U.S. Online Retail and Ecommerce Stock News

NYSE:MTN
NYSE:MTNHospitality

Assessing Vail Resorts (MTN) Valuation After Recent Share Price Weakness

What Vail Resorts Stock’s Recent Performance Signals With no single headline event setting the tone, Vail Resorts (MTN) has drawn attention as investors weigh its recent share performance and current fundamentals against its established position in mountain resorts and destination travel. See our latest analysis for Vail Resorts. At a share price of US$136.93, Vail Resorts has seen short term share price pressure, with a 30 day share price return of 3.30% decline and a 12 month total...
NasdaqGS:AGIO
NasdaqGS:AGIOBiotechs

Agios Pharmaceuticals Q3 Loss Of US$103.4m Reinforces Bearish Profitability Narratives

Agios Pharmaceuticals (AGIO) just posted its FY 2025 third quarter numbers, with revenue of US$12.9 million, basic EPS of a US$1.78 loss, and a net income loss of US$103.4 million. The trailing twelve month figures show revenue of US$44.8 million and a net loss of US$401.3 million. The company’s quarterly revenue moved from US$8.6 million in Q2 2024 to US$12.9 million in Q3 2025, while basic EPS shifted from US$16.65 in Q3 2024, driven by a one-off gain, to consistent losses across recent...
NYSE:BW
NYSE:BWElectrical

Does Babcock & Wilcox Enterprises' (BW) UK-Sweden Frigate Link Hint At A Deeper Defense Role?

Babcock and Saab have announced that they have jointly developed the Arrowhead-120 frigate design for Sweden’s Luleå-class programme, proposing a split-build model with hulls constructed in Scotland and composite superstructures plus combat system integration completed in Sweden from around 2030. This collaboration underscores Sweden’s emphasis on local industrial participation and sovereign control while deepening UK-Sweden defence ties and enhancing NATO interoperability in Northern...
NYSE:NSP
NYSE:NSPProfessional Services

A Look At Insperity (NSP) Valuation After Recent Share Price Weakness

What recent performance says about Insperity stock Insperity (NSP) has been under pressure recently, with the share price showing negative returns over the past week, month, past 3 months, year to date, and past year, setting a cautious backdrop for investors. See our latest analysis for Insperity. The latest 1 day share price return of a 13.6% decline, combined with a 42.1% decline over 30 days and a 68.6% decline in 1 year total shareholder return, points to fading momentum as investors...
NYSE:GXO
NYSE:GXOLogistics

GXO Logistics (GXO) Is Up 14.1% After Mixed 2025 Results And New Defense Wins Has The Bull Case Changed?

In February 2026, GXO Logistics reported fourth-quarter 2025 revenue of US$3,507 million and full-year revenue of US$13.18 billion, alongside a sharp fall in net income to US$43 million for the quarter and US$32 million for the year, and issued 2026 guidance for 4%–5% organic revenue growth. At the same time, GXO deepened its push into aerospace, defense, and automotive logistics through new BMW Group and BAE Systems contracts and the creation of a Defense Advisory Board, while also winning...
NYSE:MO
NYSE:MOTobacco

Is It Time To Reassess Altria Group (MO) After Its Strong Multi‑Year Share Price Run?

If you are wondering whether Altria Group's current share price reflects its true worth, the starting point is to look closely at how the market is pricing its cash flows and risk today. The stock last closed at US$67.01, with returns of 2.5% over 7 days, 11.4% over 30 days, 16.9% year to date, 33.9% over 1 year, 79.5% over 3 years and 126.7% over 5 years. This naturally raises questions about how much of the story is already in the price. Recent headlines around Altria Group have focused on...
NasdaqGS:COLM
NasdaqGS:COLMLuxury

Is Columbia Sportswear (COLM) Fairly Priced After Recent Rebound In Share Price?

If you are wondering whether Columbia Sportswear is attractively priced or just a value trap, looking closely at its current valuation is a useful next step. The stock last closed at US$61.88, with returns of 1.3% over 7 days and 11.8% over 30 days, although the 1 year return of negative 23.6% and 5 year return of negative 35.1% show a very different picture. Recent attention on Columbia Sportswear has been shaped by ongoing discussions around brand strength, inventory trends and consumer...
NasdaqGS:FLNC
NasdaqGS:FLNCElectrical

Fluence Energy Faces Margin Strain Yet Builds Record Storage Backlog

Fluence Energy (NasdaqGS:FLNC) reported mixed quarterly results, with project cost overruns weighing on margins. The company recorded more than $750 million in new orders in the quarter, leading to a record backlog for its energy storage solutions. Revenue grew year over year, despite operational challenges tied to higher project costs. Fluence Energy, which last closed at $17.44, has had a volatile share price lately, with a 7 day return of an 8.0% decline and a 30 day return of a 26.8%...
NYSE:MH
NYSE:MHConsumer Services

McGraw Hill (MH) Q3 Loss Rekindles Debate On Margin Turnaround Narrative

McGraw Hill (MH) just posted Q3 2026 results with revenue of US$434.2 million, a basic EPS loss of US$0.11, and net income loss of US$20.2 million. Over recent quarters, the company has seen revenue move from US$416.5 million in Q3 2025 to US$473.3 million in Q4 2025, then to US$535.7 million in Q1 2026 and US$669.2 million in Q2 2026, while EPS swung between a loss of US$0.32 in Q3 2025, a deeper loss of US$0.94 in Q4 2025, a marginal profit of US$0.00 in Q1 2026, and a profit of US$0.57 in...
NYSE:PNR
NYSE:PNRMachinery

Pentair (PNR) Is Up 5.0% After Elevating Strategy And Digital Leadership – Has The Bull Case Changed?

Pentair plc has reported past fourth-quarter 2025 sales of US$1,020.5 million and full-year sales of US$4.18 billion, alongside executive reshuffling that consolidates technology, digital and innovation leadership under a newly created Chief Strategy, Innovation and Digital Officer role. The elimination of separate Chief Supply Chain and Chief Technology Officer roles, with responsibilities folded into finance and strategy, suggests a tighter coupling of operations, innovation and capital...
NYSE:TREX
NYSE:TREXBuilding

Is Trex Company (TREX) Attractively Priced After A 37% One Year Share Price Decline

If you are wondering whether Trex Company’s share price reflects its underlying worth today, you are not alone. This article will help you see how the current market price stacks up against several valuation checks. The stock last closed at US$42.65, with a 7 day return of a 0.9% decline, a 30 day return of 1.1% and a year to date return of 19.0%. The 1 year return sits at a 37.1% decline and the 3 and 5 year returns are 23.4% and 58.3% declines respectively. Recent coverage of Trex has...
NasdaqGS:CSWC
NasdaqGS:CSWCCapital Markets

How Investors Are Reacting To Capital Southwest (CSWC) Strong Earnings Without Share Buybacks

In February 2026, Capital Southwest Corporation reported past third-quarter 2025 results showing revenue of US$61.45 million and net income of US$32.9 million, with basic earnings per share from continuing operations of US$0.57 and diluted earnings per share of US$0.54. Alongside this earnings strength, the company reported no share repurchases under its existing buyback authorization during the quarter, underscoring that operating performance rather than capital returns drove the update. We...
NYSE:BWA
NYSE:BWAAuto Components

Is It Too Late To Consider BorgWarner (BWA) After A 129.8% One-Year Surge?

Wondering if BorgWarner shares are still reasonably priced after their recent run, or if you might be looking at an overheated stock? This article walks through the numbers so you can judge the value for yourself. The stock most recently closed at US$66.55, with returns of 32.1% over 7 days, 38.2% over 30 days, 42.7% year to date, 129.8% over 1 year, 56.7% over 3 years and 89.0% over 5 years. Recent headlines around BorgWarner have focused on how the company is positioned within the...
NYSE:PFGC
NYSE:PFGCConsumer Retailing

Why Performance Food Group (PFGC) Is Up 8.7% After Raising Sales, Earnings And Refinancing 2027 Debt

In early February 2026, Performance Food Group reported higher quarterly and six‑month sales and earnings, modestly narrowed its full‑year 2026 net sales guidance to about US$67.25–68.25 billion, detailed no share repurchases under its latest authorization, and confirmed that it is actively pursuing acquisitions while refinancing its 2027 senior notes with new 2034 debt. The company’s explanation that profit pressure stemmed from higher‑than‑expected Cheney Brothers integration costs,...
NasdaqGS:FSLY
NasdaqGS:FSLYIT

Fastly (FSLY) Narrower Q4 Loss Sparks Debate Over Long Awaited Margin Turnaround

Fastly (FSLY) has wrapped up FY 2025 with fourth quarter revenue of US$172.6 million and a basic EPS loss of US$0.10, setting the tone for another year where top line progress sits alongside ongoing red ink. The company has seen quarterly revenue move from US$140.6 million in Q4 2024 to US$172.6 million in Q4 2025, while basic EPS losses shifted from US$0.23 to US$0.10 over the same period. Over the trailing 12 months it generated US$624.0 million of revenue with a basic EPS loss of US$0.83...
NYSE:NEU
NYSE:NEUChemicals

NewMarket (NEU) Margin Decline Challenges Long Term Earnings Growth Narrative

NewMarket (NEU) has wrapped up FY 2025 with fourth quarter revenue of US$635.4 million and basic EPS of US$8.65, anchored by net income of US$81.3 million, alongside trailing twelve month revenue of US$2.7 billion and basic EPS of US$44.44. Over recent quarters, the company has seen revenue move from US$700.9 million and EPS of US$13.26 in Q1 2025 through to US$698.5 million and EPS of US$11.84 in Q2, US$690.3 million and EPS of US$10.67 in Q3, and then US$635.4 million and EPS of US$8.65 in...
NYSE:OHI
NYSE:OHIHealth Care REITs

A Look At Omega Healthcare Investors (OHI) Valuation After 2025 Growth And Expansion Plans

Omega Healthcare Investors (OHI) is back in focus after releasing its fourth quarter and full year 2025 results, pairing higher sales and net income with an active expansion plan across facilities and geographies. See our latest analysis for Omega Healthcare Investors. The recent earnings release and 10 K filing have come alongside a steady share price trend. A 30 day share price return of 5.57% and a 1 year total shareholder return of 38.26% point to momentum that has been building rather...
NasdaqGS:LFST
NasdaqGS:LFSTHealthcare

Is LifeStance Health Group (LFST) Pricing Reflect Its Outpatient Mental Health Growth Story

If you are wondering whether LifeStance Health Group is attractively priced or still carrying a premium, you are not alone. This article is built to unpack what the current share price might be implying. The stock last closed at US$6.92, with a recent 7 day return of 5.8%, a 30 day return of 4.6% decline, and year to date and 1 year returns of 0.6% decline and 13.4% decline respectively, set against a 3 year return of 23.1%. Recent news coverage around LifeStance Health Group has focused on...
NasdaqGS:IPGP
NasdaqGS:IPGPElectronic

IPG Photonics (IPGP) Return To Profitability Tests Bullish Growth Narrative After Q3 Earnings

IPG Photonics (IPGP) has just posted its FY 2025 third quarter numbers, with revenue of US$250.8 million and basic EPS of US$0.18, as the market weighs what this means for the laser maker’s recent return to profitability. The company has seen quarterly revenue move from US$234.3 million in Q4 2024 to US$227.8 million in Q1 2025 and then to US$250.7 million and US$250.8 million in Q2 and Q3 2025. Basic EPS shifted from US$0.18 to US$0.09, US$0.16 and US$0.18 over the same stretch. That...
NasdaqGS:ENSG
NasdaqGS:ENSGHealthcare

Assessing Ensign Group (ENSG) Valuation After Strong Results Guidance And Skilled Nursing Expansion

Ensign Group (ENSG) shares were in focus after the company paired strong fourth quarter and full year 2025 results with fresh 2026 guidance, as well as an expanded skilled nursing footprint across multiple states. See our latest analysis for Ensign Group. Those results and the new 2026 guidance arrived alongside an acceleration in share price momentum, with a 1-month share price return of 20.54% and year to date share price return of 23.28%, while the 1-year total shareholder return sits at...
NYSE:BDC
NYSE:BDCElectronic

Belden (BDC) Net Margin Expansion Reinforces Bullish Earnings Power Narrative

Belden's FY 2025 Earnings Snapshot Sets the Stage for Narrative Shifts Belden (BDC) just posted its FY 2025 third quarter numbers, with revenue of US$698.2 million and basic EPS of US$1.43, while trailing 12 month EPS came in at US$5.72 on revenue of US$2.7 billion. The company has seen revenue move from US$654.9 million in Q3 2024 to US$698.2 million in Q3 2025, with quarterly EPS shifting from US$1.32 to US$1.43 over the same periods, and trailing net income reaching US$228.0 million. With...
NYSE:H
NYSE:HHospitality

Hyatt Hotels (H) Returns To Quarterly Losses Challenging Premium Valuation Narratives

Hyatt Hotels (H) has just posted another loss making quarter, with Q3 FY 2025 revenue of US$883 million and basic EPS of a US$0.51 loss on net income excluding extra items of a US$49 million loss. The company has seen revenue move from US$761 million in Q4 FY 2024 to US$883 million in Q3 FY 2025, while quarterly EPS has shifted from a US$0.58 loss in Q4 FY 2024 to US$4.75 and US$3.55 profits in Q3 and Q2 FY 2024, then back to losses more recently. This presents a mixed picture on margins that...
NYSE:EE
NYSE:EEOil and Gas

Is It Too Late To Consider Excelerate Energy (EE) After A 42% Year-To-Date Rally?

If you are trying to figure out whether Excelerate Energy is priced attractively right now, it helps to step back and look at both the recent share moves and what they might be saying about expectations. The stock last closed at US$40.36, with returns of 12.7% over 7 days, 27.8% over 30 days, 42.4% year to date, and 36.9% over the past year. These moves may have changed how investors think about its potential and its risks. Recent news flow around Excelerate Energy has focused on its...
NasdaqGS:GLIB.A
NasdaqGS:GLIB.ATelecom

GCI Liberty (GLIB.A) Earnings Collapse To US$387 Million Loss Tests Bullish Narratives

GCI Liberty (GLIB.A) has just posted a tough third quarter for FY 2025, with revenue of US$257 million alongside a basic EPS loss of US$13.34 and a net loss of US$387 million, setting a cautious tone around profitability. Over the past few quarters, the company has seen revenue move around the US$260 million mark, from US$262 million in Q3 2024 to US$266 million in Q1 2025 and US$261 million in Q2 2025. Basic EPS shifted from US$0.72 in Q3 2024 to US$1.22 in Q1 2025 and US$0.94 in Q2 2025...