FICO is set to report Q3 earnings on July 29, with Scores strength in focus as higher mortgage pricing, Score 10T adoption and Platform growth support revenues.
Actualités
Uniquement les titres à fort signal - événements macro, résultats, M&A, régulation. Listicles et clickbait d'analystes filtrés par défaut. Rafraîchi toutes les heures.
BIIB heads into Q2 results with new launches expected to offset weaker MS drug sales as investors watch Leqembi trends and the Apellis deal impact.
United Microelectronics' Q2 results are set to arrive on July 29 as demand for specialty chips, 22nm growth and wafer shipments face macro and supply risks.
NextEra Energy reported another strong quarter.
NVR's Q2 earnings and homebuilding revenues fall as fewer settlements, softer pricing and margin pressure offset stronger orders and backlog growth.
Selective Insurance beats Q2 earnings estimates as stronger investment income and underwriting lift results, while raising its 2026 investment income outlook.
INCY heads into Q2 earnings with strong Jakafi demand, Opzelura momentum and rising royalties, fueling expectations for an earnings beat.
Ford faces lower Q2 sales and EV weakness, but cost controls, product mix and valuation support its long-term case as investors await clearer guidance.
CDNS' Q2 outlook points to strong earnings and revenue growth as AI demand, expanding EDA use and recurring sales support momentum.
Defense ETFs are gaining attention as solid Q2 earnings, rising military spending and escalating Middle East tensions strengthen the sector's outlook.
Verizon Communications Inc (NYSE:VZ, XETRA:BAC) shares rose about 3% on Friday morning after the company reported second quarter results that beat Wall Street expectations for adjusted earnings and raised its full-year outlook, despite revenue coming in below forecasts. The company reported...
Next week's earnings from Apple (AAPL), Meta (META), Amazon (AMZN) and Microsoft (MSFT) could set the tone for the broader market, making it one of the most consequential weeks of the summer. Robinhood (HOOD) chief investment officer Stephanie Guild and Miller Tabak managing director and equity strategist Matt Maley join Yahoo Finance Executive Editor Brian Sozzi on Opening Bid to discuss what investors should watch and why these reports could have an outsized impact on market sentiment.
Security and Aerospace company Lockheed Martin (NYSE:LMT) announced better-than-expected revenue in Q2 CY2026, with sales up 10.5% year on year to $20.06 billion. The company’s full-year revenue guidance of $80.75 billion at the midpoint came in 2% above analysts’ estimates. Its GAAP profit of $7.94 per share was 10.4% above analysts’ consensus estimates.

Intel stock (INTC), which initially surged following its second quarter earnings yesterday, is trying to hold onto some of its gains Friday morning. Morning Brief Host Julie Hyman is joined by Yahoo Finance Senior Business Reporter Ines Ferré and Interactive Brokers chief strategist Steve Sosnick to discuss Intel's earnings release, outlook, and performance of its various business segments.
FIX posts a Q2 earnings and revenue beat as strong demand, margin expansion and record backlog growth reinforce confidence in its business momentum.
In the past few days, AT&T reported Q2 2026 results showing revenue of US$31.56 billion and net income of US$4.63 billion, alongside continued growth in fiber, fixed wireless and postpaid phone subscribers. Management also raised its 2026 share repurchase goal to about US$10 billion, signaling increased emphasis on buybacks as part of its broader convergence and capital return plans. Next, we’ll examine how AT&T’s stronger-than-expected earnings and accelerated buybacks interact with its...
TSLA's Q2 miss, margin pressure and heavy spending triggered a 14% slide, but stabilizing EV demand, balance sheet strength and FSD gains support a hold.
Veeva Systems is scheduled to post its second-quarter results soon, and analysts project a double-digit earnings growth.
Royal Caribbean heads into Q2 earnings with strong booking demand and digital momentum, while investors watch for cost and margin pressures.
American Express (AXP) second-quarter earnings topped Wall Street's estimates, but revenue missed ex
SBUX heads into Q3 earnings with improving traffic, loyalty momentum and product innovation, while investors await greater clarity on near-term growth.
LHX enters Q2 earnings with expected support from communications, ISR, space and missile programs, while sales and EPS are projected to grow.
TXT's Q2 sales are likely to rise as Aviation, Bell and Systems strength offsets Industrial weakness, while higher costs pressure earnings.
OTIS trades below historical valuation levels after a 19% YTD slide, but guidance cuts and margin pressure keep the investment outlook in focus.
Why did QuantumScape's Q2 earnings beat turn into a 13% rout? Read on to know if it's a buying opportunity or time to exit.
NVIDIA is expected to announce its second-quarter earnings in the coming months, and Wall Street forecasts a triple-digit increase in its bottom line.
American Express (NYSE:AXP) stock is sliding Friday morning, trading at $320.55 and down 6% after the card issuer reported a Q2 2026 beat that traders opted to fade. The reaction hit within an hour of the 8:30 a.m. ET 8-K Form, pulling American Express stock down from a prior close of $340.84. The drop extends ... American Express Sinks 6% After Q2 Earnings Beat as Visa, Mastercard Hold Steady
OII expects consolidated revenues to increase in the third quarter of 2026, with EBITDA projected in the range of $115 million to $125 million.
TECK crushes Q2 estimates as higher copper and zinc prices, stronger sales volumes and margin expansion drive earnings and revenues sharply higher.
American Express (NYSE:AXP) reported second-quarter results that extended its recent growth momentum, with revenue rising 10% and earnings per share reaching $4.53. The company raised its full-year revenue-growth outlook to 10% while maintaining its EPS forecast of $17.30 to $17.90, saying it plans