Bio-Techne Faces Earnings Test Amid Sector Headwinds
Bio-Techne prepares to report quarterly earnings against a backdrop of declining revenue projections and mixed performances from life sciences peers.
Bio-Techne prepares to report quarterly earnings against a backdrop of declining revenue projections and mixed performances from life sciences peers.
Bunge Global SA (NYSE:BG) is set to release its quarterly earnings Wednesday morning, with investors keen to see if the agribusiness leader can sustain its momentum amid shifting commodity markets and analyst skepticism.
Fox Corporation (NASDAQ: FOXA) is scheduled to release its fourth-quarter financial results Wednesday morning, with analysts anticipating steady revenue but slower growth compared to last year's surge.
Medical device giant Boston Scientific (BSX) is scheduled to release its fourth-quarter financial results before market open on Wednesday, with Wall Street anticipating continued strong revenue growth and another potential earnings beat.
As Connection (CNXN) prepares to release its quarterly results, investors are watching to see if the company can meet revenue expectations after a series of disappointments, against a backdrop of mixed performance in the tech hardware sector.
Food distribution leader Performance Food Group (NYSE: PFGC) is scheduled to release its quarterly earnings before markets open on Wednesday, with analysts projecting moderated revenue growth and continued pressure on profitability.
Central Garden & Pet (CENT) is scheduled to release its fourth-quarter financial results after Wednesday's market close, with Wall Street anticipating a year-over-year revenue decline. The report comes as the broader household products sector shows investor optimism.
CDW Corporation is set to report its fourth-quarter earnings before the market opens on Wednesday. Analysts project modest revenue growth, but the company's recent performance and broader sector trends suggest a cautious outlook.
Industrial manufacturer IDEX (IEX) is set to release its quarterly results Wednesday morning, with Wall Street anticipating a slight revenue increase. The report comes amid a broader rally in fluid and gas handling stocks.
Western wear retailer Boot Barn (NYSE: BOOT) is scheduled to release its fourth-quarter financial results after market close this Wednesday, with investors keenly watching for signs of sustained growth in a competitive apparel landscape.
Amid forecasts of rising economic stress and market volatility in 2026, investment bank Houlihan Lokey (NYSE: HLI) is attracting bullish attention for its dual strength in M&A advisory and corporate restructuring. Analysts point to its defensive positioning and potential to capture outsized gains in a shifting financial landscape.
Brazil's state-controlled oil giant Petrobras is trading at deep value multiples, offering investors a covered dividend yield near 10%. Analysts argue its disciplined payout and exposure to a tightening global oil market create a rare mix of income and asymmetric upside.
Amid a competitive waste management sector, Waste Connections (WCN) is drawing investor attention for its focus on underserved rural markets and a vast network of landfills that create high barriers to entry. With a recent analysis pointing to significant upside potential, we examine the company's operational leverage, revenue diversification, and the financial metrics underpinning the bullish thesis.
Amid a challenging home furnishings market, luxury retailer RH is posting resilient results and gaining ground on competitors. A closer look reveals a strategy pivoting on international expansion, high-margin experiential offerings, and disciplined inventory management, setting the stage for ambitious long-term growth.
Despite near-term pressures in China and IP markets, Synopsys's robust recurring revenue, strategic Ansys acquisition, and pivotal role in AI-driven chip design are building a compelling case for investor confidence, backed by strong margin expansion and cash flow projections.
Specialist asset manager Cohen & Steers (NYSE: CNS) is attracting bullish attention as its focus on real assets aligns with a shifting monetary policy landscape. After a prolonged period of outflows, the firm is seeing renewed investor interest.
Despite a recent pullback in its share price, e.l.f. Beauty (NYSE: ELF) continues to capture market share and investor attention with its potent mix of viral marketing, retail expansion, and improving profitability. We examine the bull case for the value-centric beauty disruptor.
Shares of IT staffing and services provider ASGN Incorporated are trading at what some analysts call deeply discounted multiples, sparking a debate on whether the market is overlooking its resilient cash flow and diversified operations.
Beyond its commercial applications, Iridium Communications Inc.'s (IRDM) resilient satellite constellation is being viewed as a critical asset for modern defense architectures, driving renewed investor interest despite recent stock volatility.
As the U.S. Department of Defense advances its layered 'Golden Dome' missile defense concept, aerospace and defense giant RTX Corporation emerges with a commanding portfolio of existing, scalable systems—from Patriot interceptors to advanced radars—positioning it for sustained growth amid heightened global security demands.