U.S. Transportation Stock News

NYSE:SVV
NYSE:SVVMultiline Retail

Is Savers Value Village (SVV) Fairly Valued On Its Russell Index Removal?

Savers Value Village (SVV) has been removed from multiple Russell value benchmarks, including the Russell 2000 Value and Russell 2500 Value indexes, an index reshuffle that can influence short term trading flows. See our latest analysis for Savers Value Village. Despite the index removals, Savers Value Village has seen a 26.52% 90 day share price return and a 10.90% 30 day share price return, although the 1 year total shareholder return is down 4.78% and the 3 year total shareholder return is...
OTCPK:NLST
OTCPK:NLSTElectronic

3 AI Infrastructure Stocks Backed By Data Center Demand

AI infrastructure sits where powerful long term themes meet real world hardware, turning complex technology into billable capacity. While central banks weigh inflation data and long term yields swing with shifting rate expectations, attention is quietly moving toward the physical backbone that keeps AI running, from specialized data centers to power and cooling. The AI Infrastructure Stocks screener focuses on companies already tied to this demand, with revenue and operational setups geared...
NYSE:ASIC
NYSE:ASICInsurance

AI Bubble Fears Put These 3 Financial Risk Stocks In Focus

A confidential Treasury draft warning about a possible AI bubble is a reminder that when one part of the market becomes highly crowded, investors often look for assets that could hold up better if expectations reset. This is where a focus on financial sector risk mitigation stocks can help you think about portfolio balance, not just growth stories tied to AI optimism. In this article, you will see 3 stocks from our Financial Sector Risk Mitigation Stocks screener that appear positively...
NYSE:BXC
NYSE:BXCTrade Distributors

Microsoft Stock Selloff Is Creating Value Opportunities In Overlooked Industrial Names

Volatility around Microsoft, from fresh layoffs to questions about its AI business, is rippling through large cap tech and beyond, and that can create pockets of mispricing. When sentiment turns against a giant like Microsoft, investors sometimes sell related stocks without looking closely at their balance sheets, P/E, or P/B levels. This is where a value-focused screener can help you separate companies with solid finances from those under real pressure. Below, you will see 3 stocks from the...
NYSE:EQH
NYSE:EQHDiversified Financial

Equitable Holdings (EQH) Gets A Fresh Look As Russell Additions And CRBG Deal Shape Value

Equitable Holdings (EQH) is drawing fresh attention after being added to several Russell value benchmarks, a move that can influence passive fund demand as investors also weigh analyst commentary and the planned merger with CRBG. See our latest analysis for Equitable Holdings. Recent share price momentum has been strong, with a 1 month share price return of 11.79% and a 3 month share price return of 20.82%. This is even though the year to date share price return is down 4.92% and the 1 year...
NYSE:ICL
NYSE:ICLChemicals

How Investors May Respond To ICL Group (ICL) Renewing Potash Supply Deal With Indian Potash Limited

In June 2026, ICL Group announced it had reached an agreement under its 2022–2027 framework to supply Indian Potash Limited with 375,000 metric tons of potash over the coming year, priced at US$383 per ton CIFFO to Indian ports, with an option for an additional 50,000 metric tons. This renewed volume commitment underscores ICL’s entrenched role in India’s potash import market and highlights the commercial value of its long-term offtake arrangements with key fertilizer buyers. Next, we’ll...
NYSE:P
NYSE:PTech

FB Financial And 2 Other Stocks That May Be Trading Below Their Estimated Value

Over the last 7 days, the United States market has risen by 1.6%, contributing to a 19% increase over the past year, with earnings expected to grow by 18% annually in the coming years. In such an environment, identifying stocks that may be trading below their estimated value can offer investors potential opportunities for growth and stability amidst these positive market trends.
NYSE:TKO
NYSE:TKOEntertainment

TKO Stock And 2 Media Names Worth Watching After The ITV Sky Deal

The shock £1.6b takeover of ITV’s TV business by Sky, backed by Comcast, is reshaping UK broadcasting and putting fresh attention on large media stocks with meaningful exposure to traditional TV and streaming. With control of a broadcaster reaching 21 million households and a £2.1b content spend commitment to ITV Studios from 2028 to 2032, capital is moving and business models may need to adjust. This article looks at 3 stocks from our Media & Broadcasting Sector screener that are most...
NYSE:DAL
NYSE:DALAirlines

Delta Stock And 2 Airline Shares to Watch as International Travel Demand Shifts

International travel is no longer crammed into a few hot and crowded summer months. Record heat, fuller peak-season flights, and changing work patterns are pushing more people to travel in the shoulder and offseason, especially across the Atlantic. At the same time, airlines are extending seasonal routes, adjusting fleets, and aiming to keep higher paying cabins filled for more of the year, even as jet fuel costs weigh on profits. This article looks at 3 stocks exposed to these travel trends...
NasdaqGS:HQY
NasdaqGS:HQYHealthcare

HealthEquity (HQY) Is Up 8.5% After Russell Exit And ESOP Share Offering - Has The Bull Case Changed?

In late June 2026, HealthEquity, Inc. was removed from the Russell 2000 Dynamic Index and filed a US$204.82 million shelf registration to offer 2,455,000 common shares for an ESOP-related transaction. This combination of index exclusion and potential equity issuance highlights shifting ownership dynamics and balance sheet flexibility considerations for investors evaluating HealthEquity’s long-term positioning. Next, we’ll examine how HealthEquity’s Russell 2000 Dynamic removal may reshape...
NasdaqCM:BLNK
NasdaqCM:BLNKElectrical

Blink Charging Stock And 2 EV Charging Shares Tied To UK Charger Spending

Electric vehicle charging infrastructure is in the spotlight after the UK signalled slower charger rollout, possible changes to EV sales mandates and fresh public money for ultra rapid and on street charging. For investors, this mix of policy risk, funding support and consolidation pressure could reshape expectations for companies tied to EV charging worldwide. This article explains what that backdrop might mean for stocks exposed to UK charging trends and highlights 3 stocks from our...
NYSE:CXM
NYSE:CXMSoftware

Exploring 3 High Growth Tech Stocks In The US Market

Over the last 7 days, the United States market has risen 1.6% and in the past year, it has climbed 19%, with earnings expected to grow by 18% per annum in the coming years. In such a dynamic environment, identifying high growth tech stocks involves looking at companies that demonstrate strong innovation potential and robust financial health to capitalize on these favorable conditions.
NYSE:TBBB
NYSE:TBBBConsumer Retailing

3 Growth Companies With High Insider Ownership And Up To 42% Revenue Growth

The United States market has shown positive momentum, rising 1.6% over the last week and 19% over the past year, with earnings projected to grow by 18% annually. In this environment, growth companies with high insider ownership can be particularly appealing as they often indicate confidence from those closest to the business while potentially capitalizing on favorable market conditions.
NasdaqCM:HFFG
NasdaqCM:HFFGConsumer Retailing

July 2026 Penny Stocks With Promising Potential

The market has climbed 1.6% in the last 7 days and is up 19% over the last 12 months, with earnings forecast to grow by 18% annually. For investors willing to explore beyond the big names, penny stocks — often smaller or newer companies — can be full of surprises. While the term might evoke earlier market trends, these stocks can provide a mix of affordability and growth potential when paired with strong financials.
NYSE:NET
NYSE:NETIT

3 Growth Stocks Retail Investors Are Watching As Rate Pressure Starts To Ease

Interest rate sensitive growth stocks are back in focus after softer U.S. jobs data cooled expectations of near term Fed hikes, while gold holding near a recent high and a firm dollar underline how cautious markets still feel. For growth shares that rely on funding and future earnings, this mix of lower rate pressure and higher risk aversion can create both opportunity and extra scrutiny. This article looks at three stocks from our Interest Rate Sensitive Growth Stocks screener that appear...
NasdaqGS:MRNA
NasdaqGS:MRNABiotechs

US Stock Market Today: S&P 500 Futures Climb As Growth Hopes And Volatility Ease

The Morning Bull - US Market Morning Update Monday, Jul, 6 2026 US stock futures are pointing higher this morning, with contracts linked to the S&P 500 and Nasdaq 100 both up around 0.4% to 1.2%, as investors react to mixed global growth signals and falling volatility. Fresh purchasing manager indexes from Europe and Asia show services activity hovering around the break even 50 mark, which signals private sectors that are either barely growing or just stabilising. At the same time, volatility...
NasdaqGS:VECO
NasdaqGS:VECOSemiconductor

3 AI Infrastructure Growth Stocks Backed By Lower Rate Hopes

With softer US employment data tempering expectations for more Federal Reserve rate hikes, a weaker dollar index and easing oil prices, growth stocks are back in focus for investors weighing interest rate sensitive opportunities. Lower inflation pressures and closer scrutiny of the Fed’s upcoming June meeting minutes are reshaping how markets treat companies that rely on funding costs and future earnings potential. Using a Growth Stocks screener built around this news, this article breaks...
NYSE:BEKE
NYSE:BEKEReal Estate

Do KE Holdings' (BEKE) New RSUs and Buybacks Clarify Its Long-Term Capital Allocation Priorities?

Earlier this week, KE Holdings Inc. approved the grant of 7,025,385 restricted share units to 649 employees under its 2020 Share Incentive Plan, to be settled in Class A ordinary shares listed in Hong Kong. This combination of broad-based equity awards and recent HK$20,000,000 in share repurchases highlights management’s emphasis on long-term alignment with shareholders. Next, we’ll examine how the large restricted share unit grant shapes KE Holdings’ investment narrative and longer-term...