U.S. Residential REITs Stock News

NYSE:HLI
NYSE:HLICapital Markets

Houlihan Lokey (HLI) Tests Its Growth Story After Buyback And Dividend Update

Houlihan Lokey (HLI) recently completed a multi year share repurchase program alongside its latest quarterly results and dividend declaration. Together, these moves give you a clearer picture of how the company is currently allocating capital. See our latest analysis for Houlihan Lokey. Houlihan Lokey’s recent buyback, softer first quarter earnings and affirmed dividend come against a weaker share price backdrop, with the stock down 17.48% on a 90 day share price return and 30.03% year to...
NasdaqGS:CNXC
NasdaqGS:CNXCProfessional Services

Concentrix (CNXC), Why Is The Company Drawing Fresh Investor Attention?

Why Ai4 2026 Put Concentrix Back on Investor Radar Concentrix (CNXC) moved into the AI spotlight at the Ai4 2026 conference in Las Vegas, where management walked enterprise buyers through its Generative AI Playbook and showcased its proprietary iX customer experience platform. The event timing matters for investors following Concentrix stock. The company used a high profile AI forum to explain how iX connects people, data and workflows, which can shape how you think about its long term AI...
NasdaqGS:USLM
NasdaqGS:USLMBasic Materials

Can United States Lime & Minerals (USLM) Justify Its Valuation As Earnings And Dividend Land?

Why the latest earnings and dividend matter for United States Lime & Minerals investors United States Lime & Minerals (USLM) just reported second quarter 2026 results alongside a fresh quarterly dividend declaration. This gives investors new information on both the company’s recent performance and its ongoing cash return policy. On July 29, 2026, the company reported second quarter sales of US$99.13 million and net income of US$34.51 million, with diluted earnings per share from continuing...
NYSE:CXW
NYSE:CXWCommercial Services

CoreCivic (CXW) Stock Jumped, What Is Behind The Move?

CoreCivic (CXW) is back in focus after its second quarter update, which combined higher than expected earnings, a sharp increase in full year profit guidance linked to facility sales, and a larger share buyback authorization. See our latest analysis for CoreCivic. The recent earnings beat, higher full year profit guidance linked to facility sales, and an expanded repurchase plan appear to be feeding into a strong run for CoreCivic, with a 90 day share price return of 68.37% and a 5 year total...
NYSE:TT
NYSE:TTBuilding

Did Trane’s Upgraded 2026 Outlook and Buybacks Just Recast Trane Technologies’ (TT) Investment Narrative?

In late July 2026, Trane Technologies reported second-quarter results showing higher sales and earnings year over year and raised its full-year 2026 guidance, now targeting about 11.5% reported revenue growth versus 2025 and GAAP continuing EPS of US$15.00 to US$15.10, including US$0.20 of non-GAAP adjustments. Alongside these results, the company completed a US$1.07 billion share repurchase program that reduced its share count by just over 1%, adding a capital return angle to the stronger...
NYSE:BDC
NYSE:BDCElectronic

3 Data Center Infrastructure Stocks Tied To Meta AI Spending

Meta’s renewed push into open source AI, fresh models for developers, and a new US$1b community fund for data center regions all point to one thing: the digital plumbing behind AI is back in the spotlight. For investors, that can mean fresh attention on companies tied to power, cooling, and connectivity. This article walks through three data center infrastructure stocks exposed to these Meta headlines and why they may be worth a closer look. The stocks in the article below are just a starting...
NYSE:PVH
NYSE:PVHLuxury

PVH (PVH) Affirms Dividend As Its Valuation Story Stays In Focus

Dividend decision puts PVH in focus for income oriented investors PVH (PVH) has affirmed a quarterly cash dividend of $0.0375 per share, payable on September 23, 2026, to shareholders of record on September 2, 2026. This decision provides investors with new information about the company’s capital return approach. See our latest analysis for PVH. PVH’s recent dividend decision comes after a period of solid momentum, with a 30 day share price return of 9.78% and a year to date share price...
NYSE:AESI
NYSE:AESIEnergy Services

How Investors Are Reacting To Atlas Energy Solutions (AESI) Expanding Autonomous Fleet Amid Wider Q2 Losses

Atlas Energy Solutions Inc. has reported past second-quarter 2026 results showing sales of US$26.97 million and revenue of US$293.18 million, alongside a wider net loss of US$25.10 million, while also expanding its autonomous truck operations in the Permian Basin with Kodiak AI, Inc. to a second load-out point. The combination of higher sales, deeper losses, and a plan to grow its driverless fleet to 100 trucks by mid-2027 highlights both operational progress and the cost and execution...
NYSE:CWEN
NYSE:CWENRenewable Energy

How Investors May Respond To Clearway Energy (CWEN) Earnings Beat, Dividend Hike And New Funding Plans

In early August 2026, Clearway Energy reported second-quarter 2026 results showing higher sales and net income than a year earlier, raised full-year earnings guidance, increased its quarterly dividend to US$0.4750 per Class C share, and filed both a US$100 million at-the-market equity program and an omnibus shelf registration for multiple securities. Together, the stronger quarterly performance, higher dividend, and added financing flexibility highlight management’s focus on funding growth...
NYSE:ALSN
NYSE:ALSNMachinery

Upgraded 2026 Outlook and Off‑Highway Deal Accretion Could Be A Game Changer For Allison Transmission (ALSN)

In the second quarter of 2026, Allison Transmission Holdings, Inc. reported US$1,566 million in sales, US$181 million in net income, a US$2 million impairment on long-lived assets tied to certain electrified products, and continued its long-running buyback by repurchasing 379,676 shares for US$46 million. At the same time, the company raised its full-year 2026 guidance, projecting consolidated net sales of US$5,800 million to US$6,000 million and net income of US$600 million to US$700...
NYSE:HRL
NYSE:HRLFood

Is Hormel Foods (HRL) Fairly Valued On Its CEO Change?

Hormel Foods (HRL) shares are in focus after the company announced that President John Ghingo will become chief executive officer in late October 2026, succeeding interim CEO Jeff Ettinger. See our latest analysis for Hormel Foods. The CEO transition news lands after a mixed period for Hormel Foods, with the share price rising 23.98% over the past 90 days but the 1 year total shareholder return declining 7.87%. This suggests recent momentum is improving while longer term returns remain...
NYSE:KBH
NYSE:KBHConsumer Durables

Is KB Home (KBH) Fully Valued On Its New Community Launches?

KB Home (KBH) is drawing fresh attention after announcing several new communities in California and Nevada, including Aurora at One Lake in Fairfield, Poppy and Quinn in Valencia, and Elowen in Las Vegas. See our latest analysis for KB Home. The fresh community launches appear to be coinciding with stronger interest in KB Home, with a 90 day share price return of 24.85% and a 5 year total shareholder return of 46.25% pointing to positive longer term momentum. If you are curious about what...
NYSE:JBTM
NYSE:JBTMMachinery

Does JBT Marel’s (JBTM) Steady Guidance And Buybacks Reveal A New Capital Allocation Playbook?

JBT Marel Corporation recently reported second-quarter 2026 results showing higher sales of US$981 million and net income of US$28 million, reaffirmed full-year 2026 revenue guidance of US$3.99 billion to US$4.07 billion with GAAP diluted EPS of US$4.20 to US$4.70, recognized US$33 million of intangible asset impairments, completed a US$26 million share buyback of 200,000 shares, and previously declared a quarterly cash dividend of US$0.10 per share that was paid on August 31, 2026 to...
NasdaqGS:NXST
NasdaqGS:NXSTMedia

Is Nexstar Media Group (NXST) Undervalued On Strong Q2 2026 Earnings?

Nexstar Media Group (NXST) drew fresh attention after reporting second quarter 2026 results, with higher sales, net income and earnings per share compared with a year earlier, alongside a recently affirmed quarterly cash dividend. See our latest analysis for Nexstar Media Group. Nexstar Media Group's latest earnings and dividend update arrives after a mixed stretch for the stock. A 1-month share price return of 11.34% contrasts with a share price that is down 7.21% year to date and a 1-year...
NYSE:J
NYSE:JProfessional Services

How Investors May Respond To Jacobs Solutions (J) Revenue Gain, Profit Dip, And LA Metro EV Contract

Jacobs Solutions Inc. has reported past third-quarter 2026 results showing sales of US$4,076.41 million, up from US$3,031.77 million a year earlier, while quarterly net income decreased to US$136.55 million from US$179.61 million, alongside a declared quarterly dividend of US$0.36 per share. At the same time, Jacobs was selected by LA Metro and Clark Construction to design and build advanced zero-emission bus charging infrastructure ahead of the 2028 Olympic and Paralympic Games,...
NYSE:WRB
NYSE:WRBInsurance

W. R. Berkley (WRB) Could Be 5% Overvalued As Leadership Changes Raise Questions

Leadership changes at Berkley Re and what they might mean for W. R. Berkley stock W. R. Berkley (WRB) has reshaped leadership across its reinsurance operations, appointing Daniel R. Westcott as executive vice president and naming Robert R. Coyne, Jr. and Robert C. Hewitt to new roles at Berkley Re. See our latest analysis for W. R. Berkley. At a last close of US$71.60, W. R. Berkley’s share price has eased slightly over the past month, although the 90 day share price return of 7.57% and a 5...
NYSE:NE
NYSE:NEEnergy Services

What Noble (NE)'s Earnings Miss, Lowered Outlook and Payouts Mean For Shareholders

Noble Corporation plc recently reported second-quarter 2026 results showing revenue of US$719.69 million and a net loss of US$36.68 million, while also completing a share repurchase program totaling 1,048,262 shares for US$29.82 million and affirming a US$0.50 quarterly dividend for payment in September 2026. The shift from profit to loss, combined with slightly reduced full-year 2026 revenue guidance to US$2.8–US$2.9 billion, highlights pressure on Noble’s current operations even as it...
NasdaqGM:ALVO
NasdaqGM:ALVOBiotechs

Did FDA’s Positive Reykjavik Plant Outcome Just Shift Alvotech’s (ALVO) Biosimilar Expansion Narrative?

Alvotech announced that the U.S. Food and Drug Administration has closed its May 2026 inspection of the company’s Reykjavik, Iceland manufacturing facility with a Voluntary Action Indicated classification, confirming that the actions taken have addressed the FDA’s observations and allowing the company to continue advancing multiple Biologics License Applications for its biosimilar candidates. This outcome, together with recent resubmissions and acceptance of BLAs for biosimilars to Simponi,...
NYSE:BRK.B
NYSE:BRK.BDiversified Financial

What Is Berkshire Hathaway (BRK.B) Signaling With Its Biggest Buyback Since 2021?

Berkshire Hathaway (NYSE:BRK.B) reported Q2 2026 results that included a clear shift in capital allocation under new CEO Greg Abel. The company executed significant share buybacks in Q2 2026, marking its largest quarterly repurchase since 2021. Berkshire initiated a sizable new equity position in Alphabet and returned to being a net buyer of stocks using part of its large cash balance. This renewed appetite for deploying cash into equities points to a broader theme of capital return and...
NYSE:SLB
NYSE:SLBEnergy Services

SLB (SLB) Stock May Look Below Fair Value On Cash Flow But About Right On Earnings

SLB has more than doubled investors' money over the past five years, yet its current share price near US$50.53 still sits well below an intrinsic value estimate from a Discounted Cash Flow (DCF) model that points to a 43.6% discount. With that backdrop, recent headlines around offshore stimulation work with Equinor and AI driven drilling operations with ADNOC are being weighed against a reported profit decline linked to disruptions in the Middle East. SLB has returned 103.0% over 5 years,...
NasdaqGS:VNOM
NasdaqGS:VNOMOil and Gas

3 Energy Stocks Getting Attention As Strait Of Hormuz Risks Lift Oil Prices

Oil prices are in the headlines again as Iran links reopening the Strait of Hormuz to US concessions, and that ripples straight through inflation expectations, interest rate worries, and energy sector stocks. For investors, these kinds of shocks can reshuffle winners and laggards quickly. This article walks through how this backdrop connects to three large cap energy stocks in our screener that appear positively exposed to the latest Hormuz story. The stocks in the article below are just a...
NasdaqGM:VITL
NasdaqGM:VITLFood

US Consumer Staples Stocks That Could Hold Up Longer Under High Rates

With the U.S. unemployment rate sitting at 4.1% and inflation still above the Fed’s 2% target, investors are watching how longer lasting tight monetary policy could ripple through everything from paychecks to pantry staples. That mix can reshape which consumer stocks feel pressure and which hold up. This article breaks down three large consumer staples stocks exposed to these trends and why they may deserve a closer look now. The three stocks highlighted below are just a sample. The full...
NYSE:CRBG
NYSE:CRBGDiversified Financial

Corebridge Financial (CRBG) Is Up 7.6% After Q2 Profit, Capital Returns And Annuity Expansion

In August 2026, Corebridge Financial, Inc. declared a US$0.25 per-share common dividend, completed a US$5.96 billion share repurchase program after buying back an additional US$300 million in stock, and reported second-quarter 2026 results showing revenue of US$3,914 million and net income of US$2 million compared with a net loss a year earlier. Alongside the earnings improvement, Corebridge expanded its Power Series of Index Annuities with the Protected Growth Benefit and preset allocation...
NasdaqGS:ANAB
NasdaqGS:ANABBiotechs

Is AnaptysBio (ANAB) Undervalued After Its Recent Share Price Swings?

AnaptysBio (ANAB) has drawn investor attention after recent share price moves, with the stock last closing at US$56.61. The company focuses on immunology therapeutics for autoimmune and inflammatory diseases. See our latest analysis for AnaptysBio. Recent trading has been choppy. The stock has a 1-day share price return of 3.36% and 7-day share price return of 5.50%. However, it is down 14.73% over 30 days, while the year-to-date share price return is 25.94% and the 1-year total shareholder...