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Reddit Stock Breaks Below Latest Buy Point As Earnings Surge 400%
Investors· 2026-01-09 18:10
Terms of Use Privacy Notice Accessibility About Us Reviews Site Map Your Ad Choices Advertising Contact us IBD Stock Charts IBD Stock Checkup Stock Quotes Stock Market Today The Big Picture My Stock Lists IBD Live Leaderboard SwingTrader MarketSurge IBD Digital MarketDiem The Wall Street Journal Barron's MarketWatch Dow Jones Smart Money Connect With Us On stocks they discuss. We make no representations or warranties regarding the advisability of investing in any particular securities or utilizing any speci ...
AngioDynamics, Microchip Technology And 3 Stocks To Watch Heading Into Tuesday - AAR (NYSE:AIR), AngioDynamics (NASDAQ:ANGO)
Benzinga· 2026-01-06 07:55
With U.S. stock futures trading higher this morning on Tuesday, some of the stocks that may grab investor focus today are as follows:Wall Street expects AngioDynamics, Inc. (NASDAQ:ANGO) to post a quarterly loss of 10 cents per share on revenue of $76.30 million before the opening bell, according to data from Benzinga Pro. AngioDynamics shares slipped 0.2% to $13.20 in after-hours trading.Microchip Technology Inc (NASDAQ:MCHP) said it expects third-quarter fiscal 2026 net sales of about $1.185 billion, abov ...
10 truths about the stock market
Yahoo Finance· 2025-11-29 14:07
Core Insights - Long-term investing requires tolerance for volatility, with historical bear markets showing significant declines, such as a 34% drop in the S&P 500 from February 19, 2020, to March 23, 2020, and a 57% decline from October 9, 2007, to March 9, 2009 [1][2] - The S&P 500 has historically generated positive annual returns, but with an average drawdown of 14% during those years, indicating that bull markets are often accompanied by volatility [2][3] - Since 1926, there has never been a 20-year period without positive returns in the stock market, demonstrating resilience despite various economic challenges [3][4] Market Characteristics - The stock market is a place where thoughtful investors can accumulate wealth, despite its intimidating nature and the potential for rapid losses [5] - Average annual returns of about 10% are often cited, but the market rarely delivers this in any given year, as illustrated by the chaotic nature of annual returns since 1926 [6][7] - Stocks offer asymmetric upside potential, with the maximum loss being 100% while the upside is theoretically unlimited, as evidenced by the S&P 500's increase from a low of 666 in March 2009 to over 6 times that value today [8][9] Earnings and Valuations - Long-term stock price movements are primarily driven by company earnings and expectations regarding those earnings, making them the fundamental reason for investing [9][10] - Valuation methods can indicate whether a stock is cheap or expensive but provide little insight into short-term price movements, as prices can remain misaligned for extended periods [11][12] Market Sentiment and Risks - Investing in stocks inherently involves risks, and there will always be factors causing concern among investors, even in favorable conditions [12][13] - The most destabilizing risks are often those that are not widely discussed, as commonly cited risks are typically already priced into the market [14][15] Market Dynamics - The S&P 500 experiences significant turnover, with new companies frequently added as older ones fail, contributing to overall market returns [15] - The stock market performance is closely tied to the U.S. economy but does not equate to it, as the market reflects the largest companies that often have global operations [16][17] Conclusion - Despite potential for a prolonged bear market, the stock market has an upward bias driven by demand for improvement and innovation, leading to revenue and earnings growth, which ultimately drive stock prices [18][19]
Finance Sector Leader Doubles Gains, Extends Explosive Profit Growth
Investors· 2025-11-26 18:59
Group 1 - Futu Holdings (FUTU) experienced a pullback after attempting a breakout at a buy point of 199.86 in October, but the stock has more than doubled year to date [1] - The buy point of 199.86 remains valid, with another potential entry point at 202.53 [1] - The current base for Futu Holdings is in the early stage, which historically yields better results compared to late-stage patterns [1] Group 2 - Upcoming earnings reports from Futu Holdings, Walmart, and Nvidia are being closely monitored [1][2] - The overall market saw a decline, with the S&P 500 and Nasdaq sliding, while stocks like Amazon and Apple rose on earnings [4] - Futu Holdings is highlighted as a stock to watch, alongside other companies like MP Materials and Palantir [4]
Robinhood Earnings Are Imminent; These Most Accurate Analysts Revise Forecasts Ahead Of Earnings Call
Benzinga· 2025-11-05 15:21
Core Insights - Robinhood Markets, Inc. is set to release its third-quarter earnings results on November 5, with analysts expecting earnings of 54 cents per share, a significant increase from 17 cents per share in the same period last year [1] - The consensus estimate for quarterly revenue is $1.22 billion, compared to $637 million a year earlier, indicating strong growth [1] Performance and Analyst Ratings - The company has consistently beaten analyst revenue estimates, achieving this in three consecutive quarters and nine out of the last ten quarters [2] - Robinhood's stock price fell by 7% to close at $136.80 on Tuesday [2] Analyst Price Targets - Keybanc analyst Alex Markgraff maintained an Overweight rating and raised the price target from $135 to $155 [4] - JMP Securities analyst Devin Ryan maintained a Market Outperform rating and increased the price target from $51.30 to $170 [4] - B of A Securities analyst Craig Siegenthaler maintained a Buy rating and raised the price target from $139 to $157 [4] - Morgan Stanley analyst Michael Cyprys maintained an Equal-Weight rating and increased the price target from $110 to $146 [4] - Needham analyst John Todaro maintained a Buy rating and raised the price target from $120 to $145 [4]
SLB, American Express And 3 Stocks To Watch Heading Into Friday - American Express (NYSE:AXP)
Benzinga· 2025-10-17 06:38
Core Insights - U.S. stock futures are trading lower, indicating a cautious market sentiment ahead of key earnings reports [1] Company Earnings and Performance - Slb NV (NYSE:SLB) is expected to report quarterly earnings of $0.66 per share on revenue of $8.97 billion [2] - CSX Corp. (NASDAQ:CSX) reported third-quarter revenue of $3.59 billion, exceeding analyst estimates of $3.58 billion, with adjusted earnings of $0.44 per share, beating expectations of $0.43 per share [2] - American Express Co. (NYSE:AXP) is anticipated to post quarterly earnings of $4.00 per share on revenue of $18.05 billion [2] - Truist Financial Corp. (NYSE:TFC) is expected to report quarterly earnings of $1.00 per share on revenue of $5.20 billion [2] Stock Movements - SLB shares fell 0.3% to $32.82 in after-hours trading [2] - CSX shares rose 2.3% to $36.80 in after-hours trading [2] - American Express shares gained 0.5% to $324.58 in after-hours trading [2] - Newsmax Inc. (NYSE:NMAX) shares increased by 1.5% to $10.99 after announcing a $5 million purchase of Bitcoin and Trump Coin [2] - Truist Financial shares gained 0.6% to $41.33 in after-hours trading [2]
Boston Scientific Stock: Not In The Most Resolute State Approaches Q3 Earnings (NYSE:BSX)
Seeking Alpha· 2025-10-09 08:13
Core Insights - The article discusses the current market trends and potential investment opportunities within specific sectors, highlighting the importance of thorough analysis before making investment decisions [2]. Group 1: Market Trends - Recent market fluctuations have shown a significant impact on investor sentiment, with many turning to safer assets amid economic uncertainty [2]. - Certain sectors, such as technology and healthcare, are experiencing growth due to increased demand for innovation and services [2]. Group 2: Investment Opportunities - Companies that have adapted to changing consumer behaviors are likely to outperform their peers, presenting potential investment opportunities [2]. - The analysis emphasizes the importance of evaluating company fundamentals and market positioning to identify promising investments [2].