Earnings News
Quarterly earnings reports, revenue surprises, and EPS results from top companies. Follow earnings season with analyst estimates and post-earnings stock moves.
HSBC Valuation Under Scrutiny as Credit-Loss Rate Declines
HSBC shares edge down 0.04% as analysts forecast a 17% quarterly decline in credit losses, but a 20% higher P/E than Standard Chartered fuels valuation debate.
Unilever Shares Dip as Investors Eye Volume-Driven Sales Growth Ahead of Earnings
Unilever shares declined 1.4% as analysts predict Q2 underlying sales growth of 4.3%, with volumes contributing 2.5 percentage points. H1 EPS growth expected at just 1.6%.
BP Shares Rise as Debt Reduction Outpaces Production Decline
BP shares rose as debt reduction outpaced output decline in Q2 preliminary results. Net debt fell 11.1% while production dropped 6.2%.
Diploma Lifts Profit Forecast 7% on Margin Expansion
Diploma PLC boosted its profit forecast by 7%, with margin expansion accounting for roughly 78% of the projected increase. Shares have risen 7.1% since the update.
TSMC's $265 Billion Arizona Bet Strains Cash Flow as Q2 Capex Surges 41%
TSMC's Q2 free cash flow dropped 17.5% despite record profit, as capex surged 41.4% for its massive Arizona buildout. Revenue forecast raised above 40% for 2026.
US Firms Reap Rewards from World Cup Final Ad Surge
Fox Corp and Comcast Corp earned substantial ad revenue from the 2026 World Cup final, with Fox projecting $300-$400 million in tournament ad sales.
Opendoor's Path to Q2 Breakeven Hinges on Cost Control Amid Revenue Growth
Opendoor (OPEN) shares slid 5.6% to $4.50 last week. Q2 revenue could reach $900M, but breakeven requires $9M in additional operating gains.
Intel's 160% Rally Faces Profitability Test in Foundry Business
Intel's stock has surged over 160% in 2026 ahead of earnings, but profitability in its foundry segment remains a challenge with declining margins and EPS.
Oracle Stock Rebounds Amid $24 Billion Cash Flow Deficit
Oracle shares recovered 1.77% on Friday to $126.41, but ended the week down 10.1% amid a $23.7 billion free cash flow deficit and S&P downgrade.


