U.S. Retail REITs Stock News

NYSE:LLY
NYSE:LLYPharmaceuticals

Eli Lilly Stock And 2 Obesity Drug Shares Worth A Closer Look

The legal clash between Novo Nordisk and Eli Lilly over GLP-1 drug advertising puts a spotlight on how powerful marketing claims can be in shaping demand for obesity and diabetes treatments. When a core message about efficacy is challenged, it can influence market share expectations, brand strength, and how investors view related stocks. This article looks at 3 stocks that appear positively exposed to this news, using a focused screener of companies linked to obesity and diabetes treatments...
NYSE:RLJ
NYSE:RLJHotel and Resort REITs

RLJ Lodging Trust (RLJ) Could Be 8% Below Fair Value On Its $13 Narrative

RLJ Lodging Trust (RLJ) has attracted investor attention after recent share price moves, with the stock last closing at $12. This puts the real estate investment trust in focus for readers tracking hotel focused REITs. See our latest analysis for RLJ Lodging Trust. The recent move to a $12 share price comes after a strong run, with RLJ Lodging Trust showing solid short term share price momentum and a multi year total shareholder return that has been positive but more modest. If strong hotel...
NYSE:CHWY
NYSE:CHWYSpecialty Retail

Oil Prices Could Lift Sea Stock And Other Consumer Discretionary Picks

With oil and natural gas prices under pressure, some consumer discretionary stocks are finding a very different backdrop for their costs and demand outlook. Lower energy prices can ease logistics and production expenses for retailers, travel and leisure companies, and automakers, while also leaving some consumers with more room in their budgets. This article looks at how the recent pullback in WTI and Brent crude, along with weaker natural gas futures, connects to three large consumer...
NYSE:MHO
NYSE:MHOConsumer Durables

M/I Homes (MHO) Heads Into Earnings With A Valuation Debate In Focus

M/I Homes (MHO) heads into its July 29, 2026 earnings report with investors watching how an expected EPS decline lines up against a forecasted revenue increase and recent share price weakness. See our latest analysis for M/I Homes. M/I Homes shares have pulled back slightly in the run up to earnings, with a 1 day share price return of a 1.92% decline and a 30 day share price return of a 1.63% decline. However, the 90 day share price return of 13.8% and 1 year total shareholder return of...
NasdaqGS:AVO
NasdaqGS:AVOFood

July 2026's Undervalued Small Caps With Insider Buying Across Regions

Over the last 7 days, the United States market has experienced a slight dip of 1.4%, yet it has shown resilience with a 17% rise over the past year and an anticipated annual earnings growth of 18% in the coming years. In this context, identifying stocks that are potentially undervalued and have insider buying activity can be crucial for investors looking to capitalize on opportunities within small-cap segments.
NasdaqGS:STX
NasdaqGS:STXTech

Exploring 3 High Growth Tech Stocks In The US Market

Over the last 7 days, the United States market has dropped 1.4%, but it remains up by 17% over the past year with earnings forecasted to grow by 18% annually. In this dynamic environment, identifying high growth tech stocks involves looking for companies that demonstrate strong innovation and scalability potential, aligning well with these optimistic growth forecasts.
NYSE:VSXY
NYSE:VSXYSpecialty Retail

3 Stocks That May Be Undervalued In July 2026

Over the last 7 days, the United States market has experienced a slight decline of 1.4%, yet it remains up by 17% over the past year, with earnings anticipated to grow by 18% annually. In this context, identifying stocks that may be undervalued involves looking for those with strong fundamentals and growth potential that are not fully reflected in their current prices.
NasdaqCM:SWMR
NasdaqCM:SWMRAerospace & Defense

Top Growth Firms With Insider Confidence July 2026

Over the last 7 days, the United States market has experienced a slight decline of 1.4%, yet it has risen by an impressive 17% over the past year, with earnings anticipated to grow by 18% annually in the coming years. In this context, identifying growth companies with high insider ownership can be crucial as it often signals strong internal confidence and alignment with shareholder interests amidst evolving market conditions.
NasdaqCM:ALTI
NasdaqCM:ALTICapital Markets

AlTi Global Leads Our Selection Of 3 Promising Penny Stocks

Over the last 7 days, the United States market has dropped 1.4%, though it remains up 17% over the past year with earnings forecast to grow by 18% annually. Investing in penny stocks, a term that may seem outdated but still holds relevance, can offer unique growth opportunities typically found in smaller or newer companies. By focusing on those with strong financial health and solid fundamentals, investors might uncover hidden gems that align well with current market conditions.
NasdaqGS:OSIS
NasdaqGS:OSISElectronic

OSI Systems (OSIS) Stock Looks Cheap On Cash Flow Even After Strong Returns

OSI Systems stock has pulled back recently after a strong multi year run, yet the company still screens as undervalued on both its intrinsic value estimate, based on a Discounted Cash Flow (DCF) model, and market based multiples. That combination puts the focus squarely on whether the recent share price weakness has moved the stock further away from, or closer to, its estimated intrinsic value. Over the last 5 years, OSI Systems has delivered a total return of about 116.7%, which means long...
NasdaqGS:CTBI
NasdaqGS:CTBIBanks

Does Stronger Net Interest Income And Lower Charge-Offs Change The Bull Case For Community Trust Bancorp (CTBI)?

In the past quarter, Community Trust Bancorp, Inc. reported second-quarter 2026 results showing net interest income of US$60.89 million and net income of US$29.62 million, with basic earnings per share from continuing operations of US$1.64. An interesting detail for investors is that net charge-offs fell to US$917,000 from US$1.35 million a year earlier, suggesting improved credit quality alongside higher earnings. We’ll now examine how stronger net interest income and lower net...
NYSE:GPN
NYSE:GPNDiversified Financial

US Stock Market Today: S&P 500 Futures Edge Higher On Mixed Inflation And Rate Worries

The Morning Bull - US Market Morning Update Tuesday, Jul, 21 2026 US stock futures are pointing slightly higher this morning, with S&P 500 contracts up about 0.2% and Nasdaq 100 futures ahead roughly 0.4%, as investors weigh a mix of interest rate worries and fresh economic clues. The 10 year US government bond yield is around 4.57%, which means borrowing costs across the economy remain relatively expensive and keeps pressure on rate sensitive areas like housing, utilities and smaller...
NYSE:WOR
NYSE:WORMachinery

Tariffs Could Lift These U.S. Small Cap Value Stocks

The latest U.S. tariffs on a wide range of Canadian imports have put cross border trade in the spotlight, and that can matter a lot for smaller domestic stocks. When trade frictions rise and the focus shifts to protecting local producers, some U.S. small cap value stocks with modest international exposure can look very different from their larger, globally reliant peers. This article walks through three stocks from a U.S. Small Cap Value Stocks screener that are directly exposed to the tariff...
NasdaqGS:ROKU
NasdaqGS:ROKUEntertainment

Roku Stock Leads 3 Media And Entertainment Picks As Merger Uncertainty Grows

The blocked path for Paramount’s proposed $110b tie up with Warner Bros Discovery has put fresh attention on how concentrated the media and entertainment industry might become, and what that means for competition, pricing power, and risk. With a federal judge pausing the deal and penalty fees of $650m per delayed quarter on the table, investors are reassessing which stocks are most directly exposed to this legal uncertainty, and which might benefit if the merger stalls or reshapes. This...
NasdaqGS:HBT
NasdaqGS:HBTBanks

3 US Bank Stocks Built For Higher Long Term Interest Rates

With U.S. federal debt at $39.5 trillion and the 30 year Treasury yield touching 5.06%, long term interest rates are back in focus for anyone looking at bank and insurance stocks. Higher government borrowing costs can reshape funding, lending, and investment returns across the financial sector, while shrinking fiscal room may change how future slowdowns are handled. This article breaks down what that backdrop could mean for large, established financial companies and highlights 3 stocks from...
NYSE:MTN
NYSE:MTNHospitality

Should Vail Resorts' (MTN) Epic Experience Overhaul Redefine Its Competitive Edge in Destination Skiing?

Earlier this month, Vail Resorts announced a multi-year Epic Experience transformation to upgrade food, private lessons, gear rentals and its My Epic app across its network of premier mountain destinations. The company is aiming to create a more seamless, personalized ski trip by combining concierge-style lesson services, curated high-performance rentals and AI-powered digital trip planning without raising food prices beyond normal inflation. We’ll now examine how this push toward a more...
NYSE:NI
NYSE:NIIntegrated Utilities

NiSource (NI) Stock May Be 21% Stretched On Dividend Fundamentals

After a 111.9% total return over the past 5 years, NiSource now trades at a level where the intrinsic value estimate from a Dividend Discount Model (DDM) points to a premium to current fundamentals, while broader valuation checks suggest the stock looks more expensive than cheap rather than clearly mispriced. NiSource has delivered 111.9% over 5 years, which puts the current share price in the context of a strong longer term run that investors will want to reassess against fundamentals. The...
NYSE:AU
NYSE:AUMetals and Mining

AngloGold Ashanti (AU) Stock Still Looks Below Fair Value After Geita Financing

AngloGold Ashanti has delivered a very large 5 year return while the broader valuation checks still lean cheap, which raises the question of whether the recent pullback has left the stock trading below what its fundamentals may justify. Over 5 years, AngloGold Ashanti has returned 338.0%, which suggests long term holders have already captured substantial value that newer investors now need to weigh against current pricing. The recent US$500 million financing for the Geita mine can support...
NYSE:MTB
NYSE:MTBBanks

M&T Bank Stock Leads 3 US Banks Returning Cash Through Dividends And Buybacks

When markets are pulled between falling bond yields, softer housing data, and sharp single stock moves, it helps to focus on companies that return cash to shareholders through dividends and buybacks. Our Dividend and Buyback-Focused Value Stocks screener does exactly that, spotlighting large caps with solid balance sheets, lower risk profiles, and a history of paying investors directly. With S&P 500 futures under pressure and housing-related stocks feeling the strain of high mortgage rates,...