U.S. Transportation Stock News

NasdaqGS:FLYW
NasdaqGS:FLYWDiversified Financial

How Flywire’s New Travel Partnership And Trustly Tie-Up (FLYW) Have Changed Its Investment Story

In August 2026, Travelling The Fairways International announced it had chosen Flywire as its exclusive payments partner for its UK and Ireland golf tour operations, while Flywire also expanded its open banking payment support in the U.S. and Canada through an enhanced partnership with Trustly. Together, these developments highlight Flywire’s focus on travel-specific, cross-border payment solutions and its ability to handle complex, multi-currency transactions with greater transparency and...
NYSE:NEU
NYSE:NEUChemicals

NewMarket (NEU) Stock May Be 31% Undervalued As Cash Flow Holds Up

After a five year run that has seen NewMarket return about 200.9%, the stock now trades at US$937.34, while valuation checks suggest it may still be pricing in a discount to its intrinsic value estimate. NewMarket has returned about 200.9% over the past five years, which puts the current share price in clear focus for anyone considering the next phase of the investment. The key upside driver is the market’s expectation that NewMarket can keep converting its operations into reliable cash...
NYSE:BAP
NYSE:BAPBanks

The Bull Case For Credicorp (BAP) Could Change Following Stronger Q2 2026 Profitability Trends – Learn Why

In August 2026, Credicorp Ltd. reported second-quarter 2026 results showing net interest income of PEN 4,096.95 million and net income of PEN 1,981.92 million, with both metrics higher than the same period a year earlier. Across the first half of 2026, the rise in net income and earnings per share suggests Credicorp’s core lending and fee businesses are supporting stronger overall profitability. We’ll now examine how this uptick in net interest income and earnings might affect Credicorp’s...
NYSE:DNOW
NYSE:DNOWTrade Distributors

International Paper Stock And Two More Picks For Domestic Manufacturing Shifts

Canada and the US have slammed the brakes on trade talks, tariffs are spreading, and cross border supply chains are under real pressure. For investors, that kind of disruption can punish some stocks while opening the door for others that benefit as production and sourcing tilt closer to home. This article walks through three stocks exposed to this story and how the same headlines could help or hurt your portfolio. The three stocks that follow are just a starting sample, and the full screen...
NasdaqGS:REPL
NasdaqGS:REPLBiotechs

Should Replimune’s Smaller Loss, New CCO, and Fresh Capital Access Require Action From REPL Investors?

Replimune Group recently reported first-quarter 2026 results showing a reduced net loss of US$69.77 million and appointed industry veteran Michelle DiNapoli as Chief Commercial Officer, following a US$149.999956 million follow-on equity offering and a new universal shelf registration filing. The combination of a smaller quarterly loss, fresh commercial leadership with deep oncology experience, and expanded financing options may meaningfully reshape how investors assess Replimune’s execution...
NasdaqGS:PEGA
NasdaqGS:PEGASoftware

What Does Pegasystems (PEGA) Responsible AI Launch Mean For Enterprise Growth?

Pegasystems (NasdaqGS: PEGA) announced the general availability of new responsible AI tools and the Pega Customer Engagement Studio as part of its Pega Infinity 26 release. The update introduces agentic and automation capabilities aimed at improving customer engagement with an emphasis on ethical AI and governance. Features include advanced conversational design, built-in compliance and governance controls, and fairness safeguards for AI driven campaigns. The release targets financial,...
NasdaqGS:TECH
NasdaqGS:TECHLife Sciences

Bio-Techne (TECH) Stock Could Be 26% Overvalued On Growth Hopes

Bio-Techne's share price has recovered over the past year, yet both the Discounted Cash Flow (DCF) intrinsic value estimate and the market multiples currently point to the stock trading at a premium rather than offering clear value. Bio-Techne has declined about 40.3% over the past 5 years, which raises the question of whether the recent rebound has run ahead of the underlying fundamentals. Expectations for future revenue and cash flow growth can support a premium valuation for Bio-Techne,...
NYSE:WSM
NYSE:WSMSpecialty Retail

Is Williams-Sonoma (WSM) Fully Valued As Analysts Lift Earnings And Revenue Views?

Analyst Expectations Put Williams-Sonoma Stock in Focus Recent analyst reports on Williams-Sonoma (WSM) point to higher expected quarterly earnings and revenue, with updated EPS forecasts linked to projected comparable store sales strength across brands like West Elm and Pottery Barn Kids. See our latest analysis for Williams-Sonoma. Williams-Sonoma's share price has climbed 23.42% over the past 90 days and 26.47% year to date, while the 3 year total shareholder return of 254.70% points to...
BATS:CBOE
BATS:CBOECapital Markets

Cboe Stock And 2 Exchange Plays for Options Income and Downside Protection

With Warren Buffett warning that parts of the stock market now look more like a casino and the S&P 500’s CAPE ratio sitting at extremely stretched levels, many investors are starting to question how exposed their portfolios are to a potential correction. Option-income and protective-overlay stocks can offer a different path. This article reveals three companies tied to this theme and explains how they are positioned in light of the current valuation debate. The three stocks below are just a...
NasdaqGS:TMC
NasdaqGS:TMCMetals and Mining

TMC The Metals (TMC) Jumped, What Is Behind The Latest Attention?

Earnings shift puts TMC the metals in focus TMC the metals (TMC) moved onto investor radar after reporting second quarter 2026 results that showed a narrower net loss of US$60.12 million and reduced loss per share compared with the same period last year. See our latest analysis for TMC the metals. The earnings update appears to have shifted sentiment toward TMC the metals in the short term, with a 1 day share price return of 20.65% and a 30 day share price return of 30.52%. However, the year...
NYSE:BEKE
NYSE:BEKEReal Estate

KE Holdings (NYSE:BEKE) Stock Climbs As Margins Power Profit Reset

KE Holdings stock closed up about 4.5% at US$17.75, capping a solid short run after a steady month of gains. The immediate read is simple: the market liked the earnings print. The real story is not the top line, which slipped, but the profit engine underneath. Non GAAP net income jumped to RMB 3.19b and group gross margin reached 28.6%, with operating margins also stronger. For a China property services platform still tied to a choppy housing cycle, that kind of margin reset is what can shift...
NYSE:SUI
NYSE:SUIResidential REITs

Sun Communities (SUI) Could Be 41% Below Fair Value After Index Inclusion

Index changes put Sun Communities on more investor radars Sun Communities (SUI) has been added to the S&P Composite 1500, S&P 1000 and S&P 400 as of 13 August 2026, bringing the stock into several widely followed US equity benchmarks. See our latest analysis for Sun Communities. At a share price of US$121.66 on 19 August 2026, Sun Communities has experienced softer short term share price performance over the past quarter. Its three year total shareholder return remains positive, although this...
NasdaqGS:BILI
NasdaqGS:BILIInteractive Media and Services

Should Bilibili’s Global App Relaunch and Creator Push Require Action From Bilibili (BILI) Investors?

Bilibili has relaunched its international app globally, removing passport verification and making its full video library accessible to users outside China. This move, paired with new overseas hiring and a planned creator marketplace, marks a meaningful push to build a truly global creator ecosystem. Next, we’ll examine how easier global access to Bilibili’s content and community could reshape its investment narrative and growth drivers. Invest in the nuclear renaissance through our list of...
NYSE:HEI
NYSE:HEIAerospace & Defense

HEICO (HEI) After Strong Gains Is The Undervalued Narrative Still In Play

Recent price performance for HEICO stock HEICO (HEI) shares last closed at US$355.04, with the stock roughly flat over the past month and higher over the past 3 months and year based on total return figures provided. Over a longer horizon, HEICO shows multi year total returns that are very large compared with the starting point 3 and 5 years ago. This can help frame how investors interpret any shorter term price moves. See our latest analysis for HEICO. For HEICO, the recent 7 day share price...
NYSE:NGL
NYSE:NGLOil and Gas

Is NGL Energy Partners’ (NGL) Upgraded Analyst Sentiment Reshaping Its Near‑Term Earnings Narrative?

NGL Energy Partners recently drew attention after Zacks assigned it a Rank #1 (Strong Buy) and an A Momentum Style Score, supported by higher earnings estimates for the current and next fiscal years. This combination of favorable analyst ranking and rising earnings expectations underscores a shift in how the partnership’s near-term prospects are being assessed by the market. We’ll now examine how this stronger analyst sentiment and earnings revision trend shapes NGL Energy Partners’...
NasdaqGS:LNT
NasdaqGS:LNTElectric Utilities

Is Alliant Energy (LNT) Below Fair Value On Its Recent Pullback?

Alliant Energy stock under pressure after recent share price moves Alliant Energy (LNT) has come under pressure after a recent pullback, with the stock down about 9% over the past month and roughly 8% over the past 3 months. See our latest analysis for Alliant Energy. The recent 1 day share price decline of 2.30% and 7 day fall of 3.88% continue a weaker short term trend for Alliant Energy, although the year to date share price return of 3.46% and 1 year total shareholder return of 4.48% show...
NYSE:USFD
NYSE:USFDConsumer Retailing

US Foods (USFD) Stock Looks Fairly Valued At Current Levels

After a 219.1% return over the past 5 years, US Foods Holding now trades at a level where the stock no longer looks obviously cheap, yet its broader valuation checks still do not paint a clear bargain story. US Foods Holding has delivered a 219.1% return over 5 years, which puts extra focus on whether the current price still leaves enough room for future upside. Future cash flow growth and margin execution can support the current share price, while any pressure on profitability or balance...
NYSE:BE
NYSE:BEElectrical

Bloom Energy Stock Leads 3 High Quality Undervalued AI Infrastructure Picks

Eurozone services are holding up while manufacturing shows strength in key economies, which points to a more balanced growth mix rather than a one speed story. That kind of backdrop often keeps investors focused on broad, dependable cash generators instead of narrow macro trades. This is where High Quality Undervalued Stocks can matter. This article highlights three stocks from the screener that combine solid finances with attractive valuations. The stocks below are just a starting sample,...
NasdaqCM:ONDS
NasdaqCM:ONDSCommunications

Ondas (ONDS) Climbed, But What Is Behind The Latest Attention?

Ondas (ONDS) is in focus after reporting second quarter and six month 2026 results that showed much higher sales than a year earlier, alongside a larger quarterly loss but net income for the six month period. See our latest analysis for Ondas. At a share price of US$8.71, Ondas has had a 1 month share price return of 11.67%, while the year-to-date share price return is down 20.96%. This sits alongside a very large 3 year total shareholder return that points to strong longer term momentum,...
NYSE:VRT
NYSE:VRTElectrical

Can Vertiv Holdings Co (VRT) Justify Its Valuation As It Raises 2026 Guidance?

Vertiv Holdings Co (VRT) is back on investors’ radar after the company raised its full year 2026 revenue and adjusted EPS guidance, citing strong AI related infrastructure demand and an expanding customer pipeline. See our latest analysis for Vertiv Holdings Co. Vertiv’s recent guidance hike comes after a sharp pullback, with the share price down 11% over the past week and 20% over three months, yet still showing a 49% year to date share price return and very strong multi year total...
NasdaqGS:MPWR
NasdaqGS:MPWRSemiconductor

Has Monolithic Power Systems’ (MPWR) Remarkable 20-Year Run Repriced Its Capital Efficiency Story?

In the past 20 years, Monolithic Power Systems has turned a US$1,000 investment into about US$150,590, reflecting very large outperformance versus the market and a current market capitalization of US$64.44 billion at a share price of US$1,321.13. Recent commentary also highlights five-year compounded sales and earnings per share growth above 25% annually and a five-year average return on invested capital of 43.1%, placing the company among the more efficient power semiconductor...
NasdaqGM:OWLS
NasdaqGM:OWLSDiversified Financial

Obook Holdings (OWLS) Stock Ignores Widening Losses And Thin Margins

Obook Holdings stock barely flinched after earnings, inching up just 0.18% to US$5.63. That calm surface hides a very different story underneath. Revenue for the first half of 2026 came in at US$3.87m while the company reported a net loss of US$18.82m, driven heavily by share based compensation and financing costs. The real battleground is sentiment. Investors are treating Obook like a routine update, yet the widening loss profile and thin gross margin suggest a much tougher path to...
NasdaqGS:TMUS
NasdaqGS:TMUSWireless Telecom

T Mobile US (TMUS) Could Be 25% Undervalued As Satellite Texting Expands

T-Mobile US (TMUS) is back in focus after extending its T-Satellite with Starlink texting service across the Hawaiian Islands ahead of approaching storm Lala, providing an additional channel for basic messaging and emergency contact. See our latest analysis for T-Mobile US. For all the recent product launches and satellite news, T-Mobile US shares tell a mixed story, with the stock down 8.29% on a year to date share price basis and the 1 year total shareholder return down 25.98%, even though...
NYSE:DAR
NYSE:DARFood

Darling Ingredients (DAR) Could Be 16% Undervalued Following Analyst Upgrades

Recent analyst upgrades and higher earnings estimates have pushed Darling Ingredients (DAR) into the momentum spotlight. The stock has drawn fresh attention after receiving a top ranking from equity research firms. See our latest analysis for Darling Ingredients. Despite a 3.1% 1 day share price decline and a 1.9% 7 day share price pullback, Darling Ingredients has a 30 day share price return of 5.2% and a year to date share price return of 74.7%. The 1 year total shareholder return of 88.8%...