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Here's Why Investors Should Stay Neutral on CNO Financial for Now
CNO Financial Group, Inc. CNO is strategically positioned for growth, supported by strong collected premiums from life and health products, rising new annualized premiums and higher fee revenues. A
Analog Devices Climbs 57% YTD: Time to Buy, Sell or Hold the Stock?
Analog Devices ADI shares have jumped 57.3% year to date, underperforming the Zacks Semiconductor - Analog and Mixed industry and the Zacks Computer and Technology sector’s appreciation of 67.4% and
Here's Why You Should Add Pediatrix Medical to Your Portfolio Now
Pediatrix Medical Group, Inc. MD is well-poised for growth, benefiting from stronger cash collections, a favorable payer mix and higher patient acuity in neonatology. Strategic acquisitions are
Applied Materials Q2 Earnings Beat Estimates, Revenues Increase Y/Y
Applied Materials AMAT reported second-quarter fiscal 2026 non-GAAP earnings of $2.86 per share, which beat the Zacks Consensus Estimate by 6.5%. AMAT’s second-quarter fiscal 2026 non-GAAP earnings
Will Korlym Continue to Aid CORT's Growth in 2026 After a Strong Q1?
Corcept Therapeutics’ CORT sole marketed drug, Korlym (mifepristone), which is approved for the treatment of Cushing’s syndrome, has been witnessing steady demand. Currently, the company’s top line
Argan's EBITDA Margin Rises to 21.4%: Is Execution Becoming a Moat?
Argan, Inc.’s AGX fourth-quarter performance suggests that execution is becoming more than just an operating strength — it may be turning into a competitive moat. The company’s EBITDA rose to $56
ANI Pharmaceuticals: Rare Disease Shift and the 2026 Playbook
ANI Pharmaceuticals’ ANIP business is moving deeper into specialty, with Rare Disease and Brands now positioned as the primary growth driver. The first quarter of 2026 reinforced that tilt, with
Are You Looking for a High-Growth Dividend Stock?
Getting big returns from financial portfolios, whether through stocks, bonds, ETFs, other securities, or a combination of all, is an investor's dream. But for income investors, generating consistent
Tompkins Financial (TMP) 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. But for income investors, generating consistent
Fulton Financial (FULT) Could Be a Great Choice
Whether it's through stocks, bonds, ETFs, or other types of securities, all investors love seeing their portfolios score big returns. But for income investors, generating consistent cash flow from
Ameren (AEE) Could Be a Great Choice
Whether it's through stocks, bonds, ETFs, or other types of securities, all investors love seeing their portfolios score big returns. But for income investors, generating consistent cash flow from
Why Fifth Third Bancorp (FITB) is a Great Dividend Stock Right Now
All investors love getting big returns from their portfolio, whether it's through stocks, bonds, ETFs, or other types of securities. But for income investors, generating consistent cash flow from
Why Phillips Edison & Company, Inc. (PECO) is a Top Dividend Stock for Your Portfolio
Whether it's through stocks, bonds, ETFs, or other types of securities, all investors love seeing their portfolios score big returns. However, when you're an income investor, your primary focus is
First United Corporation (FUNC) 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. But when you're an income investor, your
Datavalut Gains Traction: 5 Reasons to Sell Now
Datavault (NASDAQ: DVLT) is gaining traction and is on track to begin ramping its revenue. However, a combination of factors suggests a revenue ramp won't be enough to make a difference for this
ANIP Valuation: Does 9.8x Forward P/E Offer Upside?
ANI Pharmaceuticals ANIP enters mid-2026 with momentum in its Rare Disease franchise, led by ACTH-based injection Cortrophin Gel. First-quarter 2026 results reinforced that mix shift, even as the
HSTM or SIFY: Which Is the Better Value Stock Right Now?
Investors interested in stocks from the Internet - Services sector have probably already heard of HealthStream (HSTM) and Sify Technologies Limited (SIFY). But which of these two stocks is more
CHDN vs. RRR: Which Stock Is the Better Value Option?
Investors interested in stocks from the Gaming sector have probably already heard of Churchill Downs (CHDN) and Red Rock Resorts (RRR). But which of these two stocks is more attractive to value
SOLV or HQY: Which Is the Better Value Stock Right Now?
Investors interested in Medical Services stocks are likely familiar with Solventum (SOLV) and HealthEquity (HQY). But which of these two stocks offers value investors a better bang for their buck
DOCS vs. HIMS: Which Stock Is the Better Value Option?
Investors interested in stocks from the Medical Info Systems sector have probably already heard of Doximity (DOCS) and Hims & Hers Health, Inc. (HIMS). But which of these two companies is the best
BGC vs. MC: Which Stock Is the Better Value Option?
Investors looking for stocks in the Financial - Investment Bank sector might want to consider either BGC Group (BGC) or Moelis (MC). But which of these two companies is the best option for those
LTH vs. MTN: Which Stock Should Value Investors Buy Now?
Investors interested in stocks from the Leisure and Recreation Services sector have probably already heard of Life Time Group Holdings, Inc. (LTH) and Vail Resorts (MTN). But which of these two
ANIP Stock: What's Driving Cortrophin Gel's 2026 Surge
ANI Pharmaceuticals ANIP is leaning harder into specialty therapies, and the shift is showing up clearly in its sales mix. Rare Disease is increasingly becoming the company’s growth engine, led by
DOCS Teams Up With Aledade to Bring Clinical AI to Value-Based Care
Doximity DOCS recently announced a partnership with Aledade, a physician-led leader in value-based care, to integrate components of its Clinical AI Suite into Aledade Assist, the company’s EHR
Progressive (PGR) Down 3.2% Since Last Earnings Report: Can It Rebound?
A month has gone by since the last earnings report for Progressive (PGR). Shares have lost about 3.2% in that time frame, underperforming the S&P 500.
Will the recent negative trend continue leading


