NasdaqGM:TKNO
NasdaqGM:TKNOLife Sciences

3 Promising Penny Stocks With Market Caps Over $10M

As the U.S. stock market navigates a landscape marked by anticipation of Federal Reserve interest rate decisions and major tech earnings, investors are exploring diverse opportunities for growth. Penny stocks, often associated with smaller or emerging companies, continue to capture attention due to their affordability and potential for significant returns. Despite being considered an outdated term, these stocks can still offer valuable prospects when backed by strong financials and solid...
NasdaqGS:LX
NasdaqGS:LXConsumer Finance

Does LexinFintech Holdings' (LX) $50 Million Buyback Reveal Shifting Priorities in Capital Allocation?

On July 21, 2025, LexinFintech Holdings announced that its Board of Directors had authorized a share repurchase program of up to US$50 million, valid over the next 12 months. This move is often interpreted by the market as a sign that management sees value in the company's shares and is committed to returning capital to shareholders. We will explore how the new buyback program could influence LexinFintech's investment case and shareholder value priorities. Find companies with promising cash...
NYSE:VRTS
NYSE:VRTSCapital Markets

Will Virtus Investment Partners’ (VRTS) Buybacks Sustain Profit Growth Amid Falling Revenue?

Virtus Investment Partners recently reported its second quarter 2025 results, highlighting US$210.53 million in revenue and a significant increase in net income to US$42.37 million, alongside continued execution of its substantial share buyback program. An interesting point was that the company's net income and earnings per share grew despite a year-over-year decline in revenue, supported by management's active share repurchases. Next, we'll explore how Virtus Investment Partners' rising...
NYSE:EFC
NYSE:EFCMortgage REITs

Could Ellington Financial's (EFC) Earnings Preview Reveal New Priorities for Loan Growth and Debt Strategy?

Ellington Financial recently announced preliminary earnings guidance for the second quarter ended June 30, 2025, estimating net income per share between US$0.43 and US$0.47. This early disclosure of financial performance signals the company’s focus on transparency and may prompt investor attention to its evolving outlook. We'll look at how Ellington Financial's updated earnings forecast impacts its investment narrative around loan portfolio growth and debt refinancing. The end of cancer?...
NasdaqGS:PINC
NasdaqGS:PINCHealthcare

Will a New Partnership With Beyond Air Reshape Premier's (PINC) Healthcare Solutions and Technology Strategy?

Earlier this month, Premier entered into a national group purchasing agreement with Beyond Air, Inc., granting its members access to special pricing and terms for the LungFit PH system and NO2 Smart Filters used in respiratory care. This partnership brings innovative nitric oxide technology directly to Premier’s network, potentially supporting greater access to advanced therapeutic gases for critically ill patients. We’ll assess how the expanded access to Beyond Air’s technology may impact...
NasdaqGM:IRON
NasdaqGM:IRONBiotechs

FDA Accelerated Pathway Feedback on Bitopertin Might Change the Case for Investing in Disc Medicine (IRON)

Earlier this month, Disc Medicine reported positive feedback from the U.S. FDA regarding its planned New Drug Application submission for bitopertin as a potential treatment for erythropoietic protoporphyria (EPP), targeting an October 2025 filing under the accelerated approval pathway. This milestone highlights bitopertin’s potential to address a significant unmet need for EPP patients, who currently have extremely limited disease-modifying treatment options. We'll assess how this regulatory...
NYSE:OI
NYSE:OIPackaging

Will O-I Glass' (OI) Swing to Q2 Net Loss Reshape Its Sustainable Growth Narrative?

O-I Glass reported second quarter 2025 earnings, revealing sales of US$1.71 billion and a net loss of US$5 million, reversing from a net income of US$57 million during the same period last year. This shift from profit to loss highlights operational headwinds or softer demand, raising questions about the company’s resilience in the current market environment. We'll assess how the swing to a net loss impacts O-I Glass’s investment narrative focused on sustainable packaging growth and...
NYSE:DX
NYSE:DXMortgage REITs

How Investors May Respond To Dynex Capital (DX) Shelf Registration Following Recent Quarterly Losses

Dynex Capital recently reported a net loss of US$13.61 million for the second quarter and US$16.68 million for the first half of 2025, with losses also reflected on a per share basis. The company has filed a shelf registration covering multiple types of securities, a move that may signal preparations for future capital raises amid ongoing profitability headwinds. We'll explore how the shelf registration, in the context of recent quarterly losses, shapes Dynex Capital's current investment...
NYSE:ACEL
NYSE:ACELHospitality

How Analyst Optimism and Technical Momentum Could Shape Accel Entertainment’s (ACEL) Investment Story

Accel Entertainment recently attracted increased analyst optimism and positive brokerage sentiment, highlighted by improvements in key ranking metrics and technical momentum as the stock approached its 52-week high. This shift has sparked heightened interest from trend-focused investors who are responding to both bullish forecasts and the company’s favorable market positioning. We'll explore how growing analyst confidence and technical momentum could influence Accel Entertainment's evolving...
NasdaqGS:CGON
NasdaqGS:CGONBiotechs

What CG Oncology (CGON)'s Royalty Lawsuit Win Means for Shareholders

In July 2025, CG Oncology announced that a Delaware jury unanimously ruled in its favor in a lawsuit brought by ANI Pharmaceuticals over royalties related to its investigational bladder cancer therapy, cretostimogene grenadenorepvec. This outcome means CG Oncology is no longer required to pay any future royalties or damages to ANI Pharmaceuticals, eliminating a financial overhang tied to its lead therapeutic candidate. We’ll explore how the company’s removal of future royalty obligations...
NasdaqGS:RRR
NasdaqGS:RRRHospitality

How Investors Are Reacting To Red Rock Resorts (RRR) Earnings Beat and Increased Dividend Amid Cautious Sentiment

Red Rock Resorts recently announced that its Board of Directors declared a US$0.25 per Class A common share cash dividend for Q3 2025, payable on September 30 to shareholders of record as of September 15, and reported its Q2 2025 earnings results, with revenue of US$526.27 million and net income of US$56.4 million, both higher than the prior year. This result follows a period of downward analyst revisions, emphasizing that Red Rock Resorts outperformed expectations at a time when sentiment...
NYSE:BSM
NYSE:BSMOil and Gas

Lower Dividend from Black Stone Minerals (BSM) Might Change the Case for Income-Focused Investors

Black Stone Minerals, L.P. recently announced that its board of directors approved a reduced cash distribution of US$0.30 per common unit for the second quarter of 2025, with payment scheduled for August 14 to unitholders of record as of August 7. This lower dividend payout can reflect shifts in cash flow priorities or outlook, and often prompts investors to reevaluate income expectations from the company. We'll consider how this decrease in cash distribution factors into Black Stone...
NYSE:LC
NYSE:LCConsumer Finance

Will Surging Earnings in Q2 2025 Change LendingClub's (LC) Profitability Narrative?

LendingClub Corporation reported its second quarter 2025 earnings, posting net income of US$38.18 million, up from US$14.9 million for the same period last year, with basic and diluted earnings per share from continuing operations also more than doubling year-over-year. This earnings update highlights an acceleration in LendingClub’s profitability, indicating operational improvements and potentially more efficient loan origination or cost management. We will explore how LendingClub’s sharp...
NYSE:ALEX
NYSE:ALEXREITs

How Investors May Respond To Alexander & Baldwin (ALEX) Raising Earnings Guidance and Reporting Strong Q2 Results

In July 2025, Alexander & Baldwin raised its earnings guidance for the year and reported second quarter results showing increases in sales and net income compared to the prior year period. The company’s improved outlook and higher earnings per share underscore management’s confidence in ongoing business performance and operational momentum. We'll examine how the raised earnings guidance and management optimism influence Alexander & Baldwin's investment narrative moving forward. Uncover the...
NasdaqGS:PLUS
NasdaqGS:PLUSElectronic

What Does Ben Xiang's Sudden Exit Mean for ePlus's (PLUS) Strategic Trajectory?

On July 18, 2025, Mr. Ben Xiang resigned from the Board of Directors of ePlus inc., effective immediately, to pursue new career opportunities. Such a sudden board resignation can raise important questions among investors about potential changes to company oversight and strategic direction. We’ll consider how the abrupt departure of a board member may influence ePlus’s long-term service-led strategy and growth outlook. AI is about to change healthcare. These 25 stocks are working on...
NYSE:NTST
NYSE:NTSTRetail REITs

Will NETSTREIT’s (NTST) $191 Million Equity Raise and Dividend Boost Shift Its Investment Narrative?

In July 2025, NETSTREIT Corp. completed an upsized public offering of 10,800,000 common shares at US$17.70 each, raising approximately US$191.16 million to be used for general corporate purposes, including debt repayment and property acquisitions. This capital raise coincides with NETSTREIT's recent dividend increase and a shift from net loss to profitability in its latest quarterly results. We'll assess how this equity offering, aimed at funding acquisitions and strengthening the balance...
NYSE:AAT
NYSE:AATREITs

Quarterly Dividend and Mixed Results Might Change The Case For Investing In American Assets Trust (AAT)

American Assets Trust, Inc. recently reported its second quarter 2025 results, showing year-over-year declines in revenue and net income, and declared a US$0.340 per share cash dividend for Q3 to be paid in September to shareholders of record as of early September. While second quarter earnings were weaker compared to the prior year, net income for the first half of 2025 showed a significant increase, highlighting a contrasting performance between quarters. We’ll examine how American Assets...