Despite near-term tariff headwinds, I believe SWK's management has a clear mitigation plan, targeting full China exit and USMCA compliance by 2027. Cost savings, SG&A cuts, and product line disposals support stable margins and $500M+ free cash flow guidance for 2025, underpinning the 4.64% dividend yield. SWK's strong brand portfolio and scale position it to weather economic volatility and outperform peers, even amid construction and automotive sector softness.

ExxonMobil & Other Global Energy Giants Explore Partnership With ONGC — Positive
XOM Zacks Investment Research — May 22, 2025XOM emerges as the most probable candidate to partner with ONGC in the KG-DWN-98/2 deepwater block in the Krishna-Godavari Basin.

Is the Options Market Predicting a Spike in BALL Stock? — Neutral
BALL Zacks Investment Research — May 22, 2025Investors need to pay close attention to BALL stock based on the movements in the options market lately.

Baidu's Q1 Earnings & Revenues Top Estimates, Margins Down Y/Y — Positive
BIDU Zacks Investment Research — May 22, 2025BIDU stock declines post first-quarter 2025 earnings release. Baidu Core's performance was promising, but iQIYI was soft.

Inverse Sector ETFs to Gain as Yields Surge — Neutral
DRV REK SDP SRS Zacks Investment Research — May 22, 2025Investors may consider a short-term bearish play on rate-sensitive sectors, as these are likely to trade sluggishly if yields continue to rise.

Class Action Lawsuit Filed: Compass Group Diversified Holdings, LLC (CODI) - Join by July 8, 2025 - Contact Levi & Korsinsky — Neutral
CODI Accesswire — May 22, 2025NEW YORK, NY / ACCESS Newswire / May 22, 2025 / If you suffered a loss on your Compass Group Diversified Holdings, LLC (NYSE:CODI) investment and want to learn about a potential recovery under the federal securities laws, follow the link below for more information: https://zlk.com/pslra-1/compass-diversified-lawsuit-submission-form?prid=149798&wire=1&utm_campaign=8 or contact Joseph E. Levi, Esq.

Bronstein, Gewirtz & Grossman, LLC Encourages Schrödinger, Inc. (SDGR) Investors to Inquire about Securities Investigation — Neutral
SDGR Accesswire — May 22, 2025NEW YORK, NY / ACCESS Newswire / May 22, 2025 / Bronstein, Gewirtz & Grossman, LLC is investigating potential claims on behalf of purchasers of Schrödinger, Inc. ("Schrödinger" or "the Company") (NASDAQ:SDGR). Investors who purchased Schrödinger securities are encouraged to obtain additional information and assist the investigation by visiting the firm's site: bgandg.com/SDGR.

Securities Fraud Class Action Filed Against Open Lending Corporation (LPRO) - Levi & Korsinsky Reminds Investors of June 30, 2025 — Neutral
LPRO Accesswire — May 22, 2025NEW YORK, NY / ACCESS Newswire / May 22, 2025 / If you suffered a loss on your Open Lending Corporation (NASDAQ:LPRO) investment and want to learn about a potential recovery under the federal securities laws, follow the link below for more information: https://zlk.com/pslra-1/open-lending-corporation-lawsuit-submission-form?prid=149796&wire=1&utm_campaign=27 or contact Joseph E. Levi, Esq.

Class Action Lawsuit Alert: Levi & Korsinsky Reminds Ultra Clean Holdings, Inc. (UCTT) Investors of May 23, 2025 Deadline — Neutral
UCTT Accesswire — May 22, 2025NEW YORK, NY / ACCESS Newswire / May 22, 2025 / If you suffered a loss on your Ultra Clean Holdings, Inc. (NASDAQ:UCTT) investment and want to learn about a potential recovery under the federal securities laws, follow the link below for more information: https://zlk.com/pslra-1/ultra-clean-holdings-inc-lawsuit-submission-form?prid=149797&wire=1&utm_campaign=16 or contact Joseph E. Levi, Esq.

Williams-Sonoma offers a compelling long-term buying opportunity as shares dip below $150, trading at a discount to the market multiple. Q1 delivered a double beat: revenue was up 4.2% and EPS was ahead of estimates, with positive comparable sales across all segments. Margins compressed slightly, but supply chain improvements and occupancy leverage offset some headwinds; EPS still grew 8.8% year-over-year.

These Are the Only 6 Stock Stocks in NVIDIA's 13F Portfolio — Neutral
NVDA MarketBeat — May 22, 2025Many investors closely watch 13F filings from institutional money managers. While chip giant NVIDIA NASDAQ: NVDA isn't typically seen in that role, it must file as well, since it manages over $100 million in U.S.-traded securities.

Valaris emerges from bankruptcy with a cleaner balance sheet, high-tech rigs, and rising asset utilization, making it a top pick among offshore drillers. Strong Q1 2025 results: increased contract activity, higher day rates, robust free cash flow, and a growing $4.2B backlog signal operational momentum and future profitability. Valaris offers the best mix of growth and fair valuation in its sector, with improving earnings, justified multiples, and clear upside potential as offshore drilling rebounds.

Toll Brothers Announces Last Chance to Build a New Luxury Home at Laurel Pointe in Orlando, Florida — Neutral
TOL GlobeNewsWire — May 22, 2025Exclusive luxury community includes access to expansive amenities in sought-after Lake Nona Exclusive luxury community includes access to expansive amenities in sought-after Lake Nona

Is it Prudent to Hold Regency Centers Stock in Your Portfolio Now? — Positive
REG Zacks Investment Research — May 22, 2025REG to gain from premium portfolio of grocery-anchored shopping centers, strategic buyouts and a solid balance sheet. Growing e-commerce adoption is a concern.

Snowflake Breaks Out! Can It Drift Higher in 2025 and Beyond? — Neutral
SNOW MarketBeat — May 22, 2025Snowflake's NYSE: SNOW FQ1 2025 results and guidance update have laid to rest concerns raised by the sudden CEO change last year. The results reveal a game-changing shift, affirming the outlook for sustained 20%+ top-line growth over the long term, growth that will be coupled with widening margins.

Apple's Biggest Risk Isn't Competition--It's The Consumer — Negative
AAPL Seeking Alpha — May 22, 2025Apple Inc.'s core business model is vulnerable in a high-rate, low-confidence macro environment as its products are discretionary and heavily reliant on consumer financing. Despite record earnings and strong cash flow, cracks are emerging for AAPL: falling product margins, slowing hardware growth, and increased reliance on services and financial engineering. Rising interest rates, deteriorating consumer sentiment, and tariff risks threaten both demand and Apple's supply chain, especially with China's exposure and shifting global trade policies.

Transaction in Own Shares 22 May, 2025 • • • • • • • • • • • • • • • • Shell plc (the ‘Company') announces that on 22 May, 2025 it purchased the following number of Shares for cancellation. Aggregated information on Shares purchased according to trading venue: Date of purchase Number of Shares purchased Highest price paid Lowest price paid Volume weighted average price paid per share Venue Currency 22/05/2025 813,565 £24.6400 £24.2800 £24.4578 LSE GBP 22/05/2025 300,720 £24.6350 £24.2800 £24.4781 Chi-X (CXE) GBP 22/05/2025 145,715 £24.6400 £24.2950 £24.5239 BATS (BXE) GBP 22/05/2025 679,135 €29.3700 €29.0000 …

Apple will ultimately get AI right, says Maxim Group's Tom Forte — Positive
AAPL CNBC Television — May 22, 2025Tom Forte, Maxim Group senior consumer internet analyst, joins 'Money Movers' to discuss Apple following the news of OpenAi investing in former iPhone designers company.

Disney vs. Warner Bros. Discovery: Which Media Titan is a Stronger Pick? — Positive
DIS WBD Zacks Investment Research — May 22, 2025DIS beats WBD with 20% earnings growth, stronger streaming performance, and diversified revenue streams. Superior fundamentals favor DIS over debt-heavy WBD.

MRNA Stock Down on Withdrawal of FDA Filing for COVID-Flu Combo Shot — Neutral
MRNA Zacks Investment Research — May 22, 2025Moderna's voluntary withdrawal of the filing stems from the FDA's request for vaccine efficacy data from a phase III study on the experimental flu shot.
