Stock Investing News and Headlines

Broker’s Call: V-Mart Retail (Buy)
NewsMar 30, 2026

Broker’s Call: V-Mart Retail (Buy)

HDFC Securities maintains a BUY on V‑Mart Retail, setting a target price of ₹850 (≈ $10) while the stock trades around ₹475 (≈ $5.7). The broker projects a 15‑16% revenue CAGR for FY 26‑28, supported by Unlimited stores delivering 4‑5% pre‑INDAS EBIT‑DAM versus...

By The Hindu Business Line — Markets
After Falling Nearly 9% Last Week, Has Alphabet Lost Its Edge?
NewsMar 30, 2026

After Falling Nearly 9% Last Week, Has Alphabet Lost Its Edge?

Alphabet’s stock slid nearly 9% last week, leaving shares at $273.50, down 0.3% on the day. The decline follows weaker‑than‑expected advertising revenue and heightened spending on generative‑AI initiatives. Analysts maintain a moderate‑buy rating with a consensus price target of $368,...

By MarketBeat – News
If You'd Put $1,000 Into Ford Stock 20 Years Ago, Here's What You'd Have Today
NewsMar 30, 2026

If You'd Put $1,000 Into Ford Stock 20 Years Ago, Here's What You'd Have Today

Ford Motor's stock has dramatically underperformed, delivering only a 5.4% annualized return over the past 20 years, turning a $1,000 investment into roughly $2,900. By contrast, the S&P 500 generated about 10.5% annualized, growing the same amount to $7,300. The lag...

By Kiplinger — Bonds
Three Oversold REITs With Strong Fundamentals
NewsMar 30, 2026

Three Oversold REITs With Strong Fundamentals

U.S. REITs have lagged returns, with the Vanguard Real Estate ETF down 5.5% over five years and 8% in the past month. JPMorgan forecasts a 6% rise in Funds From Operations for the sector in 2026, suggesting earnings momentum. The...

By MarketBeat – News
3 "Tollbooth" Stocks With Hidden Monopolies in Their Industries
NewsMar 30, 2026

3 "Tollbooth" Stocks With Hidden Monopolies in Their Industries

The article spotlights three "tollbooth" stocks—Woodward, Jack Henry & Associates, and Roper Technologies—that dominate niche, essential segments of aerospace, banking and software markets. Analysts estimate as much as 38% upside, citing Woodward’s 29% sales surge, Jack Henry’s 7.9% revenue growth,...

By MarketBeat – News
USA: Discount Opens Up, Creating A 'Buy' Opportunity (Upgrade)
NewsMar 30, 2026

USA: Discount Opens Up, Creating A 'Buy' Opportunity (Upgrade)

The Liberty All‑Star Equity Fund (ticker USA) is now trading roughly 10% below its net asset value, a sharp reversal from the premium it previously enjoyed. The fund’s portfolio is heavily weighted toward the Magnificent 7 tech names, which has depressed...

By Seeking Alpha — Site feed
BYD Earnings: Profit in Line but Vehicle Margin Disappoints Due to Intense Competition
NewsMar 30, 2026

BYD Earnings: Profit in Line but Vehicle Margin Disappoints Due to Intense Competition

BYD reported a 17% year‑on‑year drop in fourth‑quarter automobile revenue, with net profit falling 38% as vehicle margins slipped to 21.6%, down 150 basis points. Domestic sales plunged 29% amid aggressive new‑model launches, while exports rose to 26% of total...

By Morningstar UK – News
Dividend Growth Bi-Weekly Chat 03/30/2026
NewsMar 30, 2026

Dividend Growth Bi-Weekly Chat 03/30/2026

The latest Dividend Growth Bi‑Weekly Chat highlighted a 7‑fund portfolio delivering a 9.42% trailing yield on cost and a 14.67% annualized return, beating the S&P 500 while exhibiting 20% lower volatility. It also examined the primary risk in Business Development Companies...

By Seeking Alpha — Site feed
Meituan: A Messy Quarter, But Underlying Trends Are Positive
NewsMar 30, 2026

Meituan: A Messy Quarter, But Underlying Trends Are Positive

Meituan reported a loss in Q4, but analysts see the dip as superficial, noting stronger user quality and a recovering margin profile. The company’s upgraded membership program is lifting average revenue per user and reducing churn, while low‑margin orders are...

By Seeking Alpha — Site feed
AI’s Hidden Winners: Investing Along the Value Chain
NewsMar 30, 2026

AI’s Hidden Winners: Investing Along the Value Chain

The AI boom has pushed investors toward a handful of mega‑caps, inflating valuations and exposing them to correction risk. Analysts argue that true growth lies upstream in the hardware supply chain, where firms like TSMC, Micron, Corning and Amphenol provide...

By Professional Wealth Management
RHB Initiates ‘Buy’ on iFast on Rising Asia-Pacific Wealth Management Demand
NewsMar 30, 2026

RHB Initiates ‘Buy’ on iFast on Rising Asia-Pacific Wealth Management Demand

RHB has initiated a “buy” rating on iFast, setting a target price of S$12.20 (≈$9.00) – a 36.7% upside from the recent close of S$8.94 (≈$6.60). The broker highlights the rapid expansion of Asia‑Pacific wealth management, projected to reach $41.8 trillion...

By The Business Times (Singapore) – Companies & Markets
Three Profitable Indian Stocks for Long-Term Growth
NewsMar 30, 2026

Three Profitable Indian Stocks for Long-Term Growth

The Ashoka India Equity Investment Trust highlights three core holdings—Bharti Airtel, ICICI Bank and Bajaj Finserv—as its top long‑term profit drivers. Each company combines strong return‑on‑capital metrics with attractive valuations, positioning them to capture growth in India's telecom, banking and diversified...

By MoneyWeek – All
REITs Boosted by UK Property Renaissance
NewsMar 30, 2026

REITs Boosted by UK Property Renaissance

UK REITs like Picton Property Income and Custodian Property Income are benefiting from a quiet property market upturn, delivering positive total returns of 6.7% last year. Picton's £405 million ($514 million) REIT, focused on industrial and retail assets, posted a 4.9% yield...

By MoneyWeek – All
Graphene-Info Releases a New Edition of Its Graphene Investment Guide
NewsMar 30, 2026

Graphene-Info Releases a New Edition of Its Graphene Investment Guide

Graphene-Info has released a new edition of its Graphene Investment Guide, updating financial data and market analysis for public graphene companies. The guide notes that despite ongoing revenue challenges, most covered firms have seen share price gains over the past...

By Graphene-Info
Terrestrial Energy Inc (IMSR) Q4 2025 Earnings Call Transcript
NewsMar 30, 2026

Terrestrial Energy Inc (IMSR) Q4 2025 Earnings Call Transcript

Terex Corp completed its merger with REV Group, creating a standalone specialty vehicles segment and targeting $75 million of annual run‑rate synergies, half of which are expected within the next twelve months. The company delivered 2025 earnings per share of...

By Motley Fool – Earnings Transcripts
Nakamoto Inc (NAKA) Q4 2025 Earnings Call Transcript
NewsMar 30, 2026

Nakamoto Inc (NAKA) Q4 2025 Earnings Call Transcript

Nasdaq (NASDAQ) reported full‑year 2025 net revenue of $5.2 billion, up 12% YoY, with solutions revenue surpassing $4 billion. Operating income rose 16% to $2.9 billion, delivering a 56% operating margin and a 24% increase in diluted EPS. The company achieved record index...

By Motley Fool – Earnings Transcripts
How Much Higher Can DigitalOcean Stock Go?
NewsMar 29, 2026

How Much Higher Can DigitalOcean Stock Go?

DigitalOcean (DOCN) is leveraging its SMB‑focused cloud platform to capture booming AI demand, reporting an 18% ARR increase to $970 million in 2025 and a 150% surge in AI‑related revenue. The company announced an $800 million capital raise to expand AI‑optimized data...

By Yahoo Finance — Markets (site feed)
Analysts Remain Bullish on SailPoint. (SAIL) Amid Strong Q4 and Full-Year Results
NewsMar 29, 2026

Analysts Remain Bullish on SailPoint. (SAIL) Amid Strong Q4 and Full-Year Results

SailPoint (NASDAQ:SAIL) posted a strong fiscal 2026, with total ARR climbing 28% to $1.125 billion and SaaS ARR jumping 38% to $746 million. Fourth‑quarter revenue rose 23% to $295 million, delivering $61 million of adjusted operating income and $57 million of free cash flow. The...

By Yahoo Finance – News Index
Near a 15-Year Low, Is This 6.6%-Yielding Stock Too Cheap to Ignore or a Value Trap?
NewsMar 29, 2026

Near a 15-Year Low, Is This 6.6%-Yielding Stock Too Cheap to Ignore or a Value Trap?

General Mills (GIS) slumped to a 52‑week low on March 24, its lowest level in 15 years, pushing the dividend yield to 6.6%—one of the highest in the S&P 500. The company projects a modest 1.5‑2% drop in full‑year organic net sales and...

By Yahoo Finance — Markets (site feed)
PetroChina Successfully Concludes "the 14th Five-Year Plan", 2025 Operating Results Remain at Historical High Levels
NewsMar 29, 2026

PetroChina Successfully Concludes "the 14th Five-Year Plan", 2025 Operating Results Remain at Historical High Levels

PetroChina reported 2025 revenue of ¥2.86 trillion (≈$401 bn) and profit attributable of ¥157.3 billion (≈$22 bn), despite a 14.6% drop in Brent prices. Free cash flow rose 15.2% to ¥120.2 billion (≈$16.8 bn) and the debt‑to‑asset ratio improved to 36.4%. The company paid a record...

By The Manila Times – Business
Jefferies Initiates Vor Biopharma Stock with Buy Rating on Autoimmune Pivot
NewsMar 29, 2026

Jefferies Initiates Vor Biopharma Stock with Buy Rating on Autoimmune Pivot

Jefferies has initiated coverage of Vor Biopharma with a buy rating and a $50 price target, far above the current $14.48 share price. The company recently pivoted to autoimmune diseases, licensing telitacicept for lupus, rheumatoid arthritis, and myasthenia gravis, and...

By Investing.com – News
JPMorgan Upgrades HDFC Bank Stock Rating on Valuation Appeal
NewsMar 29, 2026

JPMorgan Upgrades HDFC Bank Stock Rating on Valuation Appeal

JPMorgan upgraded HDFC Bank to Overweight, lowering its price target to INR 1,010 (about $12.2). The bank’s shares have fallen 33% YTD, trading at a 16‑year low price‑to‑book of 1.5× and a $24.35 price near its 52‑week low. The rating lift...

By Investing.com – News
ROA Vs. ROE: Understanding Key Financial Health Metrics
NewsMar 29, 2026

ROA Vs. ROE: Understanding Key Financial Health Metrics

The article clarifies the distinction between return on equity (ROE) and return on assets (ROA) as essential gauges of a company’s financial health. It uses the fictional Ed’s Carpets case to illustrate a 23.8% ROE versus a modest 0.85% ROA,...

By Investopedia — Economics
Top Wall Street Analysts Like These Dividend Stocks for Solid Returns
NewsMar 29, 2026

Top Wall Street Analysts Like These Dividend Stocks for Solid Returns

Wall Street analysts highlighted three dividend‑paying stocks—Diamondback Energy, Crescent Energy, and Darden Restaurants—as attractive amid market volatility. Diamondback offers a 2% yield and a projected 22% total return, while Crescent provides a 3.5% yield after a $3.1 billion acquisition. Darden delivers...

By CNBC – Markets
This Chinese Gold Play Is Attractive Even as the Metal Sees Big Price Swings, Analysts Say
NewsMar 29, 2026

This Chinese Gold Play Is Attractive Even as the Metal Sees Big Price Swings, Analysts Say

Laopu Gold, a Hong Kong‑listed Chinese jewelry maker, posted first‑quarter net profit of roughly $521 million, a 160% total‑return surge despite a 20% drop in gold prices to $4,098 per ounce. JPMorgan upgraded the stock to overweight with a price target...

By CNBC – Markets
Entergy: Meta Deal Exemplifies Its Strong Growth Profile (Rating Downgrade)
NewsMar 29, 2026

Entergy: Meta Deal Exemplifies Its Strong Growth Profile (Rating Downgrade)

Entergy’s shares have surged more than 30% over the past year as data‑center demand fuels a robust capital‑expenditure cycle. The company secured a power‑purchase agreement with Meta that adds 5.2 GW of new capacity while transferring construction risk to the tech...

By Seeking Alpha — Site feed
Rexford: Finding A Good Valuation For Very Little Or No Growth
NewsMar 29, 2026

Rexford: Finding A Good Valuation For Very Little Or No Growth

Rexford Industrial Realty (REXR) now trades at a 5.36% dividend yield and a historically low price‑to‑AFFO multiple, reflecting sharply rebased growth expectations. The firm’s AFFO is projected to expand only 1.66% per year through 2028, with recent guidance hinting at...

By Seeking Alpha — Site feed
UPS CFO Issues Stark Warning to Dividend Investors
NewsMar 29, 2026

UPS CFO Issues Stark Warning to Dividend Investors

UPS CFO Brian Dykes announced the company will freeze its dividend in 2026, ending expectations of a raise. The logistics giant is currently paying out 80%‑90% of net income, well above its long‑term 50%‑60% target. A sharp reduction in Amazon‑related...

By TheStreet — Full feed
BME: Removal Of Option Writing Can Improve NAV Growth (Rating Upgrade)
NewsMar 29, 2026

BME: Removal Of Option Writing Can Improve NAV Growth (Rating Upgrade)

BlackRock Health Sciences Trust (BME) received a Buy rating upgrade as it drops its option‑writing program and pivots to a pure equity strategy. The change is expected to boost net asset value (NAV) growth while preserving an 8.3% monthly dividend...

By Seeking Alpha — Site feed
Fabrinet: Excellent Growth Is Overshadowed By Overvaluation And Overbought Stock Level
NewsMar 29, 2026

Fabrinet: Excellent Growth Is Overshadowed By Overvaluation And Overbought Stock Level

Fabrinet posted record Q2 2026 results, with revenue climbing 36% year‑over‑year to $1.13 billion and non‑GAAP earnings per share rising 29% to $3.36. The growth stems from expanded capacity, robust demand in telecom and high‑performance computing, and a balance sheet free of...

By Seeking Alpha — Site feed
The Market Is Cracking - I'm Getting Ready To Buy My Favorite Stocks
NewsMar 29, 2026

The Market Is Cracking - I'm Getting Ready To Buy My Favorite Stocks

The strategist warns that the market’s recent crack‑down is creating a rare dislocation, presenting a window to acquire high‑quality, pricing‑power stocks. While macro headwinds such as stagflation and higher rates linger, the analysis points to a shift toward value‑oriented equities...

By Seeking Alpha — Site feed
Russell 2000 Stocks: Too Early or Finally Interesting?
NewsMar 29, 2026

Russell 2000 Stocks: Too Early or Finally Interesting?

The Russell 2000 trades at about 19‑times earnings, well below the S&P 500’s 27‑times multiple, leaving a roughly 50 % valuation gap. With the Federal Reserve signaling no near‑term rate cuts, small‑cap stocks remain volatile but could benefit from any easing....

By MarketBeat – News
When Stock Markets Are Rattled, Even by War, It Usually Pays for Investors to Be Patient
NewsMar 29, 2026

When Stock Markets Are Rattled, Even by War, It Usually Pays for Investors to Be Patient

U.S. equities have historically rebounded from every major correction, including wars and financial crises, and the S&P 500 remains about 8.7% below its early‑year peak after a fifth consecutive losing week. The ongoing Iran‑related conflict has pushed oil to $119 per...

By Philippine Daily Inquirer – Business
Affirm: A Solid Footing or More Volatility Ahead?
NewsMar 29, 2026

Affirm: A Solid Footing or More Volatility Ahead?

Affirm Holdings posted a strong Q2, with gross merchandise volume climbing 36% to $13.8 billion and revenue rising 30% to $1.12 billion, while net income surged 61% to $130 million. The company expanded its merchant network to 478,000 partners and grew its active...

By MarketBeat – News
SA Asks: What's the Most Attractive Space Stock Right Now?
NewsMar 28, 2026

SA Asks: What's the Most Attractive Space Stock Right Now?

Elon Musk’s SpaceX is preparing what could become the largest IPO in history, prompting investors to look for alternative space equities. Seeking Alpha analysts Oakoff Investments and Michael Del Monte highlight Rocket Lab (RKLB) and Firefly Aerospace (FLY) as the most attractive...

By Business Insider – Markets Insider
Asian Paints, Berger Paints, Dabur, HUL, TCS : Are the Famed Consistent Compounders in for a Lost Decade?
NewsMar 28, 2026

Asian Paints, Berger Paints, Dabur, HUL, TCS : Are the Famed Consistent Compounders in for a Lost Decade?

The article examines how Indian stalwarts such as Asian Paints, HUL, TCS, Dabur and others—once hailed as "consistent compounders"—have delivered dismal total returns over the past six years, lagging far behind the Nifty 50’s 10.6% CAGR. While these firms still...

By The Hindu Business Line
Why This PSU General Insurer’s Shares Can Be Accumulated on Dips Now
NewsMar 28, 2026

Why This PSU General Insurer’s Shares Can Be Accumulated on Dips Now

New India Assurance (NIACL), India’s largest PSU general insurer, has slipped 43% from its 52‑week high, now trading around ₹121.85 (~$1.47) per share, or 0.9 × its trailing book value, giving a market‑cap of roughly $2.4 billion. The stock is 25% below...

By The Hindu Business Line
These NPS Schemes Weathered the 18-Month Market Pain
NewsMar 28, 2026

These NPS Schemes Weathered the 18-Month Market Pain

Over the 18‑month market downturn from September 2024 to March 2026, National Pension System (NPS) equity schemes declined 9.3%, outperforming the Nifty 100 (‑11%) and large‑cap mutual funds (‑9.7%). Corporate‑bond NPS schemes posted a solid 10.2% gain, beating the CRISIL Composite index’s 8.1%...

By The Hindu Business Line
TDIV: Tech's Value Proposition Has Improved With The Sell-Off
NewsMar 28, 2026

TDIV: Tech's Value Proposition Has Improved With The Sell-Off

First Trust NASDAQ Technology Dividend Index Fund (TDIV) slipped about 5% amid broader tech volatility, but its valuation gap to the S&P 500 has essentially vanished, bringing its price‑to‑earnings ratio in line with the broader market. The fund’s dividend per share rose 16% year‑over‑year in...

By Seeking Alpha – ETFs & Funds
COWZ: Makes It Easy To Navigate Market Selloffs
NewsMar 28, 2026

COWZ: Makes It Easy To Navigate Market Selloffs

The Pacer US Cash Cows 100 ETF (COWZ) targets defensive investors by focusing on large‑cap firms with high free‑cash‑flow yields, currently offering a 2% yield and strong dividend‑growth prospects. Its dynamic sector allocation and disciplined rebalancing helped it capture only...

By Seeking Alpha – ETFs & Funds
KRE: Valuations Are Declining, But May Not Correct Soon
NewsMar 28, 2026

KRE: Valuations Are Declining, But May Not Correct Soon

The State Street SPDR S&P Regional Banking ETF (KRE) is rated Hold as it trades at deep value with an average PE of 10.77 and price‑to‑book of 1.1. However, the fund’s constituents carry heavy commercial‑real‑estate exposure—many have over 50% of...

By Seeking Alpha – ETFs & Funds
Anthropic Struggling with Chinese Competition, Its Own Safety Obsession
NewsMar 28, 2026

Anthropic Struggling with Chinese Competition, Its Own Safety Obsession

Anthropic, fresh from a $30 billion funding round and a public‑safety stance, is eyeing an IPO in Q4 2026. The company’s financials show $5 billion in revenue against $10 billion spent on inference and training, widening its cash‑burn gap. Meanwhile, Chinese AI firms now...

By The Register
Dividend Resilience: Why These Kings Are Safe After a Volatile Q1
NewsMar 28, 2026

Dividend Resilience: Why These Kings Are Safe After a Volatile Q1

The article spotlights three Dividend Kings—Procter & Gamble, Colgate‑Palmolive, and Hormel Foods—as reliable income generators amid the volatile first quarter of 2026. Each company boasts strong balance sheets, sustainable payout ratios, and defensive business models that have supported consecutive dividend...

By MarketBeat – News
Buffett’s Zurich Acolyte Says Odds of Beating Market Keep Fading
NewsMar 28, 2026

Buffett’s Zurich Acolyte Says Odds of Beating Market Keep Fading

Guy Spier, the Zurich‑based founder of the $470 million Aquamarine Fund, announced the fund’s closure after his brain‑cancer relapse and a prolonged streak of underperformance. He argues that artificial‑intelligence tools have leveled the research playing field, making traditional Buffett‑style stock picking increasingly...

By Yahoo Finance – Top Financial News
Hermès: In An AI World Flooded With Abundance, Scarcity May Become Even More Valuable
NewsMar 28, 2026

Hermès: In An AI World Flooded With Abundance, Scarcity May Become Even More Valuable

Hermès remains a rarity‑driven luxury asset, sustaining premium valuations despite recent macro‑related sell‑offs. In 2025 the company posted $18 billion in revenue and an impressive 41.75 % operating margin, underscoring the power of its scarcity model. A current ratio near five and...

By Seeking Alpha — Site feed
Goldman Sachs’ India Bets Slide in FY26; 5 Stocks Crash over 50% but One Turns Multibagger
NewsMar 28, 2026

Goldman Sachs’ India Bets Slide in FY26; 5 Stocks Crash over 50% but One Turns Multibagger

Goldman Sachs’ India equity portfolio shrank 36% in FY 26, dropping from roughly $1.44 billion to about $916 million. The decline was driven by five major holdings—Laxmi Dental, Awfis, Newgen, Aurionpro and Ganesha—each losing more than 50%. Conversely, six stocks posted gains between 20%...

By The Economic Times – Markets
Summit Hotel Properties: Undervalued With High Yield Make This A Buy
NewsMar 28, 2026

Summit Hotel Properties: Undervalued With High Yield Make This A Buy

Summit Hotel Properties (INN) has been reaffirmed as a Buy, driven by a robust balance sheet, a 7.46% dividend yield and a deep valuation discount. The company holds $240 million in liquidity, no debt maturities until 2028, and 77% of its...

By Seeking Alpha — Site feed
I Was So Wrong About Upstart: Do Not Ignore The AI Threat
NewsMar 28, 2026

I Was So Wrong About Upstart: Do Not Ignore The AI Threat

Upstart (UPST) was downgraded to a sell as analysts cite stagnant margins, heightened macro uncertainty, and accelerating AI‑driven competition. The company posted a strong 35% year‑over‑year revenue increase and modestly beat guidance, but margin contraction and limited upside to its...

By Seeking Alpha — Site feed
IVE: Recent Outperformance Is Unsustainable
NewsMar 28, 2026

IVE: Recent Outperformance Is Unsustainable

The iShares S&P 500 Value ETF (IVE) has been downgraded to a Hold as its recent outperformance is tied to fleeting, event‑driven factors. Gains stemmed from a heavy energy tilt and an under‑weight in mega‑cap tech, both of which are losing...

By Seeking Alpha – ETFs & Funds