U.S. Transportation Stock News

NYSE:TDC
NYSE:TDCSoftware

Teradata (TDC) Stock May Be 36% Below Fair Value On Cash Flow

Teradata stock has delivered a share price decline of around 48% over the past five years, yet current checks suggest the shares now screen as undervalued relative to an intrinsic value estimate and to market multiples. Over the past five years, Teradata has declined about 47.8%, which means long-term holders have absorbed a substantial capital loss, even though the last 12 months show a positive 33% return. The key support for valuation is the cash flow profile that can underpin a...
NasdaqGS:INCY
NasdaqGS:INCYBiotechs

Incyte (INCY) Nears Fair Value, Is The Upside Already Priced In?

Incyte (INCY) has drawn investor attention after its recent share price move, with the stock last closing at $127.22. The shift comes against a backdrop of mixed growth trends in its reported financials. See our latest analysis for Incyte. For context, Incyte’s recent pullback of around 1% on the day comes after a stronger run, with a 30.94% 90 day share price return and a 47.02% 1 year total shareholder return. This suggests momentum has been building rather than fading. If you are reviewing...
NasdaqGS:AMRX
NasdaqGS:AMRXPharmaceuticals

Amneal Pharmaceuticals (AMRX) Stock Looks Fairly Valued But Earnings Still Look Rich

After a very large 3 year gain, Amneal Pharmaceuticals now trades at around US$17.90 and the valuation picture looks less obviously cheap, with broader checks pointing to a stock that may be pricing in a lot of good news already. Amneal Pharmaceuticals has delivered a very large 3 year return of about 344%, which sets a high bar for any further upside to be supported by fundamentals. Future cash flow and earnings expectations can support the current share price if margins and execution stay...
NYSE:ATHM
NYSE:ATHMInteractive Media and Services

Is Autohome (ATHM) Fully Valued Following Its Latest Earnings Results?

Autohome (ATHM) is back in focus after reporting second quarter and first half 2026 results, giving you fresh numbers on revenue, earnings and shareholder payouts to assess the stock’s current appeal. See our latest analysis for Autohome. Despite the latest earnings update and fresh AI and retail initiatives, Autohome’s share price has moved unevenly, with a 33.33% 90 day share price return contrasting with a 14.16% decline in the 1 year total shareholder return. If Autohome’s recent swings...
NYSE:DEC
NYSE:DECOil and Gas

Diversified Energy (DEC) Stock Still Looks Cheap After Deal Speculation

Diversified Energy has delivered a decline of about 42% over the past five years, yet its current valuation checks lean cheap. This puts the recent share price recovery under the spotlight for investors trying to judge whether the stock now offers value or simply reflects ongoing concerns. The share price is down 42.1% over five years, which suggests the market has been cautious on Diversified Energy for a sustained period. Ongoing discussions around a possible acquisition of Birch Resources...
NasdaqGS:DPZ
NasdaqGS:DPZHospitality

What Is Domino's Pizza (DPZ) Trying To Do With The Domino?

Domino's Pizza (NasdaqGS:DPZ) introduced a new nationwide menu item called "the Domino," a Detroit-style pizza tailored for individual servings and higher customization. The product marks a shift toward more flexible meal options, with toppings and formats aimed at customers who want a personalized pizza experience. The launch adds another branded product platform to Domino's US menu, with potential implications for how the company competes in the quick-service pizza market. Domino's is not...
NYSE:ANET
NYSE:ANETCommunications

Arista Networks (ANET) Stock May Be Fully Priced On Its 7x Five Year Run

Arista Networks stock has delivered very strong gains over the past five years, yet its current checks offer a mixed read, with the Discounted Cash Flow (DCF) intrinsic value estimate close to the market price while earnings based multiples screen as expensive. Arista Networks has returned about 7x over 5 years, which puts extra focus on whether today’s price still leaves enough room for a reasonable margin of safety. Expectations for continued demand in cloud networking can support revenue...
NYSE:CAT
NYSE:CATMachinery

Why Caterpillar (CAT) Is Getting Attention Today

Caterpillar (CAT) stock has drawn fresh attention after the company booked $392 million from overturned tariffs in the second quarter while still facing about $400 million in ongoing tariff costs. See our latest analysis for Caterpillar. Caterpillar shares have cooled recently, with the 30-day share price return down 8.38% after a strong year to date share price return of 36.26%, while the 5-year total shareholder return of 320.67% reflects significant long term compounding. If you want to...
NYSE:MCB
NYSE:MCBBanks

Metropolitan Bank Holding (MCB) Stock Looks Cheap On Fair Value But Full On Earnings

Metropolitan Bank Holding has delivered a strong 125.9% return over the past three years, yet its current price still screens as undervalued when lined up against both intrinsic value estimates and traditional earnings multiples. The 125.9% three year return highlights that the stock has already rewarded shareholders strongly, so the key question is whether the current price still allows for an attractive risk and reward trade off. Expectations for Metropolitan Bank Holding to keep...
NYSE:DGX
NYSE:DGXHealthcare

How WHOOP Lab Expansion and Dividend Policy Could Shape Quest Diagnostics' (DGX) Advanced Diagnostics Narrative

Earlier this month, Quest Diagnostics announced that its Board of Directors declared a quarterly cash dividend of US$0.86 per share, payable on October 21, 2026 to shareholders of record on October 6, 2026. At the same time, Quest’s role powering WHOOP Advanced Labs with access to GRAIL’s Galleri multi-cancer early detection test across nearly 2,000 locations highlights how the company is embedding itself deeper into preventive and consumer-focused diagnostics. We’ll now examine how Quest’s...
NasdaqGS:AAON
NasdaqGS:AAONBuilding

Energy Efficiency Stocks Tied To AI Data Center Demand Investors May Want To Watch

With the IEA pushing fresh measures to curb oil use and tighten global fuel efficiency standards, attention is shifting toward companies that help cut energy waste rather than pump more crude. That policy turn is reshaping where capital flows and which business models feel the pressure. This article walks through three stocks exposed to that news and explains how each could either benefit or face new questions in your portfolio. The three stocks below are a starting sample. The full screen...
NasdaqGS:BMRN
NasdaqGS:BMRNBiotechs

BioMarin Pharmaceutical (BMRN) Beat Q2 Expectations, Is The Recent Re Rating Already Priced In?

BioMarin Pharmaceutical (BMRN) is back in focus after the company reported Q2 revenue that topped analyst expectations by 6.5% and issued full year EPS guidance above prior estimates, with the stock up 13% since that report. See our latest analysis for BioMarin Pharmaceutical. Over the past few months, BioMarin Pharmaceutical has seen stronger momentum, with a 30 day share price return of 15.89% and a 90 day share price return of 25.12%, while the 3 year total shareholder return is still down...
NasdaqGS:LQDT
NasdaqGS:LQDTCommercial Services

Did Upbeat Zacks Scoring and Earnings Revisions Just Shift Liquidity Services' (LQDT) Investment Narrative?

Recently, Liquidity Services was highlighted by Zacks as a growth and momentum stock, supported by a favorable Growth Score, a top-tier Zacks Rank, and upward revisions to earnings estimates for the coming quarter and full year. The broad analyst agreement in raising earnings forecasts stands out as a key driver of stronger sentiment toward Liquidity Services’ near‑term business prospects. Next, we’ll examine how this wave of upward earnings estimate revisions shapes Liquidity Services’...
NasdaqCM:SMPL
NasdaqCM:SMPLFood

The Bull Case For Simply Good Foods (SMPL) Could Change Following OWYN Impairment Lawsuit Allegations – Learn Why

Robbins LLP recently informed investors that a class action lawsuit was filed alleging Simply Good Foods misled shareholders about the integration and performance of its US$280 million OWYN acquisition, including undisclosed operational issues and large impairment charges recorded in 2026. The complaint centers on claims that management’s reassurances about OWYN’s progress conflicted with underlying problems such as product quality concerns, rising costs, and the eventual write-down of about...
NasdaqGS:ABSI
NasdaqGS:ABSIBiotechs

Absci (ABSI) Following Phase 1 Data And Lilly Backing Still Looks Undervalued

Absci (ABSI) is back in focus after interim Phase 1 data for its ABS-201 program indicated favorable safety, tolerability, and pharmacokinetics, along with a recent $100 million funding round anchored by Eli Lilly. See our latest analysis for Absci. Absci’s recent news is landing against a backdrop of sharp share price swings, with a 30-day share price return of 11.54% and a 90-day gain of 81.96%, while the 1-year total shareholder return is 262.50% and the 3-year total shareholder return is...
NYSE:CVX
NYSE:CVXOil and Gas

Chevron (CVX) Could Be 5% Undervalued As Angola Find And Record Earnings Lift Interest

Chevron (CVX) has drawn fresh attention after confirming a major oil and gas condensate discovery at the 105-4X well in Angola's offshore Block 0, alongside record quarterly earnings in a high energy price backdrop. See our latest analysis for Chevron. Chevron's recent Angola discovery and record quarter have arrived as momentum has been building in the stock, with a 30 day share price return of 7.69% and a year to date share price return of 31.99%, while the 1 year total shareholder return...
NasdaqGS:MCRI
NasdaqGS:MCRIHospitality

USA TODAY’s No. 1 Spa Ranking Might Change The Case For Investing In Monarch Casino & Resort (MCRI)

USA TODAY 10Best readers have named Monarch Casino & Resort’s Spa Monarch the No. 1 hotel spa in the nation in the 2026 Readers’ Choice Awards, marking the spa’s first top ranking and highlighting the company’s focus on wellness and hospitality. This recognition, alongside ongoing award contention for Monarch Chophouse and the Monarch Rewards loyalty program, underscores how Monarch is broadening its appeal beyond gaming through guest experience investments in dining, accommodations, and...
NYSE:HNI
NYSE:HNICommercial Services

Should HNI's (HNI) Expanded Buyback and Steady Dividend Shape Investor Views on Capital Discipline?

On August 20, 2026, HNI Corporation increased its equity buyback authorization by US$200 million, lifting the remaining repurchase capacity to US$284.3 million, following its Board’s August 17 decision to declare a quarterly dividend of US$0.35 per share payable on September 11, 2026. Taken together with HNI’s multi‑year revenue and earnings growth, the larger repurchase authorization and steady dividend signal management’s confidence in the company’s long-term cash generation and capital...
NYSE:RL
NYSE:RLLuxury

Ralph Lauren (RL) Could Be 13% Undervalued As Outlet Closure Tests Valuation

Ralph Lauren (RL) is closing its Polo Ralph Lauren outlet at Freeport Village Station, a move tied to its Next Great Chapter, Drive plan that reshapes the retail footprint through 2028. See our latest analysis for Ralph Lauren. Ralph Lauren shares trade at US$372.52 after a 1 day share price return that declined 1.44%, while the 1 year total shareholder return of 31.91% and very large 5 year total shareholder return suggest longer term momentum has been strong even as recent weekly and...
NasdaqGS:TIGO
NasdaqGS:TIGOWireless Telecom

Millicom’s Bigger Payout and Cash Flow Ambitions Might Change The Case For Investing In TIGO

Millicom International Cellular recently announced an interim dividend of US$1.50 per share, payable in two installments in early 2027, and raised its long-term cash flow targets, while continuing to manage a legal dispute in Guatemala. The combination of higher planned cash returns and upgraded cash flow ambitions, set against a premium earnings multiple and legal uncertainties, gives investors fresh information to reassess Millicom’s risk‑reward profile. We’ll now examine how Millicom’s...
NYSE:APTV
NYSE:APTVAuto Components

Aptiv (APTV) Joins Strong Sell List, Is The Undervaluation Case Still Credible?

Aptiv (APTV) is back in focus after being added to the Zacks Rank #5 Strong Sell list, following a nearly 10% cut to its current year earnings estimate over the past two months. See our latest analysis for Aptiv. The recent earnings estimate cut and lower 2026 revenue guidance appear to have reinforced existing caution around Aptiv, with the share price down 18.8% over the past month and the total shareholder return declining 64% over five years. The 40% year to date share price decline and...
NYSE:BHVN
NYSE:BHVNBiotechs

Why Biohaven (BHVN) Is Down 9.1% After Reporting Narrower Q2 and H1 Net Losses

In the second quarter of 2026, Biohaven Ltd. reported a net loss of US$137.31 million, or US$0.91 per share, and for the first half a net loss of US$267.84 million, or US$1.80 per share, both smaller than the prior year’s levels. This narrowing of losses, while the company remains unprofitable, may indicate tighter cost controls or operational efficiencies that could influence how investors view its progress. We’ll now examine how Biohaven’s reduced losses, amid a recent 9.09% seven-day...
NasdaqGS:SNPS
NasdaqGS:SNPSSoftware

Synopsys (SNPS) Stock Looks Below Fair Value On A 33% Slump

Synopsys stock has fallen 33.5% over the past year, yet its valuation checks send mixed signals, with a Discounted Cash Flow (DCF) estimate pointing to meaningful upside while market multiples suggest the shares are priced at a premium. The share price decline of 33.5% over the last 12 months raises the question of whether recent weakness has already accounted for investors’ concerns. Growth in AI driven chip design tools and deeper partnerships with large semiconductor and cloud players may...
NYSE:LMND
NYSE:LMNDInsurance

Lemonade Stock And Other Climate Risk Insurers Repricing US Property Coverage

Climate stress is starting to show up in very local ways, from insurance non-renewals that pressure home prices to weaker retail sales in affected counties. That shift creates new fault lines and potential openings for investors who pay attention to how property and casualty insurers price risk. This article walks through three US Specialty P&C insurers that are closely exposed to this climate risk story and explains what that could mean for their stocks. The three stocks covered below are...