Markets Edge Lower Ahead of Key Labor Data, Earnings Deluge
U.S. stock futures pointed to a lower open Monday as investors braced for a flood of corporate earnings and crucial labor market reports that could sway Federal Reserve policy expectations.
U.S. stock futures pointed to a lower open Monday as investors braced for a flood of corporate earnings and crucial labor market reports that could sway Federal Reserve policy expectations.
A deep dive into Truist Financial's valuation suggests its current share price may not fully reflect its underlying earnings power and book value, presenting a potential opportunity for investors.
Amid a cautiously recovering Eurozone, companies with significant insider ownership are drawing investor attention. We spotlight three firms—Appear, Storytel, and LEM Holding—where management's skin in the game aligns with robust earnings forecasts of up to 47%.
Polaris Inc. (NYSE:PII) announced a dividend increase to $0.68 per share, lifting its forward yield to 4.3%. While strong free cash flow supports the hike, analysts remain cautious as the powersports company navigates a challenging earnings landscape.
The third-quarter earnings season for apparel retailers revealed a stark divergence. While some brands like Abercrombie & Fitch soared on strong results, others, including Tilly's and Torrid, faced investor skepticism despite meeting top-line expectations. We analyze the performance, the shifting retail landscape, and what it signals for the sector's future.
Enphase Energy, a key player in the home energy management sector, is set to release its quarterly earnings after the bell on Tuesday. Investors are watching closely as the company navigates a shifting market landscape.
The alternative investment manager faces heightened scrutiny as analysts project a slowdown in revenue growth ahead of Tuesday's earnings release, despite a history of recent beats.
As Artisan Partners prepares to report fourth-quarter results, investors are weighing its recent track record against a backdrop of mixed signals from peers. Will this earnings release mark a turning point?
Varonis Systems (VRNS) is set to report Q4 earnings after the bell Tuesday, with investors watching closely for signs of resilience after recent revenue misses and a broader sell-off in cybersecurity stocks.
Buoyed by robust quarterly and full-year results, Annaly Capital Management is pivoting more capital toward residential credit and mortgage servicing rights. The mortgage REIT's strategic shift aims to build on its earnings momentum while navigating an evolving interest rate landscape.
W.R. Berkley's Q4 earnings presented a mixed picture, meeting profit forecasts but missing on revenue. While management highlighted disciplined underwriting and tech-driven efficiency, analysts probed deeper into the challenges of competition, pricing, and strategic adaptation in a shifting market.
NBT Bancorp met Q4 earnings expectations, driven by its Evans Bancorp merger and wealth management income. While the market reaction was muted, analysts pressed management on loan growth sustainability, deposit costs, and the competitive landscape in a challenging rate environment.
With its core search business resilient, cloud division soaring, and new AI deals like the Apple partnership taking shape, Alphabet enters its February 4 earnings report on a strong note, though regulatory and valuation concerns linger.
Graco Inc. delivered solid fourth-quarter results, meeting analyst forecasts with 8% sales growth driven by acquisitions and stable core demand. While management expressed confidence in integration efforts and margin initiatives, analysts on the earnings call pressed for details on long-term profitability and market headwinds.
While CeoTronics AG's (FRA:CEK) recent earnings report failed to ignite its stock price, a deeper look reveals a robust cash conversion story that may please long-term shareholders and point to healthier fundamentals than the headline profit figure suggests.
As Bitcoin grapples with volatility below $80,000, a packed U.S. economic calendar—featuring key jobs reports and MicroStrategy's Q4 earnings—is poised to dictate the cryptocurrency's near-term trajectory by shaping Federal Reserve policy expectations.
Amid broader market uncertainty, companies with high insider ownership and robust earnings forecasts can signal aligned interests and resilience. We examine three such UK-listed firms, from a gold miner to a convenience food giant, where those running the show have significant personal stakes.
Despite a 25% drop in earnings per share, Coronation Fund Managers (JSE:CML) delivered a robust 57% total shareholder return over the past year, driven by revenue growth and strong market sentiment, outperforming the broader South African market.
Sonos (SONO) is set to report its fiscal fourth-quarter earnings after Tuesday's market close. Investors are watching closely to see if the audio specialist can maintain its track record of outperformance in a challenging consumer spending environment.
W.W. Grainger (GWW) reports quarterly earnings Tuesday morning, with investors watching for signs of sustained growth against a backdrop of mixed industrial sector performance and recent stock gains.