U.S. Residential REITs Stock News

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...
NYSE:AMTB
NYSE:AMTBBanks

Amerant Bancorp (AMTB) Names A New Risk Chief, Is It Still 9% Below Fair Value?

Amerant Bancorp (AMTB) recently appointed Yecimar Tirado Camacho as Executive Vice President and Chief Risk Officer. This leadership shift draws fresh attention to how the bank manages risk and how the stock is currently valued. See our latest analysis for Amerant Bancorp. Amerant Bancorp shares now trade at US$28.91, with the 30 day share price return of 13.37% and year to date share price return of 46.68% pointing to building momentum. The 1 year total shareholder return of 54.27% shows...
NasdaqGS:AVAV
NasdaqGS:AVAVAerospace & Defense

AeroVironment (AVAV) Shares Jumped, What Is Driving Attention Now?

AeroVironment (AVAV) has attracted fresh investor attention after a reported US$400 million U.S. Army production contract for its Locust directed energy counter drone system, alongside meaningful boardroom changes. See our latest analysis for AeroVironment. AeroVironment’s shares recently moved sharply higher, with a 1-day share price return of 9.12% and 30-day share price return of 29.15%. However, the year-to-date share price return is down 27.11% and the 1-year total shareholder return is...
NYSE:SGI
NYSE:SGIConsumer Durables

Somnigroup International (SGI) Stock May Be Below Fair Value After Credit Refinancing

Somnigroup International has delivered a 56.6% gain over the past 5 years, yet its current checks point to a mixed valuation picture, with an intrinsic value estimate from a Discounted Cash Flow (DCF) model suggesting the stock may still trade below its underlying worth, while market multiples look closer to fair. Over the last 5 years Somnigroup International shares are up 56.6%, which indicates shareholders with a longer horizon have seen solid compounding despite more recent weakness. The...
NYSE:UCB
NYSE:UCBBanks

United Community Banks (UCB) Stock May Be A Bargain Despite Its Georgia Merger

United Community Banks stock has returned 35.0% over the past three years, while the current checks suggest a mixed picture on value and an intrinsic value estimate that sits materially above the recent market price. With the shares last closing at US$35.51, the Excess Returns model indicates the stock trades at a meaningful discount to its assessed intrinsic value, even as earnings-based multiples look broadly in line with peers. Over the past three years United Community Banks has...
NYSE:SBR
NYSE:SBROil and Gas

The Bull Case For Sabine Royalty Trust (SBR) Could Change Following Stronger Output And Higher Distribution

Sabine Royalty Trust recently reported past August 2026 production results showing oil volumes of 72,119 bbls versus 54,139 bbls in the prior month and gas volumes of 1,408,574 Mcf versus 1,074,976 Mcf, alongside a higher cash distribution of US$0.619430 per unit payable on August 31, 2026. This combination of stronger recent oil and gas output and a raised distribution highlights how current asset performance is supporting higher cash payouts. We’ll now examine how the increased cash...
NasdaqGS:BSP
NasdaqGS:BSPSoftware

Is Bending Spoons (BSP) Fully Valued After Opening Its Madrid Office?

Bending Spoons (BSP) stock is drawing fresh attention after the company opened its third European office in Madrid, expanding its physical presence and recruitment reach across key technology hubs. See our latest analysis for Bending Spoons. Alongside the Madrid opening and the recent €1,490 million financing package, Bending Spoons has seen the share price at $44.45 after a 35.07% 30 day share price return and a 9.75% year to date share price return, suggesting momentum has recently picked...
NasdaqGS:SVC
NasdaqGS:SVCHotel and Resort REITs

Does Steeper Losses And Weaker Revenue Growth Change The Bull Case For Service Properties Trust (SVC)?

Service Properties Trust recently reported its second-quarter 2026 results, with revenue falling to US$420.97 million from US$503.44 million a year earlier and net loss widening to US$223.84 million from US$38.16 million. Although the six-month net loss increased to US$375.02 million, basic loss per share from continuing operations was largely unchanged at US$4.63 versus US$4.67 a year earlier, suggesting the larger loss is being spread across a bigger share base. We’ll now examine how this...
NasdaqGS:HQY
NasdaqGS:HQYHealthcare

Is HealthEquity (HQY) Stock Rich Or Reasonable Today?

HealthEquity stock has delivered a 61.0% return over the past 5 years, yet the valuation signals are split, with an intrinsic value estimate based on a Discounted Cash Flow (DCF) model pointing to meaningful upside while earnings based multiples suggest the shares screen as expensive. Over the past 5 years, HealthEquity has returned 61.0%, which puts more focus on whether the current price still offers a margin of safety. Expectations around HealthEquity's ability to convert its revenue base...
NYSE:EQH
NYSE:EQHDiversified Financial

What Is Going On With Equitable Holdings (EQH)?

Equitable Holdings earnings and buyback draw investor focus Equitable Holdings (EQH) is back in the spotlight after its second quarter 2026 earnings report showed weaker quarterly results alongside improved six month figures, paired with the completion of a multi billion dollar share repurchase program. See our latest analysis for Equitable Holdings. At a share price of US$51.52, Equitable Holdings has seen strong recent momentum, with a 30 day share price return of 9.62% and a 90 day share...
NYSE:DUK
NYSE:DUKElectric Utilities

Duke Energy (DUK) Sells Equity Units, Is The Upside Already Priced In?

Duke Energy (DUK) is back in focus after reporting second quarter 2026 earnings and outlining a sizeable capital plan that includes a public offering of 35 million equity units tied to common stock and remarketable senior notes. See our latest analysis for Duke Energy. Duke Energy shares trade at US$124.85 and the stock has edged higher in the very short term, with a 1-day share price return of 0.77% and a year to date share price return of 6.31%. The 5 year total shareholder return of 39.18%...
NYSE:JXN
NYSE:JXNDiversified Financial

Stronger Q2 Earnings And Massive Buybacks Might Change The Case For Investing In Jackson Financial (JXN)

Jackson Financial Inc. recently reported its second-quarter 2026 results, showing revenue of US$168 million versus very large revenue losses a year earlier, and net income rising to US$655 million, alongside announcing US$0.90 per-share common and US$0.50 preferred dividends plus continued execution of its multi-year share repurchase plan. With second-quarter basic earnings per share from continuing operations jumping to US$9.18 and cumulative buybacks now retiring 45.9% of shares since...
NasdaqGS:MELI
NasdaqGS:MELIMultiline Retail

MercadoLibre (MELI) Stock May Be 48% Undervalued Despite Record Revenue

MercadoLibre's share price has declined over the past year even as its Discounted Cash Flow (DCF) intrinsic value estimate sits well above the current market price, which contrasts with earnings based multiples that point to a richer valuation. That split, along with a mixed value score, puts the focus on which lens investors should rely on when judging the stock today. Over the past 3 years the stock has returned about 40.4%, which suggests long term holders have still seen meaningful gains...
NYSE:CIM
NYSE:CIMMortgage REITs

Chimera Investment (CIM) Posted A First Half Loss, Is The Undervalued Case Still Convincing?

Chimera Investment (CIM) reported a weaker first half of 2026, posting a net loss, while completing a multi year share repurchase program and signaling renewed interest in acquisitions. See our latest analysis for Chimera Investment. Chimera Investment's share price has eased in recent months, with a 30 day share price return of down 8.83% and a 90 day share price return of down 10.87%, even though the 1 year total shareholder return is positive at 2.09%. This softening coincides with weaker...
NYSE:CRC
NYSE:CRCOil and Gas

Is California Resources (CRC) Undervalued As Strong Q2 Earnings Put Its Valuation In Focus?

California Resources (CRC) drew fresh investor attention after reporting second quarter 2026 earnings, with revenue of US$1,297 million and net income of US$514 million, compared with US$978 million and US$172 million a year earlier. See our latest analysis for California Resources. Despite the strong second quarter results, California Resources’ recent share price has lost some momentum, with a 90 day share price return of 12.73% and a year to date share price return of 12.27%. However, the...
NYSE:MKL
NYSE:MKLInsurance

Markel Group (MKL) Stock Looks Near Fair Value On Strong Q2 Results

Markel Group stock has delivered a 47.2% gain over the past five years, yet current valuation checks suggest the shares now sit close to intrinsic value rather than offering a clear bargain or flashing a clear warning. Over five years Markel Group has returned 47.2%, which points to solid long term value creation for shareholders. Recent earnings strength and ongoing share repurchases can support the intrinsic value, while any setback in underwriting profitability or investment income...
NYSE:CVX
NYSE:CVXOil and Gas

Chevron (CVX) Boosted By AI Data Center Power Deal

Chevron (NYSE:CVX) subsidiary Energy Forge One has entered a 20 year Project Kilby energy supply agreement with Microsoft for a co-located data center power facility being developed in a 50/50 partnership between Chevron and Joulent to support power needs for AI data centers.
NYSE:BWXT
NYSE:BWXTAerospace & Defense

How Investors May Respond To BWX Technologies (BWXT) Raised 2026 Outlook And Nuclear Enrichment Push

In early August 2026, BWX Technologies, Inc. reported higher second-quarter and first-half sales and net income, raised its full-year 2026 revenue outlook to approximately US$3.80 billion, and its board declared a quarterly dividend of US$0.27 per share payable on September 4, 2026. The company is also accelerating work on uranium centrifuge technology with the National Nuclear Security Administration, aiming to support a potential large U.S. enrichment buildout across multiple fuel grades...
NYSE:ESS
NYSE:ESSResidential REITs

Will Essex’s Buyback Push and Softer Earnings Shift Essex Property Trust's (ESS) Value-Creation Narrative?

In late July 2026, Essex Property Trust reported higher year-on-year second-quarter revenue but a sharp drop in net income, slightly lowered its full-year 2026 net income guidance, and completed a US$259.25 million buyback while authorizing a new US$500 million share repurchase program alongside ongoing acquisition plans. The combination of upgraded same-property revenue and core FFO guidance with an expanded buyback authorization highlights management’s emphasis on per-share value creation...
NYSEAM:CMCL
NYSEAM:CMCLMetals and Mining

Caledonia Mining (CMCL) Is Up 15.6% After Strong Q2 2026 Earnings and Profitability Gains

Caledonia Mining Corporation Plc has released its Q2 2026 results, reporting sales of US$75.91 million and net income of US$23.81 million, with basic and diluted earnings per share from continuing operations of US$1.36, all higher than the same period last year. The stronger second-quarter earnings, alongside higher sales and improved profitability over both the quarterly and six‑month periods, point to operational efficiency gains that may be important for how investors assess Caledonia’s...
NYSE:GPI
NYSE:GPISpecialty Retail

Group 1 Automotive (GPI) Stock Could Be Cheap After A Sharp Pullback

Group 1 Automotive stock has given investors a solid 57.1% total return over the past five years, yet the shares are currently down sharply over the past year and still screen as cheap on several valuation checks. That mix of long term gains, recent weakness and a strong value score is what many investors are now trying to make sense of. Over five years, Group 1 Automotive has returned 57.1%, which points to meaningful long term value creation despite recent share price pressure. The planned...