Chewy (CHWY) closed the most recent trading day at $20.86, moving +1.96% from the previous trading session.
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The cable and internet company says it lost more subscribers over the quarter, adding to the industry’s list of woes.
Boeing carries a backlog that dwarfs its entire market value, and analysts see nearly 30% upside heading into a July 28 earnings report where prediction markets already favor a beat. The question is whether the turnaround has finally reached the point where the numbers do the convincing.
Roku reported 28% growth in its high margin platform revenue, highlighting the strength of its advertising focused business. The number of advertisers on Roku more than doubled year over year, pointing to rising interest in its streaming platform. Device sales declined over the same period, putting more attention on Roku's shift from hardware to services. Management reiterated a goal of generating significant free cash flow by 2028 as the business mix continues to evolve. Roku, traded on...
Alphabet shares sank after its Q2 earnings report.
Intel beat forecasts by $1.7B and still lost 11%. Oil, rates, and chip selling explain it better. What has Jim Cramer got to do with it?
Apple has built something most companies only dream about: a product ecosystem so sticky that billions of users choose to pay more rather than walk away. Here is why one investor keeps loading up, and what it would actually take to stop.
Refiner stocks are having a great year due to a global shortage of refining capacity.
Paramount on Friday agreed to delay closing its $81 billion buyout of Warner Bros. Discovery well into next year, as a judge continues to consider a challenge from 12 states seeking to block the deal altogether. In a court filing, Paramount said it wouldn’t close the merger until either a court ruling is made on the merits of the states’ lawsuit or June 1, 2027. The move arrives just days after U.S. District Judge Araceli Martínez-Olguín granted a temporary restraining order to freeze the transaction for several weeks, ruling that the states had raised some “serious questions” and a strong case about the merger's potential to “substantially lessen competition.”
Every quarter, Wall Street fixates on whether hyperscalers will blink and cut their AI budgets, and every quarter the order books tell a completely different story. Here is the basic economic principle that keeps one investor hitting buy on NVDA ahead of August earnings.
Under Armour trades at $6.69 per share and has stayed right on track with the overall market, gaining 5.9% over the last six months. At the same time, the S&P 500 has returned 7.9%.
Investing.com -- Uber Technologies (NYSE: UBER) shares skidded 4% on Friday, with losses accelerating in the final hour of trading following a revealing Financial Times report that Alphabet’s Waymo is eyeing the exit ramp on their alliance. According to the report, the self-driving car company is holding internal discussions about terminating its current agreements with the ride-hailing giant, which presently include joint operations in Austin and Atlanta. The Breakdown Uber has confirmed the fr
Over the past six months, Wynn Resorts’s shares (currently trading at $95.86) have posted a disappointing 16% loss, well below the S&P 500’s 7.9% gain. This might have investors contemplating their next move.
After years of decline, the stock rallied by almost 50% in the first half of 2026.
Super Micro Computer recently published preliminary financial results for its fiscal fourth quarter.
Since January 2026, Solventum has been in a holding pattern, posting a small loss of 2.2% while floating around $77.29. The stock also fell short of the S&P 500’s 7.9% gain during that period.
Investors aiming to buy into the artificial intelligence boom driving the economy and Wall Street for the foreseeable future might want to consider best-in-class, AI-boosted infrastructure stocks.
You missed Bitcoin's peak several times already. Will you stick around to see the next one?
Since January 2026, Novanta has been in a holding pattern, posting a small return of 3.3% while floating around $142.
Cleveland-Cliffs (NYSE:CLF) reported strong Q2 results, with higher adjusted EBITDA, a smaller net loss, and stronger revenue. The company issued an upbeat Q3 outlook, indicating expectations for its strongest second-half earnings performance since 2021 and reaffirmed its shipment guidance. The Board promoted Celso Goncalves to President and appointed him to the Board, marking a key leadership change tied to Cleveland-Cliffs' growth plans. Cleveland-Cliffs enters this new reporting period...
Investors should wait for the upcoming earnings report before jumping in on the margin improvement and SpaceX hype.
The cruise liner exceeded expectations in the first quarter, but the stock is up only 1% this year.
Alphabet, MasTec and Goldman Sachs topped a momentum screen built on the Driehaus strategy, combining earnings strength with favorable price trends.
The Hartford's Q2 earnings beat estimates as higher investment income, premium growth and improved Personal Insurance profitability drive results despite an elevated expense level.
Verizon raised earnings guidance after stronger subscriber growth and highlighted a $1 billion Google AI infrastructure agreement.
Strong earnings revive optimism without ending long-term concerns
The company late Thursday posted adjusted earnings of 35 cents a share, from 2 cents a year ago and above Wall Street’s 33 cents expectation. Revenue grew 55% to $168.8 million, beating the analyst consensus view of $164.6 million, according to FactSet. The earnings and revenue growth were due to strong momentum in the company’s optical artificial-intelligence date center business, and management expects that demand to continue.
Gene-editing biotech debuts at $25, backed by Sanofi and Eli Lilly, with a roughly $440.3 million valuation.
Google's $1B Fiber Bet Ignites Verizon Stock as AI Growth Story Accelerates