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NasdaqGS:ABNB
NasdaqGS:ABNBHospitality

Airbnb Stock And 2 Founder Led Companies Retail Investors Are Watching

With inflation, energy prices and interest rate decisions all pulling on markets at once, many investors are looking for leadership they can clearly understand. Founder led companies can offer that, because the people who built the business still set the tone and often hold substantial stakes alongside you. The Founder-Led Companies screener focuses on those leaders who are visibly invested in long term outcomes rather than short term targets. In this article, you will see 3 of the strongest...
NasdaqGS:FIBK
NasdaqGS:FIBKBanks

3 US Bank Dividend Stocks Income Investors May Want To Recheck Now

With the Federal Reserve holding rates at 3.5-3.75%, inflation pressures lingering, and oil back above US$100 a barrel, dependable dividend income can look more appealing than ever. Instead of chasing fast-moving stories, many investors are asking which dividend stocks might be better positioned, or more exposed, to this mix of higher rates, energy costs, and policy uncertainty. This article looks at three dividend stocks from our screener that are directly affected by the latest macro news...
NYSE:WAB
NYSE:WABMachinery

Wabtec (WAB) Stock May Be Overvalued On Cash Flow And Earnings

Westinghouse Air Brake Technologies has delivered very strong shareholder returns over the past five years, yet both its Discounted Cash Flow (DCF) intrinsic value estimate and market multiples currently point to the stock trading at a premium rather than on sale. The stock has returned 266.5% over five years, which puts extra focus on whether recent gains are already pricing in much of the company’s potential. Expectations for continued cash flow generation from its rail equipment and...
NasdaqGS:CALM
NasdaqGS:CALMFood

How Investors Are Reacting To Cal-Maine Foods (CALM) Sudden Swing From Profit To Quarterly Loss

In July 2026, Cal-Maine Foods reported fourth-quarter sales of US$552.58 million, about half the prior year’s level, swinging from net income of US$342.48 million to a net loss of US$35.88 million, while full-year net income dropped to US$316.68 million on sales of US$2.91 billion. The steep shift from strong prior-year profitability to a quarterly loss, alongside a sharp contraction in full-year earnings per share, highlights how quickly conditions in Cal-Maine’s egg business can...
NYSE:AMPY
NYSE:AMPYOil and Gas

3 Energy Stocks Worth Watching As Cuban Oil Tensions Put US Supply In Focus

Escalating tensions between the US and Cuba, including a tightened embargo on Cuban oil and growing geopolitical risk, are rippling through US energy stocks in different ways. For some companies, disrupted regional trade and higher uncertainty may be a clear headwind. For others, the same news may support demand for certain US energy assets or services. Using a focused US Energy Sector Stocks screener, this article explains how these developments relate to 3 specific stocks exposed to the...
NasdaqGS:INTC
NasdaqGS:INTCSemiconductor

Intel Stock And 2 AI Infrastructure Picks Retail Investors Are Researching

Artificial intelligence is at the center of almost every market conversation right now, from chips and cloud to software and large language models such as ChatGPT. With energy costs, inflation trends and central bank decisions all in focus, many investors are looking for companies that are directly tied to this AI shift rather than just broadly exposed to tech. This AI Stocks screener filters for businesses working on semiconductors, LLMs, ChatGPT infrastructure and related software, helping...
NYSE:CFG
NYSE:CFGBanks

Citizens Financial Group (CFG) Lifted Guidance, Is It Still Undervalued?

Citizens Financial Group (CFG) has drawn fresh investor attention after reporting higher second quarter net interest income of US$1,631 million and net income of US$587 million, alongside earnings guidance that points to firmer margins and revenue trends. See our latest analysis for Citizens Financial Group. At a share price of US$71.88, Citizens Financial Group has seen a 10.96% 90 day share price return and a 21.03% year to date share price return. Its 1 year total shareholder return of...
NYSE:GWW
NYSE:GWWTrade Distributors

Fastenal Stock And 2 US Dividend Growth Names For Reliable Income

Softer June inflation, firm expectations that the Federal Reserve will keep rates on hold for now, and a fresh spike in oil prices are pulling income focused investors in different directions. On one side, a steady rate backdrop can support demand for US dividend growth stocks with solid balance sheets and consistent payouts. On the other, stubborn energy costs keep the risk of future rate hikes alive. This article looks at 3 stocks from our US Dividend Growth Stocks screener that appear...
NasdaqGS:MPLT
NasdaqGS:MPLTBiotechs

MapLight Therapeutics (MPLT) Rally Puts Its CNS Story And Valuation In Focus

MapLight Therapeutics (MPLT) has drawn investor attention recently as its clinical-stage central nervous system pipeline, including candidates for schizophrenia, Alzheimer’s disease psychosis and Parkinson’s disease, trades around $36.56 with a market value near $1.66 billion. See our latest analysis for MapLight Therapeutics. For context, MapLight Therapeutics’ share price return has been strong over 2024, with a year to date gain of 118.01% and a 90 day share price return of 19.32%...
NYSE:UGI
NYSE:UGIGas Utilities

Utility Stocks for Higher Rates That Still Offer Steady Dividends

With Fed Chair Kevin Warsh signaling higher interest rates are likely to stick and the S&P 500 already up 10% in 2026, many investors are rethinking how they balance income, risk, and rate sensitivity. Stable dividend paying utility stocks sit at the crossroads of those questions, often seen as potential sources of consistent cash flow but also exposed to funding costs and inflation. This article focuses on 3 utility stocks from our Stable Dividend Paying Utility Stocks screener that appear...
NYSE:BXMT
NYSE:BXMTMortgage REITs

Blackstone Mortgage Trust (BXMT) Stock Looks Fully Priced With Weak Returns And Rich Earnings

Blackstone Mortgage Trust stock has fallen about 14.3% year to date, yet on current checks it still trades at a premium, with both the Excess Returns intrinsic value estimate and traditional earnings multiples pointing to the shares being overvalued rather than outright cheap. Year to date, Blackstone Mortgage Trust is down about 14.3%, which raises the question of whether the recent weakness has actually made the stock any more attractive on price. The company’s ability to generate...
NYSE:WAL
NYSE:WALBanks

Western Alliance Bancorporation (WAL) Earnings Put Its Undervalued Narrative Back In Focus

Western Alliance Bancorporation (WAL) is back in focus after reporting second quarter 2026 results, with higher net interest income and net income, updated credit charge off figures, and progress on its ongoing share repurchase program. See our latest analysis for Western Alliance Bancorporation. Western Alliance Bancorporation shares are trading at $83.11, with a year to date share price return that is down 2.76%, while the 1 year total shareholder return of 3.17% and 3 year total...
NYSE:PG
NYSE:PGHousehold Products

Does Procter & Gamble’s (PG) Steady Dividend Amid Cost Pressures Reveal Its True Capital Priorities?

Earlier this month, Procter & Gamble’s Board declared a quarterly dividend of US$1.0885 per share on both common and ESOP convertible preferred stock, payable on or after August 17, 2026 to shareholders of record on July 24, 2026. This reaffirmed payout comes as the company faces higher commodity costs, tariffs, and interest rates ahead of an earnings update that many expect to be challenging. Next, we’ll examine how this maintained dividend, alongside cost and tariff headwinds, could...
NasdaqGS:GEN
NasdaqGS:GENSoftware

Gen Digital (GEN) Stock Looks Undervalued On Cash Flow And Earnings

Gen Digital stock has delivered a 40.9% gain over the past three years, yet current valuation checks, including an intrinsic value estimate and market multiples, both point to the shares trading at a discount to what the business may be worth. A 40.9% return over three years suggests Gen Digital has already rewarded patient investors, raising the question of whether the valuation gap can persist. Recent attention on Gen Digital's threat intelligence and security capabilities, highlighted by...
NasdaqGS:THRM
NasdaqGS:THRMAuto Components

Gentherm (THRM) Could Be 7% Undervalued As Earnings Beat Lifts Outlook

Gentherm (THRM) is back in focus after reporting higher second quarter net income and earnings per share than a year earlier, raising its 2026 outlook, and approving a large new share repurchase program. See our latest analysis for Gentherm. The recent earnings beat, higher 2026 outlook, and fresh US$400 million buyback approval come after a sharp 43.16% 3 month share price return and a 24.10% 1 year total shareholder return, although the 3 year and 5 year total shareholder returns remain...
NYSE:AXP
NYSE:AXPConsumer Finance

American Express (AXP) Stock Sees Margin Pressure Challenge Bullish Profitability Narrative

American Express (AXP) has just posted another solid quarter, with Q1 2026 revenue of about US$17.7 billion, basic EPS of US$4.29, and net income of US$2.9 billion setting the tone for the latest update. The company has seen revenue move from US$15.9 billion in Q1 2025 to US$17.7 billion in Q1 2026, while basic EPS went from US$3.64 to US$4.29 and net income rose from US$2.6 billion to US$2.9 billion. This gives investors a clear view of how the top and bottom line have been trending into...
NYSE:CHH
NYSE:CHHHospitality

Choice Hotels (CHH) Stock Looks Rich On Cash Flow But Cheap On Earnings

Choice Hotels International stock has had a weak year, with the share price down 17.4% over the past 12 months, while the valuation checks send mixed signals as the Discounted Cash Flow (DCF) intrinsic value estimate points to a premium and the earnings-based multiples screen more favorably. The 17.4% share price decline over the past year suggests investors have been reassessing what they are willing to pay for Choice Hotels International. Future growth in fee-based franchise revenue can...
NYSE:FOR
NYSE:FORReal Estate

Forestar Group (FOR) Could Be 10% Undervalued As Earnings Growth Holds】【。

Forestar Group (FOR) recently reported third quarter and nine month 2026 results, with both sales and net income higher than a year earlier. Management maintained full year revenue guidance of US$1.6 billion to US$1.7 billion. See our latest analysis for Forestar Group. Forestar Group shares have pulled back recently, with a 1 month share price return of down 11.33% and a 7 day share price return of down 5.28%. However, the year to date share price return of 16.45% and 5 year total...
NYSE:MHO
NYSE:MHOConsumer Durables

M/I Homes (MHO) Stock Could Be A Bargain On Cash Flow And Earnings

M/I Homes has delivered a 131.5% total return over the past 5 years, yet the latest valuation work suggests the stock still trades at a discount to its estimated intrinsic value based on a Discounted Cash Flow (DCF) approach and on market multiples. A 131.5% 5 year return puts M/I Homes firmly in the “long term winner” bucket, which makes any suggestion of undervaluation more interesting for investors who already hold the stock or are watching from the sidelines. For a homebuilder like M/I...
NYSE:BMI
NYSE:BMIElectronic

Badger Meter (BMI) Stock Trades Near Fair Value Despite Earnings Premium

Badger Meter’s share price has fallen sharply over the past year, yet the stock now sits in a middle ground where the Discounted Cash Flow (DCF) intrinsic value estimate looks roughly in line with the market price, while earnings-based valuation multiples still point to a premium. Badger Meter is down 33.9% over the past year, which raises the question of whether the recent weakness has simply taken the heat out of the stock or gone too far. The recent acquisition aimed at expanding sewer...
NasdaqGS:VLY
NasdaqGS:VLYBanks

Valley National Bancorp (VLY) Stock Looks Like A Bargain On Fair Value And Earnings

Valley National Bancorp stock has delivered a strong 62.3% return over the past three years, yet the current checks suggest the market price may still sit below an intrinsic value estimate that points to the shares screening as undervalued. Over the past three years, Valley National Bancorp has returned 62.3%, which puts recent short term pullbacks into the context of a solid multi year gain. The upcoming earnings release, with attention on profitability, loan growth and credit quality, can...
NasdaqCM:NVEC
NasdaqCM:NVECSemiconductor

Does NVE (NVEC) Pairing Higher EPS With a Steady Dividend Reveal Its True Capital Strategy?

NVE Corporation recently reported its first-quarter 2027 results, with revenue of US$11.03 million and net income of US$6.39 million, and affirmed a quarterly dividend of US$1.00 per share payable on August 31, 2026. The combination of sharply higher earnings per share and a continued cash dividend underscores NVE’s emphasis on returning capital to shareholders. Next, we’ll consider how this stronger quarterly profitability and maintained US$1.00 dividend shape NVE’s broader investment...
NYSE:JOE
NYSE:JOEReal Estate

St. Joe (JOE) Stock Could Be A Bargain Despite Its 44% Run

St. Joe stock has delivered a 43.8% gain over the past five years, and the Discounted Cash Flow (DCF) intrinsic value estimate now points to the shares trading at a 49.2% discount, even as other valuation checks and market multiples suggest a more expensive picture. Over five years, St. Joe has returned 43.8%, which puts long term holders in positive territory and raises the question of how much upside may realistically be left from here. The current growth narrative around migration and...
NYSE:GRC
NYSE:GRCMachinery

Gorman-Rupp (GRC) Stock Faces Debt Questions As Net Margin Rises To 8.9%

Gorman-Rupp (GRC) has put fresh numbers on the table for Q2 2026, with revenue of US$186.1 million and basic EPS of US$0.74, alongside trailing twelve month EPS of US$2.37 that reflects earnings growth of 20.3% over the past year. The company has seen revenue move from US$179.0 million and EPS of US$0.60 in Q2 2025 to US$186.1 million and EPS of US$0.74 in the latest quarter. Five year earnings growth of 22.1% per year and a trailing net margin of 8.9% versus 7.7% a year earlier set the...