retailing

Grocery Outlet Holding (GO) Lifted Full Year Guidance, Is The Rebound Already Priced In?

Grocery Outlet Holding (GO) just posted second quarter 2026 results, with net sales up 1.1%, comparable-store sales slipping 0.3%, higher full year guidance, and a net loss driven by a large non cash goodwill impairment. Grocery Outlet Holding’s share price has been rebuilding some short term momentum, with a 1-day share price return of 1.4%, a 7-day gain of 4.9%, and a 90-day move of 25.5% to US$11.62. However, the 1-year total shareholder return is still down 31.5%, pointing to a business...
NYSE:BF.B
NYSE:BF.BBeverage

3 US Dividend Stocks Built For Higher Rates

Fed rate hikes, sticky 3.5–4% inflation and higher borrowing costs are reshaping where reliable income might come from, especially as growth stocks feel the heat from higher-for-longer policy into 2027. That mix creates a window for dividend investors who want cash returns without leaning on guesswork about fast expansion stories. This article walks through three high-quality dividend stocks exposed to these macro shifts and what that could mean for your portfolio. The three stocks covered...
NYSE:DPC
NYSE:DPCElectrical

Is DPC Holdings (DPC) Undervalued After Refinancing Its Debt?

DPC Holdings (NYSE:DPC) has just overhauled its borrowing structure, securing a new US$325 million unsecured revolving credit facility and refinancing pre IPO debt. This move reshapes its liquidity profile. Investors have reacted cautiously to these financing moves, with DPC Holdings’ 1 month share price return down 18.52% and the year to date share price return down 13.82%. This is despite a 2.23% gain over the last trading day, which hints at stabilising momentum. Scan how lenders react to...
NasdaqGS:OSIS
NasdaqGS:OSISElectronic

Does Government Radio Orders Change The Bull Case For OSI Systems Stock (OSIS)?

OSI Systems reported that, earlier this week, its Security division received about US$90 million in U.S. Government orders for RF communication products and its Optoelectronics and Manufacturing unit secured roughly US$8 million of electronic assembly work from a global industrial technology client. The twin order wins highlight OSI Systems' exposure to government infrastructure programs and its ability to supply complex assemblies across multiple industrial product lines and...
NYSE:TRNO
NYSE:TRNOIndustrial REITs

Did Lease Renewals Just Shift Terreno Realty Stock Investment Narrative?

Terreno Realty Corporation has executed early renewals on leases for three Sunnyvale industrial buildings totaling 172,000 square feet with a leading molecular diagnostic testing provider, extending the lease expiries from March 2030 to March 2035. The five year extension with a single specialized tenant highlights Terreno Realty's ability to keep mission critical space occupied, which can support more predictable rental income from its Sunnyvale cluster. We will now examine how Terreno...
NYSE:BOW
NYSE:BOWInsurance

3 Insurance Stocks Tied To Energy And Shipping Risks Retail Investors Are Tracking

Energy supply routes are under strain, inflation has central banks on edge, and global trade patterns are being redrawn in real time. That mix is pushing risks tied to tankers, offshore platforms, and cargo into sharper focus, and insurance stocks linked to those flows are suddenly on many watchlists. This article walks through three stocks from our Global Energy Infrastructure and Shipping Insurance screener that appear positively exposed to these shocks and explains what could be driving...
NYSE:TSM
NYSE:TSMSemiconductor

Taiwan Semiconductor Manufacturing (TSM) Starts Commercial 2 Nm Production

Taiwan Semiconductor Manufacturing (NYSE:TSM) reports record revenue alongside higher capital spending as it advances leading edge chipmaking. The foundry begins commercial 2nm production while relying on ASML equipment that remains without a direct competing supplier. Management outlines a larger budget for advanced manufacturing capacity that targets future high performance computing and AI workloads. TSMC's record top line and 2nm ramp tell only part of how its plans intersect with ASML's...
NYSE:WLK
NYSE:WLKChemicals

Does Earnings Turnaround Change The Bull Case For Westlake (WLK)?

Westlake Corporation reported a second quarter turnaround, generating net income of US$260 million and shifting its Performance and Essential Materials segment from a US$318 million operating loss to US$185 million in operating income, supported by a 14% year over year rise in average sales prices. The group also reduced debt by US$500 million and returned US$99 million through dividends and buybacks, which highlights how Westlake is using the earnings recovery to clean up its balance sheet...
NasdaqGM:GPCR
NasdaqGM:GPCRPharmaceuticals

Structure Therapeutics (GPCR) As Fresh Obesity Data Tests Its 1.8x P B Valuation

Structure Therapeutics (GPCR) has put fresh clinical data at the center of its story, with new results from ACCG-2671 and aleniglipron in chronic weight management drawing investor attention this month. The fresh trial readouts arrive after a sharp pullback in Structure Therapeutics’ 1 month share price return, which fell 34.43%. This contributed to a 48.47% share price decline year to date, even as the 1 year total shareholder return is 51.10%, a mix that suggests recent enthusiasm has...