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Avient (AVNT) Could Be a Great Choice
Getting big returns from financial portfolios, whether through stocks, bonds, ETFs, other securities, or a combination of all, is an investor's dream. However, when you're an income investor, your
AMAT Trades 54% Above Its 52-Week Low: Time to Hold or Fold the Stock?
Applied Materials AMAT stock is trading far above its 52-week low. In the year-to-date period, AMAT stock has climbed 3.1% compared with the industry’s return of 34.5%.
AMAT YTD Price Performance
Seagate Stock Surges 153.4% in 6 Months: Will the Uptrend Continue?
Seagate Technology Holdings plc STX has skyrocketed 153.4% in the past six months, outperforming its Computer - Integrated Systems industry’s growth of 36.1%. It has also outperformed the Zacks
UGP or ENB: Which Is the Better Value Stock Right Now?
Investors interested in stocks from the Oil and Gas - Production and Pipelines sector have probably already heard of Ultrapar Participacoes S.A. (UGP) and Enbridge (ENB). But which of these two
SNN vs. SYK: Which Stock Is the Better Value Option?
Investors interested in stocks from the Medical - Products sector have probably already heard of Smith & Nephew (SNN) and Stryker (SYK). But which of these two companies is the best option for those
G vs. NOW: Which Stock Is the Better Value Option?
Investors interested in stocks from the Computers - IT Services sector have probably already heard of Genpact (G) and ServiceNow (NOW). But which of these two stocks presents investors with the
NEM vs. AEM: Which Stock Should Value Investors Buy Now?
Investors looking for stocks in the Mining - Gold sector might want to consider either Newmont Corporation (NEM) or Agnico Eagle Mines (AEM). But which of these two stocks presents investors with
TIGR or TW: Which Is the Better Value Stock Right Now?
Investors interested in Financial - Investment Bank stocks are likely familiar with UP Fintech Holding Limited (TIGR) and Tradeweb Markets (TW). But which of these two stocks presents investors with
AVNT or AIQUY: Which Is the Better Value Stock Right Now?
Investors with an interest in Chemical - Diversified stocks have likely encountered both Avient (AVNT) and Air Liquide (AIQUY). But which of these two stocks offers value investors a better bang
C3.ai's Q1 Margin Squeeze Raises Questions on Path to Profitability
C3.ai, Inc. AI began fiscal 2026 on a weaker footing as profitability concerns resurfaced. In the fiscal first quarter, non-GAAP gross margin slipped to 52%, representing a 1,800-basis-point decline
LPL Financial's August Brokerage & Advisory Assets Rise Sequentially
LPL Financial LPLA witnessed a rise in total brokerage and advisory assets in August 2025. The metric was $2.26 trillion, which surged 16.7% from the prior month and 45.1% year over year.
LPLA’s
FDA Extends Review Period of Sanofi's Multiple Sclerosis Drug Filing
Sanofi SNY announced that the FDA has extended the target action date for its new drug application (NDA) for tolebrutinib by three months. The NDA is seeking approval of tolebrutinib, an oral and
Chevron & Anadarko Join Forces to Explore Peru's Offshore Basin
Chevron Corporation CVX, Anadarko and investment fund Westlawn have reportedly formed a consortium to explore Peru’s offshore Trujillo basin, marking one of the boldest moves in the nation’s
Celsius' Innovation Pipeline: Are New Flavors Driving Repeat Sales?
Celsius Holdings, Inc.’s CELH flavor innovation remains at the center of its growth strategy. The company leaned into innovation in the second quarter of 2025 with a sharper focus on new flavor
Strong Momentum in DRAM and NAND to Propel MU's Q4 Earnings
Micron Technology, Inc. MU is set to report its fourth-quarter fiscal 2025 results on Sept. 23, 2025, after market close, and expectations are running high. Micron Technology has been gaining
Ericsson Wins SEK 12.5B VodafoneThree Deal to Build UK's 5G Network
Ericsson ERIC has secured a landmark eight-year deal worth SEK 12.5 billion (nearly GBP £1 billion) to power the majority of VodafoneThree’s next-generation mobile network in the U.K., marking one
Walmart's Membership Income Jumps 15%: Is Loyalty the Moat?
Walmart Inc.’s WMT latest financial results highlight a key metric beyond traditional retail measures. The growth in membership income, a key indicator of customer loyalty, presents a compelling
Should You Hold or Sell BlackBerry Stock Before Q2 Earnings Release?
BlackBerry Limited BB is set to report second-quarter fiscal 2026 results on Sept. 25.
The Zacks Consensus Estimate for the bottom line is pinned at 1 cent and has remained unchanged in the past 60
Centrus Energy's Costs Drop 27% in H1: Can It Maintain the Momentum?
Centrus Energy LEU reported a 27% year-over-year reduction in the cost of sales in the first half of 2025. This marked a sharp turnaround from 2024, when the company had faced a 59% spike in costs.
Markets Await for Key Inflation Report
Coming off another week of record-setting closing highs across major indexes, pre-market futures this Monday. Overseas markets were mixed, but currently the Dow is selling off -170 points, the S&P
Can Lower Rates Unlock Big-Ticket Sales for Home Depot Ahead?
The Home Depot, Inc. HD delivered decent second-quarter fiscal 2025 results with sales rising 4.9% to $45,277 million and comparable sales up 1%. Management noted that momentum was broad across
Costco vs. TJX Companies: Which Discount Retail Stock Is a Buy?
Costco Wholesale Corporation COST and The TJX Companies, Inc. TJX hold prominent positions within the Retail–Discount Stores industry. Costco boasts a substantial market capitalization of
VWAGY's Porsche Delays EV Plans, Cuts Profit Outlook for 2025
Volkswagen AG’s VWAGY subsidiary, Porsche, has delayed its electric vehicle rollout amid weaker demand, challenges in China and higher U.S. tariffs. The shift has prompted both Porsche and
RLI Trading at a Premium to Industry: How to Play the Stock
RLI Corp. RLI shares are trading at a premium to the Zacks Property and Casualty Insurance industry. Its price-to-book value of 3.42X is higher than the industry average of 1.54X, the Finance
Philip Morris Raises Dividend: A Look at Its Growth Strategy
Philip Morris International Inc. (PM) has raised the quarterly dividend by 8.9% to $1.47 per share, underscoring its continued focus on delivering shareholder returns. The next dividend payment is


