U.S. Water Utilities Stock News

NasdaqCM:ABTC
NasdaqCM:ABTCSoftware

American Bitcoin (ABTC) Valuation After New Bitcoin Reserves Disclosure And Bitcoin Yield Metric Launch

American Bitcoin’s new disclosure focus American Bitcoin (ABTC) is drawing fresh attention after highlighting more than 5,098 Bitcoin in reserves and rolling out a Bitcoin Yield Metric aimed at giving investors clearer insight into changes in its holdings. See our latest analysis for American Bitcoin. That renewed focus on its 5,098 Bitcoin reserves and the new Bitcoin Yield Metric comes after a tough period, with American Bitcoin’s share price return declining 67.78% over 90 days and 7.87%...
NYSE:OBK
NYSE:OBKBanks

A Look At Origin Bancorp (OBK) Valuation After Recent Share Price Momentum

Origin Bancorp overview and recent performance Origin Bancorp (OBK) has attracted investor attention recently, with the share price around $40.44 and a mix of short term and longer term total returns that give a useful starting point for evaluating the stock. See our latest analysis for Origin Bancorp. While the latest 1-day share price return of 0.10% is relatively muted, the 90-day share price return of 19.40% and 1-year total shareholder return of 17.02% suggest momentum has been building...
NYSE:BHVN
NYSE:BHVNBiotechs

Assessing Biohaven (BHVN) Valuation After Positive MoDE And TRAP Degrader Clinical Updates

Biohaven (BHVN) is back in focus after reporting early clinical experience from its MoDE and TRAP degrader platforms in IgA nephropathy and Graves' disease, along with a fresh pipeline update at a major healthcare conference. See our latest analysis for Biohaven. Biohaven's recent MoDE and TRAP degrader data, along with its high profile conference appearance, comes after a sharp rebound in momentum, with a 7 day share price return of 18.27% and a 30 day share price return of 21.11% from a...
NYSE:SILA
NYSE:SILAHealth Care REITs

Does Sila’s New Oklahoma Rehab Facility Deal Alter the Bull Case For Sila Realty Trust (SILA)?

Sila Realty Trust, Inc. recently completed the US$43.1 million acquisition of a fully leased inpatient rehabilitation facility in Oklahoma City, Oklahoma, which has been expanded to 58 beds and is operated under a long-term absolute-net lease with a corporate guaranty. This transaction reinforces Sila Realty Trust’s focus on healthcare real estate anchored by long-duration, necessity-based assets with strong occupancy and limited local competition, aiming to support consistent cash...
NasdaqGS:TXG
NasdaqGS:TXGLife Sciences

Did 10x Genomics’ (TXG) Clinical Collaborations and CLIA Push Just Recast Its Investment Narrative?

In January 2026, 10x Genomics and its partners, including Dana-Farber Cancer Institute, Brigham & Women’s Hospital, the Cancer Research Institute and CareDx, announced a series of collaborations to apply single-cell and spatial technologies across oncology, autoimmune disease, immuno-oncology and transplantation, alongside unaudited 2025 revenue of about US$642.8 million, or US$598.7 million excluding patent litigation settlements. These alliances, together with plans for a CLIA-certified...
NasdaqGS:MIDD
NasdaqGS:MIDDMachinery

Assessing Middleby (MIDD) Valuation After Recent Mixed Share Price Performance

Middleby: Recent Performance Snapshot Middleby (MIDD) has been trading quietly, with the share price last closing at US$148.53 and showing mixed returns, including a small move over the past month and a stronger gain across the past 3 months. See our latest analysis for Middleby. While Middleby’s 1-day share price return of 0.21% decline and 7-day share price return of 5.81% decline suggest some recent cooling, the 90-day share price return of 10.44% and 1-year total shareholder return of...
NYSE:DEI
NYSE:DEIOffice REITs

A Look At Douglas Emmett (DEI) Valuation After Recent Analyst Downgrades On Occupancy And FFO Concerns

Several firms have recently downgraded Douglas Emmett (DEI), pointing to persistent weakness in occupancy and leasing momentum across its Los Angeles office portfolio, along with lower funds from operations estimates and a slower regional recovery. See our latest analysis for Douglas Emmett. The recent downgrades arrive after a difficult period for investors, with a 1 year total shareholder return of 32.94% decline and a 5 year total shareholder return of 50.07% decline. The latest US$11.12...
NYSE:ARDT
NYSE:ARDTHealthcare

Ardent Health (ARDT) Valuation Reassessed After Class Action Lawsuits Over Accounting And Control Disclosures

Ardent Health (ARDT) is back in focus after a series of securities class action lawsuits tied to disclosures on accounts receivable accounting, higher professional liability reserves, and alleged weaknesses in financial reporting controls. See our latest analysis for Ardent Health. At the latest share price of $8.60, Ardent Health has seen a 41.5% decline in its 90 day share price return and a 39.01% fall in 1 year total shareholder return. Recent lawsuits appear to be keeping pressure on...
NYSE:BH.A
NYSE:BH.AHospitality

Assessing Biglari Holdings (BH.A) Valuation After Strong Recent Share Price Momentum

What recent performance suggests about Biglari Holdings (BH.A) Recent trading in Biglari Holdings (BH.A) has drawn attention, with the stock showing double digit returns over the past week, month, and past 3 months, prompting investors to reassess what is driving sentiment. See our latest analysis for Biglari Holdings. At a share price of $2,378.72, Biglari Holdings has seen a rapid shift in sentiment, with a 30 day share price return of 35.78% and a 1 year total shareholder return of...
NYSE:BF.B
NYSE:BF.BBeverage

Does Brown-Forman’s Premium Bourbon Push Reshape the Long-Term Brand Narrative For BF.B Investors?

Earlier this week, Brown-Forman expanded the national availability of its highly sought-after Woodford Reserve Double Double Oaked Bourbon, while also celebrating Old Forester’s heritage with a new documentary and the return of its 1924, 10-year-old age-stated Whiskey Row bourbon. These launches highlight how Brown-Forman is leaning on premium, story-rich bourbons to deepen brand loyalty at a time of industry headwinds. We’ll now examine how the nationwide Double Double Oaked release could...
NYSE:BTU
NYSE:BTUOil and Gas

Is Peabody Energy’s (BTU) New Coal Council Role Expanding Its Policy Influence Or Raising Expectations?

Peabody Energy recently announced that its President and CEO, Jim Grech, has been appointed Chair of the National Coal Council, a federal advisory body that offers policy recommendations on coal to the U.S. Secretary of Energy. This appointment gives Peabody a higher-profile voice in coal policy discussions, which may influence how investors view the company’s role within the broader energy landscape. Next, we’ll examine how Grech’s new policy role could influence Peabody’s existing...
NYSE:CLH
NYSE:CLHCommercial Services

How Investors May Respond To Clean Harbors (CLH) Q3 Revenue Miss Amid Segment Growth

In the past quarter, Clean Harbors reported revenues of US$1.55 billion, up 1.3% year on year but missing analyst expectations, and continued to highlight growth in its Technical Services and Safety-Kleen Environmental Services businesses while presenting at investor conferences hosted by Needham and CJS Securities in January 2026. An interesting angle for investors is that, despite growth in key segments, Clean Harbors delivered the weakest performance versus analyst estimates among the...
NYSE:WCN
NYSE:WCNCommercial Services

How Analyst Reassessments On Recycling Headwinds At Waste Connections (WCN) Have Changed Its Investment Story

In recent days, multiple firms including Citigroup, CIBC, Bernstein, and J.P. Morgan have updated their views on Waste Connections ahead of its previously scheduled fourth-quarter 2025 earnings release and 2026 outlook call. This cluster of analyst updates underscores growing focus on how sector headwinds in recycling and pricing assumptions could influence Waste Connections’ upcoming guidance. Now we’ll examine how this recent wave of analyst reassessments ahead of earnings may affect...
NYSE:MSA
NYSE:MSACommercial Services

Does MSA (MSA) Prioritizing Steady Dividends Reveal Its True Capital Allocation Strategy?

Earlier this week, MSA Safety’s Board declared a first‑quarter 2026 dividend of US$0.53 per common share and US$0.5625 per preferred share, payable in March to shareholders of record on February 13, 2026. This announcement extends the company’s more than five‑decade record of uninterrupted dividends with over a decade of consecutive annual increases, underscoring its focus on consistent shareholder returns. Next, we’ll examine how MSA Safety’s continued dividend commitment influences its...
NasdaqGS:VC
NasdaqGS:VCAuto Components

A Look At Visteon (VC) Valuation After Recent Share Price Weakness

Visteon (VC) has been drawing investor attention after a recent stretch of mixed share performance, with the stock showing a 3.9% decline over the past day and a 6.2% decline over the past month. See our latest analysis for Visteon. At a share price of $93.69, Visteon’s recent 7 day and 90 day share price returns of 8.05% and 18.26% declines contrast with a 1 year total shareholder return of 12.06%. This suggests shorter term momentum has been fading while longer term holders have still come...
NYSE:HEI
NYSE:HEIAerospace & Defense

Is Record Profitability And Cash Generation Altering The Investment Case For HEICO (HEI)?

In recent days, HEICO reported past record profitability, broad-based revenue growth, and strong cash generation, underpinned by resilient aviation support demand and continued acquisitions. This combination of robust operating performance, disciplined deal-making, and strong returns on invested capital has reinforced perceptions of HEICO as a high-quality compounder in specialized aerospace and electronics markets. We’ll now examine how HEICO’s record profitability and strong cash...
NasdaqGS:AVAH
NasdaqGS:AVAHHealthcare

A Look At Aveanna Healthcare Holdings (AVAH) Valuation As Management Raises 2025 Guidance And 2026 Targets

Aveanna Healthcare Holdings (AVAH) raised its 2025 revenue guidance to a range of US$2.425b to US$2.445b and issued higher preliminary 2026 targets, putting its home based care model firmly in focus for investors. See our latest analysis for Aveanna Healthcare Holdings. Aveanna’s updated guidance comes after a mixed stretch in the market, with a 7 day share price return of 7.33% and a 90 day share price return of a 10.22% decline. Even so, the year to date share price return of 14.11% and a...
NasdaqGS:LSTR
NasdaqGS:LSTRTransportation

How Landstar System’s Q4 2025 Results and Analyst Updates Will Impact Landstar System (LSTR) Investors

Landstar System recently announced that it released its fourth-quarter 2025 results on January 28, 2026, followed by a conference call with analysts and investors that same afternoon, with both live and replay access available through its investor relations website. Alongside this earnings communication, a broad group of research firms has reaffirmed coverage of Landstar while revisiting their expectations for the company’s longer-term business trajectory. We’ll explore how this cluster of...
NYSE:CBT
NYSE:CBTChemicals

Cabot’s PowerCo Battery Deal And Board Reset Might Change The Case For Investing In Cabot (CBT)

Earlier in January, Cabot Corporation reported a multi-year agreement to supply advanced conductive carbons and dispersions to PowerCo SE for use in electric-vehicle battery electrodes, while also moving to rebalance its board by conditionally resetting director Thierry Vanlancker’s term at the 2026 Annual Meeting. This combination of a long-term EV battery materials partnership and board realignment highlights Cabot’s effort to strengthen its role across the global clean-energy value...
NYSE:TMHC
NYSE:TMHCConsumer Durables

What Taylor Morrison Home (TMHC)'s BofA Downgrade on 2026 Delivery Concerns Means For Shareholders

In the past few days, BofA Securities downgraded Taylor Morrison Home to Neutral from Buy, citing sector pressures from employment, inflation, and heightened competition that could weigh on the builder’s 2026 earnings. This reassessment contrasts with management’s earlier plans for over 100 new community openings in 2026 and targeted closings growth supported by ongoing share repurchases. Next, we’ll examine how BofA’s concerns over weaker 2026 home deliveries could reshape Taylor Morrison...
NYSE:EPAC
NYSE:EPACMachinery

A Look At Enerpac Tool Group (EPAC) Valuation After William Blair Initiates Coverage With Market Perform Rating

William Blair has started covering Enerpac Tool Group (EPAC) with a Market Perform rating, adding a fresh research voice just ahead of the company’s presentation at CJS Securities’ New Ideas for the New Year investor conference. See our latest analysis for Enerpac Tool Group. The William Blair initiation comes after a solid run in the past month, with a 30 day share price return of 9.32%. Over the past year there has been a 7.99% decline in total shareholder return, while the 3 year total...
NYSE:CNO
NYSE:CNOInsurance

A Look At CNO Financial Group (CNO) Valuation As Investors Reassess Long Term Return Potential

Why CNO Financial Group Stock Is On Investors’ Radar CNO Financial Group (CNO) is drawing attention after recent trading left the shares with mixed short term returns but strong multi year total returns. This is prompting investors to reassess the insurer’s current valuation. See our latest analysis for CNO Financial Group. At a recent share price of US$41.54, CNO has seen weaker short term share price returns over the past month and year to date. Its one year and multi year total shareholder...
NYSE:LW
NYSE:LWFood

Should Lamb Weston’s (LW) Latin America Plant Closures and Production Shift Require Action From Investors?

Earlier this month, Lamb Weston Holdings, Inc. confirmed it will close its Munro, Argentina plant, consolidating Latin American production into a newer Mar del Plata facility, while also temporarily curtailing a production line in the Netherlands and providing severance to about 100 affected employees. This manufacturing reshuffle highlights how Lamb Weston is reshaping its global footprint under its Focus to Win plan, with potential implications for cost efficiency, regional supply...
NasdaqGS:VCTR
NasdaqGS:VCTRCapital Markets

Will Stable Assets and Long-Term Outflows Reshape Victory Capital Holdings' (VCTR) Organic Growth Narrative?

Victory Capital Holdings recently reported Total Client Assets of about US$316.60 billion as of December 31, 2025, alongside long-term Assets Under Management net outflows of US$2.10 billion in the fourth quarter, and it has already scheduled its fourth-quarter 2025 results release and conference call for early February 2026. This combination of broadly stable overall asset levels with continued long-term net outflows raises fresh questions about the strength and durability of the firm’s...