U.S. Online Retail and Ecommerce Stock News

NYSE:HUBS
NYSE:HUBSSoftware

HubSpot Direct Mail Automation Launch Meets Rich Valuation And Weak Momentum

PostcardMania has launched an automated direct mail integration for HubSpot (NYSE:HUBS) users. The integration lets HubSpot customers trigger physical mailers directly from CRM workflows. The rollout connects digital campaigns with real world follow ups to address email saturation and engagement challenges. For HubSpot, which focuses on CRM, marketing automation and sales tools, this kind of direct mail automation fits into how many businesses already use the platform to manage the full...
NYSE:GSL
NYSE:GSLShipping

How Global Ship Lease’s US$0.625 Dividend Move Will Impact Global Ship Lease (GSL) Investors

Global Ship Lease recently went ex-dividend on February 24, 2026, entitling shareholders of record to receive a US$0.625 per share payout on March 6, 2026. This dividend timing and size can influence trading behavior, as some investors adjust positions around ex-dividend dates to pursue income-focused strategies. Now we’ll explore how this US$0.625 dividend and ex-dividend timing affect Global Ship Lease’s existing investment narrative and capital-return thesis. Invest in the nuclear...
NYSE:EIX
NYSE:EIXElectric Utilities

A Look At Edison International (EIX) Valuation After Analyst Caution Strong Results And Bond Offering

Edison International (EIX) is back in focus after a mix of cautious analyst calls, a US$549.1 million fixed income raise, and detailed 2025 results paired with fresh earnings guidance through 2027. See our latest analysis for Edison International. The recent mix of earnings guidance, fresh bond issuance and ongoing wildfire related headlines has come alongside strong momentum. A 30 day share price return of 18.75% and a 1 year total shareholder return of 53.96% suggest interest has been...
NYSE:NOMD
NYSE:NOMDFood

Nomad Foods (NYSE:NOMD) Margin Hit And Quarterly EPS Loss Challenge Bullish Profitability Narratives

Nomad Foods (NYSE:NOMD) closed FY 2025 with fourth quarter revenue of €773.1 million and a basic EPS loss of €0.07, capping a trailing twelve month revenue line of about €3.0 billion and EPS of €0.91 as margins compressed from a 7.3% net profit margin to 4.5% over the year. Over recent quarters, the company has seen quarterly revenue move from €793.4 million in Q4 2024 to €760.1 million in Q1 2025, €746.9 million in Q2 2025, €752.4 million in Q3 2025 and €773.1 million in Q4 2025. Basic EPS...
NasdaqGS:HBAN
NasdaqGS:HBANBanks

Is Huntington Bancshares (HBAN) Pricing Look Attractive After Recent Regional Bank Headlines

If you are wondering whether Huntington Bancshares is attractively priced at its current level, this article walks through what the numbers are really saying about the stock. The shares last closed at US$17.54, with a 7 day return of a 2.6% decline, a 30 day return of 2.8%, a year to date return of 0.3%, and a 1 year return of 10.6%, compared with 32.2% over 3 years and 34.9% over 5 years. Recent news coverage around regional banks has focused on how investors are weighing interest rate...
NYSE:VTR
NYSE:VTRHealth Care REITs

Is It Too Late To Consider Ventas (VTR) After Its Strong Multi‑Year Share Price Rally?

If you are wondering whether Ventas shares still offer value after a strong run, it becomes crucial to look closely at what you are paying for each dollar of cash flow and assets. The stock last closed at US$86.44, with returns of 1.1% over 7 days, 13.8% over 30 days, 11.8% year to date, 29.4% over 1 year, 99.7% over 3 years and 92.0% over 5 years. This naturally raises questions about how much optimism is already reflected in the price. Recent coverage of Ventas has focused on its position...
NasdaqGS:GTM
NasdaqGS:GTMInteractive Media and Services

Is ZoomInfo Technologies (GTM) Now Attractively Priced After Steep Multi‑Year Share Price Declines

If you are wondering whether ZoomInfo Technologies' share price now reflects good value or lingering risks, you are not alone. That is exactly what this article will unpack for you. The stock recently closed at US$6.40, with returns of a 0.5% decline over 7 days, 26.6% decline over 30 days, 33.4% decline year to date, 46.7% decline over 1 year, 74.2% decline over 3 years, and 86.0% decline over 5 years. These figures raise clear questions about what investors are currently paying for. Recent...
NYSE:LYV
NYSE:LYVEntertainment

What Live Nation Entertainment (LYV)'s 2025 Profit Drop Amid Rising Sales Means For Shareholders

In February 2026, Live Nation Entertainment reported full-year 2025 sales of US$25,201.41 million, upaction from US$23,155.63 million a year earlier, while net income fell to US$495.97 million and continuing operations shifted to a basic and diluted loss per share of US$0.24. Despite weaker profitability, the company’s expanding global venue footprint and continued growth in concert-driven revenue have reinforced analyst optimism about its long-term positioning in live entertainment. With...
NYSE:EME
NYSE:EMEConstruction

Emcor Group (EME) Margin Expansion To 7.5% Tests Bearish Narratives

EMCOR Group (EME) closed out FY 2025 with fourth quarter revenue of US$4.5b and basic EPS of US$9.72, alongside net income excluding extra items of US$434.6m, setting a clear marker for its latest reporting season. The company reported quarterly revenue of US$3.8b and EPS of US$6.35 in Q4 2024, rising to US$4.5b and EPS of US$9.72 in Q4 2025. Trailing twelve month EPS was US$28.30 on revenue of US$17.0b, giving investors a results set that combines higher earnings, a 7.5% net margin and prior...
NasdaqCM:TGTX
NasdaqCM:TGTXBiotechs

TG Therapeutics (TGTX) Earnings Spark Debate As 72.6% Net Margin Defies Forecast Narratives

Intro TG Therapeutics (TGTX) just closed out FY 2025 with Q4 revenue of US$192.6 million and basic EPS of US$0.16, alongside trailing twelve month revenue of US$616.3 million and EPS of US$3.10. Over the past couple of years, the company has reported revenue increasing from US$83.9 million in Q3 2024 to US$192.6 million in Q4 2025. Quarterly basic EPS has ranged from US$0.03 in Q1 2025 to US$2.69 in Q3 2025 and US$0.16 in the latest quarter, framing this release as a check-in on how durable...
NasdaqGS:SNDX
NasdaqGS:SNDXBiotechs

A Look At Syndax Pharmaceuticals (SNDX) Valuation After Q4 Revenue Beat And Wider Loss

Syndax Pharmaceuticals (SNDX) just reported Q4 2025 results that paired revenue ahead of expectations with a wider loss, as Revuforj net revenue grew 38% and Niktimvo sales continued to build. See our latest analysis for Syndax Pharmaceuticals. At a share price of US$20.67, Syndax has seen a 4.29% 90 day share price return and a 35.27% total shareholder return over the past year, suggesting momentum has been building despite some recent short term softness. If this update on a cancer focused...
NYSE:PRG
NYSE:PRGConsumer Finance

PROG Holdings Raises Dividend While Reshaping Business After Partner Fallout

PROG Holdings (NYSE:PRG) announced a 7.7% increase in its quarterly dividend, signaling confidence in returning cash to shareholders. The company is managing revenue pressure tied to a weaker retail backdrop and the bankruptcy of a major partner. Management has tightened Progressive Leasing criteria and is leaning more on its buy now, pay later platform and recent acquisitions. PROG Holdings enters this phase of corporate change with its shares at $36.83 and a mixed return profile. The...
NasdaqGS:AVAV
NasdaqGS:AVAVAerospace & Defense

A Look At AeroVironment (AVAV) Valuation After The US$186 Million Switchblade Contract Win

AeroVironment (AVAV) drew fresh investor focus after securing a US$186 million delivery order from the U.S. Army for its next-generation Switchblade 600 Block 2 and 300 Block 20 loitering munitions. See our latest analysis for AeroVironment. Despite the new Army order and recent headlines around the BlueHalo acquisition and the CFO transition, AeroVironment’s 30 day share price return of 16.14% and 90 day return of 7.10% contrast with a 1 year total shareholder return of 70.96% and a roughly...
NYSE:BEN
NYSE:BENCapital Markets

Assessing Franklin Resources (BEN) Valuation After Its Latest Earnings Surprise

Franklin Resources (BEN) has been back on investors’ radar after its latest quarterly report showed earnings per share coming in ahead of analyst expectations. This has prompted fresh interest in how the asset manager is currently valued. See our latest analysis for Franklin Resources. The recent earnings surprise has come alongside a clear shift in sentiment around the share price, with Franklin Resources posting a 21.43% 90 day share price return and a 46.49% 1 year total shareholder...
NYSE:LPX
NYSE:LPXForestry

A Look At Louisiana-Pacific (LPX) Valuation As Mixed Returns Temper Recent Share Moves

Why Louisiana-Pacific Is On Investors’ Radar Today Louisiana-Pacific (LPX) is drawing attention after recent share moves, with the stock up about 1.4% over the past day but showing mixed performance over the past week and month. See our latest analysis for Louisiana-Pacific. The 1-day share price return of 1.45% comes after a softer patch. The 30-day share price return of 5.10% and 1-year total shareholder return decline of 14.97% signal that shorter term momentum has cooled, despite stronger...
NYSE:TMO
NYSE:TMOLife Sciences

Thermo Fisher’s TacroType Test Adds Precision Medicine Angle To TMO Story

Thermo Fisher Scientific (NYSE:TMO) has launched its TacroType Pharmacogenetic Test for transplant patients. The test is designed to help clinicians personalize tacrolimus dosing using a patient’s genetic profile. This product aims to support more tailored transplant care and potentially improve post transplant management. Thermo Fisher Scientific enters this launch with its shares at $520.12 and a value score of 4, along with mixed recent returns. The stock is up 1.0% over the past week,...
NasdaqGS:CDNL
NasdaqGS:CDNLConstruction

Is It Too Late To Consider Cardinal Infrastructure Group (CDNL) After A 46% Year To Date Rise?

If you are wondering whether Cardinal Infrastructure Group is priced attractively today, you are not alone. The stock has been on many investors' watchlists as questions around its fair value grow louder. The share price sits at US$33.05, with returns of 2.5% over the last 7 days, 19.2% over the past 30 days, and 46.1% year to date. This has sharpened interest in what is actually built into the current valuation. Recent coverage has focused on Cardinal Infrastructure Group's role in the...
NYSE:WCN
NYSE:WCNCommercial Services

A Look At Waste Connections (WCN) Valuation As Returns Cool And Growth Appears Priced In

Recent performance snapshot for Waste Connections With no single headline event driving attention to Waste Connections (WCN) today, investors may be focusing on how the stock’s recent returns compare with its longer term track record and current business scale. The share price is roughly flat over the past month and shows a return of about 4% decline over the past 3 months, while year to date performance reflects about 3% decline. Over 1 year, total return stands near 8% decline, set against...
NasdaqGS:CROX
NasdaqGS:CROXLuxury

Is Crocs (CROX) Pricing Look Attractive After Recent Share Price Swings?

If you are wondering whether Crocs at around US$92.70 is a bargain or a trap, you are not alone. The stock has attracted a lot of attention from investors trying to work out what a fair price looks like. Recently, Crocs has had mixed share price returns, with a 3.9% decline over the last 7 days, a 10.2% gain over the last 30 days, a 6.6% gain year to date, an 8.1% decline over 1 year, a 26.0% decline over 3 years, and a 23.3% gain over 5 years. These moves have played out alongside ongoing...
NYSE:RCUS
NYSE:RCUSBiotechs

Arcus Biosciences (RCUS) Posts US$106 Million Q4 Loss Reinforcing Bearish Profitability Narratives

Arcus Biosciences (RCUS) has wrapped up FY 2025 with fourth quarter revenue of US$33 million and a basic EPS loss of US$0.89, alongside a net loss of US$106 million. This sets a clear backdrop of solid top line contributions paired with continued negative earnings. The company has reported quarterly revenue of US$26 million in Q4 2024, US$28 million in Q1 2025, US$160 million in Q2 2025, US$26 million in Q3 2025 and US$33 million in Q4 2025, while EPS has remained in loss territory across...
NYSE:VYX
NYSE:VYXSoftware

Assessing NCR Voyix (VYX) Valuation After Strong Q4 Results And New 7 Eleven Philippines Contract

NCR Voyix (VYX) has just paired a profitable fourth quarter with fresh 2026 guidance and a new 7-Eleven Philippines win, giving investors a clearer view of its software led platform push. See our latest analysis for NCR Voyix. Despite the new 7-Eleven Philippines contract, a buyback authorization increase to US$300 million and 2026 guidance, NCR Voyix’s recent momentum has been weak. Its latest 1-year total shareholder return of 26.95% decline and 5-year total shareholder return of 62.23%...
NYSE:DT
NYSE:DTSoftware

A Look At Dynatrace (DT) Valuation After Positive Analyst Attention And AWS AI Observability Milestones

Analyst interest and executive commentary put Dynatrace in focus Dynatrace (DT) is back on investor radars after a cluster of upbeat analyst views and recent executive interviews linked to new milestones with AWS and its AI powered observability platform. See our latest analysis for Dynatrace. Despite the recent analyst attention and AWS related milestones, Dynatrace’s share price return over the past 30 and 90 days has been negative, and its 1 year total shareholder return of a 36.6% decline...
NasdaqGS:ROP
NasdaqGS:ROPSoftware

A Look At Roper Technologies (ROP) Valuation After Its 2025 10 K And Software Focused Acquisitions

Roper Technologies (ROP) is back in focus after its 2025 10-K highlighted strong growth tied to software and technology enabled products, supported by nine acquisitions, including CentralReach and Subsplash. See our latest analysis for Roper Technologies. At a share price of US$352.15, Roper’s short term momentum has picked up with a 1 week share price return of 6.1% after its 2025 10 K and recent dividend affirmation. However, this follows a 90 day share price return decline of 21.1% and a 1...
NasdaqGS:CSCO
NasdaqGS:CSCOCommunications

Cisco’s Secure AI Factory Adds New Angle To Fairly Valued Stock

Cisco Systems (NasdaqGS:CSCO) has launched Australia's first Secure AI Factory in partnership with SharonAI Holdings and NVIDIA. The new facility is designed to support sovereign AI capabilities and secure national data processing. The initiative targets Australian enterprise and public sector customers seeking country level AI infrastructure. Cisco Systems, trading at around $78.1, is adding a new piece to its AI story with this Secure AI Factory launch in Australia. The company has seen a...