U.S. Transportation Stock News

NYSE:DPC
NYSE:DPCElectrical

DPC Holdings (DPC) Looks Undervalued As Losses Test The Revenue Growth Story

How DPC Holdings Stock Looks Today DPC Holdings (DPC) currently trades at $30.00, valuing the aerospace focused manufacturer at about $4.2b, with reported revenue of $886.0 and a net loss of $167.0 in its latest figures. For investors tracking value indicators, the stock carries an intrinsic discount measure of 0.19595 and a value score of 3, while short term performance data is limited and the 1 day move is flat at 0.0%. See our latest analysis for DPC Holdings. With a year to date share...
NasdaqGS:XEL
NasdaqGS:XELElectric Utilities

Xcel Energy (XEL) Is Up 5.2% After Regulators Approve Major Rate Hikes And ROE Increases

In recent days, Xcel Energy announced that regulators in Minnesota and New Mexico backed meaningful electric rate increases for its utilities, including an estimated US$211 million two‑year hike in Minnesota and a US$90 million base rate rise in New Mexico, alongside higher allowed returns on equity and reaffirmed 2026 earnings guidance. These decisions ease regulatory overhang, clarify future revenue recovery on past and planned investments, and underline how constructive rate case outcomes...
NYSE:HES
NYSE:HESOil and Gas

Hess Stock Looks Well Placed As Oil Supply Risks Return

The Venezuela earthquakes have created fresh questions for anyone watching oil and gas stocks, from global majors to companies with only indirect exposure. With production, infrastructure and GDP all under pressure, supply risk and shifting diplomatic ties are suddenly back on the radar. For investors, that can mean new pricing power for some companies and higher operational risk for others. This article explains how this news connects to the Energy Sector and the Oil & Gas Companies screener...
NYSE:ABBV
NYSE:ABBVBiotechs

AbbVie Stock Leads 3 Cash Flow Picks Trading Below Estimated Value

With growth signals mixed across major economies, inflation trends diverging by region and central banks moving at different speeds, investors are paying closer attention to what really sits behind a stock: its cash generation. The Undervalued Stocks Based On Cash Flows screener focuses on companies where SWS DCF valuation suggests their future cash flows may not be fully reflected in the current share price. That combination of cash flow potential and discounted pricing can be especially...
NYSE:TRV
NYSE:TRVInsurance

Travelers (TRV) Marks 20 Years Backing A PGA Tour Event With Community Reach

Travelers Companies (NYSE:TRV) is marking 20 years as title sponsor of the Travelers Championship PGA TOUR event. The company is spotlighting the tournament's role in supporting regional charities and community initiatives. The 2026 Travelers Championship is set to continue its focus on charitable beneficiaries, including the Hole in the Wall Gang Camp. The Travelers Championship gives Travelers Companies a recurring national platform that sits outside its core insurance operations. For...
NasdaqGS:WBD
NasdaqGS:WBDEntertainment

Can Timex’s Supergirl Tie-In Reveal Warner Bros. Discovery’s Broader Brand Monetization Strategy (WBD)?

On 23 June 2026, Timex Group announced it had extended its creative collaboration with DC Studios and Warner Bros. Pictures, launching a collectible SUPERGIRL x Blondie x Timex watch tied to the theatrical release of Supergirl on 26 June. This collaboration highlights how Warner Bros. Discovery continues to extend its characters and stories into consumer products, reinforcing the broader commercial ecosystem around its DC film properties. We’ll now examine how Warner Bros. Discovery’s...
NasdaqGS:ISRG
NasdaqGS:ISRGMedical Equipment

Intuitive Surgical Stock And 2 Cash Rich Picks for Higher Interest Rates

With the Federal Reserve talking tougher on inflation and signaling a possible rate hike within months, investors are rethinking how comfortable they feel with heavily indebted companies. Higher borrowing costs can put more pressure on weaker balance sheets, while cash rich, low debt businesses may have more room to adjust. This article looks at 3 stocks from a Cash Rich, Low Debt Companies screener that appear closely tied to the current interest rate story. The focus is on how their...
NYSE:ICL
NYSE:ICLChemicals

ICL Group (ICL) Secures Potash Supply Deal, Is It 23% Undervalued?

ICL Group (NYSE:ICL) is back in focus after agreeing to supply 375,000 metric tons of potash, with an option for another 50,000 tons, to Indian Potash Limited at current Indian market prices. See our latest analysis for ICL Group. Against this contract news and the recent US$800 million bond issue, ICL Group’s share price has been under pressure, with a 30 day share price return down 21.52% and a 1 year total shareholder return down 22.81%, which indicates fading momentum despite a long term...
NYSE:ODC
NYSE:ODCHousehold Products

Oil-Dri Corporation of America (ODC) Is Up 6.4% After Dividend Hike And New Buyback Plan

Earlier this week, Oil-Dri Corporation of America reported third-quarter results showing consolidated net sales up 9% and net income up 25%, and its board approved a roughly 10% increase in the quarterly cash dividend alongside authorization to repurchase up to 500,000 shares. Management’s decision to raise the dividend while launching a new buyback program highlights confidence in the business and a clear focus on shareholder returns. Next, we’ll examine how Oil-Dri’s dividend increase and...
NYSE:CAG
NYSE:CAGFood

Conagra (CAG) Launches Nearly 100 Products As It Exits The S&P 500

Conagra Brands (NYSE:CAG) is rolling out a large new product lineup across nearly 100 brands, including protein-focused items and GLP-1 friendly "On Track" options in frozen, refrigerated, and pantry categories. The company has been removed from the S&P 500 Index as part of index reconstitution, which may influence index fund holdings and trading patterns around the stock. Conagra Brands enters this news cycle with its share price at $13.61 and a multi year track record of weaker returns,...
NasdaqGS:KTOS
NasdaqGS:KTOSAerospace & Defense

Kratos Defense & Security Solutions (KTOS) Stock After Recent Pullback Is The Price Now Justified

If you are wondering whether Kratos Defense & Security Solutions is starting to look attractively priced or still expensive at current levels, this breakdown will help you line up the valuation story with what the market is doing. The stock last closed at US$47.95, with the share price down 11.5% over the past week and 15.6% over the past month, even though the 1 year return is 16.0% and the 3 year return is 227.8%. Recent coverage around Kratos Defense & Security Solutions has focused on...
OTCPK:PPAA.Y
OTCPK:PPAA.YGas Utilities

3 Defensive Dividend Stocks Built For Higher Rate Volatility

With the Federal Reserve stepping back from clear forward guidance and Kevin Warsh signaling a less predictable approach to interest rates, investors are facing more abrupt market swings and wider risk premiums. In this kind of backdrop, many turn to defensive dividend stocks with steadier cash flows and historically lower volatility as a potential anchor for a portfolio. This article looks at how that policy shift could affect dividend-focused defensives and highlights three stocks from a...
NasdaqGS:PAYX
NasdaqGS:PAYXProfessional Services

Paychex (PAYX) Stock Faces Margin Compression As 27% Net Margin Tests Bullish Narratives

Paychex (PAYX) has just wrapped up FY 2026 with fourth quarter revenue of US$1.6 billion and basic EPS of US$1.18, rounding out a trailing twelve month run of US$6.5 billion in revenue and US$4.90 in EPS that kept earnings growth close to its recent trend. Over the past six reported quarters, revenue has moved from US$1.43 billion in FY 2025 Q4 to US$1.81 billion in FY 2026 Q3 before landing at US$1.6 billion in Q4, while quarterly EPS ranged between US$0.82 and US$1.56 over the same stretch,...
NasdaqGM:FISN
NasdaqGM:FISNRenewable Energy

Is Deep Fission (FISN) Fairly Valued On Its 18.5 GW LOIs And Reactor Progress?

Deep Fission (FISN) is drawing attention after signing non binding Letters of Intent tied to as much as 18.5 GW of potential nuclear capacity, along with progress on its first underground reactor project in Kansas. See our latest analysis for Deep Fission. Despite the new LOIs and recent index inclusion, Deep Fission’s 1 day share price return declined 21.54% and its year to date share price return is down 32.97%, suggesting momentum has cooled quickly after the IPO. If you are interested in...
NYSE:BC
NYSE:BCLeisure

Is Brunswick (BC) Quietly Rebalancing From Hardware To Services With Its Freedom Boat Club Push?

In recent days, Brunswick Corporation’s Freedom Boat Club business opened its 450th global location at Liberty Landing Marina in Jersey City, New Jersey, while its Navico Group division announced operational changes at its Lowell, Michigan facility aimed at cutting fixed costs and improving efficiency. Together, the rapid expansion of Freedom Boat Club’s network and Navico Group’s cost-focused reorganization highlight Brunswick’s dual emphasis on growing accessible boating services and...
NYSE:SPB
NYSE:SPBHousehold Products

Spectrum Brands (SPB) Is Up 7.0% After Oaktree Deal And Earnings Beat Has The Bull Case Changed?

Spectrum Brands Holdings recently reported stronger-than-expected fiscal 2026 results and announced a partnership with Oaktree in its Home & Personal Care segment, underscoring management’s focus on profitability and portfolio refinement. This combination of better earnings and an external partner in a core business line highlights management’s push to reshape margins and operational resilience across the group. Next, we’ll examine how the Oaktree partnership, alongside improved financial...
NYSE:BZH
NYSE:BZHConsumer Durables

Beazer Homes Stock In Focus As Housing Policy Uncertainty Hits Homebuilders

The sudden halt to a bipartisan housing bill and rising political tension around the SAVE America Act have thrown fresh uncertainty over the housing market, from homebuilders to institutional owners of single family rentals. For investors, that kind of policy limbo can reshape risk and opportunity faster than earnings reports do. This article looks at how that news flows through to the Homebuilders & Residential Construction screener and what that could mean for your portfolio decisions...
NasdaqGS:BL
NasdaqGS:BLSoftware

3 Software Stocks Built For Rising Compliance Demand

Regulation is back in focus, and for many investors that can feel like a moving target. With new rules, shifting fiscal policy, changing interest rate expectations, and fresh economic data, some technology stocks appear better positioned than others to handle tighter oversight and evolving compliance demands. This Regulation-Resilient Technology Companies screener filters for large tech firms that already talk explicitly about regulation or compliance and that currently score well on measures...
NasdaqGM:JFIN
NasdaqGM:JFINConsumer Finance

Jiayin Group (NasdaqGM:JFIN) Stock Faces Scrutiny As Q4 EPS Drop Tests Bullish Narratives

Jiayin Group (NasdaqGM:JFIN) has wrapped up FY 2025 with fourth quarter revenue of C¥1,090.2 million and basic EPS of C¥1.95, alongside trailing 12 month revenue of C¥6.2 billion and EPS of C¥29.41, all against a backdrop of 45.4% trailing earnings growth over the past year. Over recent periods the company has seen quarterly revenue move from C¥1,404.5 million and EPS of C¥5.18 in Q4 2024 to C¥1,775.6 million and EPS of C¥10.11 in Q1 2025, before reaching the latest Q4 print. This sets the...
NYSE:BOX
NYSE:BOXSoftware

Box (BOX) Stock After 25% One-Year Slide Is There Long-Term Value?

How Box’s Recent Returns Set Up a Valuation Conversation Box has had a mixed share price record that sets the stage for a closer look at what investors may be paying for today versus what they are getting in terms of fundamentals and future potential. Over the last year, the stock is down 25.4%, with a year to date decline of 11.7% and a 30 day return that is down 1.7%, while the last 7 days show a 2.1% gain, which may catch the eye of investors watching for shifting sentiment. News flow...
NasdaqGM:CIRC
NasdaqGM:CIRCLife Sciences

Atlantic International (ATLN) Stock Faces Widening Losses Challenging Bullish Narratives

Atlantic International (NasdaqGM:ATLN) has just closed out FY 2025 with fourth quarter revenue of US$120.0 million and a basic EPS loss of US$0.49 per share, alongside a trailing twelve month EPS loss of US$1.08. Over recent quarters the company has reported revenue in a range from US$102.8 million to US$120.0 million, while quarterly EPS losses have moved between US$0.20 and US$0.49. This provides a clearer context for how margins are being pressured as management works through this loss...
NYSE:ACN
NYSE:ACNIT

Accenture (ACN) Expands AI Partnerships And Launches Edge For Mid Market Growth

Accenture (NYSE:ACN) has expanded its AI-driven industrial and automotive platform partnerships, including a new engineering partnership with Coretura, the Daimler Truck and Volvo joint venture. The company has launched Accenture Edge, a business segment focused on AI and digital transformation services for mid-market companies worldwide. Accenture is working on AI-powered digital twin projects for large industrial and consumer goods clients, including Unilever. These moves come as investors...
NasdaqCM:CPRX
NasdaqCM:CPRXBiotechs

Catalyst Pharmaceuticals (CPRX) Gets Early FTC Clearance For Angelini Merger

U.S. Federal Trade Commission grants early termination of the Hart-Scott-Rodino waiting period for Catalyst Pharmaceuticals' planned merger with Angelini Pharma. The early termination advances regulatory review for the transaction, which still requires shareholder approval. The merger is currently expected to close in the third quarter of 2026, subject to remaining conditions. Catalyst Pharmaceuticals, listed as NasdaqCM:CPRX, focuses on treatments for rare neurological and epileptic...