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NasdaqGS:KLTR
NasdaqGS:KLTRSoftware

Kaltura (KLTR) Losses Narrow Again In Q3 FY 2025 Challenging Bearish Profitability Concerns

Kaltura FY 2025 earnings snapshot Kaltura (KLTR) has just posted its FY 2025 third quarter numbers, reporting revenue of US$43.9 million and a basic EPS loss of US$0.02, alongside net income excluding extra items of a US$2.6 million loss. The company’s recent quarterly revenue has moved from US$45.6 million in Q4 2024 to US$44.5 million in Q2 2025 and US$43.9 million in Q3 2025. Over the same period, basic EPS has ranged between a loss of US$0.07 and a loss of US$0.02. The latest figures...
NYSE:EMN
NYSE:EMNChemicals

Does Eastman’s Cost Cuts And Kingsport Upside Change The Bull Case For EMN?

In its latest quarterly update, Eastman Chemical reported earnings per share above expectations but slightly missed on revenue, highlighted US$60 million of incremental 2025 earnings from its Kingsport methanolysis facility, raised its dividend for the 16th consecutive year, and returned about US$500 million via dividends and buybacks. The company also lifted its 2026 cost reduction target to US$125 million–US$150 million and withheld full-year EPS guidance, underscoring both internal...
NasdaqCM:AGEN
NasdaqCM:AGENBiotechs

Agenus (AGEN) Q3 Profit Of US$63.9 Million Tests Longstanding Loss-Making Narrative

Agenus (NasdaqCM:AGEN) has swung to a profit in Q3 FY 2025, reporting total revenue of US$30.2 million and EPS of US$2.00, with net income of US$63.9 million for the period. The company has seen quarterly revenue move from US$23.5 million in Q2 2024 to US$26.8 million in Q4 2024 and then to US$30.2 million in Q3 2025, while EPS shifted from a loss of US$2.52 per share in Q2 2024 to a loss of US$2.00 in Q4 2024 and then to a profit of US$2.00 in Q3 2025, indicating a sharp turn in reported...
NYSE:AVD
NYSE:AVDChemicals

American Vanguard (AVD) Quarterly Loss Deepens Margin Concerns And Challenges Profitability Narrative

American Vanguard (AVD) opened FY 2025 with mixed results, reporting Q3 revenue of US$119.3 million and a basic EPS loss of US$0.43, while on a trailing twelve month basis revenue stood at US$530.1 million alongside a basic EPS loss of US$3.96. The company has seen quarterly revenue move between US$115.8 million and US$165.6 million over the past six reported quarters, with basic EPS losses ranging from US$0.03 to US$3.21. This highlights pressure on profitability even as the top line remains...
NYSE:FF
NYSE:FFOil and Gas

FutureFuel (FF) Q3 Loss Deepens Five Year Earnings Deterioration Narrative

FutureFuel (FF) opened FY 2025 with a tough third quarter, reporting revenue of US$22.7 million and a basic EPS loss of US$0.21 alongside a net loss of US$9.3 million, while the trailing twelve months show revenue of US$137.4 million and a basic EPS loss of US$0.79 tied to a net loss of US$34.6 million. Over recent quarters, the company has seen revenue move from US$72.4 million with EPS of US$0.22 in Q2 2024 to US$35.7 million with an EPS loss of US$0.24 in Q2 2025 and then to US$22.7...
NYSEAM:AREN
NYSEAM:ARENInteractive Media and Services

Arena Group Holdings (AREN) Posts US$6.9m Q3 Profit Testing Bullish Profitability Narrative

Arena Group Holdings (AREN) has just posted its FY 2025 third quarter numbers, with revenue of US$29.8 million and basic EPS of US$0.14, while trailing twelve month revenue came in at US$142.8 million and EPS at US$0.64. Over recent quarters the company has seen revenue move between US$27.2 million and US$45.0 million per period, with basic EPS ranging from a loss of US$0.24 to a profit of US$0.26, and trailing twelve month net income excluding extra items reaching US$30.5 million. For...
NasdaqGS:MASI
NasdaqGS:MASIMedical Equipment

A Look At Masimo (MASI) Valuation After Recent Share Price Rebound

Context for Masimo after recent share price moves Masimo (MASI) has been drawing investor attention after a strong month in the share price, with the stock closing at $175.97 and recent returns prompting closer scrutiny of its fundamentals. See our latest analysis for Masimo. Beyond the recent surge, Masimo’s share price return of 35.21% over the past 30 days and 29.66% over 90 days contrasts with a far more modest 4.64% one year total shareholder return. This suggests momentum has picked up...
NasdaqCM:HFFG
NasdaqCM:HFFGConsumer Retailing

HF Foods Group (HFFG) Earnings Slip Back To Loss Challenges Profitability Turnaround Narrative

HF Foods Group (HFFG) has just posted its FY 2025 third quarter numbers, with revenue at US$307 million and a basic EPS loss of US$0.02, while on a trailing 12 month basis revenue sits at about US$1.23 billion and basic EPS at a loss of US$0.86. The company has seen quarterly revenue move from US$302 million in Q2 FY 2024 to US$307 million in Q3 FY 2025, with basic EPS shifting across that period from roughly breakeven at US$0.00 in Q2 FY 2024 to a loss of US$0.02 in the latest quarter...
NasdaqGS:TRST
NasdaqGS:TRSTBanks

TrustCo Bank Corp NY (TRST) Net Margin Improvement Reinforces Bullish Narratives

TrustCo Bank Corp NY (TRST) has rounded out FY 2025 with fourth quarter revenue of US$47.8 million and basic EPS of US$0.85, backed by trailing twelve month revenue of US$186.3 million and EPS of US$3.26. Over the past year, revenue has moved from US$169.8 million to US$186.3 million on a trailing basis, while basic EPS has shifted from US$2.57 to US$3.26. This sets the scene for investors to focus on how net profit margins at 32.8% and recent earnings growth shape the quality of this...
NYSE:HUYA
NYSE:HUYAEntertainment

Huya (NYSE:HUYA) Swings Back To Q3 EPS Profit Challenging Ongoing Loss Concerns

HUYA (NYSE:HUYA) has posted its latest FY 2025 numbers with Q3 revenue of C¥1.7b and basic EPS of C¥0.04, giving investors an opportunity to reassess the streaming platform's earnings path. The company reported revenue of C¥1.5b in Q1 2025, C¥1.6b in Q2 2025, and C¥1.7b in Q3 2025, while basic EPS moved from C¥0.00 in Q1 to a loss of C¥0.02 in Q2 before returning to a profit of C¥0.04 in Q3. This presents a mixed picture on margins but offers a clearer view of where profitability pressure...
NasdaqCM:MVST
NasdaqCM:MVSTMachinery

Microvast Holdings (MVST) Breakeven EPS In Q3 2025 Tests Profitability Narratives

Microvast Holdings (MVST) has posted its latest FY 2025 numbers with Q3 revenue at US$123.3 million, basic EPS at a loss of US$0.00 per share, and net income at a loss of US$1.5 million, while the trailing twelve months show revenue of US$444.5 million and a loss per share of US$0.40. The company has seen quarterly revenue range from US$83.7 million to US$123.3 million over the last six reported periods. Over the same period, basic EPS has swung between a profit of US$0.19 and losses of up to...
NasdaqGS:GLNG
NasdaqGS:GLNGOil and Gas

Is It Too Late To Consider Golar LNG (GLNG) After Its Strong Multi Year Share Price Run?

Investors wondering if Golar LNG is still reasonably priced after a strong run, or if the easy gains are already behind it, can use this article to focus on what the current share price indicates about value. The stock recently closed at US$44.86, with returns of 3.3% over 30 days, 18.2% year to date and 31.0% over the last year. The past 3 years and 5 years show very large gains of 142.3% and 326.6% respectively. Recent coverage has centered on how Golar LNG is positioned within the energy...
NYSE:HHH
NYSE:HHHReal Estate

Do Diverging Moves Around Earnings Reveal a Turning Point in Howard Hughes' (HHH) Governance Story?

Recent filings show Concorde Financial Corp fully exited its position in Howard Hughes Holdings by selling 52,047 shares, while General Counsel Joseph Valane bought 1,260 shares shortly after the company posted fourth-quarter 2025 results with lower-than-expected EPS but higher-than-expected revenue of US$624.4 million. These opposing moves by an institutional investor and a senior insider come as Howard Hughes pursues a holding-company pivot, faces leverage concerns, and attracts growing...
NYSE:COUR
NYSE:COURConsumer Services

How Consumer365’s AI Course Endorsement Will Impact Coursera (COUR) Investors

Earlier in 2026, Consumer365 named Coursera as a leading platform in its Best AI Course Online coverage, spotlighting the company’s broad catalogue of AI programs created with universities and technology partners. The recognition emphasizes Coursera’s role in practical, certificate-based AI learning that blends academic content with hands-on projects and assessments, reinforcing its positioning in professional upskilling. We’ll now examine how Consumer365’s endorsement of Coursera’s AI...
NasdaqGS:BMRN
NasdaqGS:BMRNBiotechs

A Look At BioMarin Pharmaceutical (BMRN) Valuation After A Year Of Softer Share Price Momentum

BioMarin Pharmaceutical (BMRN) is back on investor watch after recent trading left the shares about 20% lower over the past year, despite annual revenue of US$3.2b and net income of US$348.9m. See our latest analysis for BioMarin Pharmaceutical. The recent 1 day share price return of 1.85% decline and 7 day share price return of 5.67% decline sit against a 90 day share price return of 10.93% and a 1 year total shareholder return of 19.73% decline, suggesting short term momentum has softened...
NasdaqGS:STRA
NasdaqGS:STRAConsumer Services

What Strategic Education (STRA)'s Analyst Upgrades and Earnings Revisions Mean For Shareholders

In recent weeks, analysts have raised their earnings forecasts for Strategic Education and upgraded the stock to a Zacks Rank #1 (Strong Buy), signaling higher confidence in its expected financial performance. This broad-based improvement in earnings estimates suggests that analysts are reassessing the company’s underlying business trends rather than reacting to a single, one-off development. We’ll now examine how this stronger analyst earnings outlook may reshape Strategic Education’s...
NasdaqGM:EYPT
NasdaqGM:EYPTPharmaceuticals

EyePoint (EYPT) Is Down 14.2% After Weak Q4 Results And DURAVYU Optimism - What's Changed

EyePoint Pharmaceuticals reported fourth-quarter 2025 revenue of US$620,000 versus US$11.59 million a year earlier, with net loss widening to US$67.61 million and basic loss per share from continuing operations rising to US$0.81, while also granting long-term stock options and ending 2025 with cash reportedly sufficient to fund operations into late 2027. Despite weaker financial results, investor attention has shifted toward the CEO’s recent purchase of 1,500 shares, analyst optimism linked...
NasdaqGM:CRML
NasdaqGM:CRMLMetals and Mining

Critical Metals Taps Trade Attorney To Tackle Tanbreez Execution Risks

Critical Metals (NasdaqGM:CRML) has appointed international trade attorney Chang Oh Turkmani to its Advisory Board. Turkmani brings experience in global trade, commodity markets, and infrastructure development to support the Tanbreez rare earth project. The company highlights her role in cross border negotiations and supply chain planning as it advances its flagship Greenland asset. For investors tracking rare earth exposure, Critical Metals, listed as NasdaqGM:CRML, is positioning its...
NYSE:DVA
NYSE:DVAHealthcare

DaVita Mixes Strong Value Signals With Distress Score And Insider Selling

DaVita (NYSE:DVA) is showing an unusual mix of signals, with a Strong Buy Quant Rating alongside distress-level Altman Z-Score readings. The company reports robust revenue growth and margin expansion while insiders have been selling shares in meaningful amounts. This combination of financial strength indicators and red flags has not been covered in recent discussions of DaVita. DaVita, a major provider of kidney care services, sits at the intersection of healthcare demand and reimbursement...
NasdaqGM:QCRH
NasdaqGM:QCRHBanks

Is It Time To Reassess QCR Holdings (QCRH) After Recent Share Price Weakness?

Wondering if QCR Holdings at around US$82.64 is offering value or asking too much at today's price? This breakdown will help you see what the current market is really pricing in. The stock has seen a 0.9% decline over the last 7 days and a 10.5% decline over the last 30 days, while returns sit at 0.6% year to date and 11.6% over the past year. This gives you a mixed set of signals to weigh. Recent news coverage has focused on QCR Holdings as a regional banking name that investors continue to...
NasdaqGM:PAYO
NasdaqGM:PAYODiversified Financial

Payoneer ESOP Shelf Filing Raises Fresh Questions On Dilution And Growth

Payoneer Global (NasdaqGM:PAYO) has filed a shelf registration statement for a potential US$79 million offering tied to its Employee Stock Ownership Plan. The filing sets up the ability to issue or sell shares in connection with the ESOP over time, affecting how employee equity is managed. This move adds a fresh element to the Payoneer equity story beyond the recent focus on partnerships and valuation discussion. Payoneer operates a global payments and financial services platform that...
NYSE:GNL
NYSE:GNLREITs

Balance Sheet Deleveraging And Cost Controls Might Change The Case For Investing In Global Net Lease (GNL)

In recent meetings with Global Net Lease’s leadership, Citizens analyst Mitch Germain reaffirmed his view on the company after management outlined progress in cutting leverage from 8.5x at its peak to 6.7x by year-end 2025 through approximately US$3.40 billion of asset sales, alongside an updated capital allocation plan. The company also reported past fourth-quarter 2025 earnings per share of US$0.16, beating analyst expectations despite revenue falling short, indicating that cost controls...
NYSE:TME
NYSE:TMEEntertainment

Tencent Music (TME) Is Up 9.9% After Earnings Beat And Dividend Launching – Has The Bull Case Changed?

Tencent Music Entertainment Group recently reported fourth-quarter and full-year 2025 results showing higher revenue and net income year-on-year, and announced an ordinary annual cash dividend of US$0.12 per share (US$0.24 per ADS), totaling about US$368.00 million, payable to shareholders of record as of April 2, 2026. The combination of stronger earnings and a defined cash return to shareholders through the declared dividend adds fresh context to Tencent Music’s existing investment...
NYSE:MPLX
NYSE:MPLXOil and Gas

MPLX Expands Gas And NGL Network While Cash Flow Story Evolves

MPLX (NYSE:MPLX) is increasing investment in natural gas and NGL infrastructure projects. The company is emphasizing fee-based, long term contracts that are less sensitive to oil price moves. Recent geopolitical tensions affecting oil markets have not directly affected MPLX's reported business performance. For investors watching MPLX at a share price of $58.1, the focus has shifted toward how its assets in natural gas and NGLs support the current business mix. The stock has returned 7.9%...