U.S. Other Utilities Stock News

NYSE:EMR
NYSE:EMRElectrical

Emerson Electric (EMR) Stock Looks Near Fair Value Despite 72% Returns

Emerson Electric stock has delivered a strong 71.8% return over the past three years. At around US$147.94 and with a mixed valuation score, it no longer looks like an obvious bargain or an obvious excess. Over the last three years, Emerson Electric has returned 71.8%, which puts recent performance firmly in the positive column and raises the bar for what counts as good value today. New automation software for refinery scheduling can support expectations for profitability. At the same time,...
NYSE:ACA
NYSE:ACAConstruction

Arcosa (ACA) Agrees To All Cash CRH Buyout Pending Stockholder Approval

Arcosa (NYSE:ACA) has agreed to be acquired 100% by CRH in an all cash merger. The transaction is subject to approval by Arcosa stockholders and relevant regulators. If completed, Arcosa stockholders would receive cash consideration for their shares instead of continuing equity in the company. Arcosa is a provider of infrastructure related products and solutions, so this proposed acquisition by CRH is within a sector that continues to attract attention from large industrial and materials...
NYSE:DRD
NYSE:DRDMetals and Mining

DRDGOLD (DRD) Could Be 39% Undervalued As Vision 2028 Update Nears

DRDGOLD (NYSE:DRD) has drawn fresh investor interest after appointing experienced chartered accountant Mark Hoffman as an independent non executive director and scheduling a special call to update investors on its Vision 2028 capital project. See our latest analysis for DRDGOLD. At a share price of $20.94, DRDGOLD has seen its short term momentum cool, with the 90 day share price return down 28.12% and the year to date share price return down 30.94%. This comes even though the 1 year total...
NasdaqGS:FHB
NasdaqGS:FHBBanks

3 US Financial Stocks Retail Investors Are Watching as Rate Pressure Builds

Rising US Treasury yields, renewed pressure from $100 oil, and new tariffs from the Trump administration are putting the spotlight back on big US financial stocks, where balance sheet strength and interest rate sensitivity can quickly matter more than headlines. With expectations building around the Federal Reserve’s next move, some large banks, insurers, and asset managers could find this mix of inflation, bond market moves, and trade tension either helpful or painful. This article explains...
NYSE:UNP
NYSE:UNPTransportation

Union Pacific (UNP) Stock Faces Slower Revenue Growth Narrative Despite 28.8% Net Margin

Union Pacific (UNP) has put solid numbers on the board for Q2 2026, with revenue of US$6.9 billion, basic EPS of US$3.36 and net income of US$2.0 billion. On a trailing twelve month basis, revenue sits at US$25.4 billion with basic EPS of US$12.36 and net income of US$7.3 billion. The company has seen quarterly revenue move from US$6.2 billion in Q1 2026 to US$6.9 billion in Q2 2026, alongside basic EPS rising from US$2.87 to US$3.36 over the same period. This gives investors a clear view of...
NYSE:ELAN
NYSE:ELANPharmaceuticals

Is Elanco Animal Health (ELAN) Still A Bargain After 108% Gains?

Elanco Animal Health stock has delivered a 107.8% return over the past three years, yet the current valuation checks and intrinsic value work suggest the shares may still be trading below what the business could be worth on fundamentals. Over the past three years, Elanco Animal Health has returned 107.8%, which puts recent price action front and center for anyone weighing up what is already reflected in the share price. For valuation, the key upside driver is how effectively Elanco Animal...
NasdaqGS:PRGS
NasdaqGS:PRGSSoftware

Progress Software (PRGS) Stock Looks Fairly Priced With Earnings At A Discount

Progress Software stock has retreated over the past three years. On current checks it does not look obviously expensive or obviously cheap, which puts more weight on how investors read the latest moves around its valuation. The recent agreement to acquire Domo for US$400 million adds a fresh piece to that puzzle for anyone weighing what the current share price implies. Progress Software shares are down about 34.2% over three years, which suggests investors have become more cautious about the...
NasdaqGS:AKTS
NasdaqGS:AKTSBiotechs

Is Aktis Oncology (AKTS) Fairly Valued After Its Recent Pullback?

Aktis Oncology (AKTS) has drawn investor attention after recent trading swings, with the stock down 4% over the past week and around 17% over the past month, despite year-to-date gains. See our latest analysis for Aktis Oncology. The recent 30 day share price return of down 16.8% has cooled earlier gains, even though the 90 day share price return of 12.4% and 6.7% year to date still point to fading, but not fully reversed, momentum for Aktis Oncology around the latest close at $23.89. If you...
NYSE:OSCR
NYSE:OSCRInsurance

Oscar Health (OSCR) Stock Still Trades At A Discount As Growth Meets Cost Questions

Oscar Health stock has delivered a very large 3-year gain, yet the broader valuation checks paint a more mixed picture, with the shares currently screening as undervalued on market multiples but only middling on a composite value score. Over the last 3 years, Oscar Health has returned roughly 2.8x an investor's starting position. This puts recent moves in a longer-term context that matters for today's entry price. Expectations around how efficiently Oscar Health can scale its insurance...
NYSE:UNFI
NYSE:UNFIConsumer Retailing

United Natural Foods (UNFI) Stock May Still Be A Bargain On Sales

United Natural Foods has delivered a strong 139.7% return over the past 3 years, and with the stock recently closing at US$49.67, the key question is whether that share price still sits below what its fundamentals imply or if most of the easy value has already been recognised. A 139.7% return over 3 years suggests investors who bought earlier have been well rewarded, so new buyers now need to think carefully about what is already reflected in the price. For a distributor with typically thin...
NasdaqGM:PAYO
NasdaqGM:PAYODiversified Financial

Payoneer (PAYO) Opens Gurugram Hub To Build AI For Global Payments

Payoneer Global (NasdaqGM:PAYO) has opened a new innovation hub in Gurugram, India. The hub is focused on AI driven technology development and cross border payments capabilities. The move is part of Payoneer’s broader push to support global business expansion and product development. For investors tracking Payoneer Global, the new Gurugram hub highlights how the company is positioning its platform in cross border payments and financial services for businesses. Gurugram is a major technology...
NYSE:RNG
NYSE:RNGSoftware

RingCentral (RNG) Stock Earnings Jump To Profitability Test Bullish Margin Narrative

RingCentral (RNG) has reported Q2 2026 revenue of US$657.0 million with basic EPS of US$0.47, alongside net income excluding extra items of US$39.1 million. This gives investors a clear look at how much profit is now dropping to the bottom line. The company has seen quarterly revenue move from US$620.4 million and basic EPS of US$0.15 in Q2 2025 to US$657.0 million and US$0.47 respectively in Q2 2026. Trailing twelve month EPS is US$1.28 and net income excluding extra items is US$110.3...
NYSE:NSC
NYSE:NSCTransportation

Norfolk Southern (NSC) Stock Faces Margin Compression Testing Efficiency Narrative In Q2 2026

Norfolk Southern (NSC) has put up a solid top line in Q2 2026, with revenue of US$3.5 billion and basic EPS of US$3.26, alongside net income of US$734 million. The company has seen quarterly revenue move from US$3.0 billion in Q2 2025 to US$3.5 billion in Q2 2026, while EPS shifted from US$3.41 to US$3.26 over the same period, setting up a results snapshot where healthier sales meet tighter margins. See our full analysis for Norfolk Southern. With the headline numbers on the table, the next...
NYSE:SHW
NYSE:SHWChemicals

Sherwin Williams (SHW) Stock May Be 12% Undervalued But Hardly A Bargain

Sherwin-Williams stock has slipped in the short term, yet over three years has still delivered a positive return, and the current checks send a mixed valuation signal, with the Discounted Cash Flow (DCF) intrinsic value estimate pointing to upside while earnings based multiples lean the other way. Sherwin-Williams has returned 16.4% over the past three years, which suggests the share price has already built in a meaningful amount of investor confidence. For a mature coatings business,...
NasdaqGS:GPRE
NasdaqGS:GPREOil and Gas

Green Plains (GPRE) Stock Still Looks Cheap Even After A 104% Run

Green Plains stock has more than doubled over the past year, yet its current checks suggest the shares still look inexpensive relative to underlying fundamentals rather than stretched after the run. Over the past 12 months, Green Plains has returned 104.2%, which puts recent performance firmly in focus when judging whether the current price still offers value. Recent gains have been linked in part to energy market tensions highlighted by news around U.S. military action and shipping risks...
NasdaqGS:TCBI
NasdaqGS:TCBIBanks

Texas Capital Bancshares (TCBI) Stock Faces Higher Cost Ratio Testing Margin Improvement Narrative

Texas Capital Bancshares (TCBI) has just posted Q2 2026 results with revenue of US$317.5 million and basic EPS of US$1.85, backed by quarterly net income of US$80.6 million. The company has seen revenue move from US$292.5 million in Q2 2025 to US$317.5 million in Q2 2026, while EPS shifted from about US$1.59 to US$1.85 over the same period, setting the stage for trailing twelve month EPS of roughly US$7.79. With a net profit margin of 27.3% over the past year and a Q2 net interest margin of...
NYSE:MGM
NYSE:MGMHospitality

MGM Resorts (MGM) Faces $18 Billion Bid As Conflict Questions Grow

People Inc., led by Barry Diller, has proposed an $18 billion acquisition of MGM Resorts International (NYSE:MGM). The offer has drawn regulatory scrutiny from gaming authorities, including the Nevada Gaming Commission. Legal investigations are examining potential conflicts of interest and fiduciary duty issues related to Diller’s roles as MGM’s largest shareholder and board member. MGM Resorts International, trading at $45.54, is at the center of a high profile takeover proposal that could...
NasdaqGS:BFST
NasdaqGS:BFSTBanks

Will BFST’s Stronger Earnings and Capital Returns Shift Business First Bancshares' (BFST) Narrative?

Business First Bancshares, Inc. has reported past second-quarter 2026 results showing higher net interest income of US$77.84 million and net income of US$24.18 million year on year, while also declaring common and preferred dividends payable on August 31, 2026. The company’s completion of a US$11.29 million share repurchase program, alongside increased earnings and affirmed dividends, highlights management’s focus on returning capital to shareholders. We’ll now examine how Business First...
NasdaqGM:USAR
NasdaqGM:USARMetals and Mining

USA Rare Earth (USAR) Acquires 13.6% Of Carester To Deepen Its European Footprint

USA Rare Earth (NasdaqGM:USAR) has acquired a 13.6% stake in French rare earth processing company Carester SAS. The deal formalizes a supply chain collaboration focused on rare earth separation, midstream processing, and feedstock and oxide trading. The investment expands USA Rare Earth's position in the European rare earth value chain and connects its platform to Carester's processing facilities and engineering expertise. USA Rare Earth enters this agreement with Carester while its stock...
NasdaqGS:NCMI
NasdaqGS:NCMIMedia

Streaming Stocks Retail Investors May Revisit After The Paramount Warner Bros Deal Pause

The paused US$110b merger between Paramount and Warner Bros Discovery has frozen a major shake up in streaming and content distribution, keeping current competitive lines in place for now. For investors, that pause can matter as much as the deal itself, because it helps reveal which stocks look more insulated and which remain heavily exposed to potential shifts in studio power and content supply. This article looks at 3 stocks from a Content Distribution and Streaming Platforms screener that...
NYSE:WST
NYSE:WSTLife Sciences

West Pharmaceutical Services (WST) Stock Sees Margin Improvement Narrative Backed By Q2 2026 Results

West Pharmaceutical Services (WST) has just posted Q2 2026 results with revenue of US$872.3 million, basic EPS of US$2.18 and net income of US$154 million, setting the tone for how investors assess its current profitability. The company has seen quarterly revenue move from US$766.5 million in Q2 2025 to US$872.3 million in Q2 2026, while basic EPS shifted over the same period from US$1.83 to US$2.18, giving investors a clear view of how the top line and per share earnings have tracked...
NasdaqGM:NUAI
NasdaqGM:NUAIOil and Gas

Is New Era Energy & Digital (NUAI) A Bargain On Law Firm Investigation Concerns?

New Era Energy & Digital (NUAI) is under scrutiny after law firm Bronstein, Gewirtz & Grossman, LLC announced an investigation into potential corporate wrongdoing involving the company and certain officers or directors. See our latest analysis for New Era Energy & Digital. The latest law firm investigation comes after a sharp pullback in New Era Energy & Digital's share price, which fell about 10% in the last session. This followed a 7 day share price return of around 17% and a year to date...
NasdaqGM:ASST
NasdaqGM:ASSTMedical Equipment

Strive (ASST) Stock May Be Undervalued As Profitability Questions Persist

Strive’s share price has fallen sharply in recent years, yet the stock still screens as undervalued on market multiples while its broader valuation checks remain weak. This leaves investors with a mixed message on what the current price really offers. Strive has declined about 90% over the past 3 years, which signals that the market has heavily reset expectations for the business. Any improvement in Strive’s ability to turn revenue into consistent cash flow can help support the current...
NasdaqGS:FCFS
NasdaqGS:FCFSConsumer Finance

FirstCash Holdings (FCFS) Stock Faces Rich Valuation As 33% Earnings Growth Reinforces Bullish Narratives

FirstCash Holdings (FCFS) opened Q2 2026 with total revenue of US$1.1 billion and basic EPS of US$2.12, set against trailing 12 month EPS of US$8.81 on revenue of US$4.1 billion, alongside earnings growth of 33% over the past year. Over recent quarters the company has seen revenue move from US$830.6 million in Q2 2025 to US$1.1 billion in Q2 2026, while quarterly EPS has shifted from US$1.35 to US$2.12. This has set up a results season in which improving net margins sit at the center of the...