Broadstone Net Lease Inc (BNL) Q4 2025 Earnings Call Transcript
Broadstone Net Lease reported 2025 AFFO per share of $1.49, a 4.2% increase year‑over‑year, while maintaining a 99% leased portfolio with 99.8% rent collection. The company deployed $748.4 million of capital, emphasizing build‑to‑suit projects—nine in‑process developments representing $345 million—and shifting 2026 investment volume toward development. Management reiterated 2026 AFFO guidance of $1.53‑$1.57 per share and set a $500‑$625 million investment target with modest disposition plans. Tenant risks such as Red Lobster exposure and the American Signature bankruptcy were addressed, with no bad‑debt impact.
Fiverr International Ltd (FVRR) Q4 2025 Earnings Call Transcript
Fiverr International posted Q4 2025 revenue of $107.2 million, a 3% year‑over‑year increase, and achieved a record adjusted EBITDA margin of 25% at $26.5 million. The company announced a strategic shift toward high‑value, AI‑native projects, de‑prioritizing low‑end transactions, and unveiled a four‑pillar...
Onespaworld Holdings Ltd (OSW) Q4 2025 Earnings Call Transcript
OneSpaWorld Holdings Ltd reported record Q4 2025 results, with total revenue of $242.1 million, an 11% year‑over‑year increase, and adjusted EBITDA rising to $31.2 million. Net income slipped to $12.1 million because of $5.7 million in restructuring and impairment charges tied to exiting Asian...
Molson Coors Beverage Co (TAP) Q4 2025 Earnings Call Transcript
Molson Coors reported over $1.1 billion free cash flow for 2025 and expects a similar amount in 2026. The company launched a three‑year, $450 million cost‑savings initiative and doubled its share‑repurchase authorization to $4 billion, extending the program to 2031. Net debt fell...
Coeur Mining Inc (CDE) Q4 2025 Earnings Call Transcript
Coeur Mining reported a historic 2025, with gold output soaring 723% year‑over‑year to a record level and silver production rising 5%. EBITDA more than doubled to over $1 billion and free cash flow flipped to $666 million, while cash balances grew tenfold....
Mativ Holdings Inc (MATV) Q4 2025 Earnings Call Transcript
Mativ Holdings reported Q4 2025 net sales of $463 million, a 1% rise year‑over‑year and 1.9% organic growth, while adjusted EBITDA climbed 19% to $53.5 million with margins expanding by 180 basis points. Free cash flow surged to $94 million, more than doubling...
Clearwater Analytics Holdings Inc (CWAN) Q4 2025 Earnings Call Transcript
Corebridge Financial reported a strong fourth‑quarter 2025, posting adjusted pretax operating income of $760 million and operating EPS of $1.22, a 15% year‑over‑year increase. Total sales reached a record $42 billion, up 4%, while the company returned $2.6 billion to shareholders, lifting the...
CVR Energy Inc (CVI) Q4 2025 Earnings Call Transcript
CVR Energy reported a Q4 2025 net loss of $10 million and EBITDA of $20 million, with full‑year EBITDA of $211 million. Ammonia plant utilization fell to 64% due to a Coffeyville turnaround and air‑separation unit issues, while UAN and ammonia prices rose...
Verisk Analytics Inc (VRSK) Q4 2025 Earnings Call Transcript
Verisk Analytics reported Q4 2025 GAAP revenue of $779 million, up 5.9%, while GAAP net income fell 6.2% to $197 million due to early debt‑extinguishment costs and the absence of prior‑year investment gains. Subscription revenue, which now represents 84% of total sales,...
Vita Coco Company Inc (COCO) Q4 2025 Earnings Call Transcript
Vita Coco reported Q4 2025 net sales of $610 million, an 18% year‑over‑year increase, propelled by a 26% surge in its coconut‑water brand. Gross profit rose to $223 million, but gross margin slipped to 37% as higher product costs and tariffs offset...
Coca-Cola Consolidated Inc (COKE) Q4 2025 Earnings Call Transcript
Coca‑Cola Consolidated reported Q4 2025 organic revenue growth of 5% and a comparable EPS of $0.58, a 6% year‑over‑year increase, despite a 5‑point currency headwind. The company generated $11.4 billion in free cash flow, lifted North America operating margin to 30%,...
Medallion Financial Corp (MFIN) Q4 2025 Earnings Call Transcript
Medallion Financial Corp reported a record $2.567 billion loan portfolio for Q4 2025, up 3% year‑over‑year, driven by strong recreation, home‑improvement and commercial originations. Net interest income climbed 8% to $56.4 million, pushing quarterly net income to $12.2 million ($0.50 per share). The company...
Bausch + Lomb Corp (BLCO) Q4 2025 Earnings Call Transcript
Glaukos Corp reported record fourth‑quarter 2025 sales of $143.1 million, a 36% year‑over‑year increase, and annual net sales of $507.4 million, up 32%. The company reaffirmed its 2026 revenue outlook of $600‑$620 million, indicating more than 20% growth. Growth was powered by the...
ONE Gas Inc (OGS) Q4 2025 Earnings Call Transcript
ONE Gas reported a full‑year 2025 net income of $264 million and adjusted net income of $271 million, delivering $4.37 GAAP EPS and $4.48 adjusted EPS. The company introduced a non‑GAAP adjustment to reflect the impact of Texas House Bill 4384, which...
CRH PLC (CRH) Q4 2025 Earnings Call Transcript
Crane reported adjusted EPS of $1.64 for Q4 2025, driven by 5.6% core sales growth and strong performance in its Aerospace & Electronics segment. The company raised its full‑year adjusted EPS guidance to $5.75‑$5.95, implying roughly 20% earnings growth at...
Invitation Homes Inc (INVH) Q4 2025 Earnings Call Transcript
Invitation Homes reported full‑year same‑store NOI growth of 2.3%, surpassing the midpoint of its guidance, while maintaining 96.8% occupancy and a low 22.8% turnover rate. Core FFO rose to $1.91 per share and AFFO to $1.63 per share, reflecting modest...
Perion Network Ltd (PERI) Q4 2025 Earnings Call Transcript
Perion Network reported Q4 2025 revenue of $137.1 million, a 6% year‑over‑year increase, while contribution ex‑TAC rose 19% to $65.2 million. Adjusted EBITDA surged 53% to $24.3 million, and operating cash flow jumped over 400% to $21.8 million. The company...
Farmland Partners Inc (FPI) Q4 2025 Earnings Call Transcript
Farmland Partners Inc. reported Q4 2025 adjusted funds from operations (AFFO) of $2.9 million, or $0.07 per share, and year‑to‑date AFFO of $6.5 million, driven by lower debt costs, higher loan‑program income, and a $24.5 million net gain from selling 35 properties. Management...
Garmin Ltd (GRMN) Q4 2025 Earnings Call Transcript
Garmin reported a record Q4 2025 with consolidated revenue of $2.13 billion, a 17% year‑over‑year increase, and full‑year revenue of $7.25 billion, up 15%. Gross margin held steady at 59.2% while operating margin rose to 28.9%, delivering $614 million operating income. The company...
ETY: Discount Remains Narrow For This Monthly Payer
The Eaton Vance Tax‑Managed Diversified Equity Income Fund (ETY) delivers a 7.81% monthly distribution, targeting tax‑efficient income for taxable accounts. It employs a partial overwrite strategy, allocating roughly 50% of notional value to laddered S&P 500 call options, which balances current...
The Good, Bad & Ugly
Funds aggressively rebuilt soybean exposure, buying back 94,316 contracts and pushing net‑long positions to 123,148 contracts—the highest since late 2025. Parallel buying lifted soybean oil to a net‑long of 33,093 contracts, the strongest level since August 2025, benefitting the broader...
China's Solar Industry Braces for Disruption
China’s photovoltaic manufacturing capacity has surged past 1,100 GW annually, roughly twice the world’s current demand of 580 GW. The glut has driven panel prices down and intensified competition among predominantly private firms. Overcapacity is now triggering a wave of bankruptcies and...
Majors' 'Cash Cow' Model Starts to Show Limits
Western oil majors continue to benefit from Brent prices above $60 per barrel, yet a deep‑seated surplus is dampening market optimism. Preliminary 2025 results show that the capital spending commitments made during the 2021‑22 post‑COVID recovery are already under strain,...
Cadence Beats Quarterly Profit and Revenue Estimates on Strong AI-Linked Demand
Cadence Design Systems reported a fourth‑quarter revenue of $1.44 billion, up 6.2% year‑over‑year, and adjusted earnings of $1.99 per share, both beating analyst forecasts. Strong demand for AI‑linked processors drove higher sales of its chip‑design software, while a record $7.8 billion contract...

Meta Commits Billions to Nvidia Chips
Meta announced a multi‑year commitment to purchase millions of Nvidia chips, including Grace CPUs, Blackwell GPUs and future Vera Rubin systems, for its expanding U.S. data‑center portfolio. The deal makes Meta the first major tech company to buy Nvidia’s standalone...
Gas and LNG Markets, Feb. 17, 2026
The Energy Intelligence roundup shows European LNG prices falling to two‑month lows as a global supply surge pressures the market. Analysts argue that low‑cost contracts and expanded regasification capacity are crucial for price‑sensitive emerging economies to absorb the influx. At...
Ukrainian Defense Tech Companies Must Prepare for Export Opportunities
Ukraine granted its first defense export permits in February 2026, allowing domestic defense‑tech firms to sell abroad as the government prepares ten export centers across Europe. The sector, proven in combat with rapid development cycles, now faces the need to...

Trump Crackdown Drives 80% Plunge in Immigrant Employment, Reshaping Labor Market, Goldman Says
Goldman Sachs reports an 80% plunge in net immigration to the United States, falling from roughly one million annually in the 2010s to an estimated 200,000 arrivals in 2026. The decline is attributed to heightened deportations, a visa processing pause...
Berkshire Hathaway Trims Apple Stake, Buys NYTimes Stock in Buffett's Last Moves as CEO
Berkshire Hathaway reduced its Apple position by 4.3%, bringing the holding to $61.96 billion, yet Apple remains the conglomerate’s top equity. The firm also disclosed a new $351.7 million stake in The New York Times, expanding its media exposure. These moves were filed in...
Non-Opec-Plus: Flows Poised to Change as Output Grows
In 2026 non‑OPEC‑plus producers are expanding output, prompting a fresh reshuffle of global crude flows. The United States is set to import more Venezuelan oil, freeing domestic barrels for export. India, under pressure to curb Russian supplies, is turning to...
VPLS: Another Look At This Solid, Vanilla Vanguard Bond ETF
Vanguard’s Core‑Plus Bond ETF (VPLS) is an actively managed fund that targets investment‑grade bonds, Treasuries, and mortgage‑backed securities while holding modest amounts of foreign and high‑yield debt. Compared with its passive benchmark, the Vanguard Total Bond Market ETF (BND), VPLS...

Expand 2026: Decoding Growth, Innovation and the APAC Opportunity
The Marketing‑Interactive team is launching Expand 2026, a one‑day, invitation‑only forum in Sydney on July 29 aimed at senior Australian brand leaders. The event will explore how growth is increasingly driven by Asia‑Pacific trends such as social commerce, super‑apps, and creator‑led retail....
A Bad Ukraine Peace Could Ignite New Wars in Russia’s Former Empire
U.S.‑brokered peace talks aim to end the Ukraine war by early summer, but analysts warn that a deal lacking robust security guarantees could free Russian forces to pursue expansion in the South Caucasus and Central Asia. Recent recordings and leaked...

US Treasuries Slip as Rally Loses Steam on Steady Labor Data
U.S. Treasury yields edged higher on Tuesday, halting a recent rally as steady private‑payroll data reinforced expectations of a still‑robust labor market. The benchmark 10‑year yield closed at 4.06%, while the two‑year rose to 3.43%, reflecting market pricing of two...
Voting Rights and Shares Capital of the Company
Nanobiotix SA filed a regulatory disclosure on February 17 2026 detailing its capital structure as of January 31 2026. The company reported 48,450,358 shares outstanding, with a total of 50,153,460 theoretical voting rights and 50,131,342 exercisable voting rights. The filing complies with French Commercial...
FXU: Utilities Dashboard For February
The February utilities dashboard shows water utilities trading about 15 % below their 11‑year average, while electric and multi‑utility firms are roughly 17 % overvalued. First Trust Utilities AlphaDEX Fund (FXU) has outperformed the sector benchmark XLU, yet the Invesco S&P 500...
AMLP: Attractive 8% Dividend Yield But With Limited Price Appreciation
The Alerian MLP ETF (AMLP) offers an approximately 8 % distribution yield, boosted by a recent $1 quarterly dividend increase. Its portfolio concentrates heavily, with the six largest mid‑stream MLP holdings accounting for over 75 % of assets due to a 12 %...

Stocks Make More Big Up and Down Moves: Stock Market Today
U.S. equity indexes posted modest gains as AI‑related uncertainty lifted volatility, with the VIX climbing to 22.96 before settling near 20. The utility sector saw DTE Energy’s earnings beat forecasts, propelled by a new 1.4 GW power contract for an AI‑driven...
Exclusive: Tiago Da Costa Cardoso Returns to INFINOX as Commercial Director
Tiago da Costa Cardoso has rejoined INFINOX as Commercial Director, returning to the Dubai‑based broker after a stint at Exinity, HFM and XTB. His appointment follows INFINOX’s recent receipt of a UAE Capital Market Authority license, positioning the firm for...
Pelagic Credit Plc: Update on Contemplated Private Placement and Listing on Euronext Growth Oslo
Pelagic Credit Plc issued an update on its planned private placement and intended listing on Euronext Growth Oslo. The company reports strong investor interest and is revisiting the offering’s structure, which could diverge from the February 9 outline. Size, timing and...
Nordea Bank Abp: Repurchase of Own Shares on 17.02.2026
On 17 February 2026 Nordea Bank Abp completed a share repurchase of 404,487 shares at a weighted average price of €16.47, costing €6.66 million. The buy‑back was executed across the Helsinki, Stockholm and Copenhagen exchanges and forms part of a €500 million...

Genmab Announces Initiation of Share Buy-Back Program
Genmab A/S announced a share buy‑back program to repurchase up to 342,130 ordinary shares, representing a maximum spend of 725 million Danish kroner. The program, designed to fulfill obligations under its Restricted Stock Unit plan, will run from February 18 to March 31 2026...

HII Teams with Path Robotics to Integrate Physical AI Into Manned and Unmanned Shipbuilding
HII and Path Robotics signed an MOU to integrate Path’s physical AI welding system into HII’s shipbuilding operations. The partnership aims to boost HII’s shipyard throughput by an additional 15% in 2026, building on a 14% increase achieved in 2025....

Qatar PM Arrives in Venezuela on First Trip Since Maduro’s Ouster: What to Know
Qatari Prime Minister and Foreign Minister Sheikh Mohammed bin Abdulrahman Al Thani arrived in Caracas, marking his first visit since the U.S. raid that ousted President Nicolás Maduro. The trip focuses on strengthening bilateral ties, including agriculture and investment, while Qatar positions...
PRESS RELEASE: BIGBEN ANNOUNCES IMPORTANT INFORMATION REGARDING THE PARTIAL REPAYMENT OF ITS BOND LOAN
Bigben Interactive announced that its banking pool unexpectedly refused to honor a drawdown notice for the partial refinancing of its senior bonds, leaving the company unable to execute the planned €43 million partial repayment on the February 19 maturity date. The...
Corporate Health Outlook: Improvement Broadens as Expectations Rise
Loomis Sayles’ Credit Analyst Diffusion Indices (CANDIs) survey shows analyst optimism at its highest in several quarters, driven by stronger profit margins and declining leverage across most industries. Margin expectations rose sharply for both services and manufacturing, while leverage fell to...
African Travel Commission Summit Calls for Removal of Border Barriers and Stronger Regional Air Connectivity
The inaugural African Travel Commission (ATC) Summit in Lagos called for urgent reforms to visa policies, border regulations, and regional aviation to unlock Africa’s tourism potential. Delegates noted tourism generated roughly $225 billion in GDP and supported 30 million jobs in 2025,...
BP Is Running on Empty As Energy Giant Scraps Buyback Program
BP announced suspension of its share buyback program and raised its cost‑cutting target by $1.5 billion, aiming for $5.5‑$6.5 billion of savings by 2027 to fund oil production. The move follows a turbulent year that saw the ouster of CEO Murray Auchincloss...
Larry McMillan Stock Market Update Video 2/17/2026
On February 17, 2026, veteran options strategist Larry McMillan released a new stock market update video on his blog. In the briefing, McMillan reviews recent equity market movements and outlines option‑based approaches for navigating volatility. He reiterates the importance of...
States Urged to Expedite Capex Proposals, Use up Funds Before March 31
The Department of Expenditure has urged Indian states to fast‑track pending proposals under the Special Assistance to States for Capital Expenditure (SASCI) scheme as the March 31 deadline approaches. To date, ₹1.04 lakh crore has been released, and the FY26 Union Budget has...