U.S. Retail REITs Stock News

NYSE:TMHC
NYSE:TMHCConsumer Durables

Taylor Morrison (TMHC) Is Now Private After Berkshire Hathaway Closes Acquisition

Berkshire Hathaway has completed its acquisition of Taylor Morrison Home, previously listed as NYSE:TMHC. The transaction converts Taylor Morrison Home into a privately held company while keeping its existing management team in place. The company is expected to undergo board and governance changes under the oversight of Berkshire Hathaway. Taylor Morrison stock, which last closed at $72.45, will no longer trade on public exchanges or be included in equity indices. Taylor Morrison Home,...
NYSE:WSM
NYSE:WSMSpecialty Retail

Williams Sonoma (WSM) Could Be 17% Below Fair Value On Earnings Optimism

Williams-Sonoma (WSM) is back in focus as investors look ahead to the company’s upcoming quarterly earnings report, with recent stock moves shaped by its history of outperforming earnings expectations and cautiously positive analyst sentiment. See our latest analysis for Williams-Sonoma. At a share price of $226.74, Williams-Sonoma has seen a 3.72% 1 day share price gain, while its 90 day share price return of 18.99% and 1 year total shareholder return of 26.54% point to momentum that has...
NYSE:CFR
NYSE:CFRBanks

Cullen/Frost Bankers (CFR) Stock Looks Like A Bargain Despite Premium Earnings Pricing

Cullen/Frost Bankers has delivered a 77.5% total return over the past five years, yet its valuation checks send mixed signals, with an intrinsic value estimate from the Excess Returns model suggesting the stock trades at a discount while traditional market multiples lean the other way. A 77.5% five year return can make Cullen/Frost Bankers look like a long term winner, but it also raises the bar for what counts as good value today. Expectation of further earnings strength may support the...
NasdaqCM:AHG
NasdaqCM:AHGHealthcare

The Bull Case For Akso Health Group (AHG) Could Change Following Sharply Narrowed Full-Year Net Loss - Learn Why

Akso Health Group has released its full-year results for the period ended March 31, 2026, reporting sales of US$13.84 million and revenue of US$13.83 million, alongside a net loss of US$18.67 million. While top-line figures were slightly lower than the prior year, the loss per share narrowed to US$0.03, pointing to significantly improved cost control or operational efficiency. We’ll now examine how this sharp reduction in net loss shapes Akso Health Group’s investment narrative and what it...
NYSE:CLF
NYSE:CLFMetals and Mining

Cleveland-Cliffs (CLF) Stock Faces Ongoing Losses As Q2 EPS Miss Undercuts Recovery Narrative

Cleveland-Cliffs (CLF) has just posted Q2 2026 results with revenue of US$5.2 billion and a basic EPS loss of US$0.25, while net income excluding extra items came in at a loss of US$143 million. The company has seen quarterly revenue move from US$4.3 billion in Q4 2025 to US$4.9 billion in Q1 2026 and US$5.2 billion in Q2 2026, as quarterly basic EPS loss narrowed from US$0.44 in Q4 2025 to US$0.41 in Q1 2026 and US$0.25 in Q2 2026. This sets up an earnings season in which investors are...
NYSE:LMT
NYSE:LMTAerospace & Defense

Lockheed Martin (LMT) Stock Looks Like A Bargain As Cash Flow And Earnings Align

Lockheed Martin stock has climbed 79.4% over the past five years, yet Simply Wall St's valuation work suggests the shares may still trade below intrinsic value. Both the Discounted Cash Flow (DCF) estimate and market multiples point to an undervalued setup rather than an overly stretched one. Over the last five years, a 79.4% total return indicates investors have already priced in a lot of good news. The key question is whether the current level still leaves a margin between price and...
NYSE:ABT
NYSE:ABTMedical Equipment

Abbott Laboratories (ABT) Could Be 14% Undervalued On Mixed Earnings And Growth Focus

Abbott Laboratories (ABT) is back on investors’ radar after second quarter 2026 earnings showed higher year over year sales alongside lower net income and earnings per share, refocusing attention on future growth drivers. See our latest analysis for Abbott Laboratories. The latest earnings release appears to have reset expectations for Abbott Laboratories, with the share price up 13.9% over 30 days and 13.1% over 90 days, even as the year to date share price return and one year total...
NYSE:MAIN
NYSE:MAINCapital Markets

The Bull Case For Main Street Capital (MAIN) Could Change Following Questions On Supplemental Dividend Sustainability

Earlier this week, Main Street Capital drew attention as investors looked ahead to its now-upcoming August 6, 2026 earnings report and fresh profit and revenue expectations. The discussion has increasingly centered on how any shift in supplemental dividends and credit conditions could reshape the company’s income profile and perceived value. We’ll now examine how concerns over supplemental dividend sustainability may influence Main Street Capital’s broader investment narrative and...
NYSE:KOF
NYSE:KOFBeverage

Coca Cola FEMSA (KOF) Stock Looks Cheap After A 121% Five Year Run

Coca-Cola FEMSA. de stock has delivered a 120.8% total return over the past 5 years, and today its intrinsic value estimate using a Discounted Cash Flow (DCF) approach points to the shares trading at a discount, while earnings based multiples send a similar undervalued signal. A 120.8% gain over 5 years suggests Coca-Cola FEMSA. de has already rewarded long term shareholders, so any valuation gap now matters more to fresh capital. For the current price to align with the intrinsic value...
NYSE:TMO
NYSE:TMOLife Sciences

Thermo Fisher Scientific (TMO) Stock Faces Margin Stagnation That Tests Bullish Earnings Narrative

Thermo Fisher Scientific (TMO) has just posted its Q2 2026 numbers, with revenue of about US$12.0 billion and basic EPS of US$4.68 helping to shape how investors assess the latest half year, while trailing 12 month EPS sits at US$18.63 on revenue of roughly US$46.3 billion. Over the past few quarters, revenue has moved from US$10.9 billion in Q2 2025 to US$12.0 billion in Q2 2026, and quarterly basic EPS has shifted from US$4.28 to US$4.68. This sets up a results season where margins and...
NasdaqGS:TCOM
NasdaqGS:TCOMHospitality

Trip.com Group (NasdaqGS:TCOM) Faces 5.2b Yuan Antitrust Fine Over Hotel Booking Practices

China's market regulator has imposed a major antitrust fine on Trip.com Group (NasdaqGS:TCOM) related to hotel booking practices. Authorities found the company used exclusive arrangements and technical measures that allegedly restricted competition in online hotel distribution. The decision includes corrective requirements aimed at changing how Trip.com Group works with hotel partners and manages platform access. Trip.com Group is a leading online travel services provider, with hotel...
NasdaqGS:RUN
NasdaqGS:RUNElectrical

Sunrun (RUN) Expands California Power Plant To 425 MW Across 80,000 Homes

Sunrun (NasdaqGS:RUN) is expanding its Californian distributed power plant to support the state grid with 425 MW of peak capacity. The virtual power plant now spans more than 80,000 households equipped with residential battery systems. The portfolio is integrating with two major state grid service programs to provide utility scale support from distributed resources. Sunrun sits at the intersection of residential solar, battery storage, and grid services, and this expanded virtual power...
NasdaqGS:ZVRA
NasdaqGS:ZVRAPharmaceuticals

Zevra Therapeutics (ZVRA) Following EMA Setback Is The Sell Off A Valuation Gap

Zevra Therapeutics (ZVRA) is back in focus after the European Medicines Agency’s CHMP issued a negative opinion on arimoclomol for Niemann Pick disease type C, prompting a planned re examination and a sharp share price reaction. See our latest analysis for Zevra Therapeutics. The CHMP setback has hit sentiment hard in the short term, with Zevra Therapeutics’ share price down 23.92% over one day and 27.18% over 30 days. However, its year to date share price return of 14.21% and three year...
NYSE:RSG
NYSE:RSGCommercial Services

Republic Services (RSG) Stock Looks Undervalued Even After A 95% Run

Republic Services stock has nearly doubled over the past five years, yet the valuation picture is split, with a Discounted Cash Flow (DCF) intrinsic value estimate pointing to meaningful upside while market multiples make the shares look expensive. Republic Services has returned about 95.2% over five years, which puts longer term holders in a strong position even though the stock is down 10.5% over the last year. Steady cash flow generation from waste collection and disposal contracts can...
NYSE:A
NYSE:ALife Sciences

Agilent (A) Stock May Be 22% Below Fair Value As HALO Investment Grows

Agilent Technologies stock has delivered a 16.2% return over the past year, yet there is a clear split in what the valuation tools are saying, with a Discounted Cash Flow (DCF) intrinsic value estimate pointing to upside while market multiples suggest the shares are pricing in a richer scenario. Agilent Technologies' 16.2% one year return suggests the market has been willing to pay more for its cash flow potential, even without a dramatic re rating. The recent increase in investment in HALO...
NYSE:TDC
NYSE:TDCSoftware

Is Teradata (TDC) Using Autonomous Knowledge To Quietly Redefine Its AI Economics?

In mid-July 2026, Teradata announced that its Teradata Autonomous Knowledge Platform is now generally available across cloud, on‑premises, and hybrid environments, alongside Teradata Cloud on AWS, Teradata Factory for on‑premises AI, and the unified Teradata AI Studio and AI Services suite. This launch signals Teradata’s push to make “autonomous knowledge” a core enterprise capability, combining agentic AI, governance, and flexible pricing models that reflect how AI agents actually consume...
NYSE:VZ
NYSE:VZTelecom

Verizon (VZ) Stock May Be A Bargain At This Price

Verizon Communications has delivered a 66.7% return over the past three years, yet its valuation checks paint a more nuanced picture, with the stock screening as undervalued on market multiples but only scoring moderately on broader value tests. With recent news highlighting both growth initiatives and cost cuts, investors are weighing whether the current price already reflects much of that progress. Over the past three years, Verizon Communications has returned 66.7%, which puts current...
NasdaqGS:UCTT
NasdaqGS:UCTTSemiconductor

Ultra Clean Holdings (UCTT) Stock May Be Fairly Priced As Sales Value Lingers

Ultra Clean Holdings stock has delivered a very large 1 year return, yet the valuation picture appears more balanced. The intrinsic value estimate from a Discounted Cash Flow (DCF) model is close to the current share price, while market-based multiples still point to some undervaluation. Ultra Clean Holdings is up about 287.1% over the past year, which puts extra focus on whether the current price still leaves enough valuation cushion. Expectations for continued cash flow generation from its...
NasdaqGS:PSKY
NasdaqGS:PSKYMedia

Paramount Skydance (PSKY) Following Debt Offer Extension Has An Undervalued Narrative In Focus

Paramount Skydance (PSKY) is back in focus after Discovery affiliates extended the tender and exchange offer deadlines for Warner Bros. Discovery notes. These notes will be swapped into new Paramount debt, in connection with the pending Warner Bros. Discovery acquisition. See our latest analysis for Paramount Skydance. Despite the recent regulatory approvals and the extended debt tender and exchange offers, Paramount Skydance's short term momentum has been weak, with the share price down...
NYSE:VEEV
NYSE:VEEVHealthcare Services

Should Veeva’s Upgraded 2027 Outlook and Q2 Earnings Setup Require Action From Veeva Systems (VEEV) Investors?

In recent days, Veeva Systems prepared to report its fiscal Q2 2027 results after previously raising its fiscal 2027 guidance for revenue and adjusted earnings, drawing heightened analyst attention. This combination of upgraded outlook and approaching earnings has highlighted the tension between generally optimistic brokerage views and more measured ratings that stress caution. We’ll now examine how Veeva’s raised fiscal 2027 guidance, set against mixed analyst ratings, reshapes the...
NYSE:GE
NYSE:GEAerospace & Defense

GE (GE) Stock Could Trade At A Cash Flow Premium While Earnings Look Fair

After a huge 5 year run that has lifted General Electric shares by about 462%, the stock now sits in an awkward middle ground, with a Discounted Cash Flow (DCF) intrinsic value estimate pointing to a premium and the broader valuation checks suggesting it is not an obvious bargain. The very large 5 year return of roughly 4.6x highlights how much optimism is already reflected in General Electric's share price. Recent hybrid electric aviation milestones and large engine commitments can support...
NasdaqGS:NVMI
NasdaqGS:NVMISemiconductor

3 AI Hardware Stocks Riding The Nvidia And SK Hynix Buildout

The recent Nvidia and SK Hynix agreement for high bandwidth memory and massive data center capacity has pushed AI hardware and infrastructure back into the spotlight, and it could reshape how investors think about the companies that supply the core building blocks for advanced computing. This kind of long term supply deal and planned 2 gigawatt data center buildout signal that the demand story around AI infrastructure is not just a short term headline. In this article, you will see 3 stocks...
NYSE:AMBP
NYSE:AMBPPackaging

Ardagh Metal Packaging (AMBP) Stock Sees Q2 Profit That Tests Bullish Earnings Narratives

Ardagh Metal Packaging (NYSE:AMBP) has reported Q2 2026 results with revenue of US$1.7 billion and basic EPS of US$0.06, alongside net income of US$35 million, while the trailing twelve months show revenue of US$6.0 billion and EPS of US$0.03. Over the past few quarters, the company has seen revenue move from US$1.5 billion in Q1 2026 and US$1.3 billion in Q4 2025 to the latest US$1.7 billion print, with EPS and net income shifting between small profits and losses over that period. For...
NYSE:ALB
NYSE:ALBChemicals

Fortum Stock And the Sand Battery Shift Investors Need To Watch

The launch of the world’s largest commercial sand battery in Finland has pushed thermal energy storage from a niche concept into a real world test of what comes next for renewable power, heating, and traditional fuel supply chains. For investors, the news underscores how quickly expectations can shift for companies tied to lithium, wood based fuels, and large scale district energy systems. This article examines three stocks with exposure to the sand battery story, one that could be positioned...