Workflow
Stock Earnings
icon
Search documents
Becton Dickinson, ON Semiconductor And 3 Stocks To Watch Heading Into Monday - Becton Dickinson (NYSE:BDX)
Benzinga· 2026-02-09 08:22
Core Viewpoint - U.S. stock futures are trading higher, indicating a positive market sentiment for the day ahead [1] Company Summaries - Aecom (NYSE:ACM) is expected to report quarterly earnings of $1.17 per share with projected revenue of $3.61 billion, and its shares increased by 2.4% to close at $101.03 on Friday [1] - ON Semiconductor Corp. (NASDAQ:ON) is anticipated to post quarterly earnings of 62 cents per share on revenue of $1.54 billion, with shares gaining 0.1% to $65.23 in after-hours trading [1]
Eli Lilly Surges On 'Assertive' Guidance That Assuages Novo Nordisk-Tied Worries
Investors· 2026-02-04 14:20
Eli Lilly Stock Surges After Drugmaker Obliterates Forecasts | Investor's Business DailyBREAKING: [Eli Lilly Surges As Obesity Drugs Fuel Strong Earnings, Guidance]---Eli Lilly (LLY) stock surged early Wednesday after the company reported adjusted earnings of $7.54 per share on $19.29 billion in fourth-quarter sales. On average, analysts polled by FactSet expected Lilly to earn $6.91 per share on $17.94 billion in sales. In the year- earlier period, Eli Lilly reported $5.32 earnings per share and $13.53 bil ...
Google Stock In Buy Zone Ahead Of Earnings Feb. 4; Is It Actionable Now?
Investors· 2026-01-30 15:16
Group 1 - Alphabet (Google's parent company) is highlighted as a key stock to watch, currently trading slightly above its initial buy point after breaking out from a flat base in early January [1] - The stock is approaching its all-time highs, indicating strong market interest and potential upward momentum [1] - Earnings for Google are expected to be reported on February 4, which could influence stock performance [1] Group 2 - There is speculation that Google may follow Meta in providing higher capital spending guidance for 2026, which could impact future growth strategies [1] - The upcoming earnings report is part of a busy earnings calendar that includes other major tech companies like Amazon and AMD [1] - The overall market is experiencing volatility, with various stocks, including Google, being closely monitored amid economic developments [1]
Reddit Stock Breaks Below Latest Buy Point As Earnings Surge 400%
Investors· 2026-01-09 18:10
Group 1 - No relevant content found in the provided documents [1][2][3][4][5][6]
AngioDynamics, Microchip Technology And 3 Stocks To Watch Heading Into Tuesday - AAR (NYSE:AIR), AngioDynamics (NASDAQ:ANGO)
Benzinga· 2026-01-06 07:55
Core Viewpoint - U.S. stock futures are trading higher, with several companies expected to report earnings and revenue figures that may attract investor attention [1] Company Summaries - **AngioDynamics, Inc. (NASDAQ:ANGO)**: Expected to report a quarterly loss of $0.10 per share on revenue of $76.30 million. Shares decreased by 0.2% to $13.20 in after-hours trading [1] - **Microchip Technology Inc (NASDAQ:MCHP)**: Anticipates third-quarter fiscal 2026 net sales of approximately $1.185 billion, exceeding previous guidance of $1.109 billion to $1.149 billion. Shares increased by 3.2% to $69.20 in after-hours trading [1] - **AAR Corp (NYSE:AIR)**: Analysts expect quarterly earnings of $1.04 per share on revenue of $761.13 million, with earnings to be released after market close. Shares rose by 0.8% to $88.70 in after-hours trading [1] - **Galapagos NV – ADR (NASDAQ:GLPG)**: The board has decided to wind down the company's cell therapy activities after a strategic review. Shares increased by 6% to $34.70 in after-hours trading [1] - **Penguin Solutions Inc. (NASDAQ:PENG)**: Expected to report quarterly earnings of $0.44 per share on revenue of $338.76 million after market close. Shares rose by 0.6% to $21.19 in after-hours trading [1]
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].