Historical pool News Stories

PoolCorp CEO Change, Buybacks & Dividend Boost Now

PoolCorp announced a leadership transition, a $600M share-repurchase expansion and a quarterly dividend increase to $1.30, backed by fresh institutional buying—moves that reinforce shareholder returns and stable guidance for POOL stock.

POOL Stock Slides After Steadfast Capital Exit Now

Pool Corporation (POOL) faced intensified selling pressure this week after Steadfast Capital fully liquidated its stake. Combined with fresh industry data showing weak new-pool builds, elevated inventories, and mixed margin signals, the S&P 500 constituent is trading well below key moving averages despite recurring maintenance revenue and a steady dividend. This article summarizes the concrete events, their implications for POOL stock, and what investors should monitor next.

POOL Stock: Q1 Results Set to Drive April 23 Shift

Pool Corporation (POOL) will report Q1 2026 results before trading on April 23, creating a key catalyst for the stock. Mixed analyst targets, recent insider purchases, and guidance risk make the earnings release a pivotal event for investor positioning.

POOL Corp Drops After Q4 Miss; Weak 2026 Guide Hit

Pool Corporation shares plunged after a Q4 earnings miss and conservative 2026 guidance. Despite steady revenue and $341M buybacks, higher inventory and rising debt spooked investors. Analysts are split between cautious holds and selective buys as the company leans on recurring maintenance sales and shareholder returns.

POOL Stock Gains: Expo, Earnings, Analyst Upside!!

Pool Corporation (POOL) showed mid-week strength amid elevated volume and analyst optimism. Upcoming Everything Under The Sun Expo and near-term earnings are primary catalysts for the stock.

POOL Stock Eyes Feb 19 Earnings: Volatility Ahead!

Pool Corporation (POOL) has scheduled its Q4 and full-year 2025 results for February 19. Recent weekly trading showed sharp daily swings and elevated volumes as investors position ahead of the report—setting the stage for notable post-earnings volatility.