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NYSE:CNK
NYSE:CNKEntertainment

AMC Stock And 2 Theater Plays Tied To Imax Demand

Explosive demand for Imax 70 mm screenings of Christopher Nolan's "The Odyssey" has turned premium cinema into a high-stakes test of pricing power, scarcity, and how far moviegoers will go for a special experience. With ticket prices 81% above average, limited Imax 70 mm capacity, and box office figures that Imax describes as "historic," this news is shining a spotlight on stocks tied to premium theatrical formats. This article outlines what that surge could mean for investors by examining 3...
NasdaqGS:CPRT
NasdaqGS:CPRTCommercial Services

Is Copart’s Softer EPS Outlook Revealing Limits To Its Efficiency Gains From Rising Auctions (CPRT)?

Earlier this week, Copart reported that investors are closely watching its upcoming earnings release, with projections pointing to slightly lower EPS alongside a modest revenue increase and shifting analyst estimates. This tension between expanding sales and softer per-share profitability is sharpening focus on how efficiently Copart converts its growing auction activity into earnings. Against this backdrop of anticipated earnings pressure, we'll explore how expectations for softer EPS shape...
NasdaqCM:NBBK
NasdaqCM:NBBKBanks

3 Regional Bank Stocks Built For Higher SBA Loan Rates

Regional and community bank stocks sit at the intersection of rising interest rates, small business credit demand, and loan quality, which can create very different outcomes for investors. With SBA loan rates moving higher for many borrowers and long term SBA 504 rates in the mid single digits, some banks may find their earnings power supported while others face pressure on loan growth. This article explains how that environment relates to a select group of financially solid U.S. regional and...
NYSE:FUL
NYSE:FULChemicals

Refinancing And Dividend Move Might Change The Case For Investing In H.B. Fuller (FUL)

H.B. Fuller recently refinanced its existing credit facilities, securing US$420,000,000 in new Term A loans and expanding its revolving credit capacity to US$800,000,000 while extending maturities to July 2031 and slightly reducing interest margins, and also terminated an unused secured bridge facility. The board also declared a regular quarterly dividend of US$0.2450 per share for payment on August 13, 2026, highlighting continued cash returns to shareholders alongside improved funding...
NasdaqGS:RGP
NasdaqGS:RGPProfessional Services

Resources Connection (RGP) Stock Faces Wider FY 2026 Losses Challenging Profit Recovery Narratives

Resources Connection (RGP) has just posted its FY 2026 results, reporting fourth quarter revenue of US$106.1 million and a basic EPS loss of US$0.47, as the company continues to work through a period of weakened profitability. Over the last six quarters provided, revenue has moved from US$139.3 million in Q4 FY 2025 to US$106.1 million in Q4 FY 2026. Over the same period, quarterly basic EPS ranged from a loss of US$2.23 to a loss of US$0.07, before ending at a loss of US$0.47. For investors,...
NasdaqGS:PEP
NasdaqGS:PEPBeverage

Dividend Hike And Activist Pressure Might Change The Case For Investing In PepsiCo (PEP)

Earlier this month, PepsiCo’s board approved a quarterly dividend of US$1.48 per share, a 4 percent increase, payable on September 30, 2026 to shareholders of record as of September 4, 2026. This higher dividend, alongside pressure from activist investor Elliott Investment Management to refocus on core brands and lighten bottling exposure, highlights how capital allocation and portfolio priorities are becoming central to PepsiCo’s story. Next, we’ll examine how the dividend increase and...
NasdaqGM:CRVS
NasdaqGM:CRVSBiotechs

Corvus Pharmaceuticals (CRVS) Board Resignation Puts Leadership Outlook In Focus

Ian T. Clark has resigned from the board of Corvus Pharmaceuticals, effective immediately. The change affects the governance structure of Corvus Pharmaceuticals, listed as NasdaqGM:CRVS. Investors may reassess the company’s leadership outlook and oversight following this departure. Corvus Pharmaceuticals, trading on NasdaqGM:CRVS, has seen very large gains over the past 1 year and 3 years, with the stock up 177.5% and roughly 5x respectively. The share price now stands at $13.07, with...
NYSE:CUZ
NYSE:CUZOffice REITs

Is Cousins Properties (CUZ) Undervalued Or Already Fairly Priced?

Cousins Properties stock has delivered a 52.8% return over the past three years, yet the valuation checks and intrinsic value estimate send a mixed message, with the Discounted Cash Flow (DCF) model pointing to upside while the broader scorecard stays cautious. A 52.8% gain over three years suggests patient shareholders in Cousins Properties have already seen a solid payoff, so any further upside case rests on what is already a higher base. Future cash flow from its office portfolio can...
NYSE:HUBB
NYSE:HUBBElectrical

3 US Dividend Value Stocks Investors May Revisit As Treasury Yields Rise

Long term Treasury yields are sitting at levels last seen in 2007, inflation worries are back in focus, and the cost of funding the US deficit is front and center. That mix is reshaping how income investors think about dividend stocks, especially when risk free bonds look more competitive. This article looks at 3 US Dividend Value Stocks from our screener that appear directly exposed to these rate and inflation pressures, and explains why some investors may see them as potential opportunities...
NYSE:ASB
NYSE:ASBBanks

Associated Banc Corp (ASB) Stock May Be Undervalued After An 89% Five Year Run

Associated Banc-Corp stock has nearly doubled investors' money over the past five years, while current valuation checks and an intrinsic value estimate based on the Excess Returns model both indicate the shares may still be trading below their assessed worth. The stock has returned 89.4% over five years, which puts recent short term pullbacks into the context of a strong longer term performance record. For valuation, the key support may come from the bank's ability to keep generating profits...
NasdaqGS:FULT
NasdaqGS:FULTBanks

Fulton Financial (FULT) Appoints David S. Schulz To Board And Audit Risk Committees

Fulton Financial (NasdaqGS:FULT) has elected David S. Schulz to its Board of Directors. Schulz will serve as an independent director and join key Board committees, including Audit and Risk. The appointment introduces additional financial and operational expertise to the company’s governance structure. Fulton Financial, trading at a recent share price of $24.57, is drawing fresh attention from investors as this Board change arrives alongside strong longer term returns. The stock is up 26.2%...
NYSE:SBSI
NYSE:SBSIBanks

Southside Bancshares (SBSI) Stock Faces Margin Compression As Net Profit Drops To 29%

Southside Bancshares (SBSI) has put up a clean set of Q2 2026 numbers, with total revenue of US$71.3 million against a trailing twelve month revenue base of US$245.0 million, while TTM EPS sits at US$2.37. Over recent quarters, the company has seen revenue move from US$63.3 million in Q1 2025 to US$62.2 million in Q4 2025, US$68.9 million in Q1 2026 and now US$71.3 million in Q2 2026, alongside quarterly EPS shifting between US$0.71 and US$0.78 on the way to the current TTM figure. For...
NasdaqGS:SONO
NasdaqGS:SONOConsumer Durables

Tariffs Are Reordering Supply Chains and These US Stocks Could Benefit

Tariffs of 10% to 12.5% on a wide range of imports, along with the threat of further trade barriers, are reshaping where companies source and produce goods. For investors, this kind of policy shock can punish import reliant businesses while opening the door for U.S. based producers that may pick up share if domestic output becomes more attractive. This article looks at how the latest tariff moves may affect a basket of U.S. Import Substitution Beneficiaries and identifies 3 stocks from the...
NYSE:EAF
NYSE:EAFElectrical

GrafTech International (EAF) Stock Faces Ongoing Losses Reinforcing Bearish Profitability Narratives

GrafTech International (NYSE:EAF) has put another loss-making quarter on the table, with Q2 2026 revenue of US$127.4 million and EPS of US$1.54 in the red. This sets the tone for an earnings print that keeps profitability under pressure. The company has seen quarterly revenue move from US$111.8 million in Q1 2025 to US$127.4 million in Q2 2026, while EPS stayed in loss territory across that stretch. This aligns with trailing 12 month EPS of US$6.78 in the red against net income of US$177.3...
NYSE:REXR
NYSE:REXRIndustrial REITs

Rexford Industrial (REXR) Stock Faces Narrative Test As Q2 FFO Holds At $0.68 Per Share

Rexford Industrial Realty (REXR) kicked off Q2 2026 with total revenue of US$245.5 million, funds from operations of US$152.5 million and an FFO per share of US$0.68, while reporting a net income loss of US$506.9 million for the quarter. Over recent periods, the company has seen quarterly revenue hover around the mid US$240 million range, with Q1 2026 revenue at US$245.1 million and FFO per share at US$0.65. This sets up a picture where cash generation via FFO contrasts with reported net...
NasdaqCM:COFS
NasdaqCM:COFSBanks

ChoiceOne Financial Services (COFS) Stock Faces Rising Non Performing Loans Challenging Bullish Margin Narrative

ChoiceOne Financial Services (COFS) has put up another solid quarter on the headline numbers, with Q2 2026 revenue at US$41.1 million and basic EPS of US$0.83 on net income of US$12.5 million, set against a trailing twelve month EPS of US$3.60 and net income of US$54.7 million. Over the past year, the company has seen revenue move from US$108.1 million on a trailing basis in Q2 2025 to US$169.9 million in Q2 2026, while EPS on the same basis has shifted from US$1.31 to US$3.60. This gives...
NasdaqGS:PECO
NasdaqGS:PECORetail REITs

Phillips Edison (PECO) Stock Q2 FFO Stability Tests Bullish Income Narrative

Phillips Edison (PECO) has just reported Q2 2026 results with total revenue of US$189.6 million and net income of US$41.1 million, while trailing twelve month revenue sits at US$750.9 million and net income at US$143.7 million. This performance is supported by a net profit margin that the data shows at 19.1% versus 9.9% a year earlier. Over recent quarters, revenue has moved from US$694.6 million on a trailing basis in Q2 2025 to US$750.9 million in Q2 2026. Basic EPS on a trailing basis is...
NYSE:LUV
NYSE:LUVAirlines

Southwest Airlines (LUV) Stock Looks Like A Bargain On Cash Flow But Fair On Earnings

Southwest Airlines stock has delivered a 42.8% gain over the past three years, yet current valuation checks send a mixed message, with an intrinsic value estimate from a Discounted Cash Flow (DCF) model pointing to meaningful upside while market multiples look closer to fair. Over three years, a 42.8% total return suggests investors have already priced in a fair amount of optimism about Southwest Airlines. Recent earnings momentum and efforts to broaden revenue streams can support the cash...
NasdaqGM:QCRH
NasdaqGM:QCRHBanks

QCR Holdings (QCRH) Stock Could Be A Bargain At Today’s Price

QCR Holdings stock has delivered a 108.3% return over the past 5 years. At around US$100 per share, the Excess Returns intrinsic value estimate now suggests the stock trades at a discount, while traditional market multiples look roughly in line with peers and history. Over 5 years, QCR Holdings has returned 108.3%, which puts past shareholder returns front and center when judging whether today's price still offers a margin of safety. For the intrinsic value, the key support factor is the...
NasdaqGS:LBTY.A
NasdaqGS:LBTY.ATelecom

Liberty Global (LBTY.A) Stock Faces Q2 Loss As Volatile Earnings Test Profit Narratives

Liberty Global (LBTY.A) has just posted its Q2 2026 numbers, with revenue of US$1,172 million and a net income loss of US$365.1 million, setting the tone for another quarter where profitability is firmly in focus for investors. Over recent periods the company has seen quarterly revenue move in a relatively tight band between US$1,171.2 million and US$1,274.6 million, while EPS has swung from a loss of US$8.68 in Q4 2025 to a positive US$1.01 in Q1 2026. This underscores how volatile earnings...
NasdaqGS:JD
NasdaqGS:JDMultiline Retail

Primark Price Cuts Put JD.com Stock And Online Value Retailers In Focus

Primark’s price cuts of up to 29% have put a spotlight on online only fast fashion retailers, as investors weigh how a potential price war and softer like for like sales could ripple across the sector. With Associated British Foods planning to spin off Primark, attention is turning to ecommerce focused apparel stocks that might either benefit from or be squeezed by tighter pricing and budget conscious shoppers. This article looks at three stocks from our Online Only Fast Fashion Retailers...
NYSE:OIS
NYSE:OISEnergy Services

Energy Stocks With Pricing Power as Fuel Costs Stay High

Inflation is not just a headline in Nepal right now; it is a real cost shock rippling through global energy markets as fuel and power prices react to the West Asia crisis. With wholesale inflation in Nepal at 8.47% and fuel and energy costs up 48.14%, investors in large North American and UK-based energy stocks are watching closely to see which companies might absorb higher costs and which could benefit from pricing power. This article walks through 3 stocks from the Energy Sector Stocks...
OTCPK:DIMC
OTCPK:DIMCBanks

Dimeco (OTCPK:DIMC) Stock Highlights Margin Improvement That Supports Bullish Community Narratives

Dimeco (OTCPK:DIMC) has put up another solid quarter, with Q2 2026 revenue of US$14.5 million and basic EPS of US$2.03 backed by quarterly net income of US$5.2 million, while trailing twelve month revenue sits at US$54.3 million and EPS at US$7.36 alongside net income of US$18.7 million. Over recent periods the company has seen revenue move from US$45.0 million and EPS of US$5.46 on a trailing basis in early 2025 to US$54.3 million and EPS of US$7.36 by Q2 2026. This sets up a story where...
NYSE:HOG
NYSE:HOGAuto

Harley Davidson (HOG) Stock May Still Look Like A Bargain After Raised Sales Guidance

Harley-Davidson stock has delivered a roughly 29.0% decline over the past three years, yet current valuation checks on the shares point to a mixed picture rather than a clear bargain or clear overvaluation. The share price is down about 29.0% over three years, which raises the question of whether recent weakness has already priced in a lot of caution. The company’s push to reset the brand and support sales with new pricing, including a lower priced model for budget conscious riders, can...