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Jul 23, 2026, 07:30 ET S&T Bancorp, Inc. Announces Second Quarter 2026 Results
categories and timing-related items.Financial Condition Total assets were $9.9 billion at both June 30, 2026 and March 31, 2026. Cash and due from banks decreased $121.2 million related to an increase in loans compared to March 31, 2026. Total portfolio loans increased $99.0 million
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Jul 23, 2026, 07:00 ET Ardagh Metal Packaging S.A. - Second Quarter 2026 Results
41Cash, cash equivalents and restricted cash 189
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Jul 23, 2026, 07:00 ET Harley-Davidson Delivers Second Quarter Financial Results and Raises Full-Year Guidance
2026Net cash use of $60 million from operating activitiesEffective tax rate was 25%Paid cash dividends of $41 millionRepurchased $158 million of shares (7.9 million shares) on a discretionary basisCash and cash equivalents of $1.9 billion as
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Jul 23, 2026, 07:00 ET Ardagh Group S.A. - Second Quarter 2026 Results
2026 Adjusted EBITDA of $410 million, +6% annual growthLast Twelve Months (LTM) Adjusted EBITDA of $1,468 million, +12% annual growthCash and available liquidity of $1,441 million as at June 30, 2026Mark Porto, Executive Chairman of Ardagh Group, said:"Ardagh Group
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Jul 23, 2026, 07:00 ET OLD REPUBLIC REPORTS RESULTS FOR THE SECOND QUARTER AND FIRST HALF 2026
performance. The information underscores the performance of the operating companies, as well as the sound investment of their capital and underwriting cash flows.
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Jul 23, 2026, 07:00 ET Civista Bancshares, Inc. Announces Second-Quarter 2026 Net Income of $14.3 million, up $3.3 million from Second-Quarter 2025
loans of 1.28%.Tangible book value per share increased 6.0% from December 31, 2025, to $20.43 at June 30, 2026Declared a quarterly cash dividend of $0.18 per share, consistent with the first quarter 2026.Based on the June 30, 2026 closing share price of $28.22, the $0.18 quarterly
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Jul 23, 2026, 06:55 ET Visteon Announces Second Quarter 2026 Financial Results and $200 Million Accelerated Share Repurchase Program
$ 170Free cash flow and adjusted free cash flow are not recognized terms under U.S. GAAP and do not purport to be a substitute for cash flows from operating activities as a measure of liquidity. Free cash flow and adjusted free cash flow have limitations as analytical tools as they do not reflect cash used
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Jul 23, 2026, 06:55 ET Dover Reports Second Quarter 2026 Results
peers.Free cash flow represents net cash provided by operating activities minus capital expenditures. Free cash flow as a percentage of revenue equals free cash flow divided by revenue. Free cash flow as a percentage of adjusted earnings from continuing operations equals free cash flow divided by
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Jul 23, 2026, 06:50 ET MAYFAIR GOLD PROVIDES Q2 2026 UPDATE ON FENN-GIB PROJECT ADVANCEMENT AND DE-RISKING ACTIVITIES
distribution services and influencer marketing. Pursuant to the agreement, the Company has agreed to pay a one-time fee in advance of US$400,000 from cash on hand to facilitate the program. The advertising campaign is planned for a six-month term. GSM is led by Kenneth Ameduri, Juliet Ameduri and Lior
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Jul 23, 2026, 06:45 ET Quest Diagnostics Reports Second Quarter 2026 Financial Results; Raises Revenue and EPS Guidance for Full Year 2026
Effect of exchange rate changes on cash and cash equivalents and restricted cash(2)
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Jul 23, 2026, 06:30 ET CSG Positioned as the Leader in the SPARK Matrix™: Configure, Price & Quote Application, Telecommunication, 2026 by QKS Group
processes through agreement-centric selling, catalog-driven product configuration, AI-enabled pricing, commercial order management, and integrated quote-to-cash execution. The platform combines configuration, pricing, quoting, order orchestration, fulfilment coordination, and billing alignment within a unified
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Jul 23, 2026, 06:30 ET LAZARD REPORTS SECOND QUARTER AND FIRST HALF 2026 RESULTS
payable on August 14, 2026, to stockholders of record on August 3, 2026.Lazard's financial position remains strong. As of June 30, 2026, our cash and cash equivalents were $1,100 million.ENDNOTES1 A non-GAAP measure. Our non-GAAP measures are not meant to be considered
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Jul 23, 2026, 06:30 ET First Citizens BancShares Reports Second Quarter 2026 Earnings
referenced as "adjusted" or "excluding PAA," are "non-GAAP," meaning they are numerical measures of BancShares' financial performance, financial position or cash flows that are not presented in accordance with generally accepted accounting principles in the U.S. ("GAAP") because they exclude or include amounts
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Jul 23, 2026, 06:29 ET Lockheed Martin Reports Second Quarter 2026 Financial Results
$267 million increase in income tax expense.Cash Flows: Second quarter 2026 cash from operations and free cash flows increased $3.0 billion primarily due to the timing of customer receipts and lower tax payments. The company's cash activities during the second quarter of 2026 included capital
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Jul 23, 2026, 06:15 ET Huntington Bancshares Incorporated Reports 2026 Second-Quarter Earnings
10.0%, at June 30, 2026, compared to 10.2% at the prior quarter end. Adjusted Common Equity Tier 11, including the impact of AOCI, excluding cash flow hedges, was 9.0%, compared to 9.2% at the prior quarter end.Tangible common equity (TCE)1 ratio of 7.1%, up slightly from the
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Jul 23, 2026, 06:00 ET Turnstile Evolves Its Flexible Quote-to-Cash Platform for Human and Agent Teams with a Read-and-Write MCP
Flexible Quote-to-Cash (QTC) platform with native support for Human and Agent teams through a read-and-write Model Context Protocol (MCP), one of the only Quote-to-Cash MCPs that allows AI agents to control the entire QTC process, rather than
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Jul 23, 2026, 06:00 ET Dow reports second quarter 2026 results
Free Cash Flow is defined as "Cash provided by (used for) operating activities - continuing operations," less capital expenditures. Under this definition, Free Cash Flow represents the cash generated by the Company from operations after investing in its asset base. Free Cash Flow, combined
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Jul 23, 2026, 06:00 ET West Reports Second-Quarter 2026 Results
$2.15 increased 18.1%.Adjusted-diluted EPS of $2.37 increased 28.8%.Operating cash flow was $213.9 million. Capital expenditures were $85.9 million. Free cash flow (defined as operating cash flow less capital expenditures) was $128.0 million.During the first six months of 2026,
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Jul 23, 2026, 06:00 ET Manifest Launches Business Debit Mastercard to Power the Next Generation of Creator Entrepreneurs
today's most dynamic small businesses," said Ginger Siegel, North America Small and Medium Business Lead at Mastercard. "They're managing customers, cash flow, taxes, global audiences and multiple income streams often without tools designed for how they work. Together with Manifest, we're helping creators
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Jul 23, 2026, 06:00 ET McCormick Announces Operating Model, Executive Team, and Secondary Listing Location for Combined Company
matters; (ix) the risk that combined company financial information relating to the transaction, including anticipated combined company revenues, earnings, cash flows, capital expenditures, indebtedness and other financial metrics of the combined company; (x) the risk that the anticipated ownership percentages
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Jul 23, 2026, 06:00 ET McCormick Announces Operating Model, Executive Team, and Secondary Listing Location for Combined Company
matters; (ix) the risk that combined company financial information relating to the transaction, including anticipated combined company revenues, earnings, cash flows, capital expenditures, indebtedness and other financial metrics of the combined company; (x) the risk that the anticipated ownership percentages
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Jul 23, 2026, 05:55 ET RTX Reports Q2 2026 Results
Free cash flowFree cash flow represents cash flow from operating activities (a GAAP measure) less capital expenditures. Management believes free cash flow is a useful measure of
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Jul 23, 2026, 02:56 ET UPM Half Year Financial Report 2026: Improved second quarter results in all businesses and portfolio change progressing
These currency fluctuations could impact UPM's cash flow, earnings, or balance sheet, and may also affect the relative competitiveness between different currency regions.The Group's policy is to hedge an average of 50% of its estimated net currency cash flows on a rolling basis over the next 12-month
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Jul 23, 2026, 02:37 ET Stora Enso Half-year Report 2026: Optimising our portfolio and driving results through our own actions
share, reflecting the impact of the divestment of 12.4% of forest assets in Sweden in 2025.Cash flow from operations amounted to EUR 87 million. Operating working capital had a negative cash flow impact of EUR 101 million where the main drivers were higher trade receivables, mainly due to stronger
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Jul 23, 2026, 02:29 ET Stora Enso Half-year Report 2026: Optimising our portfolio and driving results through our own actions
share, reflecting the impact of the divestment of 12.4% of forest assets in Sweden in 2025.Cash flow from operations amounted to EUR 87 million. Operating working capital had a negative cash flow impact of EUR 101 million where the main drivers were higher trade receivables, mainly due to stronger
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