U.S. Retail REITs Stock News

NYSE:PDM
NYSE:PDMOffice REITs

Is Piedmont Realty Trust (PDM) Fairly Valued After Its Recent Share Price Jump?

Piedmont Realty Trust (PDM) has drawn investor attention after recent share price moves, with the stock now around $9.57. That shift, along with its latest financial figures, is prompting a closer look at valuation. See our latest analysis for Piedmont Realty Trust. Recent moves in Piedmont Realty Trust’s share price, including a 6.22% 1 month share price return and an 18.59% 3 month share price return, sit alongside a 26.09% 1 year total shareholder return and a 44.01% 3 year total...
NasdaqGS:VFS
NasdaqGS:VFSAuto

VinFast (VFS) Rolls Out An EV Access Plan Built Around Leasing And Charging

VinFast Auto (NasdaqGS:VFS) is rolling out an integrated mobility ecosystem aimed at lowering barriers to electric vehicle adoption for global consumers. The company is focusing on aggressive leasing offers, competitive ownership packages, and comprehensive warranty programs to widen access to its EVs. VinFast is also emphasizing broad compatibility with public charging networks, targeting easier daily use of its vehicles for American drivers. This approach is designed to position VinFast as...
NYSE:OGN
NYSE:OGNPharmaceuticals

Organon (OGN) Stock Looks Below Fair Value Despite Weak Earnings Quality

Organon stock has quietly turned into a strong performer in 2026, with the sharp year to date gain sitting alongside valuation checks that still suggest the shares screen as cheap rather than stretched. Year to date, Organon is up 86.7%, which puts recent momentum front and center for anyone asking whether the current price already reflects the recovery story. The key swing factor for what Organon is worth is how consistently it can convert revenue into cash that supports its balance sheet,...
NYSE:ACHR
NYSE:ACHRAerospace & Defense

Boeing Stock, L3Harris, And Archer Aviation On Aerospace Investors’ Radar

With central banks watching inflation, energy markets reacting to Middle East tensions, and governments reassessing security priorities, many investors are looking more closely at resilient, mission critical sectors. The Aerospace And Defense screener focuses on companies that manufacture or provide services to these industries, which sit at the intersection of geopolitics, trade flows, and long term public spending plans. This article highlights 3 stocks from the screener that stand out on...
NYSE:EQT
NYSE:EQTOil and Gas

EQT (EQT) Stock Faces Sharp EPS Drop That Tests Bullish Margin Narratives

EQT (EQT) has just posted Q2 2026 results with total revenue of US$1.8 billion and basic EPS of US$0.34, alongside trailing twelve month revenue of US$9.3 billion and EPS of US$4.34 that reflect the broader earnings picture over the last year. Over recent quarters, the company has seen revenue shift from US$1.8 billion in Q2 2025 to US$1.8 billion in Q2 2026, while basic EPS moved from US$1.31 to US$0.34, setting a clear reference point against the trailing twelve month totals. Taken together...
NYSE:GDDY
NYSE:GDDYIT

GoDaddy (GDDY) Stock Still Looks Below Fair Value After 47% Slide

GoDaddy stock has had a difficult year, with a steep share price decline sitting alongside valuation checks that still lean on the cheap side rather than pointing to an obvious overpricing. GoDaddy shares are down 46.5% over the past year, which puts recent returns firmly in the loss column for existing holders. The launch of the GoDaddy Developer Platform, which aims to embed domain management directly into developer and AI workflows, can support revenue opportunities over time. However,...
NYSE:MTB
NYSE:MTBBanks

M&T Bank (MTB) Could Be Fully Valued After $600 Million Offering And Strong Q2 Results

M&T Bank (MTB) is in focus after completing a $600 million fixed income offering of preferred depositary shares, alongside reporting second quarter results that show higher net interest income and net income compared with a year earlier. See our latest analysis for M&T Bank. M&T Bank’s recent fixed income issuance and second quarter update come as the stock shows firm positive momentum, with a 10.1% 1 month share price return and a 31.85% 1 year total shareholder return alongside a 96.65% 3...
NYSE:OPY
NYSE:OPYCapital Markets

Oppenheimer Holdings (OPY) Looks Cheap On P E, Is Fair Value Much Lower?

Oppenheimer Holdings (OPY) has drawn fresh attention after recent share performance data showed modest pullbacks over the past week and past 3 months, alongside strong year to date and 1 year total returns. See our latest analysis for Oppenheimer Holdings. At the current share price of $110.54, Oppenheimer Holdings has experienced short term share price pressure over the past week. Its year to date share price return of 52.18% and 1-year total shareholder return of 54.86% sit alongside 3- and...
NYSE:EME
NYSE:EMEConstruction

How Stronger EPS Outlook And Efficiency Trends Could Shape EMCOR Group’s (EME) Investment Narrative

Emcor Group recently saw increased investor attention ahead of its July 30, 2026 earnings release, with expectations for higher earnings per share and revenue compared with the prior year. This optimism builds on the company’s strong multi-year revenue and earnings expansion and rising returns on invested capital, which suggest improving operational efficiency and project execution. We’ll now explore how this upbeat earnings outlook, underpinned by expectations for continued EPS and revenue...
NYSE:HIG
NYSE:HIGInsurance

Hartford Insurance Group (HIG) On Board And Dividend Moves With An Undervalued Narrative

Hartford Insurance Group (HIG) is back in focus after its board moved to expand governance and capital return by appointing Randy Larsen as director and affirming dividends for both common and Series G preferred shareholders. See our latest analysis for Hartford Insurance Group. At a share price of $140.84, Hartford Insurance Group has seen a 7 day share price return of 4.71% and a 30 day share price return of 8.76%. Its 1 year total shareholder return of 16.29% and 5 year total shareholder...
NasdaqGS:COCO
NasdaqGS:COCOBeverage

Vita Coco Company (COCO) Could Be 9% Undervalued After The Copra Acquisition

The Vita Coco Company (COCO) is back in focus after announcing the acquisition of Copra, Inc., a move that puts the coconut water producer directly into the super-premium Thai Nam Hom segment. See our latest analysis for Vita Coco Company. Despite a softer 1-day share price return of 1.9% and a 1-month share price return down 10.2%, Vita Coco Company has a 90-day share price return of 57.0% and a 1-year total shareholder return of 94.8%. This suggests momentum has been building ahead of the...
NYSE:TOL
NYSE:TOLConsumer Durables

Toll Brothers (TOL) Stock Still Looks Reasonable After Its 178% Run

Toll Brothers stock has returned 178.3% over the past five years, and at around US$148.98 the valuation checks and intrinsic value work now both suggest the shares may still be pricing in a discount rather than a premium. A 178.3% return over five years points to a stock that has already rewarded long term holders, so any hint of further undervaluation matters for investors thinking about adding or trimming. Recent launches of higher end communities such as the new 55+ Regency at Valley...
NYSE:SPG
NYSE:SPGRetail REITs

Simon Property Group (SPG) Stock Looks Reasonable On Cash Flow But Stretched After A 136% Run

After a strong five year run, with Simon Property Group stock returning 135.8%, the current market price of US$226.22 still sits below an intrinsic value estimate that points to the shares trading at a discount of about 25.2%. The broader valuation checks also lean in the same direction. Over the last 5 years, Simon Property Group has returned 135.8%. This puts fresh attention on whether the current price still leaves a margin between market value and intrinsic value. Expectations for...
NYSE:ITW
NYSE:ITWMachinery

Illinois Tool Works (ITW) Could Be 2% Undervalued On Earnings Beat Hopes

Illinois Tool Works (ITW) is back in focus as investors look ahead to its upcoming quarterly report, with expectations for higher earnings and revenues and potential for another upside surprise versus consensus estimates. See our latest analysis for Illinois Tool Works. At a share price of US$273.93, Illinois Tool Works has posted a 9.79% year to date share price return. Its 1 year total shareholder return of 6.69% and 5 year total shareholder return of 36.49% point to steadier longer term...
NasdaqCM:GEVO
NasdaqCM:GEVOOil and Gas

Will Gevo (GEVO) Lean Harder Into Deep-Tech R&D With Todd Werpy Joining Its Board?

Gevo, Inc. has appointed Todd Werpy to its Board as a Class II director, effective August 20, 2026, with his term running through the 2027 annual stockholders’ meeting. Werpy’s deep background in sustainable technologies, including senior innovation leadership at Archer-Daniels-Midland and authorship on biomass chemistry, could influence how Gevo advances its low‑carbon fuel and carbon removal ambitions. We’ll now consider how Werpy’s extensive sustainable technology and commercialization...
NasdaqCM:SEZL
NasdaqCM:SEZLDiversified Financial

Can Sezzle (SEZL) Turn Upgraded 2026 Guidance and Accolades Into Durable Competitive Strength?

Sezzle Inc. recently raised its FY2026 financial guidance and, following earlier sector-beating performance, has been recognized by CNBC, Newsweek, and U.S. News & World Report for its fintech innovation, platform quality, and workplace culture. This combination of upgraded outlook and third-party recognition highlights how Sezzle’s positioning in buy-now-pay-later and digital payments is evolving beyond pure growth to broader operational and reputational strength. We’ll now examine how...
NasdaqGS:GH
NasdaqGS:GHHealthcare

Guardant Health (GH) Could Be 3% Undervalued After 48% Revenue Growth

Guardant Health (GH) recently reported a 48% year over year revenue increase in Q1 2026 and raised full year revenue guidance to US$1.30b to US$1.32b, putting its oncology and screening growth in focus. See our latest analysis for Guardant Health. Guardant Health’s recent Q1 update comes after a sharp shift in sentiment, with the stock posting a 90 day share price return of 71.56% and a 1 year total shareholder return of 231.68%, signalling strong momentum despite some short term...
NasdaqCM:RIOT
NasdaqCM:RIOTSoftware

Block Stock and 2 Crypto Linked US Financials Riding Economic Growth

The crypto industry is moving further into the U.S. economic mainstream, with a projected US$55b contribution in 2026 and relatively high wages across more than 232,000 jobs. That kind of income and hiring power can ripple into banks, service providers and regional infrastructure stocks that help support or benefit from digital asset activity, especially in hubs like California, New York and Texas. This article breaks down 3 stocks from the Crypto Driven US Economy Growth Stock Opportunities...
NasdaqGS:GT
NasdaqGS:GTAuto Components

Is Goodyear (GT) Turning Racing Innovation Into a Durable Edge in Sustainable Mobility?

Goodyear Tire & Rubber recently supplied NASCAR Cup Series teams with a newly developed right-side tire for the Brickyard 400 at Indianapolis Motor Speedway, while also renewing its FIA three‑star environmental accreditation for racing operations. Together, these moves highlight how Goodyear is using motorsports as a high‑profile test bed for performance‑oriented innovation aligned with tighter environmental expectations. Next, we’ll examine how Goodyear’s renewed top-tier FIA environmental...
NYSE:DOC
NYSE:DOCHealth Care REITs

Healthpeak Properties (DOC) Stock May Be 42% Undervalued Following A $2.1b Joint Venture

Healthpeak Properties has returned 37.0% year to date, yet its valuation checks send mixed signals, with a Discounted Cash Flow (DCF) estimate pointing to material upside while market multiples suggest the stock screens as expensive. The 37.0% year to date gain may already reflect a lot of optimism about Healthpeak Properties' outlook, so fresh buyers need to think carefully about the margin of safety at current levels. The recent US$2.1b joint venture with Brookfield Asset Management can...
NYSE:MSGE
NYSE:MSGEEntertainment

Is Madison Square Garden Entertainment (MSGE) Pricey Following Its Defamation Lawsuit?

Madison Square Garden Entertainment (MSGE) has filed a defamation lawsuit against Wired Magazine and two reporters, challenging allegations around a purported discriminatory database. This development puts legal and reputational questions in focus for shareholders. See our latest analysis for Madison Square Garden Entertainment. At a share price of $78.18, Madison Square Garden Entertainment has shown strong momentum, with a 90 day share price return of 26.71% and a 1 year total shareholder...
NYSE:PUMP
NYSE:PUMPEnergy Services

ProPetro (PUMP) Stock Looks Above Fair Value Despite 122% Gains

ProPetro Holding has delivered a strong 122.4% return over the past year, yet its shares currently screen as expensive on the broader valuation checks, which raises a clear question about how much upside is already priced in. The stock is up 122.4% over the past year, which puts extra focus on whether recent enthusiasm has moved the price ahead of fundamentals. Expectations around potential growth from freestanding microgrids serving AI data centers can support optimism, while significant...
NasdaqGS:MRTN
NasdaqGS:MRTNTransportation

Has Marten Transport (MRTN) Run Too Far After Momentum And Earnings Upgrades?

Marten Transport (MRTN) is back on investor radars after being highlighted as a strong momentum stock, supported by a Momentum Style Score of B, a Zacks Rank of #2 and rising earnings estimate revisions. See our latest analysis for Marten Transport. The current share price of Marten Transport at US$17.32 sits alongside a 90 day share price return of 16.79% and a year to date share price return of 51.27%. The 1 year total shareholder return of 35.86% contrasts with a 3 year total shareholder...
NYSE:HZO
NYSE:HZOSpecialty Retail

Tariff Refunds Could Change The Outlook For AAON, MarineMax And More

Tariff policy has swung again, and this time billions of dollars in refunds with interest are flowing back to US businesses after a Supreme Court ruling on Trump-era tariffs. That extra cash can matter a lot for small and mid cap Industrials and Consumer Discretionary stocks that import components or finished goods, especially when balance sheets are tight and trade rules keep shifting. This article looks at 3 stocks exposed to this tariff refund story, all potentially positioned on the...