U.S. Paper and Forestry Products Stock News

NasdaqGM:AIP
NasdaqGM:AIPSoftware

Arteris (AIP) Stock Revenue Growth Collides With Widening Losses

Arteris stock came into this earnings print already on the back foot, down over the past month, and the latest 5.8% slide to US$29.78 shows investors were not in the mood to be generous. The headline, however, is not weak demand. Quarterly revenue reached US$24.1m, with record annual contract value and royalties pointing to solid usage of its chip networking intellectual property. The sting is on the income statement. Losses widened, with basic earnings per share for the quarter deeper in the...
NYSE:CON
NYSE:CONHealthcare

Concentra (CON) Stock Climbs As Margin Expansion Sharpens The Bull Case

The market did not tiptoe into Concentra Group Holdings Parent’s Q2 print. The stock jumped 11.5% to about $34, building on a strong 90 day run, after the company put up the kind of margin performance investors had been waiting to see. The headline is margin power. Revenue reached $606.0m while adjusted EBITDA of $140.9m translated into a 23.3% margin that expanded meaningfully versus last year. Adjusted EPS landed at $0.52. For an occupational health operator where small shifts in efficiency...
NYSE:PDM
NYSE:PDMOffice REITs

Will Modest Revenue Growth and a Smaller Net Loss in Q2 2026 Change Piedmont Realty Trust's (PDM) Narrative

Piedmont Realty Trust, Inc. has reported its second-quarter 2026 results, with sales of US$137.27 million and revenue of US$144.12 million, while reducing its net loss to US$11.1 million and basic loss per share from continuing operations to US$0.09. Although the company remained loss-making for the quarter and first half of 2026, the combination of modest revenue growth and a smaller net loss suggests some operational improvement compared with the same periods a year earlier. We’ll now...
NYSE:HAYW
NYSE:HAYWBuilding

Hayward (HAYW) Stock May Be 8% Below Fair Value Today

Hayward Holdings stock has recovered modestly in the short term, yet over five years shareholders are still facing a decline. Current valuation checks suggest the shares now sit closer to fair value than to a clear bargain or obvious premium. Hayward Holdings has delivered a decline of 29.8% over the past 5 years, which raises questions about how much of its long term potential is already reflected in the current share price. The company’s future cash generation from its installed base of...
NYSE:CCI
NYSE:CCISpecialized REITs

Will Crown Castle’s (CCI) Higher AFFO Guidance and Dividend Steady Payout Change Its Investment Narrative?

Crown Castle Inc. recently declared a past quarterly cash dividend of US$1.0625 per common share, payable on September 30, 2026, to stockholders of record as of September 15, 2026, with future payouts remaining subject to Board approval. This dividend decision came shortly after Crown Castle lifted its 2026 AFFO guidance following a Q2 2026 earnings beat, even as revenues declined and analyst opinions remained mixed. We’ll now examine how Crown Castle’s higher 2026 AFFO guidance, despite...
NYSE:PBF
NYSE:PBFOil and Gas

Why PBF Energy (PBF) Is Down 14.6% After Swinging To Q2 Profit And Completing Buybacks

PBF Energy reported past-second-quarter 2026 results with production rising to 893,500 barrels per day and sales reaching US$11,678.3 million, alongside a shift from a small net loss to US$906.4 million in net income, while affirming a US$0.275 quarterly dividend and outlining third-quarter throughput guidance of 900,000 to 960,000 barrels per day. The completion of a roughly US$1.02 billion share repurchase program covering 19.61% of shares, combined with higher throughput and confirmed...
NYSE:NEE
NYSE:NEEElectric Utilities

NextEra Energy (NEE) Stock Looks Above Fair Value As Shares Rose 34%

NextEra Energy's share price has gained 34.2% over the past three years, yet current valuation checks send mixed signals, with the Dividend Discount Model (DDM) implying the stock trades at a premium to its intrinsic value while market multiples still screen it as undervalued. Over the past three years, NextEra Energy has returned 34.2%, which puts extra focus on whether recent gains already reflect its long term prospects. The planned Paducah American Energy Hub and the proposed Dominion...
NasdaqGS:RIVN
NasdaqGS:RIVNAuto

Is Rivian Automotive (RIVN) Stock Rich After Strong Q2 Sales?

Rivian Automotive stock has delivered a 35.7% return over the past year, yet the company still screens on the expensive side with a low overall value score and an overvalued verdict on market multiples. For investors, that mix raises questions about how much of the recent progress and future expectations is already reflected in the current share price. Rivian Automotive's 35.7% one year gain signals renewed optimism around the business, even though shorter term returns this year have been...
NYSE:LEU
NYSE:LEUOil and Gas

Centrus Energy (LEU) Stock Rallies On Backlog Strength Despite Profit Pressure

Centrus Energy stock jumped 7.5% in the first trading session after earnings, a sharp move for a company already priced on a rich 78.7x P/E multiple. The market is treating this as a validation of the story, not just a solid quarter. The emotional driver is clear. Investors are latching on to Q2 revenue of US$176.1m and adjusted net income of US$38.7m as proof that demand for enriched uranium is translating into real cash flow. The question now is whether that enthusiasm holds once you set...
NasdaqGS:RUN
NasdaqGS:RUNElectrical

Solar Tariffs Put Shoals Technologies Sunrun And Canadian Solar Stock In Focus

New US tariffs on imported solar panels and key components have turned a policy headline into a real money question for investors. Some stocks now face higher costs and squeezed margins, while others may gain an edge as supply chains adjust. This article explains how those shifts may affect different companies and highlights 3 stocks that appear more exposed to potential downside risk from these trade changes than to possible benefits. Shoals Technologies Group (SHLS) Overview: Shoals...
NasdaqGS:LSCC
NasdaqGS:LSCCSemiconductor

The Bull Case For Lattice Semiconductor (LSCC) Could Change Following Upbeat Q3 Outlook With AMI Boost - Learn Why

Lattice Semiconductor reported past second-quarter 2026 results showing sales of US$201.08 million and net income of US$19.36 million, and issued third-quarter 2026 revenue guidance of US$245 million to US$265 million including around two months of AMI contribution. The combination of record quarterly performance, early benefits from the AMI acquisition, and upcoming investor forum participation highlights how execution and integration are shaping Lattice’s current profile. Now we’ll examine...
NYSE:TWO
NYSE:TWOMortgage REITs

Should Two Harbors’ Broad Index Removals Amid Q2 Profit Swing Require Action From TWO Investors?

In late July 2026, Two Harbors Investment Corp. was removed from a wide range of Russell and S&P equity indices, including the Russell 2000, Russell 3000 and S&P 600, following the latest index rebalancing actions. This broad index exit came just days after the company reported a swing from a US$259.04 million net loss a year earlier to US$62.25 million in net income for the second quarter of 2026, highlighting a disconnect between improving reported earnings and index inclusion...
NYSE:AMR
NYSE:AMRMetals and Mining

Alpha Metallurgical Resources (AMR) Stock Looks Fully Valued After Weak Results

Alpha Metallurgical Resources has had a very strong run over the past five years, yet the current checks suggest the stock now sits closer to fairly priced than clearly cheap, even after a recent spell of share price volatility. Around 338.2% total return over five years highlights how much value the market has already recognised in Alpha Metallurgical Resources. Recent news of a loss and reduced sales expectations can weigh on confidence in future cash generation, while higher reported...
NasdaqGS:IBRX
NasdaqGS:IBRXBiotechs

Why ImmunityBio (IBRX) Is Up 6.6% After ANKTIVA’s UAE Expansion and Mixed Q2 Results – And What's Next

In the past week, ImmunityBio, Inc. reported second-quarter 2026 results showing revenue of US$51.24 million versus US$26.43 million a year earlier, alongside a wider net loss of US$230.38 million and basic loss per share from continuing operations of US$0.22, up from US$0.10. A few days earlier, the company received broad UAE marketing authorization for its immunotherapy ANKTIVA across bladder and lung cancer indications, expanding its regulatory footprint to 34 countries and highlighting...
NYSE:BFLY
NYSE:BFLYMedical Equipment

Butterfly Network (BFLY) Is Up 24.2% After Raising 2026 Guidance And Narrowing Losses - Has The Bull Case Changed?

In late July 2026, Butterfly Network, Inc. reported second-quarter 2026 results showing revenue of US$32.61 million and a smaller net loss of US$12.91 million compared with the prior year, while also raising its revenue guidance for the third quarter and full year 2026. Management also highlighted growing momentum in Embedded partnerships, enterprise point-of-care ultrasound and upcoming Home and Community Care revenues, signaling increasing traction for its broader platform...
NYSE:ALB
NYSE:ALBChemicals

Why Albemarle (ALB) Is Up 11.5% After Q2 Earnings Beat And Raised 2026 Guidance

Albemarle Corporation reported past second-quarter 2026 results showing sales of US$1,743.31 million and net income of US$479.96 million, a sharp turnaround from the prior year’s loss per share. The quarter underlined how tighter lithium markets and stronger energy storage demand significantly improved profitability, even as the company managed operational disruptions such as the Talison CGP3 fire. We’ll now examine how Albemarle’s earnings beat and raised 2026 guidance could influence its...
NYSE:EAT
NYSE:EATHospitality

Brinker International (EAT) Stock Could Be 4% Above Fair Value On Cash Flow

Brinker International’s stock has delivered an exceptional three year return, yet the current intrinsic value estimate from a Discounted Cash Flow (DCF) model and the earnings based multiples both point to a share price that now looks roughly in line with fundamentals rather than obviously cheap. Over the past three years, Brinker International has returned very close to 5x for shareholders, which puts extra focus on whether the current price still leaves much room for error. Future cash...
NasdaqGS:OMCL
NasdaqGS:OMCLMedical Equipment

Omnicell (OMCL) Could Be 40% Undervalued Following Strong Q2 Earnings And Guidance Raised

Omnicell (OMCL) stock was in focus after the company reported second quarter 2026 earnings on July 30, showing higher revenue and net income, and issued updated full year revenue guidance. See our latest analysis for Omnicell. Omnicell’s share price has climbed over the past week but is still down 18.5% year to date, while the 1 year total shareholder return of 19.4% contrasts with weaker 3 and 5 year total returns. This hints that recent momentum is recovering off a low base after the...
NYSE:BY
NYSE:BYBanks

Byline Bancorp (BY) Stock Could Be 40% Undervalued On Fintech Banking News

Byline Bancorp stock has delivered an 83.6% return over the past three years, yet its current valuation checks send a mixed signal about how much upside might still be on the table. The intrinsic value estimate from the Excess Returns model points to the shares trading at a meaningful discount, while the broader scorecard and market multiples suggest pricing is closer to fair than outright cheap. Byline Bancorp has returned 83.6% over three years, which puts recent gains front and center in...
NYSE:ABM
NYSE:ABMCommercial Services

ABM (ABM) Stock Trades At A Reasonable Price Despite Its 14% Run

ABM Industries has gained 13.7% year to date, while a fresh Discounted Cash Flow (DCF) intrinsic value estimate points to the stock trading at a steep discount of about 49.7% to that calculation, which sits alongside a broader set of checks that flag a more mixed picture. Year to date the stock is up 13.7%, which means recent buyers are already sitting on a solid gain before considering what the current price implies about the future. The new robotics pilot at LaGuardia Terminal B can...
NasdaqGM:KRUS
NasdaqGM:KRUSHospitality

3 Service Stocks Worth Watching As Service Inflation Stays High

Service prices are still rising at 4.7% while overall inflation sits at 1.2% and food and energy costs are easing. That mix reshapes household budgets and can shift where money flows across the service sector. For investors, it creates both potential winners and risks hiding in plain sight. This article walks through three large service sector stocks exposed to this inflation story and explains what their latest backdrop could mean for your watchlist. The three service sector stocks covered...
NasdaqGS:NWPX
NasdaqGS:NWPXConstruction

Will Strong Q2 EPS Jump and Higher Profitability Change NWPX Infrastructure's (NWPX) Narrative

In July 2026, NWPX Infrastructure, Inc. reported second-quarter revenue of US$159.48 million and net income of US$15.83 million, both higher than the prior-year period, and lifted first-half 2026 revenue to US$297.73 million with net income of US$26.37 million. The sharp year-over-year increase in diluted earnings per share from continuing operations, from US$0.91 to US$1.62 in the quarter, highlights materially improved profitability and operating leverage across the business. Now we’ll...
NYSE:NEM
NYSE:NEMMetals and Mining

Does Newmont (NEM) Pairing Higher Q2 Earnings With Undervaluation Recast Its Risk Reward Profile?

In its Q2 2026 results released earlier this week, Newmont reported higher year‑over‑year sales and earnings while reaffirming its full‑year production guidance of around 5.3 million ounces. At the same time, the stock screens as modestly undervalued on both discounted cash flow and earnings multiples, even as brokerage ratings and quantitative rankings send conflicting signals about its outlook. We’ll now examine how Newmont’s reaffirmed production guidance and apparent valuation discount...
NYSE:BV
NYSE:BVCommercial Services

Is BrightView Holdings (BV) Fairly Valued As Earnings And Guidance Reset Expectations?

Why BrightView Holdings earnings matter for investors now BrightView Holdings (BV) recently reported third quarter results that showed net income of $6.1 million, down from $32.3 million a year earlier, and shifted from earnings to a loss per share from continuing operations. For the first nine months of the fiscal year, BrightView Holdings moved from net income of $28.3 million to a net loss of $7.4 million. At the same time, management updated full year 2026 revenue guidance to a range of...