U.S. Trade Distributors Stock News

NYSE:AMR
NYSE:AMRMetals and Mining

Alpha Metallurgical Resources (AMR) Flags Weaker Guidance, Is The Stock Still A Bargain?

Alpha Metallurgical Resources (AMR) moved into focus after releasing preliminary second quarter 2026 results that point to a net loss, softer revenue, and lowered full year sales volume guidance tied to weaker coal markets. See our latest analysis for Alpha Metallurgical Resources. Against this guidance update, Alpha Metallurgical Resources’ share price of $145.07 reflects pressure in recent months, with the 30 day share price return down 12.21% and the 90 day share price return down 23.66%...
NYSE:BANC
NYSE:BANCBanks

Banc Of California (BANC) Swings To A Loss, Is The Stock Still Cheap?

Why Banc of California’s latest earnings matter for shareholders Banc of California (BANC) reported second quarter 2026 results on July 29, highlighting higher net interest income alongside a sharp swing to net loss and significantly higher net charge offs compared with a year earlier. These figures give you fresh detail on how the bank’s lending book, funding costs and credit quality are influencing earnings and how investors might think about the risk and return profile of Banc of...
NasdaqGS:UPBD
NasdaqGS:UPBDSpecialty Retail

Upbound Group (UPBD) Stock Looks At A Discount Even As Returns Stay Weak

Upbound Group stock has risen 24.4% year to date and sits around US$21.59 after a long stretch of weaker returns. This raises the question of whether the current share price still reflects a discount suggested by its valuation checks. Over the last 5 years, Upbound Group shares have declined 51.5%. Long term holders are still working through a deep drawdown that can influence how attractive any apparent discount looks. Future valuation may hinge on whether the company can convert revenue...
NYSE:CSL
NYSE:CSLBuilding

Will Carlisle (CSL) Q2 2026 Earnings Expectations Reshape Its Long-Term Revenue Narrative?

Carlisle Companies Incorporated confirmed that it will release its Q2 2026 results after the market close on July 29, 2026, followed by an earnings call the same day. The upcoming report carries extra weight because investors are watching to see whether Carlisle can deliver the year-on-year revenue growth analysts are expecting after a previously mixed quarter. We will now examine how anticipation of year-on-year revenue growth in this earnings release could influence Carlisle’s broader...
NYSE:KNSL
NYSE:KNSLInsurance

Kinsale Capital Group (KNSL) Beats On Earnings, Is The Stock Already Fully Valued?

Kinsale Capital Group (KNSL) drew investor attention after reporting second quarter 2026 results that showed higher revenue, net income and earnings per share compared with the same period a year earlier. See our latest analysis for Kinsale Capital Group. The strong second quarter update has come alongside a sharp shift in momentum for Kinsale Capital Group, with a 12.74% 1 month share price return and an 11.85% 3 month share price return contrasting with a year to date share price decline of...
NYSE:CRM
NYSE:CRMSoftware

Salesforce (CRM) Stock Still Trades Below Fair Value

Salesforce stock has fallen 31.5% over the past year, yet the current intrinsic value work using a Discounted Cash Flow (DCF) approach and the market based checks both point to the shares screening as undervalued at today’s price of US$181.50. Over the past 12 months the share price declined 31.5%, which puts Salesforce on the radar for investors who focus on situations where sentiment has weakened faster than underlying value estimates. The recent US$1.6b Veterans Affairs contract may...
NYSE:OMF
NYSE:OMFConsumer Finance

How Investors May Respond To OneMain Holdings (OMF) Lower Q2 Earnings, Higher Charge-offs and Steady Dividend

OneMain Holdings, Inc. has reported its Q2 2026 results, with net income of US$152 million and diluted EPS of US$1.32, alongside net charge-offs of US$506 million and a maintained quarterly dividend of US$1.05 per share. The combination of lower earnings and higher charge-offs, even as the dividend is held steady, highlights the tension between credit costs and the company’s commitment to returning cash to shareholders. We’ll now examine how rising net charge-offs affect OneMain’s previously...
NYSE:NBR
NYSE:NBREnergy Services

Nabors Industries (NBR) Could Be 30% Below Fair Value Following Second Quarter Results

Nabors Industries (NYSE:NBR) reported second quarter 2026 results on July 28, with revenue of US$816.93 million and a net loss of US$22.33 million. These figures shape the latest backdrop for the stock. See our latest analysis for Nabors Industries. Nabors Industries' latest results arrive after a sharp pullback in the share price, with the stock down 27.39% on a 90 day share price return but still showing a 36.53% year to date share price return and a very large 1 year total shareholder...
NasdaqGS:TXN
NasdaqGS:TXNSemiconductor

Where Does Texas Instruments (TXN) Valuation Sit On Its Latest Guidance?

Texas Instruments (TXN) is back in focus after issuing third quarter 2026 guidance that points to revenue between $5.65b and $6.15b and earnings per share in the $2.23 to $2.57 range. See our latest analysis for Texas Instruments. Texas Instruments shares have pulled back recently, with a 7 day share price return of down 4.88% and a 30 day share price return of down 2.93%. However, the year to date share price return is 56.08% and the 5 year total shareholder return is 67.74%. This points to...
NasdaqGS:KRYS
NasdaqGS:KRYSBiotechs

Krystal Biotech (KRYS) After The KB801 Update And Why Valuation Still Splits Opinion

KB801 disclosure and why it matters for Krystal Biotech stock Krystal Biotech (KRYS) recently filed a response with the U.S. Patent and Trademark Office related to its KB801 gene therapy for neurotrophic keratitis, sharing new single patient data from a discontinued clinical study. The company reported complete closure of a persistent corneal epithelial defect in that patient, with no serious safety concerns observed in the study. It also stressed that the observation does not represent trial...
NYSE:GRND
NYSE:GRNDInteractive Media and Services

Grindr (GRND) Following Its HIV Prevention Pledge And The Undervalued Narrative

Grindr’s HIV prevention pledge and why it matters for investors At the 2026 International AIDS Conference, Grindr (GRND) committed to connect ten million LGBTQ+ users to HIV prevention services by 2028, using in app access and nonprofit partnerships worldwide. For investors, this pledge highlights how Grindr’s core platform and brand are being tied directly to public health outcomes. This can influence perceptions of user engagement, regulatory relationships and long term platform...
NasdaqGS:BANR
NasdaqGS:BANRBanks

Does Banner’s Steady Dividend and Higher Interest Income Reveal Its True Capital Priorities (BANR)?

Banner Corporation has released its second-quarter 2026 results, reporting higher net interest income of US$153.74 million and net income of US$48.89 million, alongside affirming a quarterly dividend of US$0.52 per share payable in August. The combination of rising earnings per share from continuing operations and a maintained cash dividend highlights management’s confidence in Banner’s current financial footing and capital return capacity. We’ll now examine how Banner’s higher net interest...
NYSE:CAH
NYSE:CAHHealthcare

Cardinal Health (CAH) Could Be 7% Below Fair Value After Its Recent Pullback

Cardinal Health (CAH) recently outpaced the broader market with a 1.38% gain ahead of its upcoming earnings report on August 11, 2026. This has put fresh attention on the stock’s recent performance. See our latest analysis for Cardinal Health. Looking beyond the latest session, Cardinal Health’s share price return has been positive over the year, with shorter term momentum softening after a recent 30 day pullback, while longer term total shareholder returns remain strong. If Cardinal Health’s...
NYSE:CFG
NYSE:CFGBanks

Did Citizens’ Strong Q2 Results and NII Guidance Just Shift CFG’s Investment Narrative?

In July 2026, Citizens Financial Group reported higher net interest income of US$1,631 million and net income of US$587 million for the second quarter, alongside fresh earnings guidance calling for further net interest income growth and improved operating leverage through the rest of the year. Together with active capital return via share repurchases and a continued quarterly dividend of US$0.46 per share, this guidance underlines management’s confidence in the bank’s balance sheet and...
NasdaqGS:CTSH
NasdaqGS:CTSHIT

Can Cognizant Technology Solutions (CTSH) Still Be A Bargain On Earnings?

Cognizant Technology Solutions has fallen 38.1% year to date, yet its valuation checks currently lean cheap, which puts the recent share price rebound under closer scrutiny for investors trying to judge whether the stock still offers value. The share price is down 38.1% year to date, so investors are weighing a deep drawdown against a sharp rebound in the past month. Recent AI focused partnerships and service launches can support expectations for future growth, while any disappointment in...
NasdaqGS:HON
NasdaqGS:HONIndustrials

Is Honeywell International (HON) Below Fair Value Following Its Dividend Declaration?

Honeywell International (HON) shares are back in focus after the company declared a quarterly dividend of $0.70 per share, payable on September 4, 2026, to shareholders of record on August 14. See our latest analysis for Honeywell International. At a share price of $247.05, Honeywell International has seen short term momentum pick up with a 1 day share price return of 0.53% and a 7 day share price return of 7.48%. However, the 30 day share price return is down 46.8% and the year to date share...
NYSE:PRU
NYSE:PRUInsurance

Prudential Stock And Other Retirement Income Plays Worth A Closer Look

Retirement planning is getting a rethink as new research questions the old 4% withdrawal rule and points more attention toward guaranteed income and flexible payout options. That shift in thinking is putting fresh focus on companies tied to annuities, insurance, and retirement solutions that help manage longevity risk and market swings. For investors, an important opportunity is to understand which stocks are most exposed to this trend and how they might fit, or not fit, into a long-term...
NYSE:BX
NYSE:BXCapital Markets

Blackstone (BX) Could Be 7% Undervalued As Kuwait Pipeline Deal Lands

Blackstone (BX) is back in focus after Kuwait Oil Company agreed to a US$16.0b lease and leaseback joint venture covering Kuwait’s entire domestic and export oil pipeline network over a 20.5 year period. See our latest analysis for Blackstone. The Kuwait pipeline joint venture headlines a busy period for Blackstone, with the stock trading at US$133.90 and showing a 16.03% 1 month share price return, while year to date the share price return is down 15.68%. This follows Q2 earnings and...
NasdaqGS:CHTR
NasdaqGS:CHTRMedia

Charter Communications (CHTR) Is Up 9.5% After Major Debt Shuffle And New Spectrum Service Launch - Has The Bull Case Changed?

In recent days, Charter Communications reported second-quarter 2026 results showing slightly lower sales and net income year on year, while continuing substantial share repurchases and launching a new Spectrum TV Control Pro service for business customers. At the same time, Charter initiated a multi-billion-dollar debt exchange and filed a new shelf registration for debt securities, signaling an active reshaping of its balance sheet that has drawn increased analyst scrutiny of its...
NYSE:MCO
NYSE:MCOCapital Markets

Moody's (MCO) Posted Strong Q2 Growth, Is The Stock Fully Priced?

Moody's (MCO) stock is in focus after the company reported second quarter results that showed higher revenue, net income and earnings per share compared with the same period a year earlier. See our latest analysis for Moody's. Moody's stock has eased slightly in the wake of the earnings release, with a 7.6% 1 month share price return and a decline in 1 year total shareholder return of 4.4%, which points to solid longer term momentum but some recent cooling. If Moody's results have you...
NYSE:DMC
NYSE:DMCFood

What Del Monte (DMC)'s Earnings Slowdown And Steady Dividend Means For Shareholders

Del Monte Corporation reported second-quarter 2026 results showing sales of US$1,219.1 million, but net income fell to US$21.2 million and diluted earnings per share from continuing operations dropped to US$0.44, while the board also declared a US$0.30 per-share quarterly dividend payable on September 4, 2026. The combination of weaker profitability versus a year ago and the decision to maintain a cash dividend raises questions about how Del Monte balances earnings pressure with shareholder...
NYSE:T
NYSE:TTelecom

AT&T (T) Completes $23 Billion EchoStar Spectrum Deal For Bigger 5G Reach

AT&T (NYSE:T) has completed a US$23b acquisition of nationwide wireless spectrum licenses from EchoStar. The deal adds substantial mid band and low band spectrum that is intended to support AT&T's 5G network capacity and coverage. The transaction is positioned to support advanced connectivity and AI focused services across AT&T's wireless footprint. AT&T is one of the largest U.S. telecom companies, with a core focus on wireless, broadband, and enterprise connectivity. The newly acquired...
NasdaqCM:PLUG
NasdaqCM:PLUGElectrical

Plug Power (PLUG) Stock Could Sit Above Fair Value On Restructuring Push

Plug Power stock has had a harsh ride over the past few years and the valuation checks currently lean expensive, which raises questions about how much of the story is already in the price after such a steep long term decline. Over the past 5 years, Plug Power shares have fallen 92.6%, which puts the current market value in the context of a very deep drawdown for long term holders. The push to restructure under Project Quantum Leap and narrow losses can support the case for higher future cash...
NasdaqCM:ESQ
NasdaqCM:ESQBanks

Is Esquire Financial Holdings (ESQ) Fully Valued Following Stronger Earnings?

Esquire Financial Holdings (ESQ) drew investor attention on 23 July 2026 after reporting second quarter and first half results that showed higher net interest income and net income versus the same periods last year. See our latest analysis for Esquire Financial Holdings. The earnings release sits alongside strong recent market interest in Esquire Financial Holdings, with a 21.37% 90 day share price return and a 451.32% 5 year total shareholder return that signal sustained positive momentum...