U.S. Retail REITs Stock News

NYSE:LVS
NYSE:LVSHospitality

Las Vegas Sands (LVS) Stock Faces Softer Q2 EPS Challenging Recent Earnings Growth Narrative

Las Vegas Sands (LVS) opened Q2 2026 with total revenue of US$3.2 billion and basic EPS of US$0.53, while trailing 12 month figures show revenue of US$13.7 billion and EPS of US$2.58, alongside reported earnings growth of 22.3% over the past year. Over recent quarters the company has seen revenue range between US$2.9 billion and US$3.6 billion with quarterly EPS between roughly US$0.49 and US$0.85. This sets a clear backdrop for assessing how the latest release fits into that earnings profile...
NYSE:AER
NYSE:AERTrade Distributors

AerCap (AER) Teams Up With Air France KLM On A 50 50 LEAP Engine Venture

AerCap Holdings (NYSE:AER) and Air France Industries KLM Engineering & Maintenance agreed to form a 50/50 joint venture focused on leasing LEAP spare engines. The partnership will acquire and deploy LEAP-1A and LEAP-1B engines to serve airline customers that operate aircraft powered by these models. The joint venture aims to support growing demand for access to modern spare engines as airlines manage fleet utilization and maintenance schedules. For investors following AerCap Holdings, the...
NasdaqGS:GSHD
NasdaqGS:GSHDInsurance

Goosehead Insurance (GSHD) Stock Faces Premium P/E As 8.8% Net Margin Tests Bullish Narrative

Goosehead Insurance (GSHD) has reported another busy quarter, with Q2 2026 revenue of US$113.4 million and basic EPS of US$0.42. Trailing 12 month revenue stands at US$401.5 million and EPS at US$1.44, which offers a broader view of the recent run rate. Over the past six reported quarters, the company has seen revenue range from US$75.4 million to US$113.4 million and basic EPS move between US$0.09 and US$0.50, helping to frame how the latest results fit into its ongoing earnings profile...
NYSE:RRC
NYSE:RRCOil and Gas

Range Resources (RRC) Stock Faces Q2 EPS Slowdown That Tests Bullish Margin Narrative

Range Resources (RRC) has just posted Q2 2026 results with revenue of US$760 million and basic EPS of US$0.83, alongside trailing twelve month revenue of US$3.3 billion and EPS of US$3.64 that reflect the recent 80.1% year over year earnings growth. Over the past five quarters, revenue has ranged between US$656 million and US$1.1 billion, while EPS has moved between US$0.40 and US$1.45. This sets the backdrop for the latest release as investors weigh higher trailing net margins against the...
NYSE:PHM
NYSE:PHMConsumer Durables

PulteGroup (PHM) Stock Faces Margin Compression Challenging Bullish Profitability Narrative

PulteGroup (PHM) opened Q2 2026 with total revenue of US$3,983 million and basic EPS of US$2.49, against a backdrop where trailing twelve month revenue stands at US$16.4 billion and EPS at US$9.88. Over the last five reported quarters, the company has seen revenue range from US$3,409 million to US$4,611 million and basic EPS fluctuate between US$1.81 and US$3.05. This gives investors a clear look at how the top line and per share earnings have moved across different housing cycles. With net...
NYSE:RDN
NYSE:RDNDiversified Financial

Radian (RDN) Stock Still Looks Cheap As Its 5 Year Return Looks Strong

Radian Group has quietly delivered a 100.2% total return over the past five years, and with the stock recently closing at US$38.23, the current valuation now matters more than the past share price performance. A 100.2% return over five years suggests Radian Group has already rewarded patient shareholders, so fresh buyers need to judge whether there is still enough value support at today's price. Future cash generation from its insurance and mortgage related activities can support the current...
NYSE:CCI
NYSE:CCISpecialized REITs

Crown Castle (CCI) Completes $1 Billion Buyback Of More Than 11 Million Shares

Crown Castle (NYSE:CCI) has completed a $1b share buyback announced in May 2026. The company repurchased more than 11 million shares, equal to 2.59% of its share count. The buyback reduces the number of shares outstanding and adjusts the ownership mix among remaining shareholders. Crown Castle, trading around $77.5, has seen its share price decline 26.0% over the past year and 48.9% over the past five years. The recently completed $1b buyback, covering 2.59% of the company, comes against...
NYSE:IBP
NYSE:IBPConsumer Durables

Installed Building Products (IBP) Stock Trades Near Fair Value But At An Earnings Premium

Installed Building Products has delivered a strong 109.5% total return over the past 5 years. However, its valuation checks send a more cautious signal, with the Discounted Cash Flow (DCF) intrinsic value estimate pointing to roughly fair pricing, while market multiples appear elevated. A 109.5% total return over 5 years suggests Installed Building Products has already rewarded long term shareholders, which can limit the margin of safety at today’s price. Expectations around future cash flow...
NasdaqGS:SEDG
NasdaqGS:SEDGSemiconductor

SolarEdge (SEDG) Stock Looks Cheap On Sales But Weak On Returns

SolarEdge Technologies stock sits in an awkward spot for valuation focused investors, with a sharp 81.2% decline over the past 5 years set against recent share price strength and a valuation score that points to a mixed picture rather than a clear bargain or clear overvaluation. Over 5 years, SolarEdge Technologies has fallen 81.2%, which means anyone who bought and held through that period has seen most of their capital eroded and may now be reassessing what price makes sense. Recent...
NasdaqGS:AAL
NasdaqGS:AALAirlines

NextEra Energy Stock Faces Rising Rate Pressure As Oil And Yields Climb

Oil above $100 a barrel and US Treasury yields above 4.7% on the 10-year and 5.18% on the 30-year are not just headlines; they directly influence company costs, financing, and valuations. Some stocks can potentially benefit when rates rise or energy prices spike, while others may face pressure from higher fuel bills or more expensive debt. This article walks through three stocks exposed to these twin shocks, explaining one case where the backdrop could be a tailwind and two where it may be a...
NasdaqGS:SFNC
NasdaqGS:SFNCBanks

Stronger Q2 Results And Share Buyback Might Change The Case For Investing In Simmons First (SFNC)

Simmons First National Corporation recently reported past second-quarter 2026 results, with net interest income of US$200.63 million, net income of US$66.69 million and net loan charge-offs of US$9.12 million, all measured against the same period a year earlier. The bank also completed a repurchase of 700,000 shares for US$15.06 million, a capital allocation move that sits alongside higher earnings and lower loan charge-offs to shape how investors assess its financial profile. We’ll now...
NasdaqGS:TTMI
NasdaqGS:TTMIElectronic

TTM’s Farnborough AI Data Center And Defense Showcase Could Be A Game Changer For TTM Technologies (TTMI)

In July 2026, TTM Technologies presented its aerospace, defense, and advanced electronics capabilities at the Farnborough International Airshow in the United Kingdom, highlighting its mission systems, RF components, and complex PCB solutions for global customers. The event underscored TTM's growing role in supplying high-end electronics for AI data center infrastructure and mission-critical defense hardware, reinforcing its position in these specialized markets. We’ll now examine how TTM’s...
NasdaqGS:LEGN
NasdaqGS:LEGNBiotechs

3 U.S. Pharma Stocks Worth Watching After New Import Tariffs

Tariffs are moving again, and that can quickly change the risk and reward profile for U.S. manufacturers. With new charges on Brazilian and Canadian imports, ongoing levies on metals, autos, timber and semiconductors, and a fresh 100% tariff on many pharmaceuticals, investors are asking which domestic producers might stand to benefit. This article looks at stocks from a U.S. Domestic Manufacturing Stocks screener that are closely exposed to these tariff shifts, and will walk through 3...
NasdaqGM:AXSM
NasdaqGM:AXSMPharmaceuticals

Axsome Therapeutics (AXSM) Wins FDA Acceptance For AXS 12 In Narcolepsy

Axsome Therapeutics reported that the FDA has accepted its New Drug Application for AXS-12 for the treatment of cataplexy in narcolepsy. The FDA does not plan to hold an advisory committee meeting as part of the review. The filing acceptance marks a key regulatory step for AXS-12, a potential option for a serious sleep disorder with unmet medical need. For Axsome Therapeutics (NasdaqGM:AXSM), this regulatory milestone arrives with the stock trading around $239.62 and a very large 3 year and...
NYSE:URI
NYSE:URITrade Distributors

United Rentals (URI) Stock May Be Pricey Despite Its 229% Run

United Rentals stock has delivered a strong 229.4% return over the past five years, yet its valuation checks are sending mixed messages, with the Discounted Cash Flow (DCF) intrinsic value estimate pointing to a premium while market multiples lean the other way. For investors trying to assess what the current US$1,035.06 share price really reflects, the split between these frameworks is central. Over five years United Rentals has returned 229.4%, which puts extra focus on whether recent...
NasdaqGS:SLDE
NasdaqGS:SLDEInsurance

Founder Led Stocks With Growth Stories Retail Investors Should Watch

With inflation, energy prices and interest rate expectations all pulling markets in different directions, many investors are looking for leaders whose interests are closely tied to long term outcomes rather than short term headlines. Founder led companies can fit that brief, as founders often have more of their own wealth, reputation and time invested in the business. This article looks at a curated Founder Led Companies screener that focuses on leaders who are personally committed to...
NYSE:HLI
NYSE:HLICapital Markets

Houlihan Lokey (HLI) Stock Looks Undervalued On Fair Value Yet Overvalued On Earnings

Houlihan Lokey stock has delivered a 76.5% total return over the past five years, yet its current valuation picture is split, with the Excess Returns intrinsic value estimate pointing to upside while earnings based multiples suggest the shares trade at a richer level. Over five years, a 76.5% return suggests Houlihan Lokey has rewarded patient shareholders, even though the share price has recently been under pressure. For a specialist advisory firm like Houlihan Lokey, expectations for...
NasdaqGS:ENVX
NasdaqGS:ENVXElectrical

Does Enovix (ENVX) Elevating an Ex-Apple Operator Reframe Its Global Scaling Narrative?

Enovix Corporation announced that Dr. Michael Vyvoda, a former Apple Product Operations Director who helped scale AirPods manufacturing, joined as Chief Operating Officer on July 29, 2026, taking charge of global manufacturing, supply chain and operations engineering across Malaysia, Korea and India. By consolidating key operations leaders under a single COO with deep high-volume manufacturing experience, Enovix is signaling a reinforced focus on execution as it expands global...
NYSE:NU
NYSE:NUBanks

Nu Holdings (NU) Stock Looks Overvalued As Its 85% Run Continues

Nu Holdings has delivered an 84.8% return over the past three years, yet its valuation signals are split, with an Excess Returns intrinsic value estimate suggesting about 11.1% upside while market multiples lean toward the stock looking expensive. Nu Holdings' 84.8% return over three years puts recent shareholders in a strong position. This raises the question of how much upside is left from here. Recent progress on full banking licenses in Brazil and Mexico can support expectations for...
NYSE:RH
NYSE:RHSpecialty Retail

RH (RH) Stock Still Looks Overvalued Despite Its 74% Five Year Slump

RH stock has had a difficult run over the past few years, and the latest valuation work points to shares trading at a premium, with both a Discounted Cash Flow (DCF) intrinsic value estimate and earnings multiples indicating the stock screens as overvalued rather than as a clear bargain. RH has declined about 74.0% over the past five years, which means long term shareholders are still sitting on sizeable losses despite shorter term rebounds. Expectations for stronger earnings growth...
NYSE:VST
NYSE:VSTRenewable Energy

Vistra (VST) Stock Looks Fairly Valued As AI Power Limits Emerge

Vistra stock has delivered an extremely strong 5 year return, but after that run the valuation screens now point to something closer to a middle ground than a clear bargain or clear excess. Over the last 5 years, Vistra has returned about 8.4x an initial investment, which puts extra focus on whether the current price still reflects its fundamentals. Growing attention on power demand from data centers and AI infrastructure can support long term earnings expectations for Vistra, while...
NYSE:VICI
NYSE:VICISpecialized REITs

High Yield Dividend Stocks With Balance Sheet Strength Worth Watching

Big Tech’s rush to issue AI-related debt is pouring hundreds of billions into the bond market, helping push long-term Treasury yields toward 5% and making risk free income look more appealing. That shift can weigh on share prices; yet it also shines a spotlight on high-yield dividend stocks with at least 3% yields, moderate risk scores, and manageable leverage. For investors who want income but are cautious about heavy borrowing costs, this screen surfaces companies that may handle higher...
NYSE:LOW
NYSE:LOWSpecialty Retail

Lowe's (LOW) Stock May Be 10% Undervalued On AI Growth Plans

Lowe's Companies has had a soft start to 2026, with the share price down 17.2% year to date, while both intrinsic value checks and market multiples currently point to the stock trading below what its cash flows may justify. For investors, that sets up a clear tension between recent share price weakness and valuation signals that lean supportive. The stock has declined 17.2% so far this year, which means sentiment has cooled even as the long term business case is still being...
NYSE:ASAN
NYSE:ASANSoftware

Asana (ASAN) Loses Chief Accounting Officer, Is The Stock Still Trading At A Discount?

Resignation of Asana’s Chief Accounting Officer Asana (ASAN) recently disclosed that Chief Accounting Officer and Principal Accounting Officer Veronica Sosa has resigned, with her departure effective August 7, 2026, following a transition period in her current role. The company stated that Sosa’s resignation did not arise from any disagreements with Asana regarding operations, policies, practices, or accounting matters, which may guide how investors interpret this leadership change. See our...