U.S. Telecom Services and Carriers Stock News

NYSE:DAO
NYSE:DAOConsumer Services

3 Growth Companies With High Insider Ownership And 21% Revenue Growth

As February 2026 begins, U.S. stock indexes have shown a strong start with the Dow climbing 515 points and the S&P 500 nearing record highs, reflecting a positive sentiment in the market despite ongoing economic uncertainties such as delayed jobs reports and geopolitical tensions. In this environment of fluctuating indices and evolving trade dynamics, growth companies with high insider ownership can present intriguing opportunities for investors seeking robust revenue expansion, as these...
NasdaqCM:KOSS
NasdaqCM:KOSSConsumer Durables

Airgain And 2 Other Promising Penny Stocks

As February begins, the U.S. stock market has shown a robust start with major indexes like the Dow Jones Industrial Average and S&P 500 ending sharply higher. For those looking to invest in smaller or newer companies, penny stocks—despite their name's vintage feel—can still offer surprising value. This article explores three penny stocks that demonstrate financial strength and potential for long-term growth, offering an intriguing opportunity for investors seeking to diversify their...
NasdaqGS:CCBG
NasdaqGS:CCBGBanks

Discovering US Market's Undiscovered Gems February 2026

As February 2026 unfolds, the U.S. stock market is experiencing a robust start with major indices like the Dow Jones and S&P 500 posting significant gains, reflecting optimism despite recent economic uncertainties such as delayed jobs data due to a government shutdown. In this dynamic environment, identifying promising small-cap stocks requires a keen eye for companies that not only demonstrate resilience in fluctuating economic conditions but also possess unique growth potential that can...
NasdaqGS:BANR
NasdaqGS:BANRBanks

Top Dividend Stocks To Consider In February 2026

As February 2026 begins, major U.S. stock indexes have surged, with the Dow Jones Industrial Average gaining 515 points and the S&P 500 nearing a record high, reflecting investor optimism amid recent economic developments. In this buoyant market environment, dividend stocks can offer a compelling opportunity for investors seeking steady income and potential growth, especially as companies continue to navigate evolving trade dynamics and economic policies.
NasdaqGM:ANIP
NasdaqGM:ANIPPharmaceuticals

Is ANI Pharmaceuticals (ANIP) Pricing Reflect Long Term Cash Flow Potential?

Investors may be wondering whether ANI Pharmaceuticals is fairly priced at its recent levels, or if the market is overlooking something in the current share price. The stock closed at US$81.27, with returns of 2.2% over 7 days, 3.3% over 30 days, 3.6% year to date, 35.9% over 1 year, 81.2% over 3 years and 155.5% over 5 years. These figures may have some investors reassessing both upside potential and risk. Recent attention around ANI Pharmaceuticals has focused on its position within the...
NasdaqGS:SNEX
NasdaqGS:SNEXCapital Markets

StoneX Stock Split And Record Revenue Put Valuation And Growth In Focus

StoneX Group (NasdaqGS:SNEX) has approved a three-for-two stock split aimed at broadening investor access and trading liquidity. The company also reported record quarterly revenues in its latest update. Management outlined recent acquisitions in wealth management and brokerage as part of its current expansion plans. StoneX Group operates across trading, execution, and clearing services, with a growing presence in wealth management and brokerage. For you as an investor, the combination of a...
NasdaqGM:MDB
NasdaqGM:MDBIT

Is MongoDB’s (MDB) Atlas AI Push Redefining Its Competitive Moat In Cloud Databases?

In recent weeks, MongoDB has drawn attention as analysts highlighted accelerating revenue growth in its Atlas cloud database business and praised its dual go-to-market approach combining enterprise sales with product-led adoption. At the same time, newly announced AI features for Atlas, including access to Voyage AI models, have reinforced perceptions that MongoDB could play a central role in AI-driven application modernization despite broader software sector concerns about artificial...
NYSE:ALLE
NYSE:ALLEBuilding

Assessing Allegion (ALLE) Valuation After 8% Dividend Raise And Ongoing Capital Returns

Allegion (ALLE) has put capital returns in focus after its board approved a quarterly dividend of $0.55 per share, an 8% increase from 2025. This marks the company’s 12th consecutive annual dividend raise. See our latest analysis for Allegion. Allegion’s share price has been firming up, with a 1-day share price return of 3.10% taking the stock to $173.04, a 30-day share price return of 6.89%, and a 1-year total shareholder return of 35.93% pointing to momentum that has been building rather...
NasdaqGS:INMD
NasdaqGS:INMDMedical Equipment

InMode Weighs Steel Partners Offer And Future Earnings Pressure

InMode (NasdaqGS:INMD) confirmed it received a non binding proposal from Steel Partners Holdings L.P. to acquire a majority stake. The board has formed an independent committee to evaluate this proposal and consider a range of potential alternatives. The review process is underway and could result in a change of control or other significant outcomes for existing shareholders. InMode focuses on medical devices for aesthetic and wellness procedures, an area that sits at the intersection of...
NasdaqGS:PAA
NasdaqGS:PAAOil and Gas

Plains All American Pipeline Acquisition Adds Contracts And Raises Valuation Questions

Plains All American Pipeline (NasdaqGS:PAA) has completed its acquisition of EPIC Crude Holdings, LP. The transaction adds crude oil transport and related assets tied to long term commitments. Management expects operating synergies and integration benefits from the combined systems. Plains All American Pipeline, or PAA, operates a large network of crude oil and natural gas liquids pipelines and terminals, with a revenue mix that is largely fee based. The EPIC Crude Holdings acquisition fits...
NYSE:J
NYSE:JProfessional Services

Jacobs Solutions (J) Margin Volatility Tests Bullish Earnings Narratives After Q1 2026 Results

Jacobs Solutions (J) opened fiscal Q1 2026 with revenue of about US$3.3b and basic EPS of US$1.12, setting the tone for how the year is starting after a busy 2025. The company has seen quarterly revenue move from roughly US$2.9b in Q1 2025 to US$3.3b in the latest quarter, while basic EPS shifted from a small loss of about US$0.10 to a profit of US$1.12, a swing that puts the focus firmly on how sustainable those margins prove to be. See our full analysis for Jacobs Solutions. With the...
NasdaqGM:NRIX
NasdaqGM:NRIXBiotechs

Nurix Therapeutics (NRIX) Is Down 7.4% After Pivotal Bexobrutideg Update and Wider 2025 Loss

In late January 2026, Nurix Therapeutics reported full-year 2025 revenue of US$83.98 million, up from US$54.55 million, alongside a wider net loss of US$264.46 million and an Employee Stock Ownership Plan-related shelf registration for up to 5,090,373 common shares worth about US$98.80 million. The results came as Nurix advanced its lead BTK degrader bexobrutideg into pivotal DAYBREAK development with Orphan Drug and Fast Track status, backed by partnerships with Gilead, Sanofi, and Pfizer...
NYSE:DE
NYSE:DEMachinery

Assessing Deere’s (DE) Valuation After US$20b US Manufacturing Expansion Plan

Expansion in Indiana and North Carolina puts Deere (DE) in focus Deere (DE) is drawing fresh attention after outlining a $20b plan to expand U.S. manufacturing. The initiative includes a new parts distribution center in Hebron, Indiana, and an excavator factory in Kernersville, North Carolina. See our latest analysis for Deere. The expansion plan lands at a time when momentum in Deere’s shares has been picking up, with a 1 month share price return of 21.7% and a year to date share price...
NYSE:MCK
NYSE:MCKHealthcare

McKesson’s Strong Quarter Highlights Shift Toward Post Separation Focus

McKesson (NYSE:MCK) reported strong fiscal third quarter results, highlighting continued momentum across key segments including oncology, biopharma services, and pharmaceutical distribution. The company outlined substantial progress toward separating its medical surgical business, with a planned IPO targeted by the second half of 2027. Recent acquisitions and technology investments were cited as important contributors to the period's performance and ongoing business evolution. The planned...
NasdaqGS:LI
NasdaqGS:LIAuto

Assessing Li Auto (NasdaqGS:LI) Valuation After January Delivery Slump And Ongoing Competitive Pressure

Li Auto (LI) has put fresh numbers on the table, reporting January 2026 deliveries of 27,668 vehicles. This extends a multi month losing streak and highlights pressure from tougher competition in China’s new energy vehicle market. See our latest analysis for Li Auto. The January delivery slump sits against a mixed share price backdrop, with a 1-day share price return of 1.88% and a 7-day gain of 1.11%, but a 90-day share price return decline of 14.03% and a 1-year total shareholder return...
NasdaqGS:NXPI
NasdaqGS:NXPISemiconductor

NXP Refocuses On Automotive And AI As MEMS And RF Power Exit

NXP Semiconductors has completed the sale of its MEMS sensor business. The company is exiting new RF Power developments and winding down that activity. Management is concentrating resources on software-defined vehicles, physical AI, and industrial/IoT opportunities. These moves come as NXP adjusts its portfolio in the context of margin and inventory pressures. NXP Semiconductors (NasdaqGS:NXPI) is reshaping its business around areas it views as core to its future identity, while stepping...
NasdaqGS:COLM
NasdaqGS:COLMLuxury

Columbia Sportswear (COLM) Margin Compression Reinforces Bearish Profitability Narratives

Columbia Sportswear (COLM) has wrapped up FY 2025 with fourth quarter revenue of US$1.1b and basic EPS of US$1.74, alongside net income excluding extra items of US$93.2 million. This set of results kept margins firmly in focus for the year. Over recent periods, the company has seen quarterly revenue move from US$931.8 million and EPS of US$1.56 in Q3 2024 to US$1.1b and EPS of US$1.74 in Q4 2025, while trailing twelve month EPS of US$3.24 sits against total revenue of about US$3.4b. With net...
NYSE:NEM
NYSE:NEMMetals and Mining

Newmont (NEM) Valuation Check After Gold Price Rebound And Rate Cut Expectations

Newmont (NEM) is back in focus after a sharp rebound in gold prices, with renewed expectations for Federal Reserve rate cuts lifting sentiment around the miner’s margins, cash generation, and recent earnings strength. See our latest analysis for Newmont. That rebound in gold has come after a choppy spell for Newmont, with a 1 day share price return of 0.25% decline and a 7 day share price return of 11.44% decline sitting against a 30 day share price return of 12.87% and a 90 day share price...
NasdaqGS:CBC
NasdaqGS:CBCBanks

Is Central Bancompany (CBC) Pricing Reflect Its Strong Multi‑Year Share Price Performance

If you are wondering whether Central Bancompany's current share price lines up with its underlying value, you are not alone. The stock last closed at US$24.52, with returns of 1.9% over 7 days, 2.9% over 30 days, 2.8% year to date and 89.2% over 1 year, plus 99.0% over 3 years and 142.0% over 5 years. Recent attention on Central Bancompany has centered on its share price performance and how it fits into investors' views on regional bank stocks. This has put more focus on whether the current...
NasdaqGS:SAIC
NasdaqGS:SAICProfessional Services

Is SAIC’s Contract Protest And ‘Mission Integration’ Pivot Altering The Investment Case For Science Applications International (SAIC)?

Science Applications International Corp (SAIC) recently filed a legal challenge to a major U.S. Air Force contract award, arguing the evaluation process overlooked what it views as a significant performance risk with the chosen bidder. At the same time, SAIC is accelerating an operational realignment around its "Mission Integration" approach, aiming to more closely connect commercial innovation with Pentagon procurement priorities. We will now examine how SAIC's contract challenge and...
NasdaqCM:RKLB
NasdaqCM:RKLBAerospace & Defense

Rocket Lab Balances Record SDA Contract With Mars Program Setback

Rocket Lab (NasdaqCM:RKLB) has secured an $816 million multi year contract with the U.S. Space Development Agency to design and build missile defense satellites. The award is described as the largest contract in the company’s history and is expected to support a significant expansion of its satellite manufacturing activities. In contrast, the cancellation of NASA’s Mars Sample Return project has removed a potential avenue of future work that Rocket Lab had been targeting. For you as an...
NYSE:OKLO
NYSE:OKLOElectric Utilities

Assessing Oklo (OKLO) Valuation After DOE Project Win And Meta Nuclear Campus Partnership

Oklo (OKLO) is back in focus after securing a Department of Energy medical radioisotope pilot project and partnering with Meta on a planned 1.2 gigawatt nuclear campus for data centers in Ohio. See our latest analysis for Oklo. Despite the DOE project and Meta agreement turning heads, Oklo’s share price has been volatile, with a 90 day share price return of a 36.08% decline and a 7 day share price return of a 27.71% decline, while its 3 year total shareholder return is very large. This...
NYSE:DELL
NYSE:DELLTech

How Investors May Respond To Dell Technologies (DELL) Turning To Chinese DRAM Amid Global Memory Shortage

Dell Technologies recently moved to qualify DRAM products from Chinese chipmaker ChangXin Memory Technologies to address a global memory shortage that is pushing up component costs and threatening product launch timelines across the tech industry. This shift marks the first time Dell has considered sourcing memory from Chinese suppliers, highlighting how supply chain pressure is reshaping long-established procurement patterns in the hardware sector. Next, we will examine how tightening...
NYSE:SHW
NYSE:SHWChemicals

Is Sherwin-Williams (SHW) Pricing In Too Much Optimism After Its Recent Share Price Strength

With Sherwin-Williams trading at around US$368.91, this article explores whether the stock is priced for perfection or still offers some value, and walks through what the current share price might be telling you. The stock has returned 5.5% over the last 7 days, 11.1% over the last 30 days, 12.5% year to date, 2.1% over 1 year, 60.9% over 3 years, and 62.4% over 5 years. These figures provide important context for any view on value today. Recent coverage has focused on Sherwin-Williams as a...