U.S. Retail Distributors Stock News

NasdaqGS:TLRY
NasdaqGS:TLRYPharmaceuticals

A Look At Tilray Brands (TLRY) Valuation After Recent Share Price Weakness

Why Tilray Brands Is On Investor Radar Today Tilray Brands (NasdaqGS:TLRY) has been drawing attention after a stretch of weak share performance, including a roughly 24% decline over the past month and about 30% over the past 3 months. See our latest analysis for Tilray Brands. Tilray Brands' recent slide, including a 24.1% 30 day share price return decline and a 30.5% 90 day share price return decline, sits alongside a 19.5% 1 year total shareholder return decline. This points to fading...
NasdaqGS:FTDR
NasdaqGS:FTDRConsumer Services

Assessing Frontdoor (FTDR) Valuation After Recent Mixed Share Price Performance

Recent performance snapshot for Frontdoor (FTDR) With no single headline event driving Frontdoor (FTDR) today, investors are instead working off its recent trading pattern. This includes a decline of about 6% over the past month and a gain of roughly 11% over the past 3 months. See our latest analysis for Frontdoor. At a share price of US$56.64, Frontdoor’s recent 10.75% 3 month share price return contrasts with a 4.74% decline in 1 year total shareholder return. This suggests that shorter...
NYSE:KN
NYSE:KNElectronic

A Look At Knowles (KN) Valuation After Strong Q4 And Full Year Results

Why Knowles Is Back on Investors’ Radar Knowles (KN) is back in focus after a strong fourth quarter and full year, with management pointing to broad-based demand and new design wins across medical, defense, industrial, and energy markets. See our latest analysis for Knowles. Those results and fresh guidance have arrived alongside a 1 month share price return of 13.71% and a 90 day share price return of 26.05%. The 1 year total shareholder return of 49.21% suggests momentum has been building...
NYSE:APG
NYSE:APGConstruction

Is APi Group (APG) Still Attractively Priced After Strong Multi Year Share Price Gains

If you are wondering whether APi Group's current share price offers fair value or not, you are not alone. This article will walk through what the numbers actually say. The stock recently closed at US$44.41, with returns of 5.7% over 30 days, 14.0% year to date, 77.6% over 1 year and 202.0% over 3 years. These figures can change how investors think about both upside and risk. These moves have put a fresh spotlight on how the market is pricing APi Group, and whether the current valuation still...
NasdaqGS:FORR
NasdaqGS:FORRProfessional Services

Forrester Research (FORR) Q4 Loss Of US$33.9 Million Reinforces Bearish Earnings Narratives

Forrester Research (FORR) has just closed out FY 2025 with Q4 revenue of US$101.1 million and a basic EPS loss of US$1.78, alongside a quarterly net loss of US$33.9 million that keeps profitability firmly in the red. Looking back across recent quarters, revenue has moved between US$89.9 million and US$111.7 million, while basic EPS has swung from a loss of US$4.62 to a modest profit of US$0.21. Together, these figures present a picture where top line stability contrasts with pressure on...
NasdaqGS:DIOD
NasdaqGS:DIODSemiconductor

Assessing Diodes (DIOD) Valuation After A Sharp Short-Term Share Price Rally

With no single headline event driving Diodes (DIOD) today, the recent share performance stands out, including a 17% move over the past week and gains over the month and past 3 months. See our latest analysis for Diodes. The recent rally sits against a mixed backdrop, with a 38.19% year to date share price return and 32.92% total shareholder return over 1 year, but total shareholder returns over 3 and 5 years at 24.39% and 15.49% declines, which suggests momentum has picked up only in the more...
NYSE:BXP
NYSE:BXPOffice REITs

Assessing Boston Properties (BXP) Valuation After Mixed Recent Share Price Performance

BXP (BXP) has been drawing attention after recent share price moves, with the stock showing a 4.1% gain over the past day but negative returns over the past week, month, and past 3 months. See our latest analysis for BXP. That one day 4.1% share price gain stands against weaker recent momentum, with a 30 day share price return decline of 7.35% and a year to date share price return decline of 9.33%. The 1 year total shareholder return decline of 8.94% contrasts with a modest 3 year total...
NYSE:EQT
NYSE:EQTOil and Gas

EQT (EQT) Valuation Check After Recent Share Price Strength And Mixed Shorter Term Returns

How EQT’s Recent Performance Sets Up the Investment Debate EQT (EQT) has caught investor attention after a month return of 16.8%, contrasting with a slight 3 month decline of 2.0%. This mix of shorter term strength and recent softness is shaping current sentiment. See our latest analysis for EQT. With the share price at $58.70, EQT’s recent 16.8% 1 month share price return and 9.8% year to date share price return contrast with a modest 2.0% 3 month pullback. The 1 year total shareholder...
NYSE:FBRT
NYSE:FBRTMortgage REITs

Franklin BSP Realty Trust (FBRT) Valuation Check After Leadership Changes Earnings Release And Dividend Update

Why Franklin BSP Realty Trust is back in focus Franklin BSP Realty Trust (FBRT) is back on investor watch after a busy stretch, with a new CEO and President taking over, fresh full year 2025 earnings, and updated dividend decisions. See our latest analysis for Franklin BSP Realty Trust. Recent events, including the CEO and President transitions, full year 2025 earnings and a lower common dividend, come as the share price trades at US$8.85, with a 7 day share price return of 13.06% decline and...
NYSE:AR
NYSE:AROil and Gas

Antero Weighs HG Energy Deal And New Bonds Against Growth Plans

Antero Resources (NYSE:AR) has completed its acquisition of HG Energy, the largest transaction in the company’s history. The deal adds additional acreage, extends Marcellus core inventory, and increases Antero’s exposure to dry gas. Antero has also issued its first investment grade bonds, aiming to strengthen its capital structure and flexibility. The HG Energy acquisition was financed with debt rather than new equity issuance. The company reports operational resilience through a recent...
NYSE:CVX
NYSE:CVXOil and Gas

Did Chevron's (CVX) Return to Libya Reshape Its Upstream Growth and Capital Efficiency Story?

In early February 2026, Chevron Corporation, through its subsidiary Chevron Business Development EMEA Ltd., was confirmed as a winning bidder for Contract Area 106 in Libya’s Sirte Basin, re-entering the country after 15 years under a memorandum of understanding with the National Oil Corporation and pending a Production Sharing Agreement. This move extends Chevron’s upstream footprint across North Africa and the Eastern Mediterranean, underscoring a renewed focus on higher-impact...
NasdaqGS:ALAB
NasdaqGS:ALABSemiconductor

Can Astera Labs (ALAB) Pair Its AI Connectivity Push With Tighter Financial Discipline?

Astera Labs, Inc. recently reported strong fourth-quarter and full-year 2025 results, issued upbeat first-quarter 2026 guidance, announced a new R&D center in Israel focused on AI connectivity, and confirmed a CFO transition with Desmond Lynch set to replace retiring finance chief Michael Tate on March 2, 2026. Alongside record sales and growing AI infrastructure partnerships, the combination of increased R&D investment and a finance leadership change is sharpening investor focus on how...
NYSE:SCI
NYSE:SCIConsumer Services

Service Corporation International (SCI) Is Down 6.4% After Cautious 2026 Outlook Tempers Solid 2025 Results

In February 2026, Service Corporation International reported its fourth-quarter and full-year 2025 results, with Q4 sales of US$1,111.53 million and net income of US$159.40 million, and full-year revenue of US$4.31 billion alongside higher basic and diluted earnings per share from continuing operations versus 2024. Alongside these results, management issued cautious 2026 guidance and highlighted flat to slightly lower funeral volumes, rising selling costs, and a shift in sales compensation...