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Nuran Wireless 13G Filing Shows Frontier Nuclear & Minerals Reports 9.9% Stake In Co As Of June 30, 2026
Strategy's 'We're Back' Bitcoin Buy Was a One-Week Thing: What's Going On?
Strategy pauses Bitcoin purchases at 845,050 BTC, repurchases $176.3M in STRC stock and doubles its buyback authorization to $2B.
Freedom Capital Markets Downgrades Doximity to Hold, Raises Price Target to $27
Goldman Sachs Maintains Sell on Science Applications Intl, Raises Price Target to $103
Green Circle Decarbonize Technology Announces Strategic Partnership Naming SANVO Fine Chemicals Group Sole Supplier And Exclusive Manufacturer Of BocaPCM-TES Panels In China
8-K filing — SOUTHERN CO GAS
Filed: 2026-09-08 AccNo: 0001004155-26-000016 Size: 170 KB Item 8.01: Other Events
Here's How Much $1000 Invested In Palo Alto Networks 10 Years Ago Would Be Worth Today
Palo Alto Networks (NASDAQ:PANW) has outperformed the market over the past 10 years by 16.01% on an annualized basis producing an average annual return of 29.67%. Currently, Palo Alto Networks has a market
Goldman Sachs Maintains Buy on Robinhood Markets, Raises Price Target to $142
CPRI Gains as Michael Kors & Jimmy Choo Expand Consumer Reach
Capri Holdings is experiencing improved consumer engagement with Michael Kors and Jimmy Choo databases growing 8% and 7% year-over-year respectively. Despite a 3.5% revenue decline to $769 million in Q1 FY2027, the company achieved a 40% increase in adjusted operating income and 30% rise in adjusted earnings. Strategic marketing campaigns, including influencer collaborations and limited-edition product launches, are driving database growth and sales increases, though converting this engagement into sustained sales remains a key challenge.
Can NEM Maintain Earnings Momentum Amid Production Challenges?
Newmont Corporation (NEM) reported a 13% year-over-year decline in Q2 gold production to 1.29 million ounces, with 2026 guidance showing further production decline to 5.26 million ounces. The company expects significantly higher all-in-sustaining costs of $1,680 per ounce in 2026 compared to $1,358 in 2025, driven by lower volumes, higher royalties, and deferred capital. Competitors Barrick Gold and Agnico Eagle showed mixed results with sequential production gains but facing their own challenges.
Kinross Gold Stock Up 13% in a Month: What Should Investors Do Now?
Kinross Gold (KGC) gained 12.7% in the past month driven by gold price recovery and solid earnings. While the company boasts a strong development pipeline expected to add 3 million ounces of production and maintains robust financial health with $4.4 billion in liquidity, it faces headwinds from elevated production costs and declining earnings estimates. The company maintains a Hold rating with limited near-term production growth expected through 2028.
3 Dividend Growth Stocks to Buy as Fed Expected to Keep Rates Higher
With the Federal Reserve expected to maintain higher interest rates for longer, dividend-growth stocks present an attractive alternative to pure growth stocks. These stocks offer steady income, lower volatility, and long-term return potential. Three stocks meeting strict dividend-growth criteria are highlighted: EnerSys (ENS), Cheesecake Factory (CAKE), and Victory Capital Holdings (VCTR), all showing positive revenue and earnings growth alongside rising dividend payouts.
Buy Super Micro Computer for Handsome Returns & Attractive Valuations
Super Micro Computer (SMCI) reported fiscal 2026 revenues nearly doubled to $39.1 billion with record backlog levels. The company projects fiscal 2027 sales of $65-$72 billion driven by AI infrastructure demand. SMCI is expanding its Data Center Building Block Solutions strategy, strengthening liquid-cooling capabilities, and benefits from partnerships with major chip manufacturers. The stock trades at attractive valuations with a forward P/E of 8.94X versus industry average of 10.36X, earning a Zacks Rank #1 (Strong Buy) rating.
4 Top-Performing Liquid Stocks to Enhance Portfolio Returns
A stock screening analysis identified four companies—Etsy, monday.com, Semtech, and Workiva—that combine strong liquidity with efficient asset utilization and solid growth prospects. These stocks were selected from over 7,700 candidates based on criteria including liquidity ratios between 1-3, above-average asset utilization, Zacks Rank #1 (Strong Buy) ratings, and Growth Scores of A or B.
Zacks September View on Equity Markets
This article is primarily promotional content for Zacks' investment tools and services, featuring their Thematic Investment Screens covering 37 investment themes and their Zacks Rank stock-rating system. The content highlights historical performance claims and directs users to ZacksTrade services.
United Natural Foods (UNFI) Q4 Earnings and Revenues Top Estimates
United Natural Foods (UNFI) reported quarterly earnings of $0.69 per share, beating consensus estimates of $0.62, with an 11.29% earnings surprise. However, the stock received a Zacks Rank #3 (Hold) rating due to mixed estimate revisions. The Food - Miscellaneous industry ranks in the bottom 16% of Zacks industries. Peer company Hain Celestial is expected to report a quarterly loss of $0.03 per share with revenues declining 29.4% year-over-year.
Buy 5 Top-Ranked Undervalued Stocks to Enhance Your Portfolio Returns
Zacks recommends five Zacks Rank #1 stocks that have surged year-to-date while remaining undervalued: Super Micro Computer, Archer-Daniels-Midland, The Allstate, Centene, and Avnet. These stocks combine strong growth projections with attractive valuations relative to industry and S&P 500 benchmarks, positioning them for continued gains in 2026.
Take the Zacks Approach to Beat the Markets: Oportun Financial, Uranium Royalty & Amgen in Focus
Zacks highlights strong stock performance from its various rating systems and portfolios. Oportun Financial gained 31% after a Zacks Rank upgrade, Uranium Royalty advanced 67.6% following an Outperform recommendation, and Amgen returned 25.1% over 12 weeks. The article discusses economic conditions marked by geopolitical tensions, rising energy costs, and resilient but cooling labor markets, while showcasing the historical outperformance of Zacks' investment methodologies.
Lilly Builds Neuroscience into a New Long-Term Growth Driver
Eli Lilly's neuroscience business, currently representing only 2% of revenues, is experiencing strong 32% growth with key products Kisunla and Emgality. The company is aggressively expanding its neuroscience pipeline through acquisitions including AtaiBeckley for treatment-resistant depression therapies, positioning neuroscience as a potential long-term growth driver to diversify beyond its dominant cardiometabolic business.
3 Crypto-Exposed Stocks Riding the Institutional Crypto Wave
Wall Street's cryptocurrency environment has improved with growing institutional participation through regulated ETFs, regulatory progress via the CLARITY Act, and stablecoin adoption. Bitcoin ETFs saw strong inflows in August-September 2026, while three crypto-related stocks—Figure Technology, Chime Financial, and Paymentus—are highlighted as investment opportunities. However, cryptocurrencies remain vulnerable to interest rate changes and Federal Reserve policy shifts.
ABM Industries (ABM) Q3 Earnings and Revenues Beat Estimates
ABM Industries reported Q3 2026 earnings of $1.04 per share, beating consensus estimates of $1.01, with revenues of $2.32 billion exceeding expectations by 0.71%. However, the stock has underperformed the S&P 500 year-to-date, gaining 11.2% versus the market's 12.8%. The company received a Zacks Rank #3 (Hold) rating, suggesting near-term performance in line with the market. The Business - Services industry ranks in the bottom 24% of Zacks industries.
CAPL or GLP: Which Energy MLP Has the Stronger Investment Case?
CrossAmerica Partners (CAPL) and Global Partners (GLP) are compared as energy MLPs offering income and fuel market exposure. CAPL offers a 9% yield with improving cash flow and coverage, while GLP provides broader operations, lower leverage, and cheaper valuation. CAPL receives a Zacks Rank #1 (Strong Buy) rating as the better buy despite both showing strong EBITDA and distributable cash flow growth.
New Strong Sell Stocks for September 8th
Zacks has added three stocks to its Strong Sell list today: Criteo, a performance display advertising company with a 12.9% downward earnings revision; Dine Brands Global, which operates Applebee's and IHOP with a 7.8% downward earnings revision; and Light & Wonder, a games and entertainment company with a 7% downward earnings revision over the last 60 days.
September Asset Allocation Guidelines
This article is primarily promotional content for Zacks' investment tools and services, featuring their Thematic Investment Screens covering 37 investment themes and their Zacks Rank stock-rating system. The content highlights historical performance claims and directs users to ZacksTrade services.
Merck Trading Near 52-Week High: Is the Stock a Buy, Hold or Sell?
Merck's stock is trading near its 52-week high, driven by positive phase III data for its Keytruda-Moderna cancer therapy combo and strong fundamentals. Keytruda is expected to reach $35 billion in peak sales by 2028, with the company launching 20 new drugs by 2030. However, Merck faces significant headwinds including Keytruda's 2028 patent expiration, declining Gardasil vaccine sales, and generic erosion of diabetes and other drugs.
Insider Waves Goodbye to 800 Shares of Iconic Specialty Retailer
Kenneth B. Robinson, Director at Abercrombie & Fitch, sold 800 shares valued at $119,752 on August 28, 2026. Despite the sale, Robinson retains 7,169 shares worth $1.06 million. The transaction follows ANF's impressive 54% one-year return, though the article notes that insider sales can occur for various reasons including tax withholding and prearranged plans.
If a Stock Market Crash Is Coming, History Says You'll Survive If You Make This Move (Hint: It Does Not Mean Going to Cash)
Rather than moving to cash during market uncertainty, investors should consider allocating to long-term bonds as a defensive strategy. Bonds tend to appreciate during market downturns when central banks lower interest rates, provide higher yields than cash, and offer portfolio diversification. The article emphasizes that while market crashes are inevitable historically, attempting to time them is futile—instead, building a balanced portfolio with uncorrelated assets like bonds can help investors weather volatility.
International: Update on Global Regions
This article is primarily promotional content for Zacks' investment tools and services, featuring their Thematic Investment Screens covering 37 investment themes and their Zacks Rank stock-rating system. The content highlights historical performance claims and directs users to ZacksTrade services.
Muutokset Nokia Oyj:n omien osakkeiden omistuksessa
Nokia distributed 687,145 treasury shares to participants in its stock-based incentive programs on September 8, 2026, in accordance with program terms. The distribution was based on a board decision from October 2, 2025. Following the distribution, Nokia holds 83,304,077 treasury shares.
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