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NYSE:SARO
NYSE:SAROAerospace & Defense

StandardAero (SARO) Net Margin Reset Challenges Bearish Cash Flow Narratives

StandardAero (SARO) has wrapped up FY 2025 with fourth quarter revenue of US$1.6b and basic EPS of US$0.24, supported by trailing 12 month revenue of US$6.1b and EPS of US$0.84 that sit against a very large reported earnings expansion over the past year. The company has seen quarterly revenue move from US$1.41b in Q4 2024 to US$1.60b in Q4 2025, while basic EPS shifted from a loss of US$0.04 to a profit of US$0.24 over the same period, with trailing net profit margins now framed against a...
NasdaqGS:DBX
NasdaqGS:DBXSoftware

Dropbox (DBX) Net Margin Near 20% Tests Bearish Earnings Decline Narrative

Dropbox (DBX) has wrapped up FY 2025 with fourth quarter revenue of US$636.2 million and basic EPS of US$0.43, alongside trailing 12 month revenue of about US$2.5 billion and EPS of US$1.89 that frame the full year picture. Over the past six quarters in the data provided, quarterly revenue has moved between US$624.7 million and US$643.6 million, while basic EPS has ranged from US$0.34 to US$0.52, giving you a clear view of how the top line and per share earnings have tracked together. For...
NYSE:PBH
NYSE:PBHPharmaceuticals

Has Prestige Consumer Healthcare (PBH) Fallen Too Far After Its 37% One-Year Share Price Drop?

If you are wondering whether Prestige Consumer Healthcare is attractively priced or just a value trap, the stock's recent performance and fundamentals give you plenty to weigh up. The share price recently closed at US$54.59, with returns of a 3.1% decline over 7 days, a 1.9% decline over 30 days, a 10.8% decline year to date, and a 37.3% decline over the last year, while the 3 year and 5 year returns stand at a 6.4% decline and 12.3% respectively. Recent coverage has focused on Prestige...
NYSE:AAP
NYSE:AAPSpecialty Retail

Is Advance Auto Parts (AAP) Stock Running Ahead Of Its Fundamentals After Sharp Rebound?

If you are wondering whether Advance Auto Parts stock still offers value at current levels, it helps to line up its recent returns with what the fundamentals and valuation checks are actually saying. The stock last closed at US$57.23, with returns of 8.7% over the past 30 days, 47.2% year to date and 85.9% over the past year, while the 3 year and 5 year returns of negative 51.1% and negative 68.4% show a very different experience for longer term holders. Recent news around Advance Auto Parts...
NYSE:AU
NYSE:AUMetals and Mining

AngloGold Ashanti (NYSE:AU) Margin Expansion To 26.6% Tests Earnings Super Cycle Narrative

AngloGold Ashanti (NYSE:AU) capped FY 2025 with fourth quarter revenue of US$3.1b and Basic EPS of US$1.68, rounding out a trailing twelve month run of US$9.9b in revenue and Basic EPS of US$5.19. Over the past six reported quarters, revenue has moved from US$1.5b in Q3 2024 to US$3.1b in Q4 2025, while quarterly Basic EPS stepped from US$0.53 to US$1.68 as net income excluding extra items shifted from US$223m to US$855m. With trailing net profit margins sitting at 26.6% compared with 17.3% a...
NasdaqGS:PFG
NasdaqGS:PFGInsurance

Is It Time To Reassess Principal Financial Group (PFG) After Strong Multi Year Share Price Gains

Investors may be asking whether Principal Financial Group at around US$100 per share is offering fair value or a potential mispricing opportunity right now. The stock has recently seen a 0.9% decline over 7 days, compared with stronger returns of 9.9% over 30 days, 11.9% year to date, 31.8% over 1 year, 62.3% over 3 years and 83.4% over 5 years. Recent coverage has focused on how investors are reassessing insurers like Principal Financial Group in light of broader sector trends and shifting...
NasdaqGS:CDW
NasdaqGS:CDWElectronic

CDW’s AI Shift Targets US$200m Savings And Potential Valuation Upside

CDW (NasdaqGS:CDW) has launched an AI first program called "Geared for Growth" across its operations and go to market model. The initiative seeks up to US$200 million in annual run rate savings targeted for 2027 to 2028. The program focuses on embedding AI into internal processes and customer facing activities to improve productivity and efficiency. CDW is a technology solutions provider, so an AI first shift sits directly in the flow of what customers are asking for across infrastructure,...
NasdaqGS:PAA
NasdaqGS:PAAOil and Gas

Is Plains All American Pipeline (PAA) Still Attractive After A 41.7% One Year Rally?

Wondering if Plains All American Pipeline at around US$22 is still offering value, or if most of the opportunity is already priced in. The stock last closed at US$22.09, with a 4% decline over the past week, a 0.7% decline over the past month, a 21.3% gain year to date and a 41.7% return over the past year. Recent coverage around Plains All American Pipeline has focused on its position within the energy infrastructure space and how investors are weighing income potential against exposure to...
NYSE:PAYC
NYSE:PAYCProfessional Services

Is It Time To Revisit Paycom Software (PAYC) After A Steep One Year Share Price Slide?

Wondering if Paycom Software at around US$138 a share is a bargain or a value trap? This article walks through what the current price actually implies. The stock has shown a 9.2% return over the last 7 days and 11.4% over the last 30 days. Yet year to date it sits at a 9.2% loss and a 44.0% loss over the past year, which naturally raises questions about risk and potential recovery. Recent coverage has focused on how Paycom Software fits into the broader professional services and software...
NasdaqGM:ACMR
NasdaqGM:ACMRSemiconductor

ACM Research (ACMR) Margin Compression To 9.5% Tests Bullish Growth Narrative

ACM Research (ACMR) opened 2026 with Q1 revenue of US$231.3 million and basic EPS of US$0.26, alongside trailing twelve month revenue of US$960.2 million and EPS of US$1.40 that frame the latest quarterly print. Over the past six quarters, the company has seen quarterly revenue range from US$172.3 million to US$269.2 million and basic EPS move between US$0.12 and US$0.56, giving investors a clear view of how top line and per share earnings have tracked into the current TTM profile. With...
NasdaqGS:CGON
NasdaqGS:CGONBiotechs

CG Oncology (CGON) Deep LTM Losses Test Bullish Late Stage Pipeline Narratives

CG Oncology (CGON) has just closed out FY 2025 with Q4 revenue of US$2.3 million and a basic EPS loss of US$0.52, alongside a net income loss of US$41.3 million, as the company continues to invest heavily in its pipeline. Over the last twelve months, revenue has summed to US$4.0 million and basic EPS has come in at a loss of US$2.08. This gives investors a clear view of a business that is still in a development phase and running with intentionally thin margins while it pushes its late stage...
NYSE:NVST
NYSE:NVSTMedical Equipment

Is It Time To Reassess Envista Holdings (NVST) After Its Recent Share Price Pullback

If you are wondering whether Envista Holdings at US$24.29 offers good value or is already fully priced, the recent share performance gives you a useful starting point. The stock has pulled back 6.4% over the last 7 days and 4.0% over the last 30 days. It sits 12.0% higher year to date and 36.7% above where it was a year ago, while the 3 year and 5 year returns of 26.7% and 44.7% highlight a tougher longer term journey. Recent coverage has focused on Envista Holdings as a dental equipment and...
NYSE:LH
NYSE:LHHealthcare

Is It Too Late To Reconsider Labcorp Holdings (LH) After Recent Share Price Pullback

Wondering if Labcorp Holdings at around US$258 a share still offers value, or if most of the opportunity is already priced in? This article walks through the key signals you can use to judge that for yourself. The stock has been fairly steady over the last week with a 0.5% return, has a 4.1% decline over the past month, yet sits on a 4.8% return over 1 year and 41.6% over 3 years. This raises the question of whether the current price reflects the business fundamentals. Recent headlines...
NYSE:UI
NYSE:UICommunications

Ubiquiti (UI) Earnings Surge And 29.9% Margin Spark Debate On Valuation Premium

Ubiquiti (UI) has put up another big quarter, with Q2 2026 revenue of US$814.9 million and basic EPS of US$3.86, while trailing 12 month EPS sits at US$14.69 on revenue of about US$3.0 billion and earnings growth over that period is described as a 99.7% jump. The company has seen quarterly revenue move from US$599.9 million and EPS of US$2.26 in Q2 2025 to US$814.9 million and EPS of US$3.86 in Q2 2026, and trailing 12 month net profit margin is now stated at 29.9% versus 20.7% a year...
NasdaqGS:CLOV
NasdaqGS:CLOVHealthcare

Has Clover Health Investments (CLOV) Share Surge Left More Room Based On Cash Flow Value?

Wondering whether Clover Health Investments at US$2.82 is still a bargain or already pricing in its prospects? This breakdown will help you judge what you are really paying for. The stock has had a strong run over shorter periods, with returns of 2.5% over 7 days, 48.4% over 30 days and 17.0% year to date. However, the 1 year return sits at a 24.8% decline and the 3 year return is very large at 196.7% compared to a 61.2% decline over 5 years. Recent headlines have focused on the company as a...
NasdaqGS:LYFT
NasdaqGS:LYFTTransportation

Lyft (LYFT) Posts 45% Net Margin And Profitability Spike That Challenges Bearish Narratives

Lyft (LYFT) closed FY 2025 with fourth quarter revenue of US$1,592.7 million and basic EPS of US$6.88, setting a high bar for a year in which trailing 12 month EPS reached US$6.92 and revenue stood at US$6.3 billion alongside very large year over year earnings growth and a 45% net profit margin. Over the past six quarters, the company has seen quarterly revenue move from US$1,522.7 million in Q3 2024 to between US$1,450.2 million and US$1,685.2 million across FY 2025, while basic EPS ranged...
NasdaqGS:CRWV
NasdaqGS:CRWVIT

CoreWeave (CRWV) Q4 Loss Of US$452m Reinforces Profitability Concerns Despite Revenue Scale

CoreWeave (CRWV) has just wrapped up FY 2025 with Q4 total revenue of US$1.6b, a basic EPS loss of US$0.89 and net income loss of US$452.0m. This caps off a year in which trailing twelve month revenue reached US$5.1b alongside a TTM basic EPS loss of US$2.75. Over the past six reported quarters, the company has seen revenue move from US$584.0m in Q3 2024 to US$1.6b in Q4 2025. During the same period, quarterly basic EPS has ranged between a loss of US$0.22 and a loss of US$1.82, so the latest...
NYSE:MUR
NYSE:MUROil and Gas

Is Murphy Oil (MUR) Still Attractive After An 88% One Year Share Price Surge

If you are wondering whether Murphy Oil at around US$38.27 is offering value or just riding momentum, the recent share performance gives you plenty to think about. The stock has seen a 1 year return of 88.2% and is up 17.8% year to date, despite shorter term pullbacks with a 7 day return showing an 8.4% decline and a 30 day return showing a 10.5% decline. Recent coverage has focused on Murphy Oil as part of broader conversations around US oil and gas stocks, with attention on how producers...
NYSE:G
NYSE:GProfessional Services

Genpact (G) Maintains 10.9% Net Margin Challenging Bearish AI Cost Narratives

Genpact (G) has wrapped up FY 2025 with fourth quarter revenue of about US$1.3 billion and basic EPS of US$0.83, alongside trailing twelve month revenue of roughly US$5.1 billion and EPS of US$3.18, with earnings over the past year reported as growing 7.6%. Over recent periods the company has seen quarterly revenue move from US$1,248.7 million and EPS of US$0.81 in Q4 FY 2024 to US$1,319.3 million and EPS of US$0.83 in Q4 FY 2025. Trailing twelve month net income sits at US$552.5 million and...
NasdaqCM:OCGN
NasdaqCM:OCGNBiotechs

Ocugen (OCGN) Is Down 16.8% After Convertible Notes Deal Extends Cash Runway - What's Changed

In early May 2026, Ocugen reported first-quarter revenue of US$1.53 million alongside a net loss of US$19.18 million, while also closing a US$115 million private offering of 6.75% Convertible Senior Notes due 2034 and using about US$32.7 million to retire its Avenue loan. These updates both highlight Ocugen’s ongoing cash burn and materially improve its liquidity profile, with management indicating the new financing extends the company’s cash runway and supports continued advancement of its...
NasdaqGS:SLDE
NasdaqGS:SLDEInsurance

Slide Insurance Enters California As Valuation Gap And Growth Risks Stand Out

Slide Insurance Holdings (NasdaqGS:SLDE) has entered the California market with a new excess and surplus lines residential property insurance program. The company has written its first California policy, marking the start of its operations in one of the largest U.S. property insurance markets. For investors watching property insurers, California represents a complex and heavily scrutinized market, especially for residential coverage. By using an excess and surplus lines structure, Slide...
NasdaqGS:UPWK
NasdaqGS:UPWKProfessional Services

Upwork (UPWK) Margin Compression To 14.7% Tests Bullish Undervaluation Narrative

Upwork (UPWK) has just wrapped FY 2025 with fourth quarter revenue of US$198.4 million and basic EPS of US$0.12, alongside net income of US$15.6 million. This rounds out a year where trailing twelve month revenue came in at US$787.8 million and EPS at US$0.87. Over recent quarters the company has seen revenue move from US$191.5 million in Q4 2024 to between US$192.7 million and US$201.7 million across FY 2025, while quarterly EPS has ranged from US$0.12 to US$0.28. This sets up a story that...
NYSE:NET
NYSE:NETIT

Cloudflare (NET) Q4 Loss Narrows Yet Ongoing TTM Losses Test Bullish Profitability Narrative

Cloudflare FY 2025 earnings snapshot Cloudflare (NET) has wrapped up FY 2025 with fourth quarter revenue of US$614.5 million and basic EPS of a US$0.03 loss, alongside a trailing twelve month revenue base of about US$2.2 billion and a net loss of US$102.3 million. Over recent periods the company has seen revenue move from US$430.1 million in Q3 2024 to US$614.5 million in Q4 2025, while quarterly basic EPS has ranged between a loss of US$0.15 and a loss of US$0.00, underscoring an ongoing...
NasdaqGS:ADBE
NasdaqGS:ADBESoftware

Is It Time To Reassess Adobe (ADBE) After Its Recent Share Price Slump?

If you are wondering whether Adobe's current share price really reflects what the stock could be worth, this breakdown will help you weigh up the numbers behind that question. Adobe closed at US$256.51, with returns of 4.2% over the last week and 6.8% over the last month, while the year-to-date return stands at a 23.0% decline and the 1-year return at a 33.2% decline. Recent moves in the stock sit alongside ongoing attention on Adobe's position in creative software and digital media, as...