This Week's Lows
| Ticker | Company | Business | Price | Mkt Cap | From High | 1M | 3M | Why It's Here | Index |
|---|---|---|---|---|---|---|---|---|---|
| LNZA | Lanzatech Global Inc | Carbon recycling technology | $6.16 | 81M | -91% | -75% | -34% | Steep discounted $20M equity offering in May raised going-concern fears; stock lost 43% on dilution shock despite Q1 cost cuts of 59%. | |
| NIPG | NIP Group Inc | Esports and digital entertainment | $0.41 | 82M | -85% | -39% | -51% | Esports holding company continues to burn cash amid declining tournament revenues and weak Chinese gaming advertising market. | |
| SJT | San Juan Basin Royalty Trust | Natural gas royalty trust | $3.86 | 180M | -45% | -10% | -25% | Natural gas royalty trust dragged lower by soft Henry Hub spot prices and declining production volumes from aging San Juan Basin wells. | |
| SITC | Site Centers Corp | Open air shopping center REIT | $5.05 | 265M | -61% | -8% | -20% | Open-air retail REIT hit by elevated vacancy in mid-market shopping centers as tenants rationalize footprints amid softer consumer spending. | |
| OPTU | Optimum Communications Inc | Telecommunications services | $0.66 | 288M | -69% | -58% | -57% | Telecom services firm under sustained pressure as customer churn accelerates and debt refinancing concerns weigh on the stock. | |
| KWY | Kingsway Corp | Insurance and rail holding | $9.99 | 289M | -11% | -7% | -15% | Insurance and rail holding company saw shares drift to lows as warranty segment faces margin compression from elevated claims. | |
| AUNA | Auna SA | Latin American healthcare services | $4.15 | 307M | -39% | -18% | -18% | Latin American hospital operator pressured by Brazilian real depreciation and rising interest costs on local-currency debt. | |
| ERII | Energy Recovery Inc | Fluid pressure exchanger manufacturing | $8.17 | 421M | -55% | -26% | -24% | Pressure exchanger maker fell on slowing desalination project awards and weaker-than-expected Middle East capex budgets. | |
| GTN.A | Gray Media Inc Class A | Television broadcasting | $6.86 | 445M | -55% | -36% | -34% | TV broadcaster hit hard by cord-cutting and weak political ad spending in an off-cycle year; leverage concerns persist. | |
| YALA | Yalla Group Ltd - ADR | Middle East social networking | $5.84 | 887M | -37% | -13% | -16% | Middle East social platform faces monetization headwinds as advertising spending in MENA region softens amid macro uncertainty. | |
| BRBR | Bellring Brands Inc | Protein snacks and nutrition products | $8.36 | 972M | -87% | -53% | -52% | Q2 earnings collapsed 74% as Premier Protein faced retailer inventory destocking, elevated freight costs, and deep promotional spending; EBITDA guidance cut 25%. | |
| UVV | Universal Corp | Leaf tobacco merchant | $51.87 | 1.3B | -23% | -3% | -3% | Global leaf tobacco merchant faces ongoing volume pressure as cigarette manufacturers accelerate shifts toward reduced-risk products. | |
| KMPR | Kemper Corp | Property casualty and life insurance | $24.67 | 1.5B | -62% | -27% | -24% | Q1 net loss driven by elevated California personal auto loss costs and Florida premium refunds; new CEO Stephen McAnena appointed May 27. | |
| WB | Weibo Corp | Chinese social media | $7.86 | 1.9B | -39% | -7% | -19% | Chinese social media platform under pressure from weak domestic ad market, intensifying competition from Douyin, and ongoing regulatory scrutiny. | |
| WIX | Wix.Com Ltd | Website building software | $56.06 | 2.3B | -71% | -25% | -33% | Q1 EPS of $0.68 missed consensus of $1.22 by 44%; $1.6B Dutch auction share buyback boosted dilution concerns; stock hit 52-week low on May 13. | |
| PLMR | Palomar Holdings Inc | Specialty property and casualty insurance | $107.04 | 2.8B | -39% | -11% | -14% | Specialty insurer weighed down by catastrophic loss exposure concerns as California wildfire season outlook deteriorates. | |
| AGO | Assured Guaranty Ltd. | Municipal bond insurance | $74.21 | 3.3B | -20% | -9% | -15% | Q1 2026 adjusted EPS dropped 21% year-over-year as net premiums earned missed estimates; Roth MKM downgraded to Neutral post-earnings. | |
| LOPE | Grand Canyon Education Inc | Online higher education services | $149.85 | 4B | -33% | -11% | -8% | Online education services provider pressured by enrollment headwinds and regulatory uncertainty around for-profit education sector. | |
| PHI | PLDT Inc ADR | Telecommunications services | $18.19 | 4.1B | -26% | -10% | -21% | Philippine telecom giant facing margin pressure from elevated capex in 5G rollout and peso depreciation weighing on ADR holders. | |
| MKTX | Marketaxess Holdings Inc | Electronic fixed income trading | $130.04 | 4.6B | -43% | -17% | -31% | Bond trading platform saw April ADV fall 28% year-over-year on lower volatility and tighter credit spreads; multiple analysts cut price targets. | |
| SITE | SiteOne Landscape Supply Inc | Landscape supplies distribution | $108.60 | 4.8B | -36% | -14% | -22% | Landscape supply distributor pressured by soft residential construction demand and elevated inventory levels as contractor budgets tighten. | |
| CAG | Conagra Brands Inc | Packaged food manufacturing | $13.28 | 6.4B | -42% | -7% | -30% | Shares at 30-year lows after missed earnings and guidance cuts; BofA lowered target to $13 citing declining sales and margin pressure; new CEO named for June 2026. | S&P |
| TAP | Molson Coors Beverage Co | Beer brewing | $39.53 | 7B | -28% | -8% | -16% | Beer volumes under sustained pressure from the ongoing shift toward spirits and seltzers; craft beer competition intensifies in core US markets. | S&P |
| NFG | National Fuel Gas Co | Natural gas utility and producer | $77.25 | 7.3B | -20% | -8% | -17% | Integrated gas utility drifted lower amid soft natural gas prices and investor rotation away from yield-oriented utility names. | |
| ACI | Albertsons Companies Inc | Grocery store and pharmacy | $15.61 | 7.9B | -31% | -7% | -9% | Grocery chain hit new 52-week lows as Q4 revenue of $20.25B missed estimates; Morgan Stanley maintains Underweight with $14 price target. | |
| UHS | Universal Health Services Inc | Hospital and healthcare facilities | $146.11 | 8.8B | -41% | -13% | -28% | Hospital operator weighed down by policy risk around Medicaid supplemental payment cuts and exchange patient volume declines in Q1. | S&P |
| CNA | CNA Financial Corp | Property and casualty insurance | $42.06 | 11.4B | -17% | -13% | -14% | P&C insurer shares drifted to lows as investors weigh catastrophe exposure growth and competitive pricing headwinds in commercial lines. | |
| CSAN | Cosan SA - ADR | Energy and logistics holding | $3.00 | 15.1B | -52% | -26% | -35% | Brazilian conglomerate pressured by high debt load, Brazilian real weakness, and Compass secondary offering that trimmed Cosan's stake. | |
| LI | Li Auto Inc | Electric vehicle manufacturing | $15.01 | 16B | -53% | -16% | -13% | Chinese EV maker hit by intensifying price war from BYD and NIO; domestic EV market growth slowing as subsidy pull-forward effects fade. | |
| GFL | GFL Environmental Inc | Waste management services | $33.54 | 16.7B | -35% | -16% | -25% | Waste management firm slid despite raising 2026 EBITDA guidance; high leverage and multiple analyst price target cuts weigh on sentiment. | |
| ROL | Rollins Inc | Pest control services | $47.60 | 22.9B | -28% | -15% | -18% | CFO Kenneth Krause resigned effective June 15; Rollins named CAO William Harkins as replacement — leadership transition uncertainty weighed on shares. | S&P |
| WRB | W. R. Berkley Corp | Commercial property casualty insurance | $63.54 | 23.7B | -20% | -5% | -10% | Commercial lines insurer pressured by elevated catastrophe loss estimates and investor concern over competition-driven rate softening. | S&P |
| RMD | Resmed Inc | Sleep apnea medical devices | $190.57 | 27.6B | -35% | -11% | -26% | GLP-1 drug competition concerns persist despite Q3 beat; CFO retirement announced with Aaron Bloomer stepping in; stock remains 35% below 52-week high. | S&P |
| AZO | AutoZone Inc | Automotive parts retail | $2935.19 | 49.1B | -33% | -21% | -21% | Q3 revenue of $4.84B missed estimates; stock fell 9% — worst session since 2022 — on slowing international growth and margin compression concerns. | S&PNDX |
| SUZ | Suzano SA ADR | Pulp and paper production | $8.18 | 53B | -29% | -8% | -24% | Brazilian pulp giant under pressure from softer global paper pulp prices and currency headwinds as Brazilian real weakens versus the dollar. | |
| BSX | Boston Scientific Corp | Medical devices manufacturing | $48.31 | 71.8B | -56% | -16% | -33% | CEO flagged Watchman cardiac implant demand flatlining at Bernstein conference May 27; stock fell 10% to 52-week low as EP franchise growth concerns mount. | S&P |
| ORLY | O'Reilly Automotive Inc | Automotive parts retail | $86.88 | 72B | -20% | -13% | -8% | Auto parts retailer fell alongside AZO on sector-wide concerns about slowing same-store-sales and margin compression in automotive aftermarket. | S&PNDX |
| MRSH | Marsh & McLennan Companies Inc | Insurance brokerage and risk advisory | $159.97 | 76.9B | -17% | -5% | -13% | Insurance brokerage at 52-week low as analysts project earnings growth deceleration; multiple price target reductions across Street in May 2026. | S&P |
| MDT | Medtronic PLC | Medical devices manufacturing | $73.81 | 94.8B | -31% | -9% | -23% | EPS guidance cut on $157M MiniMed charge and IPO dilution; analysts cut targets at Jefferies, Truist, Mizuho; stock hit fresh 52-week low ahead of June 3 Q4 earnings. | S&P |
| PGR | Progressive Corp | Auto and property insurance | $190.40 | 111.1B | -34% | -5% | -10% | Auto insurer at multi-year lows on sustained premium growth deceleration; analysts forecast 22% EPS drop in upcoming quarter amid rising competition. | S&P |