U.S. Stock News

NYSE:ONON
NYSE:ONONLuxury

On Holding (ONON) Stock Looks Like A Bargain While Broader Checks Stay Mixed

On Holding stock has fallen sharply year to date, yet several valuation checks suggest the current share price may sit well below an estimate of intrinsic value based on discounted future cash flows and market multiples. The share price is down 39.3% year to date, which means recent weakness is a central part of the story for anyone looking at On Holding today. Expectations for the brand to keep converting revenue into cash flow can support the case for a recovery, while any slowdown in...
NYSE:CNH
NYSE:CNHMachinery

CNH Industrial (CNH) Could Be 11% Undervalued As Bourgault Alliance Draws Investor Focus

What the Bourgault alliance means for CNH Industrial stock CNH Industrial (NYSE:CNH) has drawn fresh investor attention after announcing a new alliance with Bourgault Industries. The move centres on co branded seeding equipment and wider distribution in key agricultural markets. For investors watching the bigger picture, CNH Industrial’s recent share price momentum looks constructive, with a 30 day share price return of 15.41% and a year to date share price return of 26.52%, while the 3 year...
NYSE:TFIN
NYSE:TFINBanks

Can Triumph Financial (TFIN) Keep Trading At A Premium After A 16% Gain?

Triumph Financial has delivered a 15.9% gain over the past year, yet the stock currently screens as expensive on broader valuation checks, which may give some investors pause after this advance. With the value score sitting at the low end and the market multiple framework pointing toward an overvalued read, the recent share price strength now meets a more cautious valuation backdrop. Over the past 12 months, Triumph Financial is up 15.9%, which suggests recent holders have been rewarded even...
NYSE:PSN
NYSE:PSNProfessional Services

Parsons (PSN), What Is Behind The Fresh Attention?

Parsons (PSN) has recently secured a cluster of US government contracts across missile defense, space, intelligence, maritime ISR, airport infrastructure, and water cybersecurity. This gives investors fresh information about the company’s project pipeline and revenue visibility. Despite the contract wins, Parsons’ share price is down 21.8% year to date and the 1 year total shareholder return is down 39.3%. However, a 10% 1 month share price gain hints that sentiment may be stabilising as...
NYSE:GAP
NYSE:GAPSpecialty Retail

Gap (GAP) Lifts Outlook And Buybacks, Is The Stock Still Below Fair Value?

Gap (GAP) updated investors on August 27 with second quarter results, a higher full year earnings outlook, fresh guidance for the third quarter, and progress on its recently announced share repurchase program. Gap shares have been volatile around the earnings release, with a 1 day share price return of down 4.98% after a 7 day gain of 9.58% and a 30 day share price return of 11.05%. Despite a year to date share price decline of 11.43%, longer term total shareholder returns of 4.48% over 1...
NasdaqGS:DBX
NasdaqGS:DBXSoftware

Dropbox (DBX) Stock Still Looks Like A Bargain On Earnings

Dropbox stock has logged a strong year to date gain, yet valuation checks still point to a company that screens cheap rather than fully priced in. The share price is up 30.7% year to date, which means recent buyers are already sitting on sizeable gains and new investors need to think carefully about what is already reflected in the price. Expectations for steady paid user monetisation and disciplined cost control can support the current market view, while any slowdown in adoption of higher...
NYSE:OPY
NYSE:OPYCapital Markets

Is Oppenheimer’s Municipal Leadership Expansion Quietly Reframing Its Competitive Edge in Public Finance (OPY)?

Oppenheimer & Co. Inc. recently expanded its Public Finance leadership by hiring Bruce Rideaux as Managing Director and elevating Lauren Carter to Head of Negotiated Underwriting, while Elizabeth Coolidge’s election to the MSRB Board underscores the franchise’s growing profile. Alongside these moves, the firm has grown senior-managed negotiated par to a very large multiple of 2023 levels, signaling meaningful momentum in its municipal finance platform and deepening specialization in...
NYSE:LAZ
NYSE:LAZCapital Markets

Is Lazard (LAZ) A Bargain As Options Volatility Signals Rising Uncertainty?

Options Market Signals Rising Uncertainty Around Lazard Stock Recent options activity in Lazard (LAZ) has drawn attention, with the September 18, 2026 $20 put showing some of the highest implied volatility across equities. This pricing suggests that options traders are positioning for a sizable move in the share price. At a share price of US$43.23, Lazard has seen short term pressure, with the share price declining over the past week and quarter. The 1 year total shareholder return is down...
NasdaqGS:URBN
NasdaqGS:URBNSpecialty Retail

Urban Outfitters (URBN) Could Be 7% Below Fair Value On Record Q2 Results

Why Urban Outfitters Stock Is Back in Focus After Record Q2 Results Urban Outfitters (URBN) is back on many watchlists after record second quarter net sales and a sharp year over year jump in earnings, supported by growth in its Nuuly rental segment. For investors, the latest report matters because it combines headline revenue milestones with stronger profitability metrics. The company also confirmed completion of a multi year buyback program, which may influence how you think about per share...
NasdaqGS:NVAX
NasdaqGS:NVAXBiotechs

Novavax (NVAX) Could Be 34% Overvalued Following XFG Vaccine Approvals

Novavax (NVAX) is back in focus after announcing that partners secured approvals for an updated Nuvaxovid formulation targeting the SARS-CoV-2 XFG variant for the 2026-2027 vaccination season in the U.S., EU and Japan. The approvals have arrived as Novavax shares trade at US$9.37, with a 30-day share price return of 28.01% and a year-to-date share price return of 31.42%. However, the stock is still down over the past quarter, and the 5-year total shareholder return of 96.27% reflects a steep...
NasdaqGS:KALU
NasdaqGS:KALUMetals and Mining

Kaiser Aluminum (KALU) Stock May Trade At A Discount As Returns Shine But Broader Checks Stay Mixed

Kaiser Aluminum stock has delivered strong share price gains over the past few years, while the latest valuation checks point to a mixed picture rather than a clear bargain or clear excess. With the shares recently closing at US$158.78, investors are weighing solid past returns against signals that are not unanimously cheap or expensive. The stock has returned about 136.5% over the past three years, which puts extra focus on whether current pricing still leaves enough room for attractive...
NasdaqGS:ONC
NasdaqGS:ONCBiotechs

BeOne Medicines (ONC) Stock Looks Expensive After A 72% Run

BeOne Medicines has delivered a strong 72.1% share price gain over the past three years, yet current checks flag the stock as screening on the expensive side based on market multiples and a mixed overall value score. For investors, that raises the question of whether recent fundamental milestones are already largely reflected in the current price. A 72.1% return over three years points to strong shareholder gains, which can limit the margin of safety if expectations stay high. Recent...
NasdaqGS:IRDM
NasdaqGS:IRDMTelecom

Iridium Communications (IRDM) Could Be 12% Overvalued As Cash Flow Views Split

Iridium Communications stock performance snapshot Iridium Communications (IRDM) trades at US$46.98 as of the last close, following a mixed recent run. The stock is slightly higher over the past day and roughly flat over the past week. Over the past month, Iridium Communications has declined around 1%. Over the past 3 months the share price is down about 4%, while its 1 year total return is close to 95% and the year to date figure is about 165%. For you as a shareholder, the picture is of a...
NYSE:MPC
NYSE:MPCOil and Gas

Marathon Petroleum (MPC) Stock Could Be 3% Overvalued On Energy Crunch Profits

Marathon Petroleum has delivered very strong share price gains over the past few years, yet current valuation checks suggest the stock now trades close to an intrinsic value estimate rather than at a clear discount. After this run, the question for you is whether the recent price strength still leaves enough valuation support. Over the past 5 years the stock has returned very roughly 7x, which puts extra focus on whether recent cash flows can justify that step up in value. Refining profits...
NasdaqGS:LKQ
NasdaqGS:LKQRetail Distributors

LKQ (LKQ) Stock Looks Like A Bargain While Its Returns Stay Weak

LKQ stock has had a weak share price run over recent years, yet the broader valuation checks still point to the shares looking cheap on several measures. That mix of a softer track record and a positive value read will be the focus for investors trying to judge whether the current price around US$25.10 offers enough compensation for the risks. Over the past 3 years the share price has declined about 46%, which means the market has already reset expectations materially. The key potential...
NasdaqGS:NWPX
NasdaqGS:NWPXConstruction

NWPX Infrastructure (NWPX) Looks Fully Valued On A $109 Fair Value View

NWPX Infrastructure (NWPX) recently rebranded from Northwest Pipe Company in June 2025, a shift that draws renewed focus to how the stock’s recent performance aligns with its water-focused infrastructure business. The share price of NWPX Infrastructure has eased in the short term, with a 1-day share price return that declined 1.88% and a 30-day share price return down 10.69%. However, the year-to-date share price return of 74.39% and a 5-year total shareholder return of 327.04% point to...
NYSE:OVV
NYSE:OVVOil and Gas

Why Ovintiv (OVV) Is Getting Fresh Attention Today

Ovintiv’s latest acquisition update and why it matters for investors Ovintiv (OVV) has put fresh attention on its stock after updating investors on its 2026 ground game acquisition program, outlining more than 60 transactions aimed at expanding acreage and drilling inventory. The company plans to add about 41,000 net acres across its Montney and Permian positions for roughly US$460 million. This program also brings 240 net 10,000 foot equivalent well locations into Ovintiv’s drilling...
NYSE:IOT
NYSE:IOTSoftware

3 US Growth Stocks With Long Duration Tech Exposure Retail Investors Should Screen

When the U.S. Treasury talks about buying back more long-term bonds, it can quietly rewrite the script for growth-focused stocks. Shifts in long-term yields can reshape how investors value future cash flows, which may open gaps between stocks that are well positioned and those that are not. This article walks through three large-cap U.S. growth and technology stocks that are closely exposed to this rate story. The three stocks below are just a starting sample. The full screen surfaced 48 more...
NYSE:EL
NYSE:ELPersonal Products

Return To Profitability And New EPS Guidance Might Change The Case For Investing In Estée Lauder (EL)

In August 2026, The Estée Lauder Companies reported fourth-quarter sales of US$3,627 million and a net loss of US$116 million, while full-year sales reached US$15.05 billion with net income of US$182 million, alongside new EPS guidance of US$2.52–US$2.85 for fiscal 2027 and a US$0.35 quarterly dividend declaration. The shift from a prior-year full-year net loss to positive net income, while still posting a quarterly loss, highlights a business that is improving but not yet consistently...
NasdaqGM:INOD
NasdaqGM:INODProfessional Services

Innodata (INOD) On Revenue Growth And AI Execution With Valuation In Focus

Innodata (INOD) has attracted fresh attention after reporting a 58% year over year revenue increase and reiterating its revenue growth outlook of at least 40% through 2026, which highlights investor focus on execution in AI services. Innodata’s share price has pulled back recently, with a 1-month share price return down 10.2% and a 3-month share price return down 50.6%, even though the year-to-date share price return is positive at 6.47%. At the same time, long term total shareholder returns...
NasdaqGS:MAR
NasdaqGS:MARHospitality

Marriott International (MAR) Stock Stays Pricey On Cash Flow And Earnings

Marriott International stock has delivered strong gains over the past five years, yet both the Discounted Cash Flow (DCF) intrinsic value estimate and the market multiple checks currently point to an expensive valuation relative to those fundamentals. Recent share price weakness adds another layer for investors to weigh against these richer valuation signals. Over 5 years, Marriott International has returned 165.9%, which sets a high bar for any further upside based on valuation...
NYSE:NAT
NYSE:NATOil and Gas

Nordic American Tankers’ Sharp Profit Rebound Might Change The Case For Investing In NAT

Nordic American Tankers Limited recently reported its second-quarter 2026 results, posting net income of US$68.34 million versus a small net loss a year earlier, with basic and diluted earnings per share from continuing operations of US$0.32. For the first half of 2026, the company’s net income rose to US$114.63 million and earnings per share reached US$0.54, underscoring a sharp turnaround in profitability compared with the same period of 2025. We’ll now examine how this sharp rebound in...
BATS:CBOE
BATS:CBOECapital Markets

Cboe Global Markets (CBOE) Could Be 24% Overvalued On A Fair Value Debate

Cboe Global Markets (CBOE) has drawn investor attention after its stock closed at US$300.20, with recent returns mixed over the past week, month, and past 3 months, yet positive over longer periods. Despite the recent pullback, with the 1-day share price return down 3.30% and the 30-day share price return down 3.23%, Cboe Global Markets still shows momentum over longer periods, supported by a 20.99% year to date share price return and a 1-year total shareholder return of 28.53%. Scan how Cboe...
NYSE:ZBH
NYSE:ZBHMedical Equipment

Why Zimmer Biomet Holdings (ZBH) Is Getting Attention Today

Zimmer Biomet Holdings (ZBH) drew fresh attention after its board approved a third-quarter 2026 cash dividend of $0.24 per share, providing investors with a specified payout timeline and record date. The dividend decision comes as Zimmer Biomet Holdings trades at US$100.04, with a 90 day share price return of 19.45% and a 30 day share price return of 6.50%. However, the 1 year total shareholder return is down 4.72% and the 5 year total shareholder return is down 26.62%, suggesting that recent...