NOV beats Q2 earnings and revenue estimates despite lower sales, as Energy Equipment strength, shareholder returns and upbeat Q3 guidance support momentum.
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Apple isn't a particularly volatile stock, and that will likely hold true after Thursday's earnings report. The stock hasn't swung by more than four percentage points after earnings since May 2024, even after some stellar results. A year ago, Apple beat estimates for earnings per share by 9.1%, and shares slipped 2.5% in response.
HUBS heads into Q2 2026 results with AI adoption, enterprise demand and pricing initiatives expected to drive revenue growth and strengthen recurring subscriptions.
Super Micro Heads Into Earnings With Bulls and Bears at Odds

Vertiv (VRT) stock is rebounding after the company reported quarterly earnings. Vertiv CEO Giordano "Gio" Albertazzi sits down with Yahoo Finance's Julie Hyman to discuss Vertiv's demand from AI hyperscalers, data center backlash, and more.

Meta (META) stock continues to plunge after the company reported its second quarter earnings results on Wednesday. Yahoo Finance Technology Editor Dan Howley and BD8 Capital Partners CEO and CIO Barbara Doran chat with Morning Brief host Julie Hyman about the results, the stock reaction, and their outlook for Meta.
FTAI Aviation (NASDAQ:FTAI) reported second-quarter adjusted EBITDA of $291.4 million as its Aerospace Products business expanded production and market share, while the company continued shifting its aviation leasing operations toward a more asset-light strategic-capital model. Chief Executive Offi
Huntington Ingalls beats Q2 earnings and revenue estimates as higher ship volumes fuel growth, while new awards lift backlog to $57.3 billion.
Boston Scientific (BSX) reported Q2 revenue and EPS that beat expectations but lowered its full-year
HXL's Q2 adjusted EPS rises 32% and beats estimates, while sales climb 8% as aerospace demand and stronger margins lift results.
The less-optimistic outlook reflects softer booking patterns, related in part to the conflict in the Middle East but also to efforts to overhaul the company’s marketing and revenue management. Norwegian said those factors will contribute to a nearly 5% decline in its net yield, suggesting that a more cost-conscious approach isn’t making up for the fact that ships aren’t filling with enough passengers.
Nike (NKE) reported earnings 30 days ago. What's next for the stock? We take a look at earnings estimates for some clues.
The Dow is up on the day despite 21 of its components trading lower. The nine components in the green were doing the heavy lifting, driving the blue chip index's 0.3%, or 151 point, rise. One of the Dow's heaviest-weighted components saw gains that helped offset the majority of underlying stocks falling.
AIZ's Q2 results are expected to benefit from growth in Global Housing and Global Lifestyle, supported by higher premiums and investment income.
BVFL's Q2 earnings per share are aided by higher net interest income, improved margins and reduced borrowing costs, while lower loan balances and softer noninterest income weigh on performance.
Apple stockholders can use options to help manage their position through earnings.
Climb Global Solutions (NASDAQ:CLMB) reported second-quarter results marked by higher gross billings, sales and gross profit, while net income and adjusted EBITDA declined as the company absorbed acquisition-related costs and increased investments in technology infrastructure. For the quarter ended
American Electric Power (NASDAQ:AEP) raised its 2026 operating earnings guidance after reporting second-quarter operating earnings of $1.36 per share, or $742 million, as the utility highlighted rising contracted large-load demand, regulatory progress and an expanding pipeline of generation and tran
For the complete transcript of the earnings call, please refer to the full earnings call transcript. Banco Bilbao Vizcaya Argentaria SA (NYSE:BBVA) delivered record net attributable profit of 3.062 billion in Q2 2026, up 11.4% year-over-year, driven by strong core revenue growth. Loan growth remained robust at 17.7% year-over-year in constant euros, with strong performance in key markets like Spain (7.4%) and Mexico (close to 10%), supported by profitable segments like consumer and credit cards.
The headline numbers for Cigna (CI) give insight into how the company performed in the quarter ended June 2026, but it may be worthwhile to compare some of its key metrics to Wall Street estimates and the year-ago actuals.
Integrated energy company Chevron (NYSE:CVX) will be reporting earnings this Friday before the bell. Here’s what to expect.
Consumer products company Colgate-Palmolive (NYSE:CL) will be reporting results this Friday before the bell. Here’s what to look for.
Here are some themes investors will be looking at when Apple reports earnings this afternoon: Will memory costs take a bite out of profits? Analysts are projecting Apple’s product gross margins will come in at 36.
While the top- and bottom-line numbers for KKR & Co. (KKR) give a sense of how the business performed in the quarter ended June 2026, it could be worth looking at how some of its key metrics compare to Wall Street estimates and year-ago values.
On this episode of Stock Movers: - Carvana (CVNA) is sinking after the online car retailer gave an annual adjusted Ebitda forecast with a midpoint below analyst estimates. - Chipotle (CMG) and Starbucks (SBUX) raised their guidance after stronger-than-expected quarters, with sales bolstered by new menu items and revamped loyalty programs. - Crocs (CROX) shares are sinking after a soft outlook for this quarter pointed to a weak second half, pushing some investors to sell following a big rally in the company's shares this year.
Intercontinental Exchange Inc. (NYSE:ICE) delivered second-quarter results that exceeded Wall Street’s earnings expectations while matching revenue forecasts, supported by continued growth across each of its three operating divisions.
Integrated energy company ExxonMobil (NYSE:XOM) will be announcing earnings results this Friday before market hours. Here’s what investors should know.
Biotechnology company Moderna (NASDAQ:MRNA) will be announcing earnings results this Friday before market hours. Here’s what investors should know.
SPCX heads into its first public earnings report amid a 16.6% post-IPO drop, Starship progress and concerns over valuation, debt and AI expansion.