U.S. Residential REITs Stock News

NYSE:HAL
NYSE:HALEnergy Services

Halliburton (HAL) Is Back In The Spotlight, But What Is Driving Attention?

Halliburton (HAL) is drawing fresh attention after partnering with nuclear waste startup Deep Isolation to apply its drilling expertise to radioactive waste disposal. The move introduces a new environmental angle that some investors will scrutinize. See our latest analysis for Halliburton. Halliburton’s recent nuclear waste partnership comes as the stock trades at US$31.89, with the share price falling 7.27% over the past month and 23.53% over the past quarter, yet showing a 7.74% year to...
NYSE:SR
NYSE:SRGas Utilities

What Spire (SR)'s Divestitures, Earnings Beat and Dividend Hike Mean For Shareholders

Spire Inc. has reported its third-quarter and nine-month results to June 30, 2026, showing higher sales and net income, while also completing the divestitures of Spire Marketing and Spire Storage and continuing its long history of regular dividends, including a US$0.825 per share payout declared for October 2, 2026. Beyond the headline growth in earnings, the combination of divestitures, reaffirmed multi-year EPS guidance, and a 23-year streak of annual dividend increases highlights Spire's...
NasdaqGS:LAUR
NasdaqGS:LAURConsumer Services

Is Laureate Education (LAUR) Fairly Valued On Raised Guidance And A Bigger Buyback?

Laureate Education (LAUR) had a busy July 30, 2026, reporting raised full year revenue guidance, solid second quarter results, and a larger share buyback authorization that adds a fresh angle for investors. See our latest analysis for Laureate Education. Over the past year, Laureate Education has combined a 15.1% year to date share price return with a 1 year total shareholder return of 49.65%. The recent 30 day share price pullback of 5.24% comes after a 16.96% 90 day gain, which suggests...
NasdaqGM:TTD
NasdaqGM:TTDMedia

Trade Desk (TTD) Reported Q2 Results And New Guidance, Is The Stock Cheap?

Why Trade Desk’s latest earnings are in focus Trade Desk (TTD) is drawing attention after its 6 August 2026 quarterly update, which combined higher year on year sales with lower net income, fresh third quarter revenue guidance and a completed buyback tranche. See our latest analysis for Trade Desk. The earnings release and guidance on 6 August came alongside a sharp reset in expectations, with Trade Desk’s share price falling 21.9% on the day and contributing to a 63.4% decline year to date...
NYSE:NGL
NYSE:NGLOil and Gas

How NGL Energy Partners’ Earnings Turnaround Will Impact NGL Energy Partners (NGL) Investors

NGL Energy Partners LP recently reported first-quarter 2026 results, with revenue rising to US$989.99 million from US$622.16 million and net income increasing to US$78.73 million from US$68.92 million a year earlier, alongside a swing from a basic loss per share from continuing operations of US$0.26 to earnings of US$0.48. This shift from a prior loss to positive earnings per share from continuing operations highlights a meaningful improvement in profitability and operating performance for...
NYSE:KWR
NYSE:KWRChemicals

Quaker Chemical (KWR) Is Up 5.9% After Strong Q2, Dividend Hike And M&A Push - Has The Bull Case Changed?

In late July 2026, Quaker Chemical reported stronger second-quarter results with higher sales and a return to profitability, raised its quarterly dividend to US$0.53 per share, refreshed its capital structure, filed shelf registrations for common shares, and confirmed it is actively pursuing acquisitions to support long-term growth. The combination of improved earnings, a higher cash dividend, a new share repurchase authorization, and management’s emphasis on disciplined M&A highlights a...
NYSE:HG
NYSE:HGInsurance

Is Hamilton Insurance Group (HG) Fairly Valued On Q2 Earnings, Upgrade And Buybacks?

Hamilton Insurance Group (NYSE:HG) is back in focus after its second quarter 2026 earnings and an AM Best upgrade for Hamilton Select, alongside a completed share buyback that highlights ongoing capital deployment. See our latest analysis for Hamilton Insurance Group. The recent Q2 2026 results, the AM Best upgrade for Hamilton Select and completion of the buyback have come against a backdrop of strong momentum, with a 90 day share price return of 16.93% and a 1 year total shareholder return...
NasdaqGS:HST
NasdaqGS:HSTHotel and Resort REITs

Is Host Hotels & Resorts (HST) Undervalued As It Raises 2026 Outlook And Eyes Acquisitions?

Host Hotels & Resorts targets acquisitions after updated 2026 outlook Host Hotels & Resorts (HST) has put potential acquisitions on the agenda after raising its full year 2026 earnings guidance, giving investors fresh information on both its capital plans and profit expectations. See our latest analysis for Host Hotels & Resorts. Host Hotels & Resorts shares trade at $23.29, with the 1-year total shareholder return of 64.64% and 5-year total shareholder return of 89.91% pointing to strong...
NYSE:VSTS
NYSE:VSTSCommercial Services

Did Vestis’ (VSTS) New 3-Year Teamsters Deal Reset Its Labor-Cost and Efficiency Equation?

In early August 2026, Vestis workers in Indianapolis represented by Teamsters Local 135 ended a 19-day strike by ratifying a three-year agreement that delivers wage increases, a guaranteed 40-hour work week, and Teamsters health care through the Michigan Conference of Teamsters Health and Welfare Fund. Beyond resolving the immediate work stoppage, the deal highlights a reset in labor relations at a time when Vestis is already emphasizing operational discipline and route efficiency across its...
NYSE:ROK
NYSE:ROKElectrical

Rockwell Automation (ROK) On Raised Guidance And Strong Q3 Results Looks Modestly Undervalued

Rockwell Automation (ROK) drew fresh attention after reporting third quarter fiscal 2026 results that exceeded expectations and updating full year guidance, with management now projecting higher sales and earnings for the year. See our latest analysis for Rockwell Automation. Rockwell Automation's latest guidance upgrade comes after a mixed few months for the share price, with the stock down 8.13% on a 7 day share price return and 6.58% on a 30 day share price return, yet still showing a...
NYSE:RBC
NYSE:RBCMachinery

Is RBC Bearings (RBC) Pricey On Strong Earnings And Higher Guidance?

RBC Bearings earnings and guidance draw investor focus RBC Bearings (RBC) is in focus after reporting first quarter results on July 31, 2026, with higher sales and net income compared with a year earlier, along with new guidance for the second quarter of fiscal 2027. See our latest analysis for RBC Bearings. At a latest share price of $567.25, RBC Bearings has a year to date share price return of 23.64%, while its 1 year total shareholder return of 42.50% and 5 year total shareholder return...
NasdaqGS:TWST
NasdaqGS:TWSTBiotechs

Twist Bioscience (TWST) Is Up 26.3% After Equity Raise And Guidance Hike Has The Bull Case Changed?

In early August 2026, Twist Bioscience completed a US$300 million follow-on common stock offering at US$96 per share while raising its fiscal 2026 revenue guidance to US$456 million–US$457 million and reporting a wider quarterly net loss despite higher sales. At the same time, the company moved to resolve legacy securities litigation through a proposed US$17.05 million class-action settlement process, potentially reducing legal uncertainty for shareholders. With Twist boosting revenue...
NasdaqGS:CHYM
NasdaqGS:CHYMDiversified Financial

Founder Led Stocks With Buybacks Profits And Room For Repricing

With global food costs climbing again, as seen in the latest rise in the FAO Food Price Index, investors are watching how pricing power and leadership quality interact. Founder led companies often live or die by the decisions of a single, deeply invested leader. That makes this a compelling moment to focus on founders who are building legacies. This article highlights three standout stocks from the Founder Led Companies screener. The stocks covered below are just a small sample, and the full...
NYSE:EME
NYSE:EMEConstruction

Should EMCOR’s Strong Q2 Results And Higher 2026 Guidance Require Action From EMCOR Group (EME) Investors?

In July 2026, EMCOR Group reported second-quarter 2026 results showing higher sales of US$5,154.89 million and net income of US$403.69 million, while also raising its full-year 2026 revenue, earnings and operating margin guidance. Alongside these stronger results and upgraded outlook, management reiterated its focus on acquisitions that enhance core capabilities and deepen exposure to key end markets, signalling continued emphasis on scaling its service offering. Next, we’ll examine how...
NYSE:CCS
NYSE:CCSConsumer Durables

Does Argus’s Downgrade of Century Communities (CCS) Reveal Shifting Conviction in Its Valuation Story?

Earlier this week, Argus cut its rating on Century Communities Inc. (CCS), a U.S. homebuilder focused on single-family attached and detached homes, to SELL without citing new operational developments. The absence of fresh business updates around the downgrade highlights how changes in analyst opinions alone can meaningfully sway market expectations for Century Communities. We’ll now examine how Argus’s SELL downgrade may reshape Century Communities’ investment narrative, particularly around...
NasdaqCM:FRNM
NasdaqCM:FRNMBiotechs

Freenome (FRNM) Following FDA Approval Why Its 36.8x P S Still Looks Pricey

Freenome (FRNM) stock is in focus after the company and Abbott received U.S. Food and Drug Administration approval for SimpleScreen CRC, a blood based colorectal cancer screening test for average risk adults. See our latest analysis for Freenome. The FDA approval and upcoming U.S. launch of SimpleScreen CRC comes as Freenome trades at US$11.15, with a 30 day share price return of 3.24% and a year to date share price decline of 14.23%. The 1 year total shareholder return is 5.49%, suggesting...
NYSE:HAWK
NYSE:HAWKAerospace & Defense

Defense Stocks Investors Are Watching As Security Spending Comes Back Into Focus

Fears about weakened US democratic guardrails and politicised security decisions are putting the spotlight on defense and security stocks in a new way. Political instability can unsettle markets, yet it can also redirect government attention and budgets. This article looks at how that tension links to real companies. You will see three stocks from our Defense and Security Sector Stocks screener that appear particularly exposed to the current news cycle. The three stocks covered next are just...
NYSE:FG
NYSE:FGInsurance

F&G Annuities & Life (FG) Could Be 3% Overvalued Following Earnings And Dividend News

F&G Annuities & Life (FG) has drawn fresh attention after reporting second quarter 2026 results that included a net loss alongside higher revenue, followed by newly declared common and preferred dividends. See our latest analysis for F&G Annuities & Life. The recent earnings loss and fresh dividend declarations have come alongside softer momentum in F&G Annuities & Life's stock, with the share price down 7.89% year to date and the 1 year total shareholder return declining 15.77%. This...
NYSE:BXMT
NYSE:BXMTMortgage REITs

Blackstone Mortgage Trust (BXMT) Could Be 33% Below Fair Value Following Q2 Loss

Blackstone Mortgage Trust (BXMT) is back in focus after reporting second quarter 2026 results that showed higher reported sales alongside a net loss, reversing the profit recorded in the same period last year. See our latest analysis for Blackstone Mortgage Trust. The latest earnings release and the recent completion of a multi year repurchase program have come against a weak share price backdrop for Blackstone Mortgage Trust. The share price is down 27.36% year to date and the 1 year total...
NYSE:HLT
NYSE:HLTHospitality

Is Hilton Worldwide Holdings (HLT) Undervalued After Higher Earnings And Raised Guidance?

Hilton Worldwide Holdings earnings, dividend and buyback in focus Hilton Worldwide Holdings (HLT) has drawn investor attention after reporting higher year over year revenue and net income, raising earnings guidance for 2026, and reaffirming its regular dividend and active share repurchase program. See our latest analysis for Hilton Worldwide Holdings. Hilton Worldwide Holdings' latest earnings, dividend affirmation, and ongoing buybacks come after a softer 30 day share price return, while the...
NYSE:UMH
NYSE:UMHResidential REITs

UMH Properties (UMH) Is Up 5.2% After Strong Q2 2026 Results And Reaffirmed Earnings Guidance

In the past week, UMH Properties, Inc. reported second-quarter 2026 results showing higher revenue of US$71.64 million and net income of US$9.6 million, and it reaffirmed full-year 2026 diluted net income guidance of US$0.07 to US$0.13 per share attributable to common shareholders. The combination of stronger quarterly earnings and management’s decision to maintain earnings guidance highlights growing confidence in UMH’s ability to support expansion in its manufactured home communities and...
NasdaqGM:PTGX
NasdaqGM:PTGXBiotechs

Protagonist Therapeutics (PTGX) Swings To Net Income, Is The Valuation Too Expensive?

Protagonist Therapeutics (PTGX) has drawn fresh attention after reporting second quarter 2026 results that shifted from a net loss to net income of US$162.85 million, with earnings emerging from continuing operations. See our latest analysis for Protagonist Therapeutics. The sharp move from losses to net income has coincided with strong share price momentum for Protagonist Therapeutics, with a 90 day share price return of 40.94% and a year to date share price return of 67.32%. Over a longer...
NasdaqGS:ARM
NasdaqGS:ARMSemiconductor

Arm Stock And 2 AI Infrastructure Picks Retail Investors Are Watching

AI is starting to reshape who earns what, from data center owners to entry level office workers wondering if their role is next in line for automation. That split creates risk for wages and consumer demand, but it also focuses attention on companies that provide the picks and shovels for AI infrastructure. This article looks at three large stocks exposed to that trend and how the same news could help or hurt their long term appeal. The three stocks in this article are just a starting sample,...
NYSE:KMPR
NYSE:KMPRInsurance

Kemper (KMPR) Reports A Q2 Loss And Goodwill Impairment, Is The Discount Warranted?

Kemper earnings shock and goodwill impairment set the tone Kemper (KMPR) just posted a second quarter net loss of $464.8 million, driven largely by a $460 million non cash goodwill impairment in its specialty auto segment, along with a shift toward tighter, profitability-focused underwriting. See our latest analysis for Kemper. The latest earnings and goodwill impairment news has coincided with a weaker share price backdrop for Kemper, with the stock at US$28.51 and the year to date share...