U.S. Other Utilities Stock News

NasdaqGS:COLL
NasdaqGS:COLLPharmaceuticals

Collegium Pharmaceutical (COLL) Draws Fresh Valuation Attention, Is It Still A Bargain?

Collegium Pharmaceutical (COLL) has drawn fresh interest after recent trading left the stock at about $35.23, with returns mixed across different time frames and investors reassessing how its pain management portfolio supports the current valuation. See our latest analysis for Collegium Pharmaceutical. The recent dip in Collegium Pharmaceutical's share price, with a 1-day share price return of 1.62% down and a 7-day share price return of 4.86% down, sits against a mixed picture where the...
NYSE:CRCL
NYSE:CRCLSoftware

Arista Networks Stock And 2 AI Infrastructure Picks Worth Watching

Founder led companies can be especially interesting when inflation, rates and growth signals are pulling in different directions, because these leaders typically have both reputation and wealth tied to long term outcomes, not just quarterly bonuses. With central banks weighing softer inflation data against volatile energy prices and uneven growth, many investors are looking for businesses where decision makers are deeply aligned with shareholders. This Founder-Led Companies screener focuses...
NYSE:WMB
NYSE:WMBOil and Gas

Williams (WMB) Stock Looks Pricey As Its 273% Run Continues

Williams Companies stock has delivered very strong gains over the past five years, yet the current valuation checks lean expensive. This raises the question of how much of the story is already reflected in the price. Over 5 years, Williams Companies has returned about 273%, which signals that long term shareholders have already enjoyed very substantial value creation. The pending US$5.5b Momentum Midstream acquisition can support expectations for future cash flows, but the integration...
NasdaqGS:AXON
NasdaqGS:AXONAerospace & Defense

Axon Enterprise (AXON) Appoints Two AI Veterans To Its Board

Axon Enterprise (NasdaqGS:AXON) has appointed Vivek Mohindra and Eiso Kant as independent directors to its board. The new directors bring experience in large technology companies, AI, and cloud infrastructure startups. The appointments are intended to deepen Axon's governance and oversight around AI and enterprise technology. Axon Enterprise, known for its public safety hardware and software platforms, is trying to position itself more firmly at the intersection of policing tools and AI...
NYSE:WPC
NYSE:WPCREITs

New Long-Dated Bond Issue Might Change The Case For Investing In W. P. Carey (WPC)

In late June 2026, W. P. Carey Inc. completed a fixed-income offering of 5.200% senior unsecured fixed-rate notes due September 15, 2036, raising about US$346.55 million at a modest discount to par. This long-dated, callable bond issue highlights how W. P. Carey is using unsecured debt to support its capital needs while balancing flexibility and funding costs. We’ll now explore how this new US$346.55 million senior unsecured bond affects W. P. Carey’s investment narrative and risk-reward...
NYSE:SRE
NYSE:SREIntegrated Utilities

3 US Utility Stocks Investors Are Watching As Inflation And Tariffs Bite

Government pressure on US companies to cut prices, rising fuel costs linked to war with Iran, and fresh tariffs are making inflation a political and corporate headache. Utilities sit at the crossroads of essential services and policy risk, where price controls, tariffs and input costs can all affect how stable a stock feels in a portfolio. This article looks at how those forces connect to a curated screener of larger US utilities stocks, and highlights three stocks that appear positively...
NasdaqGS:RGLD
NasdaqGS:RGLDMetals and Mining

Royal Gold Stock And Other Platinum Miners Facing New US Tariff Questions

Tariff headlines around South African exports are putting fresh attention on platinum and palladium miners, especially those that feed into U.S. supply chains. A proposed 12.5% U.S. tariff on certain imports, alongside questions around trade preferences and forced labor enforcement, could reshape how platinum group metals move across borders. For investors watching platinum and palladium stocks, these shifts may create both potential openings and new risks. This article looks at three stocks...
NasdaqGS:SMTC
NasdaqGS:SMTCSemiconductor

Should Semtech’s (SMTC) New Covenant‑Heavy Credit Facility Reshape Views on Its Capital Flexibility?

In early July 2026, Semtech Corporation entered into a new Credit Agreement establishing a US$360,000,000 revolving credit facility and an uncommitted incremental term loan option, replacing its prior JPMorgan-led facility and extending committed liquidity through July 6, 2031, subject to detailed leverage, coverage, collateral, and covenant conditions. An interesting aspect of this agreement is the leverage-based pricing grid and first-lien security package, which directly link Semtech’s...
NasdaqCM:RZLT
NasdaqCM:RZLTBiotechs

Vivani Stock Puts These Obesity And Diabetes Treatment Stocks On The Radar

The race to reshape obesity and diabetes treatment is moving beyond weekly injections, and Vivani Medical’s long-acting GLP-1 implant has pushed that story into the spotlight. For investors, the question is how this kind of delivery shift might affect companies tied to GLP-1 drugs, devices, and support therapies. This article looks at 3 stocks from our Obesity and Diabetes Treatment Innovation screener that appear positively exposed to the same forces driving interest in Vivani’s semaglutide...
NasdaqGS:FIZZ
NasdaqGS:FIZZBeverage

Should National Beverage’s (FIZZ) Special Dividend Amid Softer Results Require Action From Investors?

National Beverage Corp. reported full-year results for the period ended May 2, 2026, with sales of US$1,180.55 million and net income of US$183.65 million, slightly lower than the prior year, while also declaring a special cash dividend of US$3.25 per share to be paid on or before July 30, 2026. Alongside modest year-over-year declines in sales and earnings per share, the decision to issue a sizable special dividend underscores the company’s focus on returning cash to shareholders. Next,...
NYSE:SYF
NYSE:SYFConsumer Finance

American Express Stock And 2 Credit Exposure Stocks Facing Consumer Credit Pressure

U.S. consumer credit is flashing early warning signs, with a rare monthly contraction in May, a sharp pullback in credit card balances, stubbornly high 22.15% interest rates, and bankruptcy filings up 8% year over year. For investors, this combination points directly to companies tied to consumer lending, where shifting borrowing habits and rising defaults can quickly reshape earnings quality and risk. This article walks through 3 stocks from the Consumer Credit Contraction Impact Stocks With...
NasdaqGS:MKSI
NasdaqGS:MKSISemiconductor

MKS (MKSI) Makes Time’s Best Companies List Again As Workplace Progress Gets Attention

MKS (NasdaqGS:MKSI) has been named one of America’s Best Companies for 2026 by Time and Statista. This is the second consecutive year MKS has received this recognition. The award highlights progress in workplace culture and employee satisfaction at the company. MKS, trading at $368.58, received this recognition following a stretch of strong share price performance, with the stock up 16.6% over the past 30 days, 118.9% year to date, and 248.1% over the past year. Those returns place MKS in a...
NasdaqGS:PTEN
NasdaqGS:PTENEnergy Services

Patterson-UTI (PTEN) Stock May Be 47% Undervalued As Guidance Improves

Patterson-UTI Energy has delivered a 50.5% gain over the past year, yet both the Discounted Cash Flow (DCF) intrinsic value estimate and the market multiples still point to the stock trading at a discount to what its fundamentals may justify. The 50.5% 1 year return highlights a strong rebound in Patterson-UTI Energy and raises the question of whether the share price has fully caught up with the underlying value. Improved expectations for U.S. drilling and completion activity can support...
NasdaqGS:WDFC
NasdaqGS:WDFCHousehold Products

WD-40 (WDFC) Stock Faces Rich Valuation As Margins Slip To 13.2%

WD-40 (WDFC) has just posted Q3 2026 results with total revenue of US$195.1 million and basic EPS of US$2.25, set against trailing 12 month revenue of US$674.7 million and basic EPS of US$6.59 that reflect a 3.1% earnings growth rate over the past year compared with 6% per year over the last five years. Over recent quarters the company has seen revenue move from US$156.9 million in Q3 2025 to US$163.5 million in Q4 2025, US$154.4 million in Q1 2026, US$161.7 million in Q2 2026, and now...
NYSE:CRK
NYSE:CRKOil and Gas

Comstock Resources (CRK) Stock Still Looks Reasonable On Weak Q1 Earnings

Comstock Resources has delivered very strong 5 year returns, yet the stock is currently down sharply over the past year while the broader valuation checks still suggest it screens as cheap on several metrics. Over the past 5 years, Comstock Resources has returned about 140%, which keeps the long term track record firmly positive even after recent weakness. The recent earnings disappointment and share price drop can weigh on confidence in Comstock Resources. At the same time, any improvement...
NasdaqGS:GLXY
NasdaqGS:GLXYCapital Markets

Bitcoin Stocks To Watch Before The July CPI Report

With Bitcoin hovering around $64,100 and traders watching resistance near $65,581 and support at $58,000, the next move in crypto prices could hinge on the upcoming US CPI reading on July 14. Cooler inflation data may support risk appetite, while a hotter print could do the opposite. For investors looking at companies that engage with cryptocurrencies or blockchain technology, this setup can influence sentiment and capital flows. This article highlights three stocks from a crypto and...
NasdaqGS:EBC
NasdaqGS:EBCBanks

Eastern Bankshares Stock And 2 U.S. Banks Built For Higher Rates

With the Federal Reserve holding a firm line on inflation and signaling that rate cuts are not a near-term priority, investors are again paying attention to balance sheet strength and earnings resilience. High-quality U.S. bank stocks can react differently to higher-for-longer interest rates, political tension around monetary policy, and record equity markets that may be prone to sharper swings. This article looks at how those macro forces connect to three large U.S. bank stocks from a...
NasdaqGS:LX
NasdaqGS:LXConsumer Finance

LexinFintech Holdings (LX) Falls On Credit And Regulatory Fears, But Is It A Bargain

LexinFintech Holdings (LX) is back in focus after its stock registered one of the larger recent declines in North Asia, as negative credit market sentiment and heightened regulatory scrutiny pressure trading activity. See our latest analysis for LexinFintech Holdings. Over the past year, LexinFintech Holdings’ share price has moved from above support levels to a recent close of US$1.595. The 30 day share price return is down 25.47% and the 1 year total shareholder return is down 75.17%,...
NasdaqGM:SEPN
NasdaqGM:SEPNPharmaceuticals

Is Septerna (SEPN) Fully Valued Following Its Russell Index Inclusions?

Septerna (SEPN) recently joined several Russell growth and small cap indices. This change can affect how index-tracking and benchmark-aware funds treat the stock and influence overall investor attention. See our latest analysis for Septerna. Septerna’s recent Russell index inclusions come after a strong run in the stock, with a 90 day share price return of 55.61% and a 1 year total shareholder return of 206.31%. This comes even though the latest close at $35.93 followed a 1 day share price...
NYSE:FUBO
NYSE:FUBOInteractive Media and Services

Fubo (FUBO) Appoints Disney Veteran Alisa Bowen As CEO After Hulu Live TV Deal

FuboTV (NYSE:FUBO) has appointed former Disney+ executive Alisa Bowen as its new CEO. The appointment follows the resignation of co founder David Gandler. Disney has become the majority owner of FuboTV after merging Hulu + Live TV with Fubo. FuboTV enters this leadership change after a difficult stretch for the stock, with the share price at $9.18 and the stock down 70.5% year to date and 76.9% over the past year. Longer term returns have also been weak, with the stock down 73.3% over three...
NYSE:TWO
NYSE:TWOMortgage REITs

Two Harbors Investment (TWO) Wins Merger Approval, Is The $12 Offer Leaving Much Upside?

Two Harbors Investment (TWO) is back in focus after stockholders approved its merger with CrossCountry Merger Corp, setting up an all cash deal that prices each share at $12.00 plus a stub dividend. See our latest analysis for Two Harbors Investment. Over the past year, Two Harbors Investment’s 33.21% total shareholder return and 14.18% year to date share price return suggest momentum has been building. The recent merger approval appears to align current trading around the US$12.08 offer...
NYSE:DDS
NYSE:DDSMultiline Retail

Dillard's (DDS) Stock May Be 41% Overvalued As Omnichannel Growth Builds

Dillard's stock has delivered a very strong 288.6% return over the past five years, but both the Discounted Cash Flow (DCF) intrinsic value estimate and the market multiple checks currently point to the shares trading at a premium, with the DCF suggesting the stock may be overvalued by about 41.5% relative to its intrinsic value. Over five years, Dillard's has returned 288.6%, which puts recent share price weakness into the context of a long, powerful run. Recent news highlights growth in...
NasdaqGS:FIBK
NasdaqGS:FIBKBanks

First Interstate BancSystem (FIBK) Removes Its General Counsel As It Starts A Successor Search

First Interstate BancSystem (NasdaqGS:FIBK) disclosed the involuntary departure of Executive Vice President and General Counsel/Corporate Secretary, Kirk D. Jensen. The change was announced with the company stating there was no disagreement over any issues leading to his removal. Responsibilities will be handled internally on an interim basis while a national search for a successor is underway. First Interstate BancSystem is a regional banking company. The role of General Counsel and...
NYSE:CRM
NYSE:CRMSoftware

Salesforce Stock And 2 AI Plays Tied To Tech Cost Cutting

Artificial intelligence is reshaping how companies run, and the latest wave of tech layoffs, including Amazon’s 57,000-plus job cuts and shift toward lower cost markets like India, shows how quickly budgets and workforces are being rebuilt around automation. For investors, that kind of disruption can create both opportunity and risk across software, outsourcing, and AI infrastructure. This article looks at 3 stocks exposed to those AI efficiency and tech workforce shifts, and explains how...