U.S. Tobacco Stock News

NYSE:DEA
NYSE:DEAOffice REITs

Easterly Government Properties Virginia Deal And What It Means For Valuation

Easterly Government Properties (NYSE:DEA) has completed a $44.5 million acquisition of a three asset portfolio in Virginia. The properties are described as mission critical government facilities with long term leases. The transaction was completed at a high cash cap rate and is characterized by the company as immediately accretive. For investors watching NYSE:DEA, this deal adds fresh context to a stock that is trading at $23.56 and has returned 10.6% year to date, despite a 9.0% decline...
NYSE:SJM
NYSE:SJMFood

Smucker (SJM) Quarterly Loss Of US$724 Million Tests Bullish Margin Recovery Narrative

J. M. Smucker (SJM) has just posted Q3 2026 results with revenue of US$2.3 billion and a basic EPS loss of US$6.79, as net income excluding extra items came in at a loss of US$724.2 million. Over recent quarters the company has seen revenue move from US$2.1 billion in Q2 2025 to US$2.3 billion in Q3 2026, while basic EPS has swung between a loss of US$6.85 in Q4 2025 and a profit of US$2.26 in Q2 2026 before returning to a loss in the latest period. This sets up a results season in which...
NasdaqGS:AMSF
NasdaqGS:AMSFInsurance

AMERISAFE (AMSF) Margin Compression Challenges Long‑Held Earnings Stability Narrative

AMERISAFE (AMSF) has wrapped up FY 2025 with fourth quarter total revenue of US$81.6 million and basic EPS of US$0.55, alongside net income of US$10.4 million, putting a clear spotlight on how its workers’ compensation book is translating into bottom line results. The company has seen trailing twelve month revenue sit at US$317.3 million with EPS of US$2.48 and net income of US$47.1 million, giving investors a fuller view of how the latest quarter fits into the broader earnings trend. With...
NasdaqGS:TCOM
NasdaqGS:TCOMHospitality

Trip.com Group (NasdaqGS:TCOM) TTM 53.3% Net Margin Challenges Bearish Profit Durability Narratives

Trip.com Group (NasdaqGS:TCOM) closed out FY 2025 with fourth quarter revenue of C¥15.4b and basic EPS of C¥6.53, while trailing twelve month figures showed revenue of C¥62.4b and EPS of C¥50.62, anchoring the latest print against a much stronger full year base. Over the past few quarters, the company has seen revenue move from C¥14.8b in Q2 2025 and C¥18.3b in Q3 2025 to C¥15.4b in Q4 2025. Quarterly EPS ranged from C¥6.48 in Q1 2025 to C¥30.36 in Q3 2025 and C¥6.53 in Q4 2025, giving...
NYSE:ZVIA
NYSE:ZVIABeverage

Zevia (ZVIA) Losses Shrink Sharply Challenging Bearish Profitability Narratives

Zevia PBC (ZVIA) just wrapped up FY 2025 with Q4 revenue of US$37.9 million and a basic EPS loss of US$0.02, alongside a trailing twelve month loss of US$9.9 million on revenue of US$161.3 million. Over recent quarters, the company has seen quarterly revenue move between US$36.4 million and US$44.5 million, while basic EPS losses have ranged from US$0.01 to US$0.10 per share. Together, these figures present a picture of relatively steady sales but still negative earnings. For investors, the...
NasdaqGS:PLAB
NasdaqGS:PLABSemiconductor

Photronics (PLAB) Margins Ease As Q1 EPS Holds Up Against Bearish Earnings Narrative

Photronics (PLAB) has just posted Q1 2026 results with revenue of US$225.1 million and basic EPS of US$0.74, setting the tone for how the year might shape up on both the top and bottom line. The company has seen revenue move from US$212.1 million in Q1 2025 to US$225.1 million in Q1 2026, while basic EPS has shifted from US$0.69 to US$0.74 over the same period. This gives investors a clear read on how sales and per share profitability are tracking into the new fiscal year as margins come into...
NasdaqGS:OPCH
NasdaqGS:OPCHHealthcare

Option Care Health Growth Story Faces Debt And Biosimilar Pressures

Option Care Health reported strong 2025 results, with significant revenue growth and expanded service offerings across its infusion network. The company increased its footprint of infusion suites and invested in automation and AI to support operational efficiency. Management highlighted disciplined capital allocation, including targeted M&A, while managing headwinds from biosimilar conversions and reimbursement pressures. Option Care Health (NasdaqGS:OPCH) is coming off a year of solid...
NYSE:AI
NYSE:AISoftware

C3.ai (AI) Q3 Loss Worsening To US$0.94 EPS Reinforces Bearish Profitability Concerns

C3.ai (AI) just posted its Q3 2026 numbers, with revenue of US$53.3 million and a basic EPS loss of US$0.94, while trailing twelve month revenue came in at US$307.4 million and EPS at a loss of US$3.17. Over the last six reported quarters, the company has seen quarterly revenue move from US$94.3 million in Q2 2025 to US$53.3 million in Q3 2026, with basic EPS losses ranging between US$0.52 and US$0.94. This sets up an earnings story that is centered on loss-making margins and the pace at...
NasdaqGS:SFNC
NasdaqGS:SFNCBanks

Simmons First National (SFNC) Net Interest Margin Rebound Tests Bearish Profitability Narratives

Simmons First National (SFNC) closed out FY 2025 with fourth quarter revenue of US$233.9 million and basic EPS of US$0.54, following a turbulent year in which trailing twelve month figures show revenue of US$37.4 million and a basic EPS loss of US$2.96. Over recent quarters, the company has seen quarterly revenue move from US$162.7 million in Q3 2024 to US$195.2 million in Q4 2024, then to US$182.8 million, US$202.2 million and US$233.9 million through Q1 to Q4 2025. Basic EPS shifted from...
NYSE:A
NYSE:ALife Sciences

Agilent Technologies (A) Margin Slippage Challenges Bullish Earnings Improvement Narrative

Agilent Technologies (A) has opened fiscal Q1 2026 with revenue of US$1.8b and basic EPS of US$1.08, setting the tone against a trailing twelve month picture that shows US$7.1b in revenue and EPS of US$4.55. Over the past year, the company has seen quarterly revenue move from US$1.70b in Q4 2024 to US$1.86b in Q4 2025 and then to US$1.80b in Q1 2026. Basic EPS shifted from US$1.23 to US$1.53 and now US$1.08, leaving investors focused on how the 18.3% trailing net margin shapes the quality of...
NasdaqGS:SRPT
NasdaqGS:SRPTBiotechs

Sarepta Therapeutics (SRPT) Q4 Loss Deepens And Tests Bullish Profitability Narrative

Sarepta Therapeutics (SRPT) closed out FY 2025 with Q4 revenue of US$442.9 million and a basic EPS loss of US$3.93, alongside a full year trailing net loss of US$713.4 million on US$2.2 billion of revenue. Over the last six quarters in the data, revenue has ranged from US$399.4 million to US$744.9 million per quarter. Basic EPS has swung between a profit of US$2.01 and a loss of US$4.60, highlighting sharp shifts in margins that keep profitability firmly in focus for investors. See our full...
NYSE:AUB
NYSE:AUBBanks

Atlantic Union Bankshares CFO Transition And What It May Mean For Valuation

Atlantic Union Bankshares (NYSE:AUB) has appointed Alexander D. Dodd as Chief Financial Officer. Dodd succeeds longtime CFO Robert M. Gorman, who served in the role for nearly 14 years. The company is planning a structured transition that includes an advisory period for Gorman. For investors watching Atlantic Union Bankshares at a share price of $39.51, a CFO transition of this kind is a meaningful leadership event. With Robert M. Gorman stepping aside after nearly 14 years and Alexander D...
NasdaqGM:RUM
NasdaqGM:RUMInteractive Media and Services

Rumble Shorts Google Play Launch Tests Short Video Growth Potential

Rumble Shorts has been approved on Google Play, bringing the company’s short form video product to Android users. The launch broadens access to Rumble’s content platform and extends its presence within a major mobile ecosystem. For investors watching NasdaqGM:RUM, the rollout of Rumble Shorts on Google Play adds a new layer to the company’s product mix at a time when short form video remains a core format for online viewing. Shares most recently closed at $5.76, with the stock showing a 1...
NYSE:AEE
NYSE:AEEIntegrated Utilities

Ameren Missouri Bond Sale Reshapes Debt Profile And Funds Grid Investment

Ameren Missouri, a subsidiary of Ameren Corporation, has priced a new public offering of first mortgage bonds. The company plans to use the proceeds to refinance existing debt and fund near term capital expenditures. This financing step is intended to reshape Ameren Missouri's debt profile and support upcoming investment needs. For investors watching Ameren (NYSE: AEE), this bond move sits alongside a share price of $111.44 and multi year returns. The stock is up 2.9% over the past week,...
NYSE:TROX
NYSE:TROXChemicals

Tronox Weighs Rare Earth Expansion And New Funding Options Amid Losses

Tronox Holdings (NYSE:TROX) is expanding further into the rare earth supply chain, signaling a push beyond its traditional titanium dioxide business. The company has filed a universal shelf registration, giving it flexibility to raise capital through a range of securities if and when it chooses. At a share price of $7.2, NYSE:TROX has had a mixed return profile, with a 68.6% gain year to date alongside a 46.9% decline over 3 years and a 52.5% decline over 5 years. Over the past month the...
NasdaqGS:BOOM
NasdaqGS:BOOMEnergy Services

DMC Global (BOOM) Is Down 25.3% After Wider Q4 Loss And Soft 2026 Outlook Has The Bull Case Changed?

DMC Global Inc. has reported its fourth-quarter 2025 results, with sales falling to US$143.53 million from US$152.37 million a year earlier and swinging from a small net income to a net loss of US$11.16 million. For full-year 2025, the company reduced its net loss to US$13.45 million despite lower sales of US$609.84 million, but management’s first-quarter 2026 guidance flags continued operational pressures and weather-related disruptions that are expected to weigh on near-term...
NasdaqGS:INTA
NasdaqGS:INTASoftware

Is It Time To Reconsider Intapp (INTA) After A 67% Share Price Slide

If you are wondering whether Intapp is starting to look interesting at its current share price, you are not alone and this article is designed to help you weigh that up. The stock has recently seen a 5.2% decline over the last week, a 44.9% decline over the last month and a 67.3% decline over the past year, which will naturally raise questions about both risk and potential future returns. These moves sit against a backdrop of ongoing coverage of Intapp as a listed software company, with...
NasdaqGS:NCNO
NasdaqGS:NCNOSoftware

Is It Time To Revisit nCino (NCNO) After Steep Share Price Declines?

If you are wondering whether nCino is starting to look attractively priced or just risky after a rough stretch, this article walks through what the current share price might be telling you. The stock last closed at US$15.81, with returns of 3.3% decline over 7 days, 35.4% decline over 30 days, 35.9% decline year to date, 49.2% decline over 1 year and 40.5% decline over 3 years, while the 5 year return sits at 76.7% decline. Recent news around nCino has focused on its role as a cloud banking...
NYSE:NOMD
NYSE:NOMDFood

Nomad Foods Boosts 2025 Cash Returns As 2026 Reset Targets Value Creation

Nomad Foods (NYSE:NOMD) has set a shareholder capital return plan for 2025 that lifts dividends and share repurchases by 38% year on year. The company is also preparing broad organizational and planning changes for 2026 aimed at performance and value creation. This combination of higher cash returns and a reset year ahead marks a clear shift in how Nomad Foods is approaching capital allocation and its business setup. For investors looking at the frozen foods group today, Nomad Foods trades...
NYSE:GAM
NYSE:GAMCapital Markets

How General American Investors’ 2025 Earnings Gap Between Revenue and Profit Could Reshape GAM’s Narrative

General American Investors Company, Inc. has reported its full-year 2025 results, posting revenue of US$24.31 million and net income of US$339.84 million for the year ended December 31, 2025. The contrast between relatively modest revenue and very large net income highlights how investment gains can significantly shape this closed-end fund’s financial profile. With this unusually wide gap between revenue and net income, we’ll explore what the latest earnings mean for General American...
NasdaqGS:SBAC
NasdaqGS:SBACSpecialized REITs

What SBA Communications (SBAC)'s International Tower Focus and Earnings Shift Means For Shareholders

SBA Communications recently prepared to report earnings that analysts expect to show lower earnings per share than last year but higher revenues, with particular strength anticipated in international site leasing and development, while its CEO Brendan Cavanagh also spoke at Deutsche Bank’s 34th Annual Media, Internet and Telecom Conference in Palm Beach. This combination of shifting earnings expectations and emphasis on international growth priorities offers insight into how SBA is...
NasdaqGS:XMTR
NasdaqGS:XMTRTrade Distributors

Is Xometry (XMTR) Pricing Still Justified After Recent Share Price Declines?

If you are wondering whether Xometry's share price still makes sense after recent swings, you are not alone. This article is going to focus squarely on what you are really paying for in the business. The stock last closed at US$41.82, with a 7 day return of 27.4% decline, a 30 day return of 34.7% decline, a year to date return of 33.4% decline, a 1 year return of 54.8%, and a 3 year return of 127.3%. Recent coverage has highlighted Xometry's position as an online marketplace for...
NYSE:BCC
NYSE:BCCTrade Distributors

Boise Cascade Weighs Growth In Distribution Against Lacey Act Uncertainty

Boise Cascade (NYSE:BCC) acquired Holden Humphrey, expanding its distribution presence in the US Northeast. The company opened a new Greenfield Distribution Center in Texas, adding capacity and reach for its Building Materials Distribution segment. Boise Cascade recorded a $6 million legal accrual related to a Lacey Act investigation tied to its distribution business. Boise Cascade is a wood products and building materials distributor that serves dealers, homebuilders, and industrial...