U.S. Transportation Stock News

NYSE:IP
NYSE:IPPackaging

3 Value Stocks Offering Dividends While Markets Stay Unsettled

Markets have been pulled in different directions by weaker US jobs data, firm inflation rhetoric from the Fed, sliding semiconductor stocks, and a drop in oil prices. For value investors, these cross currents can draw attention away from larger companies that still trade on relatively low P/E ratios, pay dividends, and show broadly steady financial profiles. This article looks at how that mix of macro headlines and sector pressure could matter for selected value stocks, and reveals 3 stocks...
NYSE:SBR
NYSE:SBROil and Gas

Sabine Royalty Trust (SBR) Cuts July Distribution, Is The Valuation Gap Too Wide?

Sabine Royalty Trust (SBR) recently announced a lower July 2026 cash distribution of $0.429150 per unit. The decrease is tied to weaker natural gas pricing, even as reported oil and gas production volumes increased. See our latest analysis for Sabine Royalty Trust. The distribution update comes as Sabine Royalty Trust trades at $73.11, with recent pressure reflected in a 1 month share price return of down 6.94% and a 3 month share price return of down 2.00%. The year to date share price...
NYSE:CF
NYSE:CFChemicals

3 Stocks to Watch if Inflation and Supply Chain Costs Stay High

Inflation is staying sticky, supply chains are still under strain and the reopening of the Strait of Hormuz has eased some pressure without removing the underlying risks. For investors, that mix can create both potential opportunity and additional pitfalls as energy, shipping and fertilizer costs ripple through earnings and pricing power. This article looks at three stocks exposed to these latest developments, two that may be positioned to benefit from persistent cost pressures and one that...
NasdaqGS:RRR
NasdaqGS:RRRHospitality

Boyd Gaming Stock And 2 Nevada Picks Tied To AI Infrastructure Growth

Nevada is quietly turning into a test case for what happens when fast growing AI infrastructure, data centers, and lithium projects land in a state where the workforce is expanding and average hourly pay is rising. At the same time, traditional Las Vegas casino revenues are under pressure, which may push capital and talent toward other parts of the local economy. This article looks at 3 stocks exposed to these Nevada trends, all potentially benefiting from stronger professional services,...
NYSE:PKG
NYSE:PKGPackaging

3 Dividend Growth Stocks With Pricing Power as Inflation Heats Up

Hotter U.S. inflation is back on the radar, with May PPI up 1.1% and wholesale prices rising 6.5% year over year, led by a sharp jump in energy and gasoline costs. That kind of pressure often affects borrowing costs and market sentiment, which can be important for dividend growth investors seeking reliable income. This article examines how that environment aligns with our Dividend Growth Stocks screener and highlights 3 stocks that appear positively exposed to this latest inflation surprise,...
NYSE:TNC
NYSE:TNCMachinery

Federal Probe Into ERP Rollout Missteps Might Change The Case For Investing In Tennant (TNC)

Tennant Company recently disclosed that it is under federal securities investigation following past operational disruptions and lost sales tied to its new ERP system rollout, after earlier communications had suggested the project was progressing as planned. The clash between Tennant’s prior assurances and the subsequent ERP-related fallout raises fresh questions about management’s execution on large-scale investments and internal controls. We’ll now examine how the federal securities...
NYSE:QTWO
NYSE:QTWOSoftware

Corning Stock And 2 AI Infrastructure Picks for Lower Rate Growth

With U.S. stocks softer to start Q3, interest rate questions back in focus after comments from the Federal Reserve, and fresh labor and oil data swirling around, rate sensitive growth stocks are again in the spotlight. These are companies whose valuations can shift quickly as expectations for inflation, jobs, and yields move. This article looks at how that mix of weaker semiconductor trading, cautious central bank messaging, and softer jobs data may matter for growth focused portfolios, and...
NasdaqGS:ABSI
NasdaqGS:ABSIBiotechs

Is Absci (ABSI) Undervalued On Encouraging ABS 201 Phase 1 Data?

Absci (ABSI) is back in focus after reporting interim Phase 1 data for ABS-201, its investigational anti-prolactin receptor antibody for androgenetic alopecia, and moving the HEADLINE trial into the multiple ascending dose stage. See our latest analysis for Absci. Alongside the ABS-201 update and recent US$100.0 million follow on equity offering, Absci’s 30 day share price return of 58.31% and year to date share price return of 221.88% point to strong short term momentum. A very large 3 year...
NasdaqGS:ARLP
NasdaqGS:ARLPOil and Gas

Alliance Resource Partners (ARLP) Completes AllDale Minerals Deal To Expand Permian Royalties

Alliance Resource Partners (NasdaqGS:ARLP) completed the acquisition of significant interests in AllDale Minerals III and IV. The deal expands ARLP's oil and gas royalty position, with added exposure to the Permian Basin. The transaction represents a sizeable capital deployment into the company's royalties segment. Alliance Resource Partners has historically been known for its coal operations, and the move into additional oil and gas royalties marks a wider energy footprint for the...
NYSE:SPHR
NYSE:SPHREntertainment

Sphere Entertainment (SPHR) Stock May Be Cheap On Cash Flow Yet Pricey On Earnings

Sphere Entertainment has delivered very strong share price gains over the last three years, yet the valuation signals are pulling in different directions, with the Discounted Cash Flow (DCF) intrinsic value estimate pointing to some upside while market based multiples look stretched. Sphere Entertainment has returned roughly 387.2% over three years, which puts a spotlight on whether recent gains already reflect most of the good news in the story. Expectations around demand for The Wizard of...
NasdaqGS:HFWA
NasdaqGS:HFWABanks

3 Regional Bank Stocks Retail Investors Are Reading Up On After The Fed Shift

When the Federal Reserve itself becomes the story, large U.S. financial stocks can quickly move from routine holdings to high conviction opportunities or clear avoids. With Kevin Warsh stepping in as Fed Chair and fresh legal challenges to central bank independence in focus, investors are reassessing which institutions may be better positioned if policy priorities, rules or communication change. This article looks at the Fed shockwaves and how they connect to some of the biggest U.S...
NYSE:CPA
NYSE:CPAAirlines

Copa Holdings (CPA) Stock Looks Reasonable With Earnings Priced Cautiously

Copa Holdings stock has delivered a strong 153.8% return over the past 5 years, and with the shares recently closing at US$152.65, the key tension for investors is whether that performance is already reflected in the price or if the current valuation still leaves room for a margin of safety. The 153.8% return over 5 years suggests Copa Holdings has already rewarded long term holders, which naturally raises the bar for any new buying decision. Future earnings and cash flow from Copa Holdings'...
NasdaqGS:PGC
NasdaqGS:PGCBanks

US Regional Bank Stocks Worth Watching As Fed Pressure Builds

With the Trump administration increasing pressure on the Federal Reserve, including efforts to reshape its leadership and influence regional policy, US regional banks sit closer to the action than most sectors. Shifts in rate expectations, questions around Fed independence, and potential changes at key regional Fed branches can all feed into funding costs, loan growth, and investor sentiment toward the sector. This article looks at 3 stocks from a US Regional Banks screener that appear...
NYSE:CARR
NYSE:CARRBuilding

Carrier (CARR) Stock May Be 35% Undervalued Despite Its Riello Sale

Carrier Global stock has delivered a 55.3% gain over the past five years, yet today's $70.07 share price sits in the middle of a valuation split, with a Discounted Cash Flow (DCF) intrinsic value estimate pointing to meaningful upside while market multiples paint a richer picture. Over five years, Carrier Global has returned 55.3%, which puts recent short term weakness into the context of a longer, positive compounding story for shareholders. The recent $440 million sale of the Riello...
NasdaqGS:IMCR
NasdaqGS:IMCRBiotechs

Immunocore (IMCR) Stock May Trade Above Fair Value On A 48% Slump

Immunocore Holdings stock has bounced in the short term yet, after a share price that is still down about 47.8% over three years and a mixed result from the valuation checks, the current level around US$32.50 raises questions about how much upside is already priced in. Over the past three years, Immunocore Holdings has declined roughly 47.8%, which suggests investors who bought earlier in the period have faced a material capital loss that the recent rebound has not fully offset. Fresh Phase...
NYSE:SFL
NYSE:SFLOil and Gas

SFL (SFL) Orders LNG Car Carrier, Is The Stock Still 10% Undervalued?

SFL (SFL) has ordered a 7,000-CEU LNG dual-fuel Pure Car and Truck Carrier for delivery in 2029, aligning its fleet with tighter environmental requirements and increasing demand for global car shipment capacity. See our latest analysis for SFL. Alongside the new LNG dual-fuel carrier order, SFL has been added to several Russell growth benchmarks. The stock’s share price return has moved 34.22% year to date, with a 5 year total shareholder return of 123.64%, suggesting momentum has been...
NYSE:DEC
NYSE:DECOil and Gas

Is Diversified Energy’s (DEC) Buyback and Index Shift Quietly Rewriting Its Capital Allocation Story?

Diversified Energy Company (NYSE:DEC) was recently added to the Russell 2000 Defensive and Russell 2000 Value-Defensive indices and has continued cancelling shares under its ongoing buyback program, reducing its common stock in issue to about 70,760,082 shares. These index inclusions and active repurchases are reshaping the company’s investor base and share count, potentially amplifying the market impact of its capital allocation choices. With Diversified’s recent index inclusions and...
NasdaqCM:UNCY
NasdaqCM:UNCYBiotechs

Why Unicycive Therapeutics (UNCY) Is Down 19.6% After FDA CRL Over Third-Party Manufacturing Issues And What's Next

Unicycive Therapeutics recently disclosed that the FDA issued another Complete Response Letter for its resubmitted New Drug Application for oxylanthanum carbonate, citing unresolved deficiencies at a third-party manufacturing vendor but raising no new safety or efficacy concerns and requesting no additional clinical data. This outcome underscores how non-clinical factors such as manufacturing compliance and vendor inspections can critically influence the regulatory path of a late-stage...
NasdaqGS:SEDG
NasdaqGS:SEDGSemiconductor

SolarEdge (SEDG) Could Gain If Trump Restricts Chinese Made Solar Inverters

The Trump administration proposes a ban on new Chinese-made solar inverters, citing cybersecurity concerns. The policy, if implemented, could shift demand toward SolarEdge Technologies and other non-Chinese manufacturers. This development is relevant for NasdaqGS:SEDG investors watching policy driven shifts in the solar supply chain. SolarEdge Technologies sits at the center of this policy discussion, with its NasdaqGS:SEDG shares recently trading at $52.38. The stock is up 67.0% year to...
NYSE:LNN
NYSE:LNNMachinery

Lindsay (LNN) Stock Faces Margin Decline That Tests Bullish Earnings Narratives

Lindsay (LNN) has put Q3 2026 on the board with revenue of US$160.8 million and basic EPS of US$1.54, while trailing twelve month revenue sits at US$627.9 million and EPS at US$5.22, setting the backdrop for how investors read the latest earnings run rate. The company has seen quarterly revenue move from US$169.5 million in Q3 2025 to US$160.8 million in Q3 2026, with basic EPS shifting from US$1.80 to US$1.54 over the same period. Those trends now feed directly into the discussion around...
NYSE:FDXF
NYSE:FDXFTransportation

FedEx Freight Holding Company (FDXF) Stock Looks Below Fair Value As Earnings Lag

FedEx Freight Holding Company has declined about 4.4% over the past month, yet both the Discounted Cash Flow (DCF) intrinsic value estimate and market multiples currently point to the stock trading at a discount, raising the question of how much of that gap is justified by its fundamentals. The share price is down 4.4% over the past month, which may suggest investors are still reassessing the story after recent weakness. The agreed US$1.4b sale of FedEx's supply chain unit to CMA CGM can...
NYSE:SRFM
NYSE:SRFMAirlines

Is Surf Air Mobility (SRFM) Undervalued As Palantir, Wheels Up And Hawaiʻi Plans Build Out?

Surf Air Mobility (SRFM) is back on traders’ screens after a cluster of fresh announcements around its SurfOS software, a wider Palantir partnership, a Wheels Up subscription deal, and new electric aircraft plans in Hawaiʻi. See our latest analysis for Surf Air Mobility. For context, Surf Air Mobility’s 7 day share price return of 15.31% around these Palantir, Wheels Up and Hawaiʻi announcements sits against a 30 day share price return that is down 10.34% and a year to date share price return...
NasdaqGS:PCVX
NasdaqGS:PCVXBiotechs

Vaxcyte (PCVX) Updates VAX A1 Trial, Is It Still A Bargain?

Vaxcyte (PCVX) is back in focus after updating investors on its VAX-A1 clinical trial targeting Group A strep infections, along with renewed attention from Wall Street that is highlighting the company’s broader vaccine pipeline. See our latest analysis for Vaxcyte. Against this backdrop, Vaxcyte’s recent 19.75% 1 month share price return and 25.68% year to date share price return, alongside a 75.61% 1 year total shareholder return, suggest momentum has been building as investors react to the...
NasdaqGM:PLBL
NasdaqGM:PLBLRetail Distributors

Is Polibeli Group (PLBL) Fully Valued As It Explores A Thailand AI Computing Center?

Polibeli Group (PLBL) has drawn fresh attention after signing a non-binding Memorandum of Understanding with Thailand based AUTHAIKAM COMPANY LIMITED to explore a potential artificial intelligence computing center project in Thailand. See our latest analysis for Polibeli Group. Polibeli Group's latest MOU arrives after a sharp near term rebound, with a 30 day share price return of 72.44% and a 90 day share price return of 16.59%, while the year to date share price return is still down 5.52%...