SO Offers More Income, NEE More Dividend Growth
Southern Company leads on current yield, while NextEra Energy offers faster growth for retirees willing to accept greater execution risk.

Every Stocks story we have published, newest first.
81 stories in the last 24 hours
Updated 4:35 AM (Times shown in New York time (ET))
Page 21 of 23 · 548 stories
Southern Company leads on current yield, while NextEra Energy offers faster growth for retirees willing to accept greater execution risk.

Seagate’s earnings engine is accelerating, but investors now need explosive growth to justify a stock already priced for near-perfect execution.

Natera’s oncology testing engine is accelerating, yet losses, dilution and a demanding valuation complicate the case for copying Druckenmiller.

The divestiture gives Hain cash to reduce debt, but closing hinges on lenders extending a December maturity deadline.

Baird trimmed Nike’s target sharply while Wolfe Research turned more constructive on Affirm after its post-earnings pullback.

Semiconductor shares absorbed a dual shock Monday as AI spending doubts collided with higher energy prices and a 5% Treasury yield.

Aurora is moving from autonomous trucking demonstrations toward production, but investors are pricing a business that has barely begun earning revenue.

CDW has rallied sharply since May, but its longer-term decline reflects slowing growth, margin pressure and investor doubts about execution.

The CEO change lands as OPTT begins trading after a 1-for-30 reverse split and reports rising backlog but limited cash.

Dennis Liu’s disposal was split between tax withholding and a preset trading plan, limiting its usefulness as a bearish signal for investors.

Oracle’s surging cloud commitments reinforce demand for Dell servers and HPE networking, while the financing burden raises a second question.

Corteva shareholders will receive Vylor shares as the agriculture company separates its larger, faster-growing seed operation from crop protection.

Shares gained after reports that Apollo is weighing a purchase of DePuy Synthes as J&J prepares to separate the business.

The downgrade targets Stellantis’ recovery, warning that incentives, refinancing pressure and a thinner product pipeline may squeeze returns.

AMC’s stronger theaters, concessions, and subscription business are gaining traction, but losses, leverage, and dilution still define the wager.

The insurance broker will leave Nasdaq after a cash deal aimed at funding faster technology investment and preserving employee ownership.

GM is pursuing alternative battery chemistry and local production while Ford defends its CATL technology deal in Michigan.

The proposed five-year program expands a Virginia benefits package aimed at winning regulatory approval for the companies’ $66.8 billion merger.

Xcel shares are beating the broader utility group, but heavy investment and regulatory execution remain central to the thesis.

The Japanese seafood group is expanding its Asian processing footprint while adding shelf-stable foods and pet products to its regional portfolio.

The healthcare distributor raised earnings guidance after a strong first quarter and outlined how a $2.25 billion deal will deepen its oncology platform.

Dollar General has surged over three months despite remaining below its 52-week high, helped by stronger margins and raised earnings guidance.

RCL offers faster earnings growth and stronger valuation support, while Walmart remains the steadier but costlier consumer franchise.

A California class action will test whether recyclable packaging claims outpaced the recycling infrastructure available to consumers.
