U.S. Retail REITs Stock News

NYSE:WRB
NYSE:WRBInsurance

Do Trimmed EPS Estimates Test W. R. Berkley’s Earnings Resilience Story for Investors (WRB)?

In the past few days, analysts projected that W. R. Berkley would post quarterly earnings of US$1.09 per share and revenue of US$3.70 billion, reflecting modest year-over-year growth despite a small downward revision to earnings estimates over the last month. This mix of expected earnings and revenue growth, alongside slightly tempered forecasts, offers a window into how investors may be reassessing W. R. Berkley’s earnings resilience. With analysts still expecting higher earnings despite...
NYSE:NVGS
NYSE:NVGSOil and Gas

Navigator Holdings (NVGS) Could Be 16% Undervalued As It Sells $183 Million Of Assets

Navigator Holdings (NVGS) has agreed to sell eight liquefied gas carriers and its stake in the Unigas International joint venture for about US$183 million, reshaping its fleet and capital allocation priorities. See our latest analysis for Navigator Holdings. Navigator Holdings’ latest vessel sale comes after a mixed few months in the market, with a 1 month share price return of 6.33% decline contrasting with a 22.77% year to date share price gain and a 5 year total shareholder return of...
NYSE:BXMT
NYSE:BXMTMortgage REITs

Will BXMT’s Maintained Dividend Amid San Francisco Loan Loss Change Blackstone Mortgage Trust's Narrative?

Earlier this month, Blackstone Mortgage Trust declared a US$0.47 per share Q2 2026 dividend, maintaining its payout level despite a one-time realized loss tied to an impaired San Francisco hotel loan that was foreclosed and added to its balance sheet at a steep discount to the prior owner's cost. Management highlighted that its preferred distributable earnings metric covered the dividend for the third consecutive quarter, a data point many investors may interpret as a signal of payout...
NYSE:NAT
NYSE:NATOil and Gas

Is Release Of Detained Suezmax Vessels And Strong Rates Altering The Investment Case For Nordic American Tankers (NAT)?

Nordic American Tankers reported that three of its one million barrel suezmax vessels, previously trapped in the Arabian Gulf since late February 2026, have now been released and are trading worldwide, with no insurance complications arising from their earlier detention. The company also highlighted a continued scarcity of ships and very strong suezmax tanker rates, suggesting its fleet is well positioned to capitalize on robust market demand. With these vessels back in service and...
NYSE:PAG
NYSE:PAGSpecialty Retail

Penske Automotive Group (PAG) Could Be 8% Above Fair Value As Service Growth Stays Strong

Penske Automotive Group stock snapshot after recent price move Penske Automotive Group (PAG) has drawn fresh attention after its share price closed at $200.40, with recent returns of 3.5% over the past day and about 11% over the past month. See our latest analysis for Penske Automotive Group. The latest move in Penske Automotive Group's share price sits on top of a 30 day share price return of 11.3% and a 90 day share price return of 28.5%, while the 5 year total shareholder return of 174.0%...
NYSE:MCD
NYSE:MCDHospitality

Is McDonald's (MCD) Above Fair Value After Slipping Into A Bear Market?

McDonald's (MCD) has slipped into a bear market after a series of analyst downgrades, with the stock touching a two year low of $264.09 and testing a key technical support level. See our latest analysis for McDonald's. Over the past few months McDonald's share price has been under steady pressure, with a 30 day share price return of down 7.4% and a 90 day move of down 13.7% as concerns about traffic trends, GLP 1 drugs and profitability have outweighed updates on menu additions, loyalty...
NasdaqGS:HWC
NasdaqGS:HWCBanks

Will Hancock Whitney’s Richer Dividend and 2026 Outlook Reshape HWC’s Capital Allocation Narrative?

Hancock Whitney recently paid a quarterly dividend of US$0.50 per share, giving an annualized US$2.00 payout and a yield that exceeds both the Banks – Southeast industry and the broader S&P 500. This stronger-than-peer income profile, combined with an 11.1% year-on-year dividend increase and a positive earnings outlook for fiscal 2026, has drawn fresh attention from income-focused investors. We’ll now examine how Hancock Whitney’s above-industry dividend yield interacts with its acquisition...
NasdaqGS:CPB
NasdaqGS:CPBFood

Campbell's New High-Protein Soup Line Might Change The Case For Investing In Campbell's (CPB)

Earlier this week, Campbell's Company launched Campbell's Protein Soups, a nationwide line of five bone-broth-based varieties delivering 20 grams of protein per can for about US$3.19. The launch positions Campbell's to tap into wellness-oriented eating habits by pairing its long-standing soup expertise with higher-protein, higher-fiber recipes that many consumers say they are actively seeking. Next, we’ll examine how this higher-protein, wellness-focused soup line may influence Campbell's...
NasdaqGS:CSGP
NasdaqGS:CSGPReal Estate

CFO Transition to Cost-Cutting Veteran Could Be A Game Changer For CoStar Group (CSGP)

CoStar Group, Inc. recently announced that Chief Financial Officer Christian Lown will step down on July 31, 2026, with current Europe Managing Director Robin Rossmann – a chartered accountant with deep real estate and hospitality experience – appointed as his successor to lead the company’s global finance organization. Rossmann’s track record of eliminating about US$51,000,000 of costs, roughly a quarter of CoStar’s European cost base, while expanding the business and launching the CoStar...
NYSE:BBY
NYSE:BBYSpecialty Retail

Best Buy (BBY) Stock Looks Reasonable On Exclusive RGB LED TV Rollout

Best Buy stock has delivered a 34.8% return over the past year, and after that kind of run the valuation checks now point to something closer to a hold than an obvious bargain. Over the last 12 months, a 34.8% share price gain suggests investors have become more optimistic about Best Buy's earnings power. The nationwide launch of exclusive RGB LED TVs and related services can support revenue and service income, while competition in consumer electronics retail may still limit how much pricing...
NasdaqGS:GLOO
NasdaqGS:GLOOSoftware

Is Gloo Holdings (GLOO) Undervalued On Its Follow On Equity Offering?

Gloo Holdings (GLOO) recently completed a follow on equity offering, raising US$22.75 million through the sale of 7,000,000 Class A Common Stock shares at US$3.25 each, a US$0.195 discount per share. See our latest analysis for Gloo Holdings. The follow on offering comes after a period of pressure on Gloo Holdings' share price, with the stock down 15.6% on a 7 day share price return basis and 54.6% over 90 days. The latest close at US$3.36 suggests that short term momentum has been fading. If...
NYSE:SNOW
NYSE:SNOWIT

Snowflake (SNOW) Expands Secure AI Access, Is The Valuation Already Priced In?

Rogo’s new integration with Snowflake (SNOW) managed Model Context Protocol server puts secure AI access to governed data at the center of the story for Snowflake stock, especially for regulated financial institutions. See our latest analysis for Snowflake. Snowflake’s latest share price of $271.87 comes after a 1-month share price return of 12.91% and a 90-day share price return of 89.39%. The 1-year total shareholder return of 28.28% and 3-year total shareholder return of 46.60% point to...
NYSE:GIS
NYSE:GISFood

Is Totino’s Flavor Expansion a Meaningful Test of General Mills’ (GIS) Focused Innovation Strategy?

Earlier this summer, General Mills expanded its Totino’s lineup with new Blasted Pizza Rolls flavors, fan-requested Ultimate Pizza varieties, and the return of Cheeseburger Pizza Rolls, rolling out across retailers nationwide. This push into bolder, fan-inspired flavors highlights how General Mills is using product innovation in frozen snacks to keep consumers engaged and spending in the freezer aisle. We’ll now examine how this expanded Totino’s flavor lineup fits into General Mills’...
NasdaqGS:SIRI
NasdaqGS:SIRIMedia

Sirius XM Holdings (SIRI) Could Be 9% Overvalued Following YouTube Deal And Growth Rebound

Sirius XM Holdings (SIRI) is back in focus after an exclusive advertising partnership with YouTube, renewed revenue and profit growth, and fresh attention on its satellite spectrum following the SpaceX IPO. See our latest analysis for Sirius XM Holdings. The recent burst of interest around Sirius XM Holdings has been reflected in its share price, with a 30 day share price return of 11.62% and a 90 day share price return of 23.94%. The year to date share price return of 49.44% and 1 year total...
NYSE:PRKS
NYSE:PRKSHospitality

United Parks & Resorts (PRKS) Unveils Kumba's Revenge, Does The Stock Look Fully Valued?

United Parks & Resorts (PRKS) is drawing investor attention after announcing a $100 million investment at Busch Gardens Tampa Bay, retiring its long running Kumba coaster in favor of a new ride titled Kumba’s Revenge. See our latest analysis for United Parks & Resorts. The Kumba’s Revenge announcement comes after a strong recent run in United Parks & Resorts’ stock, with a 90 day share price return of 31.89% and a year to date share price return of 30.87%. However, the 1 year total...
NYSE:NE
NYSE:NEEnergy Services

3 Energy Stocks Retail Investors Are Watching As Oil Risk Returns

Geopolitical tension in the Middle East has pushed energy risk back to center stage, with threats around the Strait of Hormuz and rising military conflict between the U.S. and Iran feeding fresh volatility into oil prices. For investors, that kind of shock can create both potential openings and hazards in oil and gas producers and related services stocks that are directly exposed to these headlines. This article walks through 3 stocks from the Energy Sector screener that appear more...
NYSE:SFBS
NYSE:SFBSBanks

ServisFirst Bancshares (SFBS) Heads Into Earnings On Growth Expectations And An Undervalued Narrative

ServisFirst Bancshares (SFBS) heads into its upcoming earnings release with analysts projecting year-over-year gains in earnings per share and revenue, as well as improvements in efficiency ratio and net interest margin. See our latest analysis for ServisFirst Bancshares. At a share price of $86.08, ServisFirst Bancshares has logged a 6.19% 1 month share price return and a 19.86% year to date share price return. Its 3 year total shareholder return of 87.17% points to momentum that recent...
NasdaqGS:ASML
NasdaqGS:ASMLSemiconductor

Is ASML Holding (ASML) Expensive Following Its Raised 2026 Revenue Outlook?

ASML Holding (NasdaqGS:ASML) has lifted its 2026 revenue outlook again after reporting Q2 net sales of €9.3b and net income of €2.9b, reinforcing its central role in advanced chip equipment. See our latest analysis for ASML Holding. ASML Holding's share price has moved sharply higher over the past year, with a 90 day share price return of 24.35% and a year to date share price return of 55.98%. The 1 year total shareholder return of 145.31% points to strong momentum around its role in AI...
NYSE:WFC
NYSE:WFCBanks

Wells Fargo (WFC) Stock Faces Slower 3.3% EPS Growth Forecast After Strong Q2 Earnings

Wells Fargo (WFC) opened Q2 2026 with total revenue of US$21.7 billion and basic EPS of US$2.02, backed by net income of US$6.2 billion for the quarter. Over recent periods the company has seen quarterly revenue move from US$19.8 billion in Q2 2025 to US$20.3 billion in Q1 2026 and then to US$21.7 billion in the latest quarter, while basic EPS moved from US$1.61 to US$1.62 and now US$2.02. This sets up a results season where investors will focus on how these earnings translate into sustaining...
NYSE:GSL
NYSE:GSLShipping

Global Ship Lease (GSL) Stock Looks Undervalued While A 235% Return Tests That View

Global Ship Lease has delivered strong long term returns over the past five years, yet the stock still screens as undervalued on the latest valuation checks. This raises the question of how much upside, if any, is already reflected in the current US$41.14 share price. Global Ship Lease has returned 234.6% over the past 5 years, which puts recent gains in context as investors weigh how much of the improvement is already priced in. For a container-ship lessor like Global Ship Lease,...
NYSE:BMI
NYSE:BMIElectronic

Badger Meter (BMI) Faces Valuation Questions After Class Actions Follow Its Q1 Revenue Miss

Several law firms have launched securities class actions against Badger Meter (BMI) after its Q1 2026 earnings report, which included a 10% decline in utility water sales and weaker than expected revenue figures. See our latest analysis for Badger Meter. Since the Q1 2026 earnings miss and subsequent class action announcements, Badger Meter’s share price has been under pressure, with the year to date share price return down 18.26% and the 1 year total shareholder return down 39.52%, although...
NYSE:TFX
NYSE:TFXMedical Equipment

Is Teleflex (TFX) Still Below Fair Value As Its Recovery Story Rebuilds?

Teleflex (TFX) stock attracts investor interest after recent performance data shows mixed long term returns alongside a positive 1 year total return, drawing renewed attention to how the medical device maker is currently valued. See our latest analysis for Teleflex. With the share price at $131.75, Teleflex has posted a 7.64% year to date share price return and a 17.60% total shareholder return over 1 year. However, multi year total shareholder returns remain significantly weaker, suggesting...
NasdaqGS:MKTX
NasdaqGS:MKTXCapital Markets

Is MarketAxess Holdings (MKTX) Undervalued On Heartland's Margin Growth View?

Recent commentary from Heartland Advisors has put fresh attention on MarketAxess Holdings (MKTX), highlighting its role in corporate bond electronic trading and the potential payoff as an intensive investment phase winds down. See our latest analysis for MarketAxess Holdings. At a latest share price of $115.63, MarketAxess Holdings has seen its 90 day share price return fall 33.35% and its 1 year total shareholder return decline 45.36%. This points to fading momentum despite commentary around...
NasdaqCM:PSIX
NasdaqCM:PSIXElectrical

3 US Industrial Stocks With Tariff Tailwinds Retail Investors Should Watch

Tariffs on Brazilian imports are shaking up expectations across U.S. industrial and manufacturing stocks, and investors are asking which companies could quietly benefit or face new headwinds as global trade friction rises. This article looks at how the new 25% tariff regime and the possibility of even higher Section 301 duties might filter through supply chains, pricing power, and competitive positioning. To make that idea concrete, it will walk through 3 stocks from a U.S. Domestic...