U.S. Metals and Mining Stock News

NYSE:ANF
NYSE:ANFSpecialty Retail

Abercrombie & Fitch (ANF) Margin Compression Tests Bullish Long Term Profit Narratives

Abercrombie & Fitch (ANF) has just posted another solid update for FY 2026, with Q3 revenue of US$1,290.6 million and basic EPS of US$2.41, alongside net income of US$113.0 million and same store sales growth of 3%. The company has seen quarterly revenue move from US$1,133.9 million in Q2 FY 2025 to US$1,290.6 million in Q3 FY 2026. EPS ranged from US$2.60 in Q2 FY 2025 to US$2.97 in Q2 FY 2026 and US$2.41 in the latest quarter, setting the scene for investors to focus on how margins are...
NYSE:HAL
NYSE:HALEnergy Services

Halliburton (HAL) Valuation Check After Earnings Beat And Pertamina Unconventional Energy Agreement

Halliburton (HAL) is back on many investors’ screens after beating quarterly EPS and revenue estimates and signing an MOU with PT Pertamina to deploy advanced well construction and stimulation technologies in Indonesia. See our latest analysis for Halliburton. At a recent share price of US$34.43, Halliburton has seen a 23.72% 90 day share price return and a 46.23% one year total shareholder return, alongside its earnings beats, record trading high and the Pertamina MOU. If news from the...
NYSE:SPG
NYSE:SPGRetail REITs

David Simon Exit From Klépierre Board Refocuses Simon Property Priorities

David Simon of Simon Property Group (NYSE:SPG) has resigned from the Supervisory Board of Klépierre S.A. The change affects SPG’s representation at one of Europe’s major shopping center operators. Simon Property Group focuses on high end malls and outlet centers, while Klépierre concentrates on shopping centers across key European markets. Both operate in a retail real estate space that has seen steady tenant mix reshuffling, more emphasis on experiential concepts, and continued discussion...
NasdaqGS:TMUS
NasdaqGS:TMUSWireless Telecom

Is It Too Late To Consider T-Mobile US (TMUS) After Recent Share Price Rebound?

Wondering if T-Mobile US at around US$219.71 is still a sensible entry or hold for you, or if the value case has already played out. The share price shows mixed signals, with a 0.5% 7 day return, 12.7% over 30 days and 10.1% year to date, yet a 14.9% decline over the past year, against longer term returns of 59.6% over 3 years and 79.4% over 5 years. Recent coverage has focused on T-Mobile US as a major US telecom operator, with attention on its subscriber scale, 5G network position and...
NYSE:AI
NYSE:AISoftware

A Look At C3.ai (AI) Valuation After Weak Earnings And New US$500 Million Defense Agreement

C3.ai (AI) just delivered a rough quarterly update, with revenue falling sharply, losses widening and a 26% workforce reduction, even as investors weigh growing defense contracts and a US$500 million Missile Defence Agency agreement. See our latest analysis for C3.ai. Those weak earnings and guidance have come on top of already heavy share price pressure, with a 30 day share price return of 14.93% and a 90 day share price return of 39.36%. The 1 year total shareholder return of 58.97%...
NYSE:PRIM
NYSE:PRIMConstruction

Primoris Services Investor Conferences Put Valuation And Insider Selling In Focus

Primoris Services (NYSE:PRIM) management is scheduled to participate in two major institutional investor conferences in March 2026. The company plans to engage directly with large investors, highlighting its business priorities and operational focus. These conferences are expected to put a spotlight on Primoris Services within the broader construction and infrastructure services space. For you as an investor, this matters because Primoris Services sits in the construction and infrastructure...
NasdaqCM:RCAT
NasdaqCM:RCATAerospace & Defense

Red Cat Holdings (RCAT) Is Up 18.6% After Bullfrog Counter-Drone Integration Deal Announced - Has The Bull Case Changed?

In early March 2026, Red Cat Holdings announced that Allen Control Systems joined its Red Cat Futures Initiative to integrate the Bullfrog AI-powered autonomous counter-drone and weapon system with Red Cat’s secure ISR platforms, starting on Blue Ops uncrewed surface vessels. This collaboration highlights how Red Cat is using an industry consortium model to link AI-enabled precision engagement with its growing multi-domain autonomy ecosystem for defense customers. We’ll now examine how...
NYSE:KAI
NYSE:KAIMachinery

Kadant (KAI) Margin Compression Tests Premium Valuation Narrative After FY 2025 Earnings

Kadant (KAI) has wrapped up FY 2025 with fourth quarter revenue of US$286.2 million and basic EPS of US$2.04, alongside net income of US$24.0 million, capping a trailing twelve month run of US$1.1b in revenue and US$8.66 in EPS. Over recent quarters the company has seen revenue move from US$239.2 million in Q1 2025 to US$286.2 million in Q4, while basic EPS has ranged between US$2.04 and US$2.35. This gives investors a clearer view of how earnings are tracking through the year. With a...
NYSE:UVE
NYSE:UVEInsurance

Why Universal Insurance Holdings (UVE) Is Up 11.3% After Earnings Beat And Bigger Buyback Plan

Universal Insurance Holdings reported past fourth-quarter 2025 revenue of US$407.93 million, net income of US$66.59 million, and diluted earnings per share from continuing operations of US$2.28, alongside full-year 2025 revenue of US$1.60 billion and net income of US$182.95 million. Management paired these stronger earnings with a completed US$19.8 million share repurchase under the 2025 program and a new buyback authorization plus a cash dividend, signaling a focus on returning capital to...
NYSE:EXR
NYSE:EXRSpecialized REITs

Assessing Extra Space Storage (EXR) Valuation After Earnings Growth And Share Repurchase Completion

Extra Space Storage (EXR) just released its fourth quarter and full year 2025 results, and confirmed completion of a previously announced share repurchase program, giving investors fresh information on both operations and capital returns. See our latest analysis for Extra Space Storage. Extra Space Storage shares have picked up momentum recently, with a 30-day share price return of 11.21% and a 90-day gain of 14.70%, while the 1-year total shareholder return of 0.16% shows a flatter longer...
NYSE:FCX
NYSE:FCXMetals and Mining

Freeport-McMoRan (FCX) Valuation Check As Copper Weakness And Grasberg Restart Risks Pressure Sentiment

Freeport-McMoRan (FCX) is back in focus after copper prices weakened on geopolitical tensions linked to conflict in Iran and U.S. military action, pressuring major miners and highlighting ongoing operational questions around its Grasberg restart. See our latest analysis for Freeport-McMoRan. Despite the recent pullback linked to weaker copper prices and geopolitical tension, Freeport-McMoRan’s share price has a 30 day share price return of 8.51% and a 90 day share price return of 47.79%. The...
NasdaqCM:MARA
NasdaqCM:MARASoftware

A Look At MARA Holdings (MARA) Valuation As It Pivots To AI Data Centers With Starwood Capital

MARA Holdings (MARA) is back in focus after signing a new agreement with Starwood Capital to convert select Bitcoin mining sites into AI focused data centers, along with a revised Bitcoin sale policy. See our latest analysis for MARA Holdings. The recent agreement with Starwood and shift in Bitcoin sale policy come after a choppy period for the stock, with a 90 day share price return of a 25.32% decline and a 1 year total shareholder return of a 38.56% decline. However, the 3 year total...
NasdaqGS:LI
NasdaqGS:LIAuto

Is It Time To Reassess Li Auto (LI) After A 39.9% One-Year Share Price Fall?

Wondering whether Li Auto shares offer real value at today's price, or if the risks outweigh the potential reward, starts with understanding what the current market is actually pricing in. The stock last closed at US$17.23, with recent returns showing a 6.6% decline over 7 days, a 4.2% gain over 30 days, and a slight 0.1% decline year to date. The 1 year return is a 39.9% loss. Recent headlines around Li Auto have focused on its position in the US-listed Chinese electric vehicle space and...
NYSE:AMCR
NYSE:AMCRPackaging

Assessing Amcor (AMCR) Valuation After Recent Short Term Share Price Momentum

Event context and recent share performance Amcor (AMCR) has been drawing attention after recent share price moves, with the stock showing a return of about 5% over the past month and roughly 10% over the past 3 months. See our latest analysis for Amcor. Looking beyond the recent bounce, Amcor’s 30 day share price return of 4.9% and 90 day return of 10.3% sit against a 1 year total shareholder return decline of 3.5%, suggesting shorter term momentum contrasts with weaker longer term...
NYSE:WTRG
NYSE:WTRGWater Utilities

Is Essential Utilities (WTRG) Fairly Priced After Recent Steady Share Performance?

If you are wondering whether Essential Utilities is fairly priced or offering hidden value at around US$40.24 a share, you are not alone. The stock has delivered returns of 0.9% over the last 7 days, 5.2% over the last 30 days, 4.1% year to date, 8.3% over 1 year, 4.9% over 3 years, and 10.1% over 5 years. These moves may have influenced how investors view its potential and risk. Recent company updates and ongoing coverage have kept Essential Utilities on investors' radars, providing fresh...
NasdaqGS:OMCL
NasdaqGS:OMCLMedical Equipment

Omnicell Leans Into Healthcare IT As ANiGENT Deal Reshapes Growth Story

Omnicell, ticker NasdaqGS:OMCL, is shifting its focus toward a software and services led model. The company recently acquired ANiGENT to deepen its capabilities in drug diversion detection within healthcare settings. This move marks a meaningful step in Omnicell's transition from a hardware vendor to a Healthcare IT company. Omnicell's pivot comes after a mixed share price record, with the stock at $41.53 and a value score of 4. The shares show a 9.8% gain over the past year, while longer...
NYSE:LC
NYSE:LCConsumer Finance

Assessing LendingClub (LC) Valuation After Its Transition To A Fully Regulated US Bank

LendingClub (LC) is drawing fresh attention after completing its shift to a fully regulated US bank, with recent earnings highlighting stabilizing margins, higher capital levels, and tighter loan origination focused on credit quality. See our latest analysis for LendingClub. The completed bank transition and recent earnings sit against a mixed trading backdrop, with a 5.05% 1 day share price return to $15.61 following weaker 30 and 90 day share price returns. At the same time, the 1 year...
NasdaqGS:MSEX
NasdaqGS:MSEXWater Utilities

A Look At Middlesex Water (MSEX) Valuation After Insider Buying And A Newly Approved Rate Increase

Insider buying and rate increase put Middlesex Water in focus Middlesex Water (MSEX) is back on investors’ radar after a board member bought additional shares, alongside a recently approved rate increase and steady full year 2025 results. The company reported 2025 sales of US$194.69 million and net income of US$42.82 million, while maintaining a long running dividend record that some income focused investors continue to watch closely. See our latest analysis for Middlesex Water. At a share...
NYSE:NOG
NYSE:NOGOil and Gas

A Look At Northern Oil And Gas (NOG) Valuation After Q4 Loss And Large Impairment Charge

Northern Oil and Gas (NOG) just released its fourth quarter and full year 2025 update, combining a large US$268,497,000 impairment charge with new 2026 production guidance, refreshed credit capacity, ongoing buybacks, and a maintained dividend. See our latest analysis for Northern Oil and Gas. That mix of a US$268.5m impairment, higher 2025 revenue and fresh 2026 production guidance has arrived alongside a 28.9% year to date share price return and a 1 year total shareholder return of 9.9%...
NYSE:CRI
NYSE:CRILuxury

Carter's (CRI) Balances Dividends And Buybacks After Q4 Beat Is Its Capital Strategy Evolving?

Carter’s, Inc. recently reported fourth-quarter 2025 results showing US$925.45 million in sales and US$64.22 million in net income, alongside confirming its quarterly US$0.25 per-share dividend and completing a multi-year US$97.57 million share repurchase program. Despite mixed full-year profitability and no buybacks in 2025, management is guiding to low- to mid-single-digit net sales growth in 2026, highlighting confidence in demand creation initiatives and broader brand momentum. We’ll now...
NasdaqCM:IMNM
NasdaqCM:IMNMBiotechs

Immunome (IMNM) TTM Net Loss Of US$212 Million Reinforces Bearish Profitability Narratives

Immunome FY 2025 Results Set Up A High Growth, High Loss Story Immunome (IMNM) has just reported FY 2025 first half results with revenue of US$6.9 million and a basic EPS loss of US$1.02 per share, alongside a net income loss of US$85.0 million, keeping margins firmly in negative territory. The company has seen revenue move from US$3.4 million in the first half of FY 2024 to US$5.6 million in the second half, and now to US$6.9 million in the first half of FY 2025. Over the same periods EPS...
NYSE:MD
NYSE:MDHealthcare

Pediatrix’s Profit Return And Heavy Buybacks Could Be A Game Changer For Pediatrix Medical Group (MD)

Pediatrix Medical Group, Inc. recently reported its fourth-quarter and full-year 2025 results, with quarterly sales of US$493.77 million and net income of US$33.68 million, alongside full-year sales of US$1.91 billion and net income of US$165.39 million. Alongside this profit recovery, Pediatrix completed several long-running share repurchase programs totaling hundreds of millions of US dollars, while also continuing its clinical leadership with the 47th NEO: The Conference for Neonatology...
NasdaqGS:TSEM
NasdaqGS:TSEMSemiconductor

Tower Semiconductor Taps Silicon Photonics For AI Networking And Quantum Upside

Tower Semiconductor (NasdaqGS:TSEM) is moving its partnership with Salience Labs into pre-production to manufacture PIC based OCS for AI data center infrastructure. The joint OCS solution is scheduled to be showcased at the OFC 2026 Conference, giving early visibility to potential customers in high performance AI networking. Tower is also expanding its work with Xanadu to support manufacturing for fault tolerant quantum computing hardware on its silicon photonics platform. Tower...
NasdaqGS:SHOO
NasdaqGS:SHOOLuxury

Will Strong 2025 Sales and Tariff Uncertainty Shift Steven Madden's (SHOO) Profit Story?

In late February 2026, Steven Madden, Ltd. reported higher fourth-quarter and full-year 2025 revenue but materially lower net income, recorded a US$6,300,000 trademark impairment, maintained its US$0.21 quarterly dividend, and issued 2026 revenue guidance while withholding earnings forecasts due to tariff uncertainty. The combination of rising sales, compressed profitability, and management’s reluctance to provide earnings guidance because of shifting U.S. tariff policy highlights how...