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Norwegian Cruise Line Q2 Earnings Call Highlights
MarketBeat19d agoneutral
Norwegian Cruise Line Q2 Earnings Call Highlights

Norwegian Cruise Line (NYSE:NCLH) reported second-quarter results that exceeded its guidance, while management outlined a turnaround plan centered on marketing, revenue management, cost controls and fleet optimization. Chief Executive Officer John Chidsey said top-line performance grew 5% during th

How to Earn $500 a Month From Exxon Mobil Stock Ahead of Q2 Earnings
Benzinga19d agoneutral
How to Earn $500 a Month From Exxon Mobil Stock Ahead of Q2 Earnings

ExxonMobil Holdings Corporation will release its second-quarter earnings report before the opening bell on Friday, July 31. Analysts expect the company to report quarterly earnings of $3.68 per share, up from $1.64 per share in the year-ago period. The consensus...

Reddit (RDDT) Stock Looks Undervalued On Cash Flow Yet Rich On Earnings
Simply Wall St.19d agoneutral
Reddit (RDDT) Stock Looks Undervalued On Cash Flow Yet Rich On Earnings

Reddit stock is caught between two very different valuation messages right now. The Discounted Cash Flow (DCF) intrinsic value estimate points to a large gap to the current share price, while market based multiples and a low value score suggest the stock is not obviously cheap after a year to date decline. Year to date, Reddit shares are down 26.4%, which means the recent pullback is an important part of any valuation view investors form today. Expectations around future data licensing and...

CVS Health (CVS) Draws Earnings Buzz, Is 6% Undervalued Enough?
Simply Wall St.19d agoneutral
CVS Health (CVS) Draws Earnings Buzz, Is 6% Undervalued Enough?

Recent earnings expectations and fresh store openings have put CVS Health (CVS) in focus for investors. The stock now sits near US$105 after a strong past year, raising questions about what is already reflected in the price. See our latest analysis for CVS Health. Over the past year, CVS Health has seen its share price move sharply higher, supported by a 90 day share price return of 28.18% and a 1 year total shareholder return of 74.81%. Recent store openings, product launches and...

Should Stronger Q2 Earnings and Upbeat Signals at Vicor (VICR) Require Action From Investors?
Simply Wall St.19d agobullish
Should Stronger Q2 Earnings and Upbeat Signals at Vicor (VICR) Require Action From Investors?

Vicor Corporation’s recently reported second-quarter 2026 results showed revenue of US$143.35 million and net income of US$49.77 million, both higher than the same period a year earlier, with basic earnings per share rising to US$1.08 from US$0.92. These stronger earnings, together with higher Wall Street earnings estimates and technical signals pointing to renewed buyer interest, are drawing attention to Vicor’s near-term power in its core markets. With revenue and earnings improving year...

Modine Manufacturing Q1 Earnings Call Highlights
MarketBeat19d agoneutral
Modine Manufacturing Q1 Earnings Call Highlights

Modine Manufacturing (NYSE:MOD) reported first-quarter fiscal 2027 sales growth of 28% and adjusted earnings per share growth of 44%, while reiterating its full-year revenue and adjusted EBITDA outlook. The company said supply-chain shortages in its Data Center segment constrained production and pre

Altria Group Q2 Earnings Call Highlights
MarketBeat19d agoneutral
Altria Group Q2 Earnings Call Highlights

Altria Group (NYSE:MO) reported higher adjusted earnings for the second quarter and first half of 2026, supported by pricing in its smokable-products business, growth in its nicotine pouch portfolio and continued shareholder returns. The company raised the lower end of its full-year adjusted earning

U.S. Stocks Rise as Amazon Earnings Offset Apple Chip Woes
The Wall Street Journal19d agoneutral
U.S. Stocks Rise as Amazon Earnings Offset Apple Chip Woes

U.S. stocks rose despite a rout in Apple shares as Amazon’s earnings kept the artificial-intelligence recovery rolling. The broad S&P 500 gained 52.09 points, or 0.70%, to 7489.72 and the tech-heavy Nasdaq Composite added 251.68 points, or 1%, to 25373.85. The yield on the 30-year bond rose 0.068 percentage point to 5.274%, completing its largest monthly gain since December 2024.

Corning (GLW) Stock May Be 34% Undervalued Following Soft Q3 Guidance
Simply Wall St.19d agoneutral
Corning (GLW) Stock May Be 34% Undervalued Following Soft Q3 Guidance

Corning’s share price has more than tripled over the past three years, yet the current intrinsic value estimate from a Discounted Cash Flow (DCF) model still points to a meaningful gap to the market price. This raises the question of how much of this run is backed by fundamentals and how much is sentiment after the latest sell off. Corning has returned about 3.3x over three years, which puts recent short term share price weakness in the context of a very strong longer term run. Growing...