3M Co (MMM)
172.30
+7.22 (4.37%)
NYSE · Last Trade: Feb 6th, 3:59 PM EST
The geopolitical landscape was rocked in early 2026 by the so-called "Greenland Episode," a diplomatic and economic confrontation that has pushed the relationship between the United States and the European Union to its lowest point in decades. What began as a renewed U.S. strategic interest in the Arctic territory
Via MarketMinute · February 6, 2026
Doximity's stock is sinking on conservative guidance, but its long-term investment thesis remains intact.
Via The Motley Fool · February 6, 2026
A 6% dividend hike shows management's confidence going forward.
Via The Motley Fool · February 5, 2026
Find out what’s on the desk of our top chart expert ahead of Friday’s livestream, including a new red flag on Google stock, a big breakout in BALL, and key ETF updates.
Via Barchart.com · February 5, 2026
Symbotic's big growth moves of 2025 should propel the company to new highs.
Via The Motley Fool · February 5, 2026
Wegovy might be getting more competition soon.
Via The Motley Fool · February 5, 2026
Data centers need power management and cooling solutions, and this company makes it possible.
Via The Motley Fool · February 5, 2026
The U.S. manufacturing sector hasn't definitively started recovering yet, but there are some positive signs from this company's earnings today.
Via The Motley Fool · February 4, 2026
Here's Why Advance Auto Parts Accelerated Higher Todayfool.com
This deep value stock's restructuring plans are attracting favor among investors.
Via The Motley Fool · February 3, 2026
Fluor's construction business is more reliable than it was before, but it's still cyclical.
Via The Motley Fool · February 3, 2026
UPS' dividend looks safe for now, but paying it may be hampering the company's growth plans.
Via The Motley Fool · February 2, 2026
If the gold rally persists, another 100% gain for this mining stock is well within the realm of possibility.
Via The Motley Fool · February 2, 2026
Although 3M Company has lagged behind the broader market over the past 52 weeks, Wall Street analysts maintain a moderately optimistic outlook about the stock’s prospects.
Via Barchart.com · February 2, 2026
Rising free cash flow, a 4% dividend, and a new $10 billion share buyback program have investors hitting the buy button.
Via The Motley Fool · February 1, 2026
This company will help lead the charge toward America's bright nuclear future.
Via The Motley Fool · February 1, 2026
McDonald's stock has always had plenty of doubters.
Via The Motley Fool · February 1, 2026
These Vanguard funds won't necessarily keep you from losing money if the market crashes. But they can help cushion the blow.
Via The Motley Fool · February 1, 2026
Constellation Energy is well positioned to benefit from the rapid growth in the number of data centers coming online.
Via The Motley Fool · January 31, 2026
If you're seeking exposure to the nuclear energy buildout without investing in uranium miners, this construction company is worth a look.
Via The Motley Fool · January 31, 2026
Valued on earnings, SSR Mining stock looks like a buy. The cash flow picture is less clear.
Via The Motley Fool · January 30, 2026
A "hidden gem" in its investment portfolio helped save the company from having an even worse year.
Via The Motley Fool · January 28, 2026
The ARK 21Shares Bitcoin ETF makes it easy to access that digital currency, but investors should evaluate the fund's pros and cons.
Via The Motley Fool · January 28, 2026
Even if they go mostly unnoticed, industrial businesses are the backbone of our country. But their prominence also brings high exposure to the ups and downs of economic cycles.
Luckily, the tide is turning in their favor as the industry’s 17.2% return over the past six months has topped the S&P 500 by 8.4 percentage points.
Via StockStory · January 27, 2026
Now that artificial intelligence platforms are proven and refined, the world needs a way of making it readily accessible to all prospective users.
Via The Motley Fool · January 27, 2026
3M's fourth quarter was marked by a challenging market reaction, as shares fell following its report despite exceeding Wall Street’s revenue and adjusted EPS expectations. Management attributed the quarter’s performance to strong execution in industrial, electronics, and safety segments, which offset ongoing weakness in consumer markets and roofing granules. CEO Bill Brown pointed to commercial excellence initiatives and a significant uptick in new product launches as key drivers. However, he also acknowledged persistent softness in consumer demand and noted that promotional activity and discounts pressured margins, describing the environment as “relatively soft” for several end markets.
Via StockStory · January 27, 2026