U.S. Mortgage REITs Stock News

NasdaqGS:IMMR
NasdaqGS:IMMRTech

Immersion (IMMR) Stock Faces 0.3% Net Margin Reality Challenging Bullish Narratives

Immersion (IMMR) has rounded out FY 2026 with fourth quarter revenue of $270 million and basic EPS of US$0.11, capping a trailing 12 month period where revenue reached about $1.7 billion and EPS came in at US$0.14. Over recent quarters the company has seen revenue move from $471 million in Q3 2025 to a peak of $650 million in Q2 2026, with EPS shifting from US$0.75 and US$0.95 in mid 2025 to US$0.37 in Q2 2026 and US$0.11 most recently. This sets up a mixed earnings profile. With net margin...
NasdaqGS:NTAP
NasdaqGS:NTAPTech

NetApp (NTAP) Could Be 5% Undervalued Following Earnings And AI Storage Optimism

NetApp (NTAP) is back in focus after filing a preliminary proxy statement on July 16, 2026, urging shareholders to vote against a proposal to permit certain corporate actions by written consent. See our latest analysis for NetApp. Against this governance backdrop, NetApp’s recent share price performance has been strong, with a 90 day share price return of 54.68% and a 1 year total shareholder return of 62.64%, suggesting momentum has been building as investors focus on upcoming earnings and...
NYSE:ESS
NYSE:ESSResidential REITs

Essex Property Trust (ESS) Stock Looks Above Fair Value Following Its 38% Run

Essex Property Trust has delivered a 38.5% return over the past three years, and there is a clear valuation tension because the Discounted Cash Flow (DCF) intrinsic value estimate points to meaningful upside while earnings-based multiples suggest the stock is on the expensive side and the broader checks echo that caution. Over the last three years, Essex Property Trust shares have returned 38.5%, which puts recent pricing under closer scrutiny for signs of either stretch or residual...
NYSE:BAH
NYSE:BAHProfessional Services

Booz Allen Hamilton (BAH) Stock Faces Margin Decline That Tests Bullish Backlog Narrative

Booz Allen Hamilton Holding (BAH) opened its 2027 fiscal year with Q1 revenue of US$2.8 billion and basic EPS of US$1.63, supported by net income of US$196 million. Over recent quarters the company has reported revenue between US$2.62 billion and US$2.97 billion, while quarterly basic EPS ranged from US$1.42 to US$2.17. This provides investors with a consistent series of data points on how earnings relate to revenue levels and margin dynamics. With trailing twelve month EPS at US$6.38 and net...
NYSE:ORC
NYSE:ORCMortgage REITs

Orchid Island Capital (ORC) Stock Q2 Revenue Rebound Challenges Volatile Earnings Narrative

Orchid Island Capital (ORC) opened Q2 2026 with total revenue of about US$96 million and basic EPS of roughly US$0.44, setting a very different tone from the loss reported earlier in the year. The company has seen quarterly revenue move between about US$21 million and US$109 million over the past six reported periods, with basic EPS ranging from a loss of roughly US$0.29 to a high of about US$0.62. This provides important context for how volatile these results have been. For investors, the...
NasdaqGS:TXN
NasdaqGS:TXNSemiconductor

Texas Instruments (TXN) Stock Faces Rich Valuation As 20.2% EPS Growth Reshapes Narratives

Texas Instruments (TXN) opened Q2 2026 with revenue of US$5.5b and trailing twelve month revenue of US$19.5b, alongside trailing EPS of US$5.9 that has been growing at 20.2% over the last year against analyst forecasts for roughly 17% annual growth ahead. The company has seen quarterly revenue move from US$4.4b in Q2 2025 to US$5.5b in Q2 2026, while trailing twelve month revenue has stepped from US$16.7b to US$19.5b. This sets the stage for investors to focus on how a 31% net margin profile...
OTCPK:PFLC
OTCPK:PFLCBanks

Pacific Financial (PFLC) Stock Faces 33% Earnings Jump That Challenges Bearish Narratives

Pacific Financial (PFLC) has posted Q2 2026 results with total revenue of US$13.9 million and net income of US$2.9 million, set against a trailing twelve month picture where revenue sits at US$55.2 million and net income at US$12.5 million. The company also reported a 33% earnings increase and a net profit margin of 22.7% over the last year compared with 18.3% previously. Over recent quarters the company has seen revenue move from US$13.0 million in Q2 2025 to US$13.9 million in Q2 2026,...
NYSE:NU
NYSE:NUBanks

Is Nu’s Rapid Revenue And Customer Growth Reshaping The Investment Case For Nu Holdings (NU)?

Earlier this year, Nu Holdings reported that revenue rose 42% year over year, its customer base reached 135 million, and monthly average revenue per active customer increased 23% on a currency-neutral basis, underscoring continued expansion across its digital financial platform. Despite lingering concerns over Brazil’s credit cycle, political uncertainty, and the costs of entering the U.S. market, Nu’s combination of profitable growth and higher revenue per customer has drawn attention to...
NYSE:NGL
NYSE:NGLOil and Gas

Is NGL Energy Partners (NGL) Fully Valued As Revenue Falls And Losses Persist?

NGL Energy Partners stock reaction and recent performance NGL Energy Partners (NGL) has drawn investor attention after recent market trading, with the stock closing at US$15.56 and showing mixed near term moves, including a decline over the past month but gains over the past 3 months. See our latest analysis for NGL Energy Partners. Viewed over a longer stretch, NGL Energy Partners has combined a strong year to date share price return of 57.17% with a very large 1 year total shareholder...
NYSE:CPF
NYSE:CPFBanks

Central Pacific Financial (CPF) Stock Net Interest Margin Gain Tests Bullish Earnings Narratives

Central Pacific Financial (CPF) opened Q2 2026 with total revenue of US$73.1 million and basic EPS of US$0.80, backed by trailing twelve month revenue of US$288.2 million and EPS of US$3.13 that sit on top of 36.8% earnings growth over the last year. The company has seen revenue move from US$247.7 million to US$288.2 million over the trailing twelve months, while net income over that span went from US$58.2 million to US$83.0 million, setting up this quarter’s print against an improved net...
NYSE:FHN
NYSE:FHNBanks

First Horizon (FHN) Stock Could Still Be Mispriced As Returns Hold Up

First Horizon stock has more than doubled over the past three years, and at around US$25.53 a share the Excess Returns intrinsic value estimate now points to meaningful upside, while traditional earnings based multiples suggest the stock is closer to fairly valued. This sets up a clear valuation tension for investors to weigh. Shareholders have seen a 105.9% total return over three years, which puts recent short term fluctuations into the context of a strong multi year rerating. Expectations...
NasdaqGS:MXL
NasdaqGS:MXLSemiconductor

MaxLinear (MXL) Reports Profit And Buyback Update, Is The AI Upside Already Priced In?

MaxLinear (MXL) drew attention after reporting second quarter 2026 results, with revenue of US$168.85 million, a shift to a small profit, and fresh guidance and buyback details for investors. See our latest analysis for MaxLinear. MaxLinear’s share price has pulled back sharply, with a 1-day share price return of down 21.54% and a 30-day share price return of down 25.89%. This follows a 90-day share price return of 38.61% and a very large year-to-date share price return of 286.76%, while the...
NasdaqGS:JAZZ
NasdaqGS:JAZZPharmaceuticals

Jazz Pharmaceuticals (JAZZ) Stock Still Looks Cheap As Shares Jumped 115%

Jazz Pharmaceuticals has delivered a strong share price run over the past year, yet its current valuation checks still flag a mixed picture rather than a clear bargain or clear overvaluation. Jazz Pharmaceuticals has returned 114.7% over the past year, which places extra focus on whether recent optimism is already reflected in the price. Ongoing interest in Jazz Pharmaceuticals' revenue growth and product pipeline can support confidence in future cash flows, while any setback in key...
NYSE:EPD
NYSE:EPDOil and Gas

Will AI Data Center Gas Demand and Musk’s Off-Grid Project Change Enterprise Products Partners’ (EPD) Narrative

In recent weeks, reports have highlighted Elon Musk’s government-backed off-grid natural gas power plant project for AI data centers, underscoring rising gas-fired power needs that could support midstream operators like Enterprise Products Partners. At the same time, Enterprise Products Partners is progressing new Permian gas processing plants, pipelines and export terminals, potentially aligning its infrastructure with this expanding AI-driven natural gas demand. We’ll now examine how...
NYSE:OVV
NYSE:OVVOil and Gas

Ovintiv (OVV) Beat Revenue And Lifted Guidance, Is The Stock Still 11% Undervalued?

Ovintiv (OVV) is back in focus after a busy second quarter, with revenue of US$3.01b, updated production guidance and a mix of shareholder returns through dividends and buybacks. See our latest analysis for Ovintiv. Ovintiv’s recent Q2 revenue beat, updated production guidance, dividend declaration and active buybacks come against a strong backdrop, with a 30 day share price return of 18.69% and a 1 year total shareholder return of 56.29%, suggesting momentum has been building rather than...
NYSE:GNRC
NYSE:GNRCElectrical

BlueLinx Stock and 2 U.S. Manufacturing Picks for Tariff Driven Price Power

Tariffs are back in the headlines, and for U.S. manufacturing stocks that can mean real shifts in costs, pricing power, and investor expectations. With the Trump administration’s new 10 to 12.5% global tariffs and fresh legal challenges testing how long these rules might last, some domestically focused producers may find themselves better positioned than import heavy rivals. This article looks at 3 U.S. manufacturing stocks from our screener that appear closely exposed to the latest tariff...
NasdaqGS:OKTA
NasdaqGS:OKTAIT

Is Okta (OKTA) Undervalued On Fresh Buy Ratings And Earnings Revisions?

Okta (OKTA) stock has been in focus after a cluster of brokerage firms reiterated Buy to Strong Buy opinions, alongside positive earnings estimate revisions that align with a favorable ranking and indicate growing analyst confidence. See our latest analysis for Okta. Okta’s share price has moved to US$138.50 after a sharp 81.9% 90 day share price return and a 65.6% year to date share price return. The 1 year total shareholder return of 37% contrasts with a 5 year total shareholder return that...
NYSE:CBRE
NYSE:CBREReal Estate

Should CBRE’s New Multifamily Capital Markets Hire Shift the Company’s Real Estate Focus (CBRE)?

Earlier this month, CBRE Group, Inc. appointed Robert Koontz as Senior Managing Director, Head of Multifamily Debt Capital Markets, bringing more than 25 years of capital markets and structured finance experience, including overseeing over US$900 billion of multifamily issuance at Freddie Mac. His arrival, alongside upbeat expectations for CBRE’s upcoming Q2 2026 results and firm investor confidence in European hotels, highlights how capital markets expertise and resilient real estate...
NYSE:LW
NYSE:LWFood

Lamb Weston (LW) Stock Faces Margin Compression At 4.6% Challenging Bullish Narratives

Lamb Weston Holdings (LW) has released its FY 2026 numbers with Q4 revenue of US$1,770.1 million and basic EPS of US$0.80, alongside trailing 12 month revenue of US$6.6 billion and basic EPS of US$2.09. This provides a clear snapshot of current scale and earnings power. The company has seen revenue move from US$6.4 billion in the trailing period to Q4 2026’s quarterly run rate, with EPS ranging between US$0.39 and US$0.85 a quarter over the last six reported quarters. This gives investors a...
NasdaqGS:PTON
NasdaqGS:PTONLeisure

Peloton Interactive (PTON) Could Be 23% Undervalued As Its Fitness Expansion Story Builds

Peloton Interactive (PTON) is back in focus after fresh attention on its connected fitness model, which spans hardware, app memberships, and equipment leasing across North America and international markets. See our latest analysis for Peloton Interactive. Peloton Interactive’s recent 30 day share price return of 6.29% and 90 day share price return of 14.50% contrast with a 1 year total shareholder return that declined 7.32%, suggesting near term momentum while longer term holders have faced...
NasdaqGS:GTLB
NasdaqGS:GTLBSoftware

GitLab (GTLB) Rolls Out AI And Security Upgrades As Valuation Debate Heats Up

GitLab (GTLB) released version 19.2 with Dependency Scanning Auto-Remediation, Security Review Flow, and broader GitLab Duo capabilities, aiming to tighten security, automate workflows, and support demand for agentic software delivery. See our latest analysis for GitLab. GitLab's recent share price moves reflect mixed sentiment, with a 90 day share price return of 45.83% contrasting with a year to date share price decline of 13.54% and a 1 year total shareholder return that fell 34.68%. This...
NasdaqGS:CHRD
NasdaqGS:CHRDOil and Gas

Chord Energy (CHRD) Stock Looks Fairly Priced With Sales At A Discount

Chord Energy stock has delivered strong total returns over the past five years, yet current valuation checks suggest the shares no longer stand out as obviously cheap. Instead, they look closer to fairly priced on most measures. Over the past five years, Chord Energy has returned 133.6%, which puts current holders in a comfortable position and raises the bar for new buyers assessing what is already priced in. Expectations around Chord Energy potentially beating upcoming earnings estimates...
NasdaqGS:COST
NasdaqGS:COSTConsumer Retailing

Costco Stock Leads 3 Retail Picks for Shoppers Chasing Lower Grocery Bills

Persistent grocery inflation, shoppers trading down to cheaper options, and price rollbacks at major chains are shaking up discount retailers. Some companies face squeezed margins, while others could benefit as customers hunt more aggressively for value. This article looks at how that tug of war might affect stocks exposed to the latest grocery price trends, and what that could mean for your watchlist. Below, 3 stocks from a Discount Retailers screener, all potentially positively exposed to...
NYSE:UVV
NYSE:UVVTobacco

Universal (UVV) Could Be 31% Undervalued Following Its Ingredients Growth Narrative

Universal (UVV) has drawn fresh investor attention after recent trading left the stock at a last close of US$53.75. This invites a closer look at how its value and fundamentals currently line up. See our latest analysis for Universal. Recent trading has been relatively steady, with a 1-day share price return of 1.97% and a year-to-date share price return of 2.23%. The 5-year total shareholder return of 39.88% points to momentum that has built over a longer period. If Universal has you looking...