U.S. Stock News

NasdaqCM:ASTH
NasdaqCM:ASTHHealthcare

Astrana Health (ASTH) Is Up 10.7% After Raising 2026 Guidance And Doubling Q2 Net Income - Has The Bull Case Changed?

Astrana Health, Inc. reported its second-quarter 2026 results, with net income rising to US$19.74 million from US$9.42 million a year earlier, and issued third-quarter revenue guidance of US$1.00 billion to US$1.03 billion plus full-year 2026 revenue guidance of US$3.80 billion to US$4.10 billion and net income of US$59.00 million to US$74.00 million. Management also highlighted ongoing tuck-in acquisitions to build out Care Delivery capabilities, suggesting that integration execution and...
NYSE:SNOW
NYSE:SNOWIT

Snowflake (SNOW) Stock May Be Fully Priced Following AI Momentum

Snowflake stock has delivered a 129.6% return over the past three years, yet the valuation signals do not line up neatly, with an intrinsic value estimate from a Discounted Cash Flow (DCF) approach suggesting upside while market based multiples point the other way. That split leaves investors weighing a strong recent performance against checks that indicate Snowflake is not obviously cheap overall. Over the last three years Snowflake has returned 129.6%, which puts extra focus on whether the...
NYSE:SPGI
NYSE:SPGICapital Markets

Is S&P Global (SPGI) Overvalued Following Its Expanded Microsoft AI Partnership?

S&P Global (SPGI) has drawn fresh attention after announcing an expanded collaboration with Microsoft that embeds its AI ready data and analytics directly into Microsoft 365 Copilot tools and workflows. See our latest analysis for S&P Global. The Microsoft news comes after a mixed period for S&P Global’s stock, with a 1-day share price return of 3.07% and 7-day share price return of 4.30% offset by a year to date share price return that is down 17.55%. Over a longer horizon, total shareholder...
NYSE:VYX
NYSE:VYXSoftware

NCR Voyix (VYX) Holds Guidance On Earnings As The Undervalued Case Stays Alive

NCR Voyix (VYX) drew investor attention after reporting second quarter 2026 earnings that showed lower revenue but a swing to net income, while also maintaining full year guidance and updating its long running share buyback program. See our latest analysis for NCR Voyix. The earnings release and confirmed 2026 guidance appear to have supported NCR Voyix’s recent momentum, with a 90 day share price return of 27.48% and a 30 day share price return of 6.52%, although the 1 year total shareholder...
NasdaqGS:HUBG
NasdaqGS:HUBGLogistics

Why Hub Group (HUBG) Is Down 9.9% After Delaying Its Quarterly 10-Q Filing With SEC

On 11 August 2026, Hub Group, Inc. reported that it would be unable to file its next quarterly 10-Q with the SEC by the required deadline, signaling a compliance setback for the logistics provider. This filing delay comes on top of sluggish revenue trends, weaker earnings per share, and a reduced return on invested capital, intensifying questions about operational execution. Next, we’ll examine how the delayed 10-Q filing, combined with softer profitability metrics, could influence Hub...
NYSE:FRT
NYSE:FRTRetail REITs

Federal Realty Investment Trust (FRT) Could Be 9% Undervalued As Guidance And Dividend Rise

Federal Realty Investment Trust (FRT) has drawn fresh attention after revising its 2026 earnings guidance upward and extending its record of consecutive annual dividend increases, supported by recent quarterly results. See our latest analysis for Federal Realty Investment Trust. Against this backdrop of higher 2026 earnings guidance and another dividend increase, Federal Realty Investment Trust’s share price has climbed 20.05% year to date, while its 1 year total shareholder return of 32.33%...
NasdaqGS:EBAY
NasdaqGS:EBAYMultiline Retail

Is eBay’s (EBAY) Earnings Acceleration Quietly Redefining Its Core Marketplace Investment Story?

In the past week, eBay Inc. reported second-quarter 2026 results showing sales of US$3.13 billion and net income of US$550 million, with earnings per share increasing versus a year earlier, while also confirming third-quarter guidance, a US$0.31 dividend and continued share repurchases under its 2022 buyback plan. The latest quarter highlighted how growth in gross merchandise volume, stronger profitability and initiatives such as eBay Live and recommerce are reinforcing eBay’s core...
NasdaqCM:TGTX
NasdaqCM:TGTXBiotechs

TG Therapeutics (TGTX) Raised Revenue Guidance After Q2, Is It Still Below Fair Value?

Why TG Therapeutics Stock Is Back in Focus After Q2 Earnings TG Therapeutics (TGTX) drew fresh attention after reporting second quarter 2026 results that combined higher revenue with lower net income, while also lifting full year revenue guidance to about US$950 million. See our latest analysis for TG Therapeutics. TG Therapeutics shares trade at US$47.94, with the stock down about 13% over the past month but still showing strong momentum with a 64% year to date share price return and a very...
NYSE:DAL
NYSE:DALAirlines

Did Delta’s Elevated July Cancellations Just Test Its Premium International Ambitions and Investment Case (DAL)?

Delta Air Lines has recently faced heightened scrutiny after canceling nearly 3% of its July flights, more than key rivals, exposing weaknesses in pilot availability, scheduling, and overall operational resilience that management admits will take time to fix. These reliability issues sit uncomfortably beside Delta’s push into higher-value international services, including expanded Asia–Las Vegas CES coverage and new Seattle–Tokyo routes, raising questions about how well its premium-focused...
NYSE:UHAL
NYSE:UHALTransportation

What U-Haul Holding (UHAL)'s Margin Squeeze Amid Expansion and Price Lock Strategy Means For Shareholders

U-Haul Holding Company recently reported first-quarter 2026 results showing revenue of US$1.68 billion and net income of US$122.93 million, while continuing to face freight and personnel cost pressures, and it has opened its first company-owned moving and self-storage facility in Hot Springs, Arkansas, employing at least eight local team members. Alongside expanding its retail and self-storage footprint, U-Haul has introduced a 1-Year Storage Price Lock to distinguish itself from competitors...
NYSE:GD
NYSE:GDAerospace & Defense

Mesquite Shell Delays and Board Shake-Up Might Change The Case For Investing In General Dynamics (GD)

In early August 2026, General Dynamics disclosed serious production setbacks at its US$533 million, Army-funded Mesquite, Texas artillery shell plant, while also announcing a regular US$1.59 per-share quarterly dividend payable in November 2026 and the election of long-time executive Danny Deep to its board. The combination of high-profile factory delays at a key Ukraine-support facility and deeper boardroom influence for the sitting president raises fresh questions about General Dynamics’...
NYSE:ETSY
NYSE:ETSYMultiline Retail

Is Etsy’s New US$2 Billion Buyback Amid Q2 Loss Altering The Investment Case For Etsy (ETSY)?

Etsy recently reported Q2 2026 results showing sales of US$668.31 million, a swing from net income to a net loss, while also announcing a workforce reduction of about 12% and a new US$2 billion share repurchase authorization. The combination of growing mobile app Gross Merchandise Sales and a sizable buyback program highlights management’s emphasis on higher-value buyers and capital return, even as profitability pressures persist. We’ll now examine how Etsy’s new US$2 billion share...
NYSE:GEV
NYSE:GEVElectrical

Nuclear Energy Stocks Retail Investors Are Watching For AI Power Demand

Energy prices sit at the heart of current inflation debates, with higher oil and power costs feeding into transport, housing and broader price pressures. That keeps attention on sources of reliable, low carbon baseload power such as nuclear energy stocks. For investors, this theme offers exposure to a critical part of global energy systems. This article highlights three nuclear energy stocks from our screener to consider for further research. The stocks covered below are just a small sample...
NYSE:QSR
NYSE:QSRHospitality

Restaurant Brands International (QSR) Shares Climbed, What Is Catching Investors’ Attention?

Restaurant Brands International (NYSE:QSR) moved back into focus after its second quarter 2026 earnings report, which paired higher net income and earnings per share with a fresh dividend declaration and completed share buyback. See our latest analysis for Restaurant Brands International. The latest report arrived after a period where Restaurant Brands International’s short term share price return has cooled, even as the year to date share price return of 12.95% and 1 year total shareholder...
NYSE:UAA
NYSE:UAALuxury

Under Armour (UAA) Could Be 15% Undervalued On Reset Guidance

Under Armour (UAA) updated investors on 7 August 2026 with fresh quarterly and full year guidance, including an expected GAAP operating loss for the September quarter and a projected mid single digit revenue decline for fiscal 2027. See our latest analysis for Under Armour. The updated guidance has come after a choppy run for Under Armour’s stock, with a 1 day share price return of 1.71% following the announcement, set against a 30 day share price return that is down 19.06% and a 5 year total...
NYSE:PAY
NYSE:PAYDiversified Financial

Paymentus Holdings (PAY) Following Strong Earnings And Guidance Still Looks Slightly Pricey

Paymentus Holdings (PAY) is in focus after reporting second quarter 2026 earnings on 3 August, alongside new guidance for the third quarter and full year. The update arrived after a strong recent share price run. See our latest analysis for Paymentus Holdings. Paymentus Holdings has attracted attention after a sharp move higher, with a 30 day share price return of 49.19% and a 90 day share price return of 73.76%. The 3 year total shareholder return of 211.60% points to strong longer term...
NYSE:GRC
NYSE:GRCMachinery

Do Gorman-Rupp’s (GRC) Rising Estimates Reveal a Deeper Shift in Analyst Conviction?

Recently, Gorman-Rupp attracted attention after earning a Momentum Style Score of B and a Zacks Rank of #2, alongside upward earnings estimate revisions that signal stronger analyst confidence. The combination of improving earnings expectations and favorable momentum metrics highlights how analyst sentiment can meaningfully influence how investors view Gorman-Rupp’s prospects. Next, we will examine how the upward earnings estimate revisions could shape Gorman-Rupp’s investment narrative for...
NYSE:LDOS
NYSE:LDOSProfessional Services

Why Leidos (LDOS) Is Up 5.4% After Raising 2026 Guidance And Landing New Defense Deals

In the past quarter, Leidos Holdings, Inc. reported higher sales of US$4,558 million but lower net income of US$354 million versus a year earlier, while also affirming its dividend, completing a multi‑year share buyback of 20,000,000 shares, and modestly raising full‑year 2026 revenue guidance to US$18.20–18.40 billion. At the same time, new missile defense and naval intelligence contracts highlighted Leidos’s growing role in advanced space sensing and secure military infrastructure,...
NYSE:G
NYSE:GProfessional Services

Why Genpact (G) Is Getting Attention Today

Genpact stock reacts to earnings, guidance and buyback update Genpact (G) is in focus after its second quarter 2026 earnings release, updated earnings guidance and fresh details on its ongoing multi year share repurchase program. See our latest analysis for Genpact. Genpact’s recent 1 month share price return of 16.43% and 3 month share price return of 18.31% point to improving short term momentum. However, the year to date share price return of 25.14% and 1 year total shareholder return of...
NasdaqGM:EYPT
NasdaqGM:EYPTPharmaceuticals

EyePoint (EYPT) Is Up 5.1% After Steep Q2 Revenue Drop And ESOP-Linked Share Offering Filing

EyePoint, Inc. reported past second-quarter 2026 results showing revenue of US$507,000 versus US$5.33 million a year earlier, alongside a net loss of US$94.47 million compared with US$59.43 million, and also weaker performance for the first half of the year. On the same day, the company filed a US$73.71 million shelf registration for 6,315,800 common shares linked to an ESOP-related offering, highlighting both funding needs and an ongoing focus on employee ownership. Against this backdrop,...
NasdaqGS:GO
NasdaqGS:GOConsumer Retailing

Grocery Outlet (GO) Stock Jumps On Early Turnaround Signs And Debt Risk

Grocery Outlet investors woke up to a stock that jumped about 6% to US$10.80, even though the business is still carrying a loss over the past year. The spark was Q2, where adjusted earnings per share of US$0.20 and adjusted EBITDA of about US$65.7m landed ahead of the company’s own outlook and hinted at early traction in the turnaround. The market is treating that earnings beat as a sign that the worst may be easing. The key question now is whether this optimism fits a retailer that still...
NasdaqGS:MSTR
NasdaqGS:MSTRSoftware

Strategy (MSTR) Faces Proposed Removal From Major Global Indexes

MSCI has proposed removing Strategy (NasdaqGS:MSTR) from its Global Investable Market Indexes as part of a rule change affecting non operating companies. The consultation outlines new financial tests that would determine whether companies with large treasury asset holdings remain eligible for index inclusion. Any final decision could trigger index rebalancing by funds that track MSCI benchmarks, which may lead to material trading flows in the stocks involved. Other companies with...
NYSE:CCS
NYSE:CCSConsumer Durables

Century Communities (CCS) Acquires 45 Townhomes In Santa Ana

Century Communities (NYSE: CCS) acquired the Harbor Pointe 45 townhome project in Santa Ana from City Ventures, adding a fully entitled and improved community in Southern California. The project includes moderate income, affordable floor plans aimed at expanding access to attainable for sale housing in a key market. The acquisition underscores Century Communities' focus on growing its for sale housing footprint with an emphasis on affordability. Investors following Century Communities' move...
NYSE:SLG
NYSE:SLGOffice REITs

SL Green Realty (SLG) Loses Worldwide Plaza Management Rights Amid Foreclosure Fight Is the Core Thesis Intact?

SL Green Realty recently lost property management of the 49-story Worldwide Plaza office tower in Midtown Manhattan after the property was placed into court-supervised receivership amid foreclosure and legal disputes involving senior lenders and Extell Development. This change hands day-to-day control of a high-profile asset to Cushman & Wakefield and underscores ongoing operational and legal pressures in SL Green’s core New York office portfolio. We’ll now examine how losing Worldwide...