Industrials up 12.5%, but KE's -10.9% sales decline & low FCF raise red flags. FLS shines with 29.8% EPS growth.
Oil hits 22-month high, nearing $150 as Qatar warns of export halts. LNG giants like Shell & Exxon see profit potential.
Fuel oil prices jump 30-40% on Strait of Hormuz disruption. Asian buyers scramble as supply tightens.
ZETA's 31.5% billings growth & 34.7% revenue forecast vs. WGO's 6.7% sales decline & falling EPS.
Gold trades at $30/oz discount in Dubai due to flight disruptions; spot gold up 20% YTD.
ARW's sales & EPS decline; SEM's debt is high. ESE shows strong growth & cash flow.
CPRT's 15% revenue growth & 17.5% EPS rise at 23.7x P/E beats ZG's sales dip & IRDM's slowing growth.
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