Today's Large Cap Stocks Pulse
Kraft Heinz appears vastly undervalued despite market share losses
Three independent valuation models peg Kraft Heinz’s intrinsic equity value between $51 billion and $54 billion, far above its current $28 billion market capitalization. The company, however, is losing U.S. market share and its earnings are under pressure, making free‑cash‑flow forecasts uncertain.
Myriad Genetics Inc (MYGN) Q4 2025 Earnings Call Transcript
Myriad Genetics reported Q4 2025 revenue of $209.8 million, essentially flat year‑over‑year but above its pre‑announced range, while test volume rose 2% to 382,000. Strong double‑digit growth was seen in MyRisk hereditary cancer (14% affected, 11% unaffected), Prolaris prostate cancer (12% volume, 16% revenue) and GeneSight mental‑health testing (9% volume). Adjusted gross margin slipped to 70% due to a UnitedHealthcare policy change affecting GeneSight, yet adjusted EBITDA reached $14.3 million and EPS was $0.04. The company reaffirmed 2026 guidance of $860‑$880 million revenue and highlighted upcoming launches, including the PRECISE MRD alpha for breast cancer, an AI‑enabled Prolaris test, and the FirstGene prenatal screen.
Immunitybio Inc (IBRX) Q4 2025 Earnings Call Transcript
AbbVie reported a record $61.2 billion in net revenue for 2025, an 8.6% increase that beat guidance despite a $16 billion HUMIRA erosion. Adjusted EPS reached $10, $0.54 above the midpoint, while SKYRIZI and RINVOQ together generated $7.4 billion in Q4, delivering double‑digit...
Alaska Air Group CCO Sells 5500 Shares After Company Invests $3B Into Hub Airports
Alaska Air Group’s executive vice president and chief commercial officer, Andrew R. Harrison, sold 5,500 shares for roughly $311,000 at a weighted‑average price of $56.63 per share. The transaction represents about 15% of his direct holdings, a higher proportion than...
Vanguard Says: International Stocks Could Beat the U.S. for Years
Vanguard’s 2026 outlook projects international equities delivering 4.9%‑6.9% average annual returns over the next decade, outpacing the 4%‑5% forecast for U.S. stocks. The Vanguard Total International Stock ETF (VXUS) has already outperformed the S&P 500 and Nasdaq‑100, rising 9% year‑to‑date and...
Array Stock Down 25%, But This $17.3 Million Buy Signals Confidence Amid Big Revenue Growth
Array Digital Infrastructure (NYSE: AD) saw its shares fall 25% over the past year, yet the company reported a 58% jump in full‑year revenue to $163 million and a net income swing to $172 million. Institutional investor Newtyn Management bought 350,000 shares...
Enviri Stock Up 120% as $43 Million Buy Makes It a Top Holding in This Portfolio
Newtyn Management disclosed a $43.31 million purchase of 2,906,420 Enviri Corporation shares, lifting the stake to 8.8% of its reportable assets. Enviri’s stock has surged 120% over the past year, far outpacing the S&P 500’s 13% gain. The company recently announced a...
TD Cowen Lifts PT on PepsiCo (PEP) to $165 From $162 – Here’s Why
TD Cowen raised its price target for PepsiCo (PEP) to $165 from $162 while keeping a Hold rating, citing the company’s clarified turnaround plan and reaffirmed 2026 guidance. Management expects sales growth of 4‑6% by the second half of 2026,...

AI Security Tool Triggers Sharp Drop in US Cyber Stocks
‼️US Cybersecurity stocks are getting CRUSHED by AI fears: CrowdStrike fell -8.0% on Friday, Cloudflare -8.1%, Okta -9.2%, and SailPoint -9.4% after Anthropic unveiled a new Claude AI security tool that scans codebases for vulnerabilities and suggests patches. The Cybersecurity ETF, $BUG,...
Downward Price Target Revisions Follow Amdocs Limited (DOX) Earnings
Barclays and Stifel both trimmed their price targets for Amdocs Limited following the company’s Q1 earnings, with targets now at $92 and $88 respectively, though both maintain positive ratings. The earnings were described as resilient, buoyed by a newly announced...

Rolls-Royce Plans £1.5 Billion Stock Buyback, Sky News Says
Rolls‑Royce Holdings PLC announced a share repurchase programme of up to £1.5 billion, timed with a report of record profits and a "spectacular" turnaround. The buyback is designed to return excess cash to shareholders while supporting earnings per share. It follows...
DHS Funding Gap Pauses Global Entry, Sparks Airline Buy
Macro: DHS funding lapse prompted policy reversals. Key: TSA PreCheck remains; Global Entry paused. Risk: service uncertainty may boost travel volatility. Trade: buy select airline stocks. — Viktor Kopylov, PhD, CFA More insights: t.me/si14Kopylov

Low Put/Call Ratio Signals Hedging, Not Euphoria
“Low put/call = euphoria” is an outdated shortcut. Equity put/call: 0.65 (Feb 20, 2026). VIX: 20.23 (Feb 19). That’s selective hedging, not carefree positioning.
MARKET CALL: A Loopy Stock Market
The equal‑weight S&P 500 has surged to fresh record levels this year, while the market‑weight index remains stuck near 7,000. The divergence reflects a broad rotation from AI‑focused high‑tech stocks to lower‑tech, physical‑asset sectors such as energy, industrials, and materials. Rising...

Japanese Life Insurers Face $86B Bond Losses
⚠️WHAT IS HAPPENING IN JAPAN? The 4 largest Japanese life insurers, Nippon Life, Dai-ichi Life, Sumitomo Life, and Meiji Yasuda, had a combined ¥13.2 trillion ($86 billion) in unrealized losses on government bonds at the end of 2025. Losses have risen over...
Weekend Email Delivers Top Charts, Becomes Favorite
This has quickly become my favorite weekend email @HostileCharts Larry Thompson's Sunday Stalk List on @StockMktTV. Some great charts in here: https://t.co/AN276aKU9t

TechCrunch Mobility: Waymo Makes Its Defense
Waymo defended its remote‑assistance model after Senate Commerce Committee questioning, clarifying that 70 agents in the U.S. and Philippines support, but do not drive, its 3,000‑vehicle fleet. The company highlighted that Event Response Teams handle complex incidents from U.S. locations...

Low Put/Call Ratio Signals Selective Hedging, Not Euphoria
“Low put/call = euphoria” is an outdated shortcut. Equity put/call: 0.65 (Feb 20, 2026). VIX: 20.23 (Feb 19). That’s selective hedging, not carefree positioning. https://t.co/V7FSThxtRN

The Bear Cave #314
In this episode, The Bear Cave highlights a wave of new activist reports targeting Sterling Infrastructure, Nova Minerals, and Carvana, exposing alleged accounting inflation, data integrity issues, and opaque loan sales. The show also notes recent high‑profile CFO resignations at...
Broader Market Defies Mega‑Cap AI Volatility Narrative
In this episode, Michael and Stephen break down one of the most confusing market environments in years. While volatility in mega-cap software and AI names has grabbed headlines, the broader market is quietly telling a very different story. https://t.co/uhRhg9iiil
SEBI Board Meet on March 23 Likely to Revisit Conflict-of-Interest Rules
The Securities and Exchange Board of India (SEBI) will convene a board meeting on March 23 to revisit the conflict‑of‑interest and disclosure framework for its senior officials. The agenda, expected to cover around 20 items, also includes proposals to allow...

Who’s The Biggest In 3D Printing, February 22, 2026
The weekly Fabbaloo leaderboard shows the public 3D‑printing sector valued at $15.9 billion, with Farsoon and Bright Laser holding the top spots at $4.6 billion and $4.1 billion respectively. Chinese firms were flat due to the Lunar New Year holiday, while Xometry added...

Dow Jones Composite Hits Record High Across 65 Stocks
The Dow Jones Composite Average just closed at another new all-time high this week. This index includes all 30 stocks in the DJ Industrial Avg, all 20 in the Dow Transports and all 15 stocks in the DJ Utility Average....

Top Wall Street Analysts Are Bullish on the Growth Potential of These Three Stocks
Wall Street’s top analysts are bullish on three AI‑adjacent stocks—Datadog, Vertiv Holdings, and Arista Networks—each receiving a fresh buy rating and higher price target. Datadog’s Baird analyst set a $180 target, citing a 25%+ operating margin and a large, untapped...
What to Expect in Markets This Week: Earnings From Nvidia, Home Depot, Banks, and Berkshire; Trump Speech
Nvidia’s earnings dominate this week’s market focus as AI‑chip demand remains a key driver. Home Depot and Lowe’s will report amid a housing‑market slowdown, while Berkshire Hathaway files its first post‑Buffett report under Greg Abel. Media firms Paramount Skydance and Warner Bros. Discovery revive...
Analysts See 20% Upside To TransDigm Group Incorporated (TDG)
Analysts project roughly a 20% upside for TransDigm Group (TDG) even after recent price‑target reductions. The aerospace parts maker posted Q1 2026 sales of $2.29 billion, up 14% year‑over‑year, and adjusted EPS of $8.23, beating estimates. Net income slipped 9.7% to...
Hollywood Merger Threatens Movie Theatres Just as They Recover
Netflix is pursuing a takeover of Warner Bros Discovery, a move that could reshape theatrical release windows just as cinemas rebound from pandemic‑induced losses. Analysts warn that a shorter exclusive‑theatre period would erode box‑office revenues for operators like AMC, Cinemark...
Channing Capital Management LLC Sells 6,771 Shares of The Boeing Company $BA
Channing Capital Management LLC reduced its Boeing position by 13.7%, selling 6,771 shares and ending the quarter with 42,600 shares valued at $9.19 million. Insider executives also trimmed holdings, collectively selling over 19,500 shares worth $4.6 million in February. Meanwhile, Boeing reported...
Indonesia Faces Record Share Sales to Meet Free-Float Goal
Indonesia must orchestrate a record‑size share sale to lift the free‑float of 267 listed firms to at least 15%, up from the current 7.5% floor. The Indonesia Stock Exchange estimates the required issuance will total about 187 trillion rupiah (approximately S$14 billion),...
Opendoor Pops After Earnings, But the Big Question Hasn’t Changed
Opendoor Technologies reported earnings that beat Wall Street expectations, sending the stock sharply higher. Revenue climbed 12% year‑over‑year to $1.2 billion, while the net loss narrowed to $210 million, outperforming analysts’ forecasts. The company also saw inventory rise 15% despite a backdrop...
The Cheapest "Magnificent Seven" Stock Is a Screaming Buy Right Now
Meta Platforms is now the cheapest member of the Magnificent Seven based on forward price‑to‑earnings, trading at 21.1 versus the S&P 500’s 21.9. The company posted $59.9 billion in Q4 2025 revenue, with advertising driving $58.1 billion and Reality Labs losing $6 billion. Despite concerns...

Weekly S&P500 ChartStorm - 22 February 2026
In this week’s S&P 500 ChartStorm, Callum Thomas highlights a continued bullish rotation across the market while noting that tech stocks remain under pressure. He points to AI-driven spillovers boosting commodities and presents newspaper stocks as a vivid case study of...

Gold and Silver ETFs: How SEBI Discussion Paper Will Impact Price
On February 1, 2026, silver ETFs plunged into deep discounts, revealing flaws in the existing price‑band system that relies on stale T‑2 NAV data. In response, SEBI issued a consultation paper proposing new reference‑price methods and a tiered circuit‑limit framework for...
The Only Healthcare Stock I Would Buy and Never Sell Is Medtronic
Medtronic, one of the world’s largest medical‑device makers, is refocusing on its highest‑margin, fastest‑growing businesses by spinning off its diabetes unit. The company continues to innovate, highlighted by the Hugo surgical robot, and has delivered 48 straight annual dividend increases,...
Stock Market Week: Nvidia Earnings, Apple And Strategy Events
The market opened higher as the S&P 500 rose 0.69% and the Nasdaq added 0.90% following Nvidia’s earnings beat and Apple’s upbeat product outlook. Nvidia shares edged up 1% after reporting revenue that topped expectations, while Apple gained 1.5% on news...
Oppenheimer Raises Its Price Target on SharkNinja, Inc. (SN) to $145 From $140 and Maintains an Outperform Rating
Oppenheimer raised its price target on SharkNinja (NYSE:SN) to $145 from $140 and kept an Outperform rating after meeting management. Morgan Stanley and Guggenheim also lifted their targets, signaling broader analyst optimism. SharkNinja reported Q4 revenue of $2.10 billion, slightly above...
Jefferies Raises Its Price Target on The Williams Companies, Inc. (WMB) to $81 and Maintains a Buy Rating
Jefferies raised its price target on The Williams Companies (WMB) to $81 from $78, maintaining a Buy rating after a strong analyst day. UBS also lifted its target to $89, citing a $7.3 billion power‑generation backlog that could generate $1.4 billion annual...
Stifel Raises Its Price Target on FedEx Corporation (FDX) to $412 and Maintains a Buy Rating
Stifel analyst J. Bruce Chan raised FedEx's price target to $412 from $328 and kept a Buy rating after the company's 2026 Investor Day outlined a mid‑term roadmap to 2029. FedEx targets 4% compound‑annual revenue growth and an 8% operating...
RBC Raises Prologis (PLD) Target as Industrial Real Estate Outlook Improves
RBC Capital raised its price target on Prologis to $135, up from $132, after the REIT posted a fourth‑quarter FFO beat and signaled stronger market conditions. Analyst Michael Carroll reiterated a Sector Perform rating, citing confidence in the company’s expanding...
CoT: Peek Into Future Through Futures, How Hedge Funds Are Positioned
Hedge funds have deepened their net short position in 10‑year Treasury futures, pushing the short to 877.9k contracts and driving the 10‑year yield up to 4.09% after the Supreme Court struck down Trump’s blanket tariffs. At the same time, the...
Dollar Weakness Boosts Gold, Hurts US Stocks
⚠️US Dollar weakness is historically BAD news for US stocks: AVERAGE ANNUALIZED RETURNS during the 5 major Dollar bear markets since 1967: S&P 500: +6.4% annualized Gold: +43.1% annualized EM stocks: +23.7% annualized👇 https://globalmarketsinvestor.beehiiv.com/p/the-us-stock-market-has-peaked
2026 Poised as Decade’s Best Year for Active Management
2026 could be the best year for active management in decades. The combination of a heavily concentrated index alongside a period of cyclical broadening provides for a backdrop of most stocks beating the benchmark.
Could the “Lag 7” Crater the Economy and Market?
The so‑called "Magnificent Seven" mega‑cap stocks have broken a critical support level and are now testing the 200‑day moving average. Their relative performance chart is forming an inverted saucer top, a pattern often seen before sharper declines. Analysts warn that...

Buy or Sell: Sumeet Bagadia Recommends Three Stocks to Buy on Monday — 23 February 2026
Sumeet Bagadia of Choice Broking forecasts the Indian market to trade sideways to modest gains, keeping the Nifty 50 within a 25,400‑25,900 band until a breakout above 25,888 triggers a stronger uptrend. He notes that Bank Nifty remains firmly above...
Rotation Investor SPX500 – Ranking Table
TrendInvestorPro offers a subscriber‑only Rotation Investor SPX500 ranking table, showcasing systematic trading strategies and next‑level setups for the S&P 500 index. The page emphasizes exclusive access to trend signals, momentum scores, and market‑timing models for stocks and ETFs. Users must log...
Employers Holdings, Inc. (NYSE: EIG) Swings to Q4 Loss on Elevated Claims
Employers Holdings (EIG) posted a Q4 2025 loss of $23.4 million, with revenue slipping 21.3% year‑over‑year to $170.5 million. The full‑year net income collapsed from $118.6 million in 2024 to $10.8 million, while the GAAP combined ratio deteriorated to 106% in the quarter and...

IEEPA Tariff Invalidated Threatens Existing Trade Deal Framework
JPMORGAN: “.. many trade deals negotiated to date have relied on IEEPA tariffs and have not yet been formalized as trade agreements. With the legal basis for these tariffs now invalidated, the fate of these deals is in question. These...
ProShares Shifts $17B to IQMM for Cash Management
Mystery solved via Ben re the $17b in $IQMM on Day One. The call is coming from inside the house, literally, ProShares own funds are all now using IQMM now for their cash positions. Big time BYOA and not as...
Historic Shift Signals Growing Market Structure Risks
Historic Dispersion From Growth To Value Rotation - some quant talk to highlight growing risks in market structure. #CTA #IRAN $NVDA https://t.co/ZcfZDnpE7l

MFs Adding ETF Share Classes Will Trigger Massive Drainage
Prepping for presentation I found this slide from last year, it's a bit strong but I stand by it re what will be the main impact of MFs adding on ETF share classes (which should kick off in next few...

S&P 500 Rebounds Above 6900, Tech Leads Rally
$SPX closed back above 6900 to end the week. $GOOGL $AMZN and $NFLX powered the rally, silver surged 8%, and I tackled viewer questions on $CAT entries, $MSFT Fibonacci risk, $ENPH breakout and the Hindenburg Omen. Full CHART THIS Mailbag: https://t.co/HpUIXN5kHi https://t.co/AiL2WR6RDf