The clearest coverage concentration is earnings: 2 of 3 stories, with the rest divided among 1 other category. AT&T is the most frequent co-covered peer, appearing in 1 of the 3 tracked stories. Their average consequence score of 5.3 runs below the beat's 6.3 for that window.
Figures are computed live from our source-verified story record
— see our methodology for how impact and
sentiment are derived.
What the coverage shows about Acacia Research
The clearest coverage concentration is earnings: 2 of 3 stories, with the rest divided among 1 other category. AT&T is the most frequent co-covered peer, appearing in 1 of the 3 tracked stories. Their average consequence score of 5.3 runs below the beat's 6.3 for that window. That works out to roughly 0.1 stories per week across a 158-day span. They are less corroborated than the beat average, carrying 2.3 original sources each against 2.8 for the same window. This profile follows 3 Finance stories mentioning Acacia Research across the period from March 10, 2026 to August 14, 2026.
Stories tracked
3
Per week
0.1
Sources per story
2.3
Computed from the 3 stories linked to this entity, with beat comparisons drawn from all 2814 Finance stories published in the same date window. Shares are omitted below five stories and comparisons below a twenty-story baseline.
Coverage cohort
Appears alongside
Other entities that clear the same relevance threshold in stories also covering Acacia Research. Shared-story counts are live from our verified record — not editorial picks.
Q2 2026 earnings show Acacia Research's record $114.6M IP-settlement revenue countered by a Life Sciences write-down, while Dutch Bros grew 32.5%. Datadog, MP Materials, and Maravai add cloud, rare-earth, and biotech signals for investors.
Ericsson and Acacia Research have both breached their 200-day moving averages, signaling a potential long-term trend reversal. This technical shift is supported by Ericsson's 5G infrastructure wins and Acacia's aggressive cost-optimization strategies.
Acacia Research and Target Hospitality are preparing to release their Q4 2025 financial results, highlighting a critical period for their strategic partnership. Investors are focused on Acacia's capital allocation strategy and Target Hospitality's contract stability within the government and energy sectors.