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RENO, Nev.--(BUSINESS WIRE)--July 23, 2025--
U-Haul Holding Company (, UHAL.B), the parent company of U-Haul International, Inc., Oxford Life Insurance Company, Repwest Insurance Company and Amerco Real Estate Company, plans to report its first quarter fiscal 2026 financial results after the close of market trading on Wednesday, August 6, 2025. The Company is scheduled to conduct its first quarter investor conference call and webcast at 8 a.m. Arizona Time (11 a.m. ET) on Thursday, August 7, 2025.
Listen via the internet: https://events.q4inc.com/attendee/391944427
The conference call and webcast may include forward-looking statements. If you are unable to participate during the live webcast, the call will be archived for one year at investors.uhaul.com.
About U-Haul Holding Company
U-Haul Holding Company is the parent company of U-Haul International, Inc., Oxford Life Insurance Company, Repwest Insurance Company and Amerco Real Estate Company. U-Haul is in the shared use business and was founded on the fundamental philosophy that the division of use and specialization of ownership is good for both U-Haul customers and the environment.
About U-Haul
Since 1945, U-Haul has been the No. 1 choice of do-it-yourself movers, with a network of more than 24,000 locations across all 50 states and 10 Canadian provinces. U-Haul Truck Share 24/7 offers secure access to U-Haul trucks every hour of every day through the customer dispatch option on their smartphones and our patented Live Verify technology. Our customers' patronage has enabled the U-Haul fleet to grow to approximately 192,100 trucks, 137,500 trailers and 39,700 towing devices. U-Haul is the third largest self-storage operator in North America and offers 1,079,000 rentable storage units and 93.7 million square feet of self-storage space at owned and managed facilities. U-Haul is the largest retailer of propane in the U.S., and continues to be the largest installer of permanent trailer hitches in the automotive aftermarket industry. U-Haul has been recognized repeatedly as a leading "Best for Vets" employer and was recently named one of the 15 Healthiest Workplaces in America.
View source version on businesswire.com: https://www.businesswire.com/news/home/20250723761901/en/
CONTACT: Sebastien Reyes
Director of Investor Relations
U-Haul Holding Company
(602) 263-6601
sebastien_reyes@uhaul.com
Low-volatility stocks may offer stability, but that often comes at the cost of slower growth and the upside potential of more dynamic companies.
Choosing the wrong investments can cause you to fall behind, which is why we started StockStory - to separate the winners from the losers. Keeping that in mind, here are three low-volatility stocks that don’t make the cut and some better opportunities instead.
Etsy (ETSY)
Rolling One-Year Beta: 0.50
Founded by a struggling amateur furniture maker Robert Kalin and his two friends, Etsy is one of the world’s largest online marketplaces, focusing on handmade or vintage items.
Why Are We Hesitant About ETSY?
Etsy’s stock price of $57.70 implies a valuation ratio of 8.2x forward EV/EBITDA. To fully understand why you should be careful with ETSY, check out our full research report (it’s free).
Brady (BRC)
Rolling One-Year Beta: 0.55
Founded in 1914 and evolving through more than a century of industrial innovation, Brady manufactures and supplies identification solutions and workplace safety products that help companies identify and protect their premises, products, and people.
Why Do We Think Twice About BRC?
Brady is trading at $69.01 per share, or 14x forward P/E. Read our free research report to see why you should think twice about including BRC in your portfolio.
U-Haul (UHAL)
Rolling One-Year Beta: 0.65
Founded by a husband and wife duo, U-Haul is a provider of rental trucks and storage facilities.
Why Do We Pass on UHAL?
At $61.91 per share, U-Haul trades at 2.1x trailing 12-month price-to-sales. If you’re considering UHAL for your portfolio, see our FREE research report to learn more.
Stocks We Like More
Donald Trump’s victory in the 2024 U.S. Presidential Election sent major indices to all-time highs, but stocks have retraced as investors debate the health of the economy and the potential impact of tariffs.
While this leaves much uncertainty around 2025, a few companies are poised for long-term gains regardless of the political or macroeconomic climate, like our Top 5 Growth Stocks for this month. This is a curated list of our High Quality stocks that have generated a market-beating return of 183% over the last five years (as of March 31st 2025).
Stocks that made our list in 2020 include now familiar names such as Nvidia (+1,545% between March 2020 and March 2025) as well as under-the-radar businesses like the once-small-cap company Exlservice (+354% five-year return).
StockStory is growing and hiring equity analyst and marketing roles. Are you a 0 to 1 builder passionate about the markets and AI? See the open roles here.
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