U.S. Metals and Mining Stock News

NYSE:KRP
NYSE:KRPOil and Gas

Is It Time To Reassess Kimbell Royalty Partners (KRP) After Its Recent Price Gains?

Wondering if Kimbell Royalty Partners at around US$14.40 is offering fair value, a bargain, or something in between? This article walks through the key signals that matter for you. The unit price sits near US$14.40, with returns of 19.7% year to date and 14.4% over the past year, while the last 7 days show a 1.5% decline and the past month a 2.3% gain. Recent coverage has focused on Kimbell Royalty Partners as an income oriented oil and gas royalty name. Investors are watching how commodity...
NYSE:EIX
NYSE:EIXElectric Utilities

Edison International Pay Decisions Confront Wildfire Liabilities And Investor Concerns

Edison International (NYSE:EIX) has approved higher executive compensation while facing responsibility for the deadly Eaton wildfire. The company is managing ongoing lawsuits related to the fire, which caused significant loss of life and damage to affected communities. Investors are weighing the pay decisions against legal exposure, reputational risk, and the utility's role in regional power infrastructure. Edison International, the parent of Southern California Edison, is a major regulated...
NasdaqCM:IGIC
NasdaqCM:IGICInsurance

How Investors May Respond To International General Insurance Holdings (IGIC) Board Refresh And New Reinsurance Expertise

International General Insurance Holdings Ltd. recently reshaped its Board, adding veteran reinsurance executive Thomas A. Collett and accepting the retirement of long-serving director David D. Anthony, while reallocating key committee roles. The appointment of Collett, with deep U.S. reinsurance market relationships, alongside refreshed committee leadership, may influence IGI’s governance and longer-term business direction. Next, we’ll examine how bringing Thomas A. Collett onto the Board...
NYSE:CALX
NYSE:CALXCommunications

The Bull Case For Calix (CALX) Could Change Following New SmartMDU Wi‑Fi 7 Deployments - Learn Why

Calix, Inc. recently announced that Blue Stream Fiber, XMission, and Aervivo are using the Calix One platform with SmartMDU to expand secure, managed Wi‑Fi across multi-dwelling unit properties, ranging from affordable housing to luxury and mixed-use communities. This broadening ecosystem highlights how Calix’s SmartMDU and new Wi‑Fi 7 systems are becoming a turnkey infrastructure choice for property-wide connectivity and faster service activation. We’ll now examine how this expansion of...
NasdaqGS:CROX
NasdaqGS:CROXLuxury

Assessing Crocs (CROX) Valuation After Earnings Beat And New KL Rahul Sports Campaign

Why Crocs Stock Is Back in Focus After Earnings and a New Sports Partnership Crocs (CROX) has drawn fresh investor attention after reporting a 3.2% year on year revenue decline while still beating Wall Street revenue estimates and issuing earnings guidance above expectations. At the same time, Crocs India introduced cricketer KL Rahul as brand ambassador for its new Play Hard, Rest Easy campaign, signaling a push to reach sports focused and male consumers in a key growth market. See our...
NasdaqGS:QFIN
NasdaqGS:QFINConsumer Finance

Qfin Holdings (QFIN) Margin Compression Tests Bullish Earnings Narratives

Qfin Holdings (NasdaqGS:QFIN) has released its FY 2025 numbers with fourth quarter revenue of C¥4.1b and basic EPS of C¥7.92, setting the stage for investors to reassess how the earnings story lines up with expectations. Over the past six quarters, the company has seen quarterly revenue move between C¥4.1b and C¥5.2b, while basic EPS has ranged from C¥7.92 to C¥13.41, giving you a clear view of how the top line and per share profits have tracked through different trading periods. With...
OTCPK:FREV.S
OTCPK:FREV.SREITs

First Real Estate Investment Trust Of New Jersey (OTCPK:FREV.S) Steady FFO Base Challenges Bearish Narratives

First Real Estate Investment Trust of New Jersey (FREV.S) opened Q1 2026 with total revenue of US$7.5 million and basic EPS of US$0.13, giving investors a clean read on how the new fiscal year is starting. The company has seen quarterly revenue move in a tight band around US$7.2 million to US$7.5 million since early 2024, while basic EPS has ranged from about US$0.08 to US$0.15 over that stretch. This sets a clear baseline for how earnings power has tracked alongside a largely steady top...
NasdaqGS:VRNS
NasdaqGS:VRNSSoftware

Varonis Atlas Launch Puts AI Security And SaaS Story In Focus

Varonis Systems (NasdaqGS:VRNS) has launched Varonis Atlas, a comprehensive AI Security Platform for enterprises. Atlas is designed to manage the full AI lifecycle, including discovery, posture management, compliance, risk management, real-time guardrails, and monitoring. The platform targets AI agents, large language models, and shadow AI across corporate environments. Varonis Systems is known for data security and analytics, and Atlas extends that focus into AI security as companies roll...
NYSE:MCK
NYSE:MCKHealthcare

Assessing McKesson (MCK) Valuation After Recent Share Pullback And Ongoing Growth Momentum

McKesson (MCK) is drawing renewed attention after recent trading left the shares with a 1-day decline of 2.29% and a past-week return of 1.49%, compared with a 13.55% gain over the past 3 months. See our latest analysis for McKesson. At a share price of $920.35, McKesson’s recent 1-day and 1-month share price declines sit against an 11.77% year to date share price return and a 39.20% 1-year total shareholder return, suggesting longer term momentum has been stronger than the latest...
NYSE:BYD
NYSE:BYDHospitality

Should Rising Capex And Squeezed Cash Flow Margins Require Action From Boyd Gaming (BYD) Investors?

In recent days, analysts have highlighted Boyd Gaming’s muted long-term revenue growth and forecasts for a lower free cash flow margin amid rising capital expenditures, contributing to growing concern about the company’s capital efficiency and investment decisions. These concerns contrast with institutional investor Gotham Asset Management increasing its stake in Boyd Gaming during 2025, underscoring a divide between analyst caution and some investors’ confidence in the company’s prospects...
NYSE:EFX
NYSE:EFXProfessional Services

Equifax AI Security Focus Highlights Governance And Valuation Questions

Equifax (NYSE:EFX) released its 2025 Security Annual Report, outlining a major focus on AI-driven cybersecurity in response to rising digital threats. The company is urging shareholders to vote against a proposal that would lower the threshold for investors to call special meetings. Both developments center on risk management and corporate governance, key areas of interest for investors after past security incidents. Equifax operates as a global data, analytics, and technology company, with...
NYSE:GPGI
NYSE:GPGITech

A Look At GPGI (GPGI) Valuation As Short Seller Report And Legal Probe Intensify Husky Concerns

GPGI (GPGI) is under fresh scrutiny after a short seller report on its Husky Technologies subsidiary prompted a law firm investigation into potential securities law violations, putting revenue recognition and governance practices in the spotlight. See our latest analysis for GPGI. The short seller report and earnings release appear to have shifted sentiment, with a 30 day share price return of negative 27.97% and a weaker 7 day share price return, even as the 1 year total shareholder return...
NasdaqGS:ASO
NasdaqGS:ASOSpecialty Retail

Academy Sports And Outdoors (ASO) Margin Compression Challenges Bullish Earnings Narratives

Academy Sports and Outdoors (ASO) has just wrapped up FY 2026 with fourth quarter revenue of US$1,718.5 million, basic EPS of US$2.02 and net income of US$133.7 million, setting a clear benchmark for how the business is currently earning its money. Over recent periods the company has seen quarterly revenue move from US$1,676.9 million in Q4 FY 2025 to US$1,718.5 million in Q4 FY 2026, while basic EPS shifted from US$1.93 to US$2.02 and trailing twelve month net income sat at US$376.8 million...
NasdaqGS:GTLB
NasdaqGS:GTLBSoftware

GitLab (GTLB) Revenue Growth And Contained Losses Test Bullish Profitability Narratives

GitLab's FY 2026 results set the stage for a margins story GitLab (GTLB) closed FY 2026 with fourth quarter revenue of US$260.4 million and a basic EPS loss of US$0.02 per share, alongside trailing twelve month revenue of US$955.2 million and a TTM EPS loss of US$0.34. The company has seen quarterly revenue move from US$196.0 million in Q3 FY 2025 to US$260.4 million in Q4 FY 2026, while quarterly EPS has shifted from a profit of US$0.18 to a loss of US$0.02 over the same stretch, leaving...
NYSE:PRI
NYSE:PRIInsurance

Is Primerica (PRI) Pricing Reflect Its Franchise Model Strengths And Recent Share Performance

If you are wondering whether Primerica's current share price still offers value, the recent mix of returns gives you a useful starting point to question what the market is really pricing in. The stock last closed at US$248.46, with returns of a 1% decline over 7 days, a 1% decline over 30 days, a 4% decline year to date, while still showing gains of 60.3% over 3 years and 87.2% over 5 years. Recent news coverage has focused on Primerica's role as a US insurance provider and distributor of...
NasdaqGS:MANH
NasdaqGS:MANHSoftware

Is Manhattan Associates (MANH) Still Attractive After Recent Share Price Weakness?

Wondering if Manhattan Associates at around US$138 per share still offers value, or if most of the opportunity has already been priced in. The stock is down about 3.6% over the past week, 1.6% over the past month, and 17.4% year to date, with a 20.8% decline over the last year and a 19.5% gain over five years. These moves can change how investors think about both risk and opportunity. Recent coverage has focused on Manhattan Associates as a key player in supply chain and warehouse management...
NYSE:APH
NYSE:APHElectronic

Has The Recent Pullback In Amphenol (APH) Opened A New Opportunity For Investors

Investors may be wondering if Amphenol at around US$127.81 still offers good value after its strong run, or if the price now reflects too much optimism. The stock has pulled back recently, with a 5.0% decline over the last week, a 12.9% decline over the last month, and an 8.5% decline year to date, even after a 90.6% return over the past year and a very large 3-year gain of more than 3 times. These moves come as investors continue to reassess large, established tech hardware names, with...
NYSE:CDRE
NYSE:CDREAerospace & Defense

Why Cadre Holdings (CDRE) Is Down 8.5% After Mixed Q4 Results And Aggressive 2026 M&A Guidance

In March 2026, Cadre Holdings, Inc. reported fourth-quarter 2025 sales of US$167.22 million, down from US$175.98 million a year earlier, alongside lower quarterly earnings per share, even as full-year 2025 revenue and net income rose versus 2024 and the company issued 2026 net sales guidance of US$736 million to US$758 million. Management highlighted a growing backlog and strong balance sheet while signaling an active M&A pipeline in public safety and nuclear markets, indicating a push to...
NYSE:CWK
NYSE:CWKReal Estate

Cushman And Wakefield Taps Victoria Lake To Shape APAC And EMEA Finance

Cushman & Wakefield (NYSE:CWK) has appointed Victoria Lake as Chief Financial Officer for its APAC & EMEA regions. Lake joins the company from Accenture, bringing experience in corporate development, M&A and strategic finance. The appointment reflects a focus on the company’s international business outside the US. Cushman & Wakefield, a global commercial real estate services firm, generates revenue from services such as leasing, property management, capital markets and advisory work...
NYSE:WSM
NYSE:WSMSpecialty Retail

Williams Sonoma (WSM) Margin Decline Questions Premium P E Narrative After FY 2026 Results

Williams-Sonoma (WSM) has wrapped up FY 2026 with fourth quarter revenue of US$2.4b and basic EPS of US$3.09, set against a trailing twelve month revenue base of US$7.8b and EPS of US$8.96. Over recent quarters the company has seen revenue move from US$2.5b in Q4 FY 2025 to US$2.4b in Q4 FY 2026, while quarterly EPS shifted from US$3.12 to US$3.09. This is prompting investors to focus on how modest growth expectations line up with a slightly lower trailing net margin and what that may...
NYSEAM:TMP
NYSEAM:TMPBanks

Will Tompkins Financial’s New Bank President-Elect Reshape Its Long-Term Strategy Story (TMP)?

Tompkins Financial Corp. recently announced that Phillip M. Quintana has been appointed President-Elect of Tompkins Community Bank, succeeding long-serving president John McKenna upon his planned retirement in July 2026. This leadership transition brings more than 27 years of banking leadership experience into a central role at Tompkins Community Bank, potentially influencing its commercial, retail, and credit operations. With this leadership succession plan now public, we’ll assess how...
NYSE:SLG
NYSE:SLGOffice REITs

SL Green Refocuses Portfolio As 7 Dey Sale Meets Leasing Momentum

SL Green Realty (NYSE:SLG) has agreed to sell the residential and retail components of 7 Dey Street. The company reports that One Madison Avenue is now fully leased. SL Green also highlights significant Manhattan leasing activity so far this year. For investors watching NYSE:SLG, these updates come at a time when the stock trades at $38.37 and has seen very different returns over various time frames, with a 1.5% gain over the past week alongside a 31.8% decline over the past year and a...
NasdaqGS:FFIV
NasdaqGS:FFIVCommunications

Is It Time To Reconsider F5 (FFIV) After Its Recent Mixed Share Price Performance?

Wondering if F5 at around US$282.20 is offering good value or asking too much? This breakdown is designed to help you frame that question clearly before you make any moves. The stock has seen mixed recent returns, with a 2.5% decline over the last 7 days, a 3.0% gain over the past month, 10.0% year to date, and 4.4% over the last year. The 3 year and 5 year returns stand at 100.6% and 42.7% respectively. Recent coverage around F5 has focused on how investors are weighing long term...
NYSE:ADC
NYSE:ADCRetail REITs

How Agree Realty’s Higher Monthly Dividend and Institutional Demand Will Impact Agree Realty (ADC) Investors

Agree Realty Corporation recently declared a monthly cash dividend of US$0.262 per common share and US$0.08854 per Series A preferred depositary share, with the payouts scheduled in April 2026 to shareholders of record in March, marking an annualized increase in the common dividend. This dividend increase, alongside very large growth in institutional holdings and reaffirmed analyst confidence, highlights how income-focused investors view Agree Realty’s retail-focused portfolio as an...