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StockStory is a financial technology company dedicated to simplifying profitable stock investing for individual investors. By leveraging advanced AI technology and human expertise, it generates detailed, data-driven research reports and monthly stock picks to identify high-quality stocks with strong growth potential. The company aims to democratize access to sophisticated analytical methods and proprietary datasets—previously exclusive to elite hedge funds—delivering clear, actionable insights rather than complex, do-it-yourself tools. With a mission to level the playing field in a market often favoring large institutions, StockStory provides retail investors with the resources to make informed, market-beating investment decisions.

The Top 5 Analyst Questions From Paychex’s Q3 Earnings Call
Paychex’s third quarter was marked by robust top-line growth, but the market responded negatively, reflecting concerns about margin pressures and integration complexities. Management attributed the strong revenue increase to the integration of Paycor and steady demand for human capital management solutions. CEO John Gibson highlighted that “progress integrating Paycor” and “sustained demand” were central to recent performance, while CFO Bob Schrader pointed to “solid growth in the number of average PEO worksite employees.” However, a notable decline in operating margin suggested higher costs tied to acquisition and ongoing integration activities, which management acknowledged as a near-term headwind.
Via StockStory · October 7, 2025
Lamb Weston’s Q3 Earnings Call: Our Top 5 Analyst Questions
Lamb Weston's third quarter saw a positive market reaction as the company reported results that surpassed Wall Street revenue and earnings expectations, driven primarily by strong sales volume growth. Management pointed to accelerated customer wins, especially in North America, and the early benefits of its Focus to Win strategic plan as key contributors to the quarter’s outperformance. CEO Mike Smith emphasized, “We delivered another quarter of strong volume growth,” attributing this to both innovation and enhanced customer-centric actions throughout the organization.
Via StockStory · October 7, 2025
3 Cash-Heavy Stocks for Long-Term Investors
A clean balance sheet can signal disciplined management and stability. It also means a company can expand and thrive without relying on borrowed capital.
Via StockStory · October 7, 2025
1 of Wall Street’s Favorite Stock to Keep an Eye On and 2 We Find Risky
Wall Street has set ambitious price targets for the stocks in this article. While this suggests attractive upside potential, it’s important to remain skeptical because analysts face institutional pressures that can sometimes lead to overly optimistic forecasts.
Via StockStory · October 7, 2025
1 Safe-and-Steady Stock with Exciting Potential and 2 Facing Challenges
Stability is great, but low-volatility stocks may struggle to deliver market-beating returns over time as they sometimes underperform during bull markets.
Via StockStory · October 7, 2025
3 Industrials Stocks We Steer Clear Of
Whether you see them or not, industrials businesses play a crucial part in our daily activities. They are also bound to benefit from a friendlier regulatory environment with the Trump administration, and this excitement has led to a six-month gain of 46.2% for the sector - higher than the S&P 500’s 33.2% return.
Via StockStory · October 7, 2025
1 Cash-Producing Stock Worth Your Attention and 2 We Avoid
Generating cash is essential for any business, but not all cash-rich companies are great investments. Some produce plenty of cash but fail to allocate it effectively, leading to missed opportunities.
Via StockStory · October 7, 2025
1 Volatile Stock to Target This Week and 2 Facing Headwinds
Market swings can be tough to stomach, and volatile stocks often experience exaggerated moves in both directions. While many thrive during risk-on environments, many also struggle to maintain investor confidence when the ride gets bumpy.
Via StockStory · October 7, 2025
3 Russell 2000 Stocks We Approach with Caution
The Russell 2000 (^RUT) is home to many small-cap stocks, offering investors the chance to uncover hidden gems before the broader market catches on. However, these companies often come with higher volatility and risk, as their smaller size makes them more vulnerable to economic downturns.
Via StockStory · October 7, 2025
1 Volatile Stock to Research Further and 2 Facing Headwinds
A highly volatile stock can deliver big gains - or just as easily wipe out a portfolio if things go south. While some investors embrace risk, mistakes can be costly for those who aren’t prepared.
Via StockStory · October 7, 2025
3 Profitable Stocks with Promising Prospects
Profitable companies tend to be more resilient, giving them the flexibility to invest and return capital to shareholders. Businesses that consistently generate earnings can better navigate downturns and capitalize on new opportunities.
Via StockStory · October 7, 2025
3 Profitable Stocks We Steer Clear Of
Even if a company is profitable, it doesn’t always mean it’s a great investment. Some struggle to maintain growth, face looming threats, or fail to reinvest wisely, limiting their future potential.
Via StockStory · October 7, 2025
3 Cash-Producing Stocks We’re Skeptical Of
Generating cash is essential for any business, but not all cash-rich companies are great investments. Some produce plenty of cash but fail to allocate it effectively, leading to missed opportunities.
Via StockStory · October 7, 2025
1 Cash-Heavy Stock with Exciting Potential and 2 That Underwhelm
A cash-heavy balance sheet is often a sign of strength, but not always. Some companies avoid debt because they have weak business models, limited expansion opportunities, or inconsistent cash flow.
Via StockStory · October 7, 2025
3 Unpopular Stocks That Fall Short
When Wall Street turns bearish on a stock, it’s worth paying attention. These calls stand out because analysts rarely issue grim ratings on companies for fear their firms will lose out in other business lines such as M&A advisory.
Via StockStory · October 7, 2025
3 Volatile Stocks That Concern Us
A highly volatile stock can deliver big gains - or just as easily wipe out a portfolio if things go south. While some investors embrace risk, mistakes can be costly for those who aren’t prepared.
Via StockStory · October 7, 2025
1 Surging Stock to Consider Right Now and 2 We Turn Down
The stocks featured in this article have all approached their 52-week highs. When these price levels hit, it typically signals strong business execution, positive market sentiment, or significant industry tailwinds.
Via StockStory · October 7, 2025
3 Stocks Under $50 with Open Questions
The $10-50 price range often includes mid-sized businesses with proven track records and plenty of growth runway ahead. They also usually carry less risk than penny stocks, though they’re not immune to volatility as many lack the scale advantages of their larger peers.
Via StockStory · October 7, 2025
3 Stocks Under $50 We’re Skeptical Of
Stocks trading between $10 and $50 can be particularly interesting as they frequently represent businesses that have survived their early challenges. However, investors should remain vigilant as some may still have unproven business models, leaving them vulnerable to the ebbs and flows of the broader market.
Via StockStory · October 7, 2025
1 Cash-Producing Stock on Our Watchlist and 2 We Turn Down
A company that generates cash isn’t automatically a winner. Some businesses stockpile cash but fail to reinvest wisely, limiting their ability to expand.
Via StockStory · October 7, 2025
2 Safe-and-Steady Stocks with Exciting Potential and 1 That Underwhelm
A stock with low volatility can be reassuring, but it doesn’t always mean strong long-term performance. Investors who prioritize stability may miss out on higher-reward opportunities elsewhere.
Via StockStory · October 7, 2025
2 High-Flying Stocks to Keep an Eye On and 1 We Avoid
Expensive stocks typically earn their valuations through superior growth rates that other companies simply can’t match. The flip side though is that these lofty expectations make them particularly susceptible to drawdowns when market sentiment shifts.
Via StockStory · October 7, 2025
1 Momentum Stock on Our Buy List and 2 We Question
The stocks in this article are all trading near their 52-week highs. This strength often reflects positive developments such as new product launches, favorable industry trends, or improved financial performance.
Via StockStory · October 7, 2025
3 Volatile Stocks We Approach with Caution
A highly volatile stock can deliver big gains - or just as easily wipe out a portfolio if things go south. While some investors embrace risk, mistakes can be costly for those who aren’t prepared.
Via StockStory · October 7, 2025
1 Mid-Cap Stock to Target This Week and 2 Facing Challenges
Mid-cap stocks have the best odds of scaling into $100 billion corporations thanks to their tested business models and large addressable markets. But the many opportunities in front of them attract significant competition, spanning from industry behemoths with seemingly infinite resources to small, nimble players with chips on their shoulders.
Via StockStory · October 7, 2025
3 Stocks Under $10 We Find Risky
Investors can certainly boost their returns by concentrating on stocks trading between $1 and $10. However, a disciplined approach is necessary because many of these businesses are speculative and lack the underlying fundamentals to support their prices.
Via StockStory · October 7, 2025
1 Russell 2000 Stock on Our Watchlist and 2 We Find Risky
The Russell 2000 (^RUT) is home to many small-cap stocks, offering investors the chance to uncover hidden gems before the broader market catches on. However, these companies often come with higher volatility and risk, as their smaller size makes them more vulnerable to economic downturns.
Via StockStory · October 7, 2025
3 Stocks Under $50 with Questionable Fundamentals
Stocks trading between $10 and $50 can be particularly interesting as they frequently represent businesses that have survived their early challenges. However, investors should remain vigilant as some may still have unproven business models, leaving them vulnerable to the ebbs and flows of the broader market.
Via StockStory · October 7, 2025
3 Growth Stocks with Explosive Upside
Growth is oxygen. But when it evaporates, the consequences can be severe - ask anyone who bought Cisco in the Dot-Com Bubble or newer investors who lived through the 2020 to 2022 COVID cycle.
Via StockStory · October 7, 2025
3 Volatile Stocks with Open Questions
Market swings can be tough to stomach, and volatile stocks often experience exaggerated moves in both directions. While many thrive during risk-on environments, many also struggle to maintain investor confidence when the ride gets bumpy.
Via StockStory · October 7, 2025
3 Russell 2000 Stocks That Fall Short
Small-cap stocks in the Russell 2000 (^RUT) can be a goldmine for investors looking beyond the usual large-cap names. But with less stability and fewer resources than their bigger counterparts, these companies face steeper challenges in scaling their businesses.
Via StockStory · October 7, 2025
Amtech (ASYS): Buy, Sell, or Hold Post Q2 Earnings?
The past six months have been a windfall for Amtech’s shareholders. The company’s stock price has jumped 131%, setting a new 52-week high of $10.60 per share. This was partly thanks to its solid quarterly results, and the run-up might have investors contemplating their next move.
Via StockStory · October 7, 2025
3 Reasons to Sell CHRW and 1 Stock to Buy Instead
What a fantastic six months it’s been for C.H. Robinson Worldwide. Shares of the company have skyrocketed 50.7%, hitting $134.36. This was partly due to its solid quarterly results, and the performance may have investors wondering how to approach the situation.
Via StockStory · October 7, 2025
3 Reasons ZM is Risky and 1 Stock to Buy Instead
While the S&P 500 is up 33.2% since April 2025, Zoom (currently trading at $81.02 per share) has lagged behind, posting a return of 19.1%. This may have investors wondering how to approach the situation.
Via StockStory · October 7, 2025
3 Reasons RDN is Risky and 1 Stock to Buy Instead
Although Radian Group (currently trading at $34.74 per share) has gained 13.4% over the last six months, it has trailed the S&P 500’s 33.2% return during that period. This was partly due to its softer quarterly results and might have investors contemplating their next move.
Via StockStory · October 7, 2025
3 Reasons to Avoid ADBE and 1 Stock to Buy Instead
Since April 2025, Adobe has been in a holding pattern, posting a small return of 2.7% while floating around $349.87. The stock also fell short of the S&P 500’s 33.2% gain during that period.
Via StockStory · October 7, 2025
3 Reasons to Sell PCAR and 1 Stock to Buy Instead
While the S&P 500 is up 33.2% since April 2025, PACCAR (currently trading at $98.20 per share) has lagged behind, posting a return of 11.4%. This might have investors contemplating their next move.
Via StockStory · October 7, 2025
3 Reasons to Sell AMRC and 1 Stock to Buy Instead
The past six months have been a windfall for Ameresco’s shareholders. The company’s stock price has jumped 287%, setting a new 52-week high of $39.10 per share. This was partly thanks to its solid quarterly results, and the performance may have investors wondering how to approach the situation.
Via StockStory · October 7, 2025
3 Reasons to Avoid UFPI and 1 Stock to Buy Instead
Over the last six months, UFP Industries’s shares have sunk to $91.71, producing a disappointing 12% loss - a stark contrast to the S&P 500’s 33.2% gain. This was partly due to its softer quarterly results and might have investors contemplating their next move.
Via StockStory · October 7, 2025
2 Reasons to Like WAB and 1 to Stay Skeptical
Although Wabtec (currently trading at $203.18 per share) has gained 25.9% over the last six months, it has trailed the S&P 500’s 33.2% return during that period. This was partly due to its softer quarterly results and may have investors wondering how to approach the situation.
Via StockStory · October 7, 2025
ANI Pharmaceuticals (ANIP): Buy, Sell, or Hold Post Q2 Earnings?
ANI Pharmaceuticals has followed the market’s trajectory closely, rising in tandem with the S&P 500 over the past six months. The stock has climbed by 37.4% to $92.06 per share while the index has gained 33.2%.
Via StockStory · October 7, 2025
3 Reasons KMB is Risky and 1 Stock to Buy Instead
Over the past six months, Kimberly-Clark’s stock price fell to $120.77. Shareholders have lost 10.2% of their capital, which is disappointing considering the S&P 500 has climbed by 33.2%. This might have investors contemplating their next move.
Via StockStory · October 7, 2025
AAON (AAON): Buy, Sell, or Hold Post Q2 Earnings?
Over the past six months, AAON has been a great trade, beating the S&P 500 by 6.1%. Its stock price has climbed to $103.81, representing a healthy 39.3% increase. This performance may have investors wondering how to approach the situation.
Via StockStory · October 7, 2025
3 Reasons to Sell BTSG and 1 Stock to Buy Instead
What a fantastic six months it’s been for BrightSpring Health Services. Shares of the company have skyrocketed 64.9%, hitting $28.50. This was partly due to its solid quarterly results, and the performance may have investors wondering how to approach the situation.
Via StockStory · October 7, 2025
3 Reasons JLL is Risky and 1 Stock to Buy Instead
JLL trades at $291.06 and has moved in lockstep with the market. Its shares have returned 35.6% over the last six months while the S&P 500 has gained 33.2%.
Via StockStory · October 7, 2025
Latham (SWIM): Buy, Sell, or Hold Post Q2 Earnings?
Latham has been on fire lately. In the past six months alone, the company’s stock price has rocketed 41.1%, reaching $7.42 per share. This performance may have investors wondering how to approach the situation.
Via StockStory · October 7, 2025
Principal Financial Group (PFG): Buy, Sell, or Hold Post Q2 Earnings?
Although Principal Financial Group (currently trading at $84.18 per share) has gained 17.5% over the last six months, it has trailed the S&P 500’s 33.2% return during that period. This was partly due to its softer quarterly results and might have investors contemplating their next move.
Via StockStory · October 7, 2025
Unpacking Q2 Earnings: Semrush (NYSE:SEMR) In The Context Of Other Sales And Marketing Software Stocks
The end of the earnings season is always a good time to take a step back and see who shined (and who not so much). Let’s take a look at how sales and marketing software stocks fared in Q2, starting with Semrush (NYSE:SEMR).
Via StockStory · October 6, 2025
Winners And Losers Of Q3: Soho House (NYSE:SHCO) Vs The Rest Of The Travel and Vacation Providers Stocks
Let’s dig into the relative performance of Soho House (NYSE:SHCO) and its peers as we unravel the now-completed Q3 travel and vacation providers earnings season.
Via StockStory · October 6, 2025
Footwear Stocks Q2 Recap: Benchmarking Crocs (NASDAQ:CROX)
The end of an earnings season can be a great time to discover new stocks and assess how companies are handling the current business environment. Let’s take a look at how Crocs (NASDAQ:CROX) and the rest of the footwear stocks fared in Q2.
Via StockStory · October 6, 2025
Spotting Winners: Cracker Barrel (NASDAQ:CBRL) And Sit-Down Dining Stocks In Q2
Quarterly earnings results are a good time to check in on a company’s progress, especially compared to its peers in the same sector. Today we are looking at Cracker Barrel (NASDAQ:CBRL) and the best and worst performers in the sit-down dining industry.
Via StockStory · October 6, 2025
Q2 Earnings Roundup: Academy Sports (NASDAQ:ASO) And The Rest Of The Specialty Retail Segment
Earnings results often indicate what direction a company will take in the months ahead. With Q2 behind us, let’s have a look at Academy Sports (NASDAQ:ASO) and its peers.
Via StockStory · October 6, 2025
Winners And Losers Of Q2: U-Haul (NYSE:UHAL) Vs The Rest Of The Ground Transportation Stocks
As the Q2 earnings season wraps, let’s dig into this quarter’s best and worst performers in the ground transportation industry, including U-Haul (NYSE:UHAL) and its peers.
Via StockStory · October 6, 2025
Specialty Finance Stocks Q2 Results: Benchmarking DigitalBridge (NYSE:DBRG)
Wrapping up Q2 earnings, we look at the numbers and key takeaways for the specialty finance stocks, including DigitalBridge (NYSE:DBRG) and its peers.
Via StockStory · October 6, 2025
Reflecting On Professional Tools and Equipment Stocks’ Q2 Earnings: Snap-on (NYSE:SNA)
Quarterly earnings results are a good time to check in on a company’s progress, especially compared to its peers in the same sector. Today we are looking at Snap-on (NYSE:SNA) and the best and worst performers in the professional tools and equipment industry.
Via StockStory · October 6, 2025
Investment Banking & Brokerage Stocks Q2 Highlights: Stifel (NYSE:SF)
Quarterly earnings results are a good time to check in on a company’s progress, especially compared to its peers in the same sector. Today we are looking at Stifel (NYSE:SF) and the best and worst performers in the investment banking & brokerage industry.
Via StockStory · October 6, 2025
Unpacking Q2 Earnings: ADP (NASDAQ:ADP) In The Context Of Other Data & Business Process Services Stocks
Looking back on data & business process services stocks’ Q2 earnings, we examine this quarter’s best and worst performers, including ADP (NASDAQ:ADP) and its peers.
Via StockStory · October 6, 2025
Surgical Equipment & Consumables - Specialty Stocks Q2 Earnings Review: LeMaitre (NASDAQ:LMAT) Shines
As the Q2 earnings season wraps, let’s dig into this quarter’s best and worst performers in the surgical equipment & consumables - specialty industry, including LeMaitre (NASDAQ:LMAT) and its peers.
Via StockStory · October 6, 2025
Q2 Earnings Review: Gas and Liquid Handling Stocks Led by Helios (NYSE:HLIO)
Let’s dig into the relative performance of Helios (NYSE:HLIO) and its peers as we unravel the now-completed Q2 gas and liquid handling earnings season.
Via StockStory · October 6, 2025
Winners And Losers Of Q2: Globus Medical (NYSE:GMED) Vs The Rest Of The Medical Devices & Supplies - Specialty Stocks
As the Q2 earnings season wraps, let’s dig into this quarter’s best and worst performers in the medical devices & supplies - specialty industry, including Globus Medical (NYSE:GMED) and its peers.
Via StockStory · October 6, 2025
Vertical Software Stocks Q2 Earnings: Manhattan Associates (NASDAQ:MANH) Best of the Bunch
Looking back on vertical software stocks’ Q2 earnings, we examine this quarter’s best and worst performers, including Manhattan Associates (NASDAQ:MANH) and its peers.
Via StockStory · October 6, 2025
Spotting Winners: Heartland Express (NASDAQ:HTLD) And Ground Transportation Stocks In Q2
Earnings results often indicate what direction a company will take in the months ahead. With Q2 behind us, let’s have a look at Heartland Express (NASDAQ:HTLD) and its peers.
Via StockStory · October 6, 2025
Maintenance and Repair Distributors Stocks Q2 Teardown: Global Industrial (NYSE:GIC) Vs The Rest
The end of an earnings season can be a great time to discover new stocks and assess how companies are handling the current business environment. Let’s take a look at how Global Industrial (NYSE:GIC) and the rest of the maintenance and repair distributors stocks fared in Q2.
Via StockStory · October 6, 2025
A Look Back at Regional Banks Stocks’ Q2 Earnings: TowneBank (NASDAQ:TOWN) Vs The Rest Of The Pack
Let’s dig into the relative performance of TowneBank (NASDAQ:TOWN) and its peers as we unravel the now-completed Q2 regional banks earnings season.
Via StockStory · October 6, 2025
Electronic Components & Manufacturing Stocks Q2 In Review: Rogers (NYSE:ROG) Vs Peers
As the Q2 earnings season comes to a close, it’s time to take stock of this quarter’s best and worst performers in the electronic components & manufacturing industry, including Rogers (NYSE:ROG) and its peers.
Via StockStory · October 6, 2025
Q2 Rundown: Littelfuse (NASDAQ:LFUS) Vs Other Electronic Components Stocks
The end of the earnings season is always a good time to take a step back and see who shined (and who not so much). Let’s take a look at how electronic components stocks fared in Q2, starting with Littelfuse (NASDAQ:LFUS).
Via StockStory · October 6, 2025
Unpacking Q2 Earnings: Integral Ad Science (NASDAQ:IAS) In The Context Of Other Advertising Software Stocks
Wrapping up Q2 earnings, we look at the numbers and key takeaways for the advertising software stocks, including Integral Ad Science (NASDAQ:IAS) and its peers.
Via StockStory · October 6, 2025
Q2 Earnings Highlights: GoodRx (NASDAQ:GDRX) Vs The Rest Of The Healthcare Technology Stocks
As the Q2 earnings season wraps, let’s dig into this quarter’s best and worst performers in the healthcare technology industry, including GoodRx (NASDAQ:GDRX) and its peers.
Via StockStory · October 6, 2025
Richardson Electronics (RELL) Q3 Earnings: What To Expect
Electronics distributor Richardson Electronics (NASDAQ:RELL) will be reporting earnings this Wednesday after market hours. Here’s what investors should know.
Via StockStory · October 6, 2025
AZZ (AZZ) Q3 Earnings: What To Expect
Metal coating and infrastructure solutions provider AZZ (NYSE:AZZ) will be announcing earnings results this Wednesday after the bell. Here’s what you need to know.
Via StockStory · October 6, 2025
Himax and IPG Photonics Shares Skyrocket, What You Need To Know
A number of stocks jumped in the afternoon session after AMD's deal with OpenAI intensified the ongoing AI frenzy that has powered the market. 
Via StockStory · October 6, 2025
Marvell Technology, Monolithic Power Systems, MACOM, Photronics, and Nova Stocks Trade Up, What You Need To Know
A number of stocks jumped in the afternoon session after AMD's deal with OpenAI intensified the ongoing AI frenzy that has powered the market. 
Via StockStory · October 6, 2025
Constellation Brands (NYSE:STZ) Beats Q3 Sales Expectations
Beer, wine, and spirits company Constellation Brands (NYSE:STZ) reported Q3 CY2025 results exceeding the market’s revenue expectations, but sales fell by 15% year on year to $2.48 billion. Its non-GAAP profit of $3.63 per share was 6.5% above analysts’ consensus estimates.
Via StockStory · October 6, 2025
Why AppLovin (APP) Shares Are Trading Lower Today
Shares of mobile app technology company AppLovin (NASDAQ:APP) fell 14% in the afternoon session after a report surfaced that the U.S. Securities and Exchange Commission (SEC) was investigating the company's data-collection practices. 
Via StockStory · October 6, 2025
Why DoorDash (DASH) Stock Is Trading Up Today
Shares of on-demand food delivery service DoorDash (NYSE:DASH) jumped 4.3% in the afternoon session after the company announced a new multi-year partnership with advertising firm Criteo to enhance its retail media offerings. 
Via StockStory · October 6, 2025