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Even if they go mostly unnoticed, industrial businesses are the backbone of our country. But they are at the whim of volatile macroeconomic factors that influence capital spending (like interest rates), and the market seems convinced that demand will slow.
Due to this bearish outlook, the industry has tumbled by 10.4% over the past six months. This drawdown was worse than the S&P 500’s 2% decline.
Via StockStory · May 2, 2025
Stocks trading between $10 and $50 can be particularly interesting as they frequently represent businesses that have survived their early challenges.
However, investors should remain vigilant as some may still have unproven business models, leaving them vulnerable to the ebbs and flows of the broader market.
Via StockStory · May 2, 2025
While strong cash flow is a key indicator of stability, it doesn’t always translate to superior returns.
Some cash-heavy businesses struggle with inefficient spending, slowing demand, or weak competitive positioning.
Via StockStory · May 2, 2025
The market has finished positive for the month of May in 11 of the last 12 years. For an average return of 1.14%.
Via Talk Markets · May 1, 2025
Generating cash is essential for any business, but not all cash-rich companies are great investments.
Some produce plenty of cash but fail to allocate it effectively, leading to missed opportunities.
Via StockStory · May 2, 2025
Market swings can be tough to stomach, and volatile stocks often experience exaggerated moves in both directions.
While many thrive during risk-on environments, many also struggle to maintain investor confidence when the ride gets bumpy.
Via StockStory · May 2, 2025
Wall Street is overwhelmingly bullish on the stocks in this article, with price targets suggesting significant upside potential.
However, it’s worth remembering that analysts rarely issue sell ratings, partly because their firms often seek other business from the same companies they cover.
Via StockStory · May 2, 2025
The stocks in this article have caught Wall Street’s attention in a big way, with price targets implying returns above 20%.
But investors should take these forecasts with a grain of salt because analysts typically say nice things about companies so their firms can win business in other product lines like M&A advisory.
Via StockStory · May 2, 2025
Stocks trading between $10 and $50 can be particularly interesting as they frequently represent businesses that have survived their early challenges.
However, investors should remain vigilant as some may still have unproven business models, leaving them vulnerable to the ebbs and flows of the broader market.
Via StockStory · May 2, 2025
Volatility cuts both ways - while it creates opportunities, it also increases risk, making sharp declines just as likely as big gains.
This unpredictability can shake out even the most experienced investors.
Via StockStory · May 2, 2025
Unprofitable companies face headwinds as they struggle to keep operating expenses under control.
Some may be investing heavily, but the majority fail to convert spending into sustainable growth.
Via StockStory · May 2, 2025
Unprofitable companies face headwinds as they struggle to keep operating expenses under control.
Some may be investing heavily, but the majority fail to convert spending into sustainable growth.
Via StockStory · May 2, 2025
Consumer internet businesses are redefining how people engage with the world by giving them instant connectivity and convenience. Luckily for them, the market seems to believe there is a long runway for growth
as the industry has recorded a 1.6% gain over the past six months while the S&P 500 shed 2% of its value.
Via StockStory · May 2, 2025
Analysts expect a bullish structure to continue but warn of resistance near 24,600 and support at 24,200.
Via Stocktwits · May 2, 2025
Low-volatility stocks may offer stability, but that often comes at the cost of slower growth and the upside potential of more dynamic companies.
Via StockStory · May 2, 2025
Small-cap stocks can be incredibly lucrative investments because their lack of analyst coverage leads to frequent mispricings.
However, these businesses (and their stock prices) often stay small because their subscale operations make it harder to expand their competitive moats.
Via StockStory · May 2, 2025
Small-cap stocks can be incredibly lucrative investments because their lack of analyst coverage leads to frequent mispricings.
However, these businesses (and their stock prices) often stay small because their subscale operations make it harder to expand their competitive moats.
Via StockStory · May 2, 2025
The spotlight will likely be on the April non-farm payrolls report. Economists, on average, expect 133,000 job gains for the month, notably slower than the 228,00 pace for March.
Via Stocktwits · May 2, 2025
Unprofitable companies can burn through cash quickly, leaving investors exposed if they fail to turn things around.
Without a clear path to profitability, these businesses risk running out of capital or relying on dilutive fundraising.
Via StockStory · May 2, 2025
Industrials businesses quietly power the physical things we depend on, from cars and homes to e-commerce infrastructure. Unfortunately, this role also comes with a demand profile tethered to the ebbs and flows of the broader economy, and investors seem to be forecasting a downturn -
over the past six months, the industry has pulled back by 10.4%. This drop was worse than the S&P 500’s 2% decline.
Via StockStory · May 2, 2025
Wall Street is overwhelmingly bullish on the stocks in this article, with price targets suggesting significant upside potential.
However, it’s worth remembering that analysts rarely issue sell ratings, partly because their firms often seek other business from the same companies they cover.
Via StockStory · May 2, 2025
Stocks in the $10-50 range offer a sweet spot between affordability and stability as they’re typically more established than penny stocks.
But their headline prices don’t guarantee quality, and investors should exercise caution as some have shaky business models.
Via StockStory · May 2, 2025
Wall Street has set ambitious price targets for the stocks in this article.
While this suggests attractive upside potential, it’s important to remain skeptical because analysts face institutional pressures that can sometimes lead to overly optimistic forecasts.
Via StockStory · May 2, 2025
Retailers are adapting their business models as technology changes how people shop. Still, demand can be volatile as the industry is exposed to the ups and downs of consumer spending.
This has stirred some uncertainty lately as retail stocks have tumbled by 11.8% over the past six months. This drop was worse than the S&P 500’s 2% fall.
Via StockStory · May 2, 2025
Many investors pay attention to mid-cap stocks because they have established business models and expansive market opportunities.
However, their paths to becoming $100 billion corporations are ripe with competition, ranging from giants with vast resources to agile upstarts eager to disrupt the status quo.
Via StockStory · May 2, 2025
A highly volatile stock can deliver big gains - or just as easily wipe out a portfolio if things go south.
While some investors embrace risk, mistakes can be costly for those who aren’t prepared.
Via StockStory · May 2, 2025
Investors looking for hidden gems should keep an eye on small-cap stocks because they’re frequently overlooked by Wall Street.
Many opportunities exist in this part of the market, but it is also a high-risk, high-reward environment due to the lack of reliable analyst price targets.
Via StockStory · May 2, 2025
Consumer internet businesses are redefining how people engage with the world by giving them instant connectivity and convenience. The new habits they’re cultivating are also unlocking the next leg of growth for the industry,
which has gained 1.6% over the past six months.
Investing here would have been wise - at the same time, the S&P 500 fell by 2%.
Via StockStory · May 2, 2025
Most consumer discretionary businesses succeed or fail based on the broader economy. This sensitive demand profile can cause discretionary stocks to plummet when macro uncertainty enters the fray,
and over the past six months, the industry has shed 8.3%. This drawdown was worse than the S&P 500’s 2% loss.
Via StockStory · May 2, 2025
Most consumer discretionary businesses succeed or fail based on the broader economy. This sensitive demand profile can cause discretionary stocks to plummet when macro uncertainty enters the fray,
and over the past six months, the industry has shed 8.3%. This drop was worse than the S&P 500’s 2% fall.
Via StockStory · May 2, 2025
The Russell 2000 (^RUT) is home to many small-cap stocks, offering investors the chance to uncover hidden gems before the broader market catches on.
However, these companies often come with higher volatility and risk, as their smaller size makes them more vulnerable to economic downturns.
Via StockStory · May 2, 2025
Parker-Hannifin Corp (PH) stock gained after reporting mixed Q3 results and revising its 2025 outlook. Sales of $4.96B missed consensus, but EPS of $6.94 beat. Orders up 9% Y/Y with strong performance in Aerospace Systems. 2025 sales growth expected at 1% with EPS guidance of $26.60-$26.80. Dividend increased by 10%.
Via Benzinga · May 2, 2025
Wedbush Securities analyst Dan Ives raised his price target on Apple Inc. to $270, citing "incremental confidence" in the company's India supply chain strategy amid ongoing tariff concerns.
Via Benzinga · May 2, 2025
Church & Dwight (NYSE:CHD) shares dip after Q1 FY25 revenue fell 2.4% to $1.47B, missing the $1.51B estimate. Organic sales declined 1.2% due to lower volume. Gross profit dropped 3.9%, and operating income slipped 3.2%.
Via Benzinga · May 2, 2025
The company’s Q1 revenue missed estimates, and net profit declined due to higher staff costs and write-offs.
Via Stocktwits · May 2, 2025
Construction Partners currently trades at $88 and has been a dream stock for shareholders. It’s returned 420% since May 2020, blowing past the S&P 500’s 96.9% gain. The company has also beaten the index over the past six months as its stock price is up 12.7% thanks to its solid quarterly results.
Via StockStory · May 2, 2025
Tilly's has gotten torched over the last six months - since November 2024, its stock price has dropped 61% to $1.50 per share. This was partly driven by its softer quarterly results and may have investors wondering how to approach the situation.
Via StockStory · May 2, 2025
Griffon currently trades at $69.07 and has been a dream stock for shareholders. It’s returned 316% since May 2020, more than tripling the S&P 500’s 96.9% gain. The company has also beaten the index over the past six months as its stock price is up 8.7% thanks to its solid quarterly results.
Via StockStory · May 2, 2025
Shareholders of Agilysys would probably like to forget the past six months even happened. The stock dropped 25.2% and now trades at $77.01. This was partly due to its softer quarterly results and may have investors wondering how to approach the situation.
Via StockStory · May 2, 2025
What a brutal six months it’s been for Sally Beauty. The stock has dropped 37.7% and now trades at $8.05, rattling many shareholders. This may have investors wondering how to approach the situation.
Via StockStory · May 2, 2025
Harley-Davidson’s better-than-expected Q1 results and ongoing cost-cutting efforts offered some reassurance to investors despite concerns over weakening U.S. retail sales and long-term demand trends.
Via Stocktwits · May 1, 2025
As the Q4 earnings season wraps, let’s dig into this quarter’s best and worst performers in the broadcasting industry, including AMC Networks (NASDAQ:AMCX) and its peers.
Via StockStory · May 1, 2025
Wrapping up Q4 earnings, we look at the numbers and key takeaways for the department store stocks, including Dillard's (NYSE:DDS) and its peers.
Via StockStory · May 1, 2025
The end of the earnings season is always a good time to take a step back and see who shined (and who not so much). Let’s take a look at how discount retailer stocks fared in Q4, starting with Five Below (NASDAQ:FIVE).
Via StockStory · May 1, 2025
As the Q4 earnings season comes to a close, it’s time to take stock of this quarter’s best and worst performers in the apparel retailer industry, including Abercrombie and Fitch (NYSE:ANF) and its peers.
Via StockStory · May 1, 2025
Earnings results often indicate what direction a company will take in the months ahead. With Q4 behind us, let’s have a look at Ulta (NASDAQ:ULTA) and its peers.
Via StockStory · May 1, 2025
As the Q4 earnings season comes to a close, it’s time to take stock of this quarter’s best and worst performers in the footwear retailer industry, including Designer Brands (NYSE:DBI) and its peers.
Via StockStory · May 1, 2025
Strategy Inc. (NASDAQ:MSTR) executive chairman Michael Saylor expressed optimism about the growing adoption of the Bitcoin standard among businesses on Thursday.
Via Benzinga · May 1, 2025