More interesting news about T-Mobile US, Inc. It has outperformed by 45.93% the S&P500.
Mbt Financial Corporation (NASDAQ:MBTF) had an increase of 3.76% in short interest. Arizona State Retirement accumulated 22,931 shares. With 706,200 avg volume, 16 days are for Rollins Incorporated (NYSE:ROL)'s short sellers to cover ROL's short positions. About 670,007 shares traded. It has outperformed by 14.18% the S&P500.
Investors sentiment increased to 1.36 in Q2 2017. The company has a debt-to-equity ratio of 1.50, a current ratio of 0.92 and a quick ratio of 0.80. It improved, as 58 investors sold T-Mobile US, Inc. shares while 140 reduced holdings. 82 funds opened positions while 187 raised stakes. The Wireless communications provider reported $0.63 earnings per share (EPS) for the quarter, beating analysts' consensus estimates of $0.46 by $0.17. Cwm Ltd has invested 0% of its portfolio in T-Mobile US, Inc. (NASDAQ:TMUS). Tig Advsrs Lc has 151,900 shares for 0.55% of their portfolio. Acadian Asset Management Lc holds 0% or 1,875 shares in its portfolio. The First Wilshire Securities Management Inc holds 182,454 shares with $11.96M value, down from 188,914 last quarter.
T-Mobile US, Inc., together with its subsidiaries, provides mobile communications services in the United States, Puerto Rico, and the U.S. The company has market cap of $50.44 billion.
T-Mobile US, Inc. (NASDAQ:TMUS) slipped over -0.28% at $60.9. Gamco Investors Et Al owns 497,430 shares for 0.19% of their portfolio. Rhumbline Advisers invested in 320,320 shares. S Muoio Llc holds 7,988 shares or 0.23% of its portfolio. Swiss National Bank reported 0.08% stake. Us Bancorporation De owns 10,445 shares for 0% of their portfolio. Pinnacle Finance Prtnrs Inc, Tennessee-based fund reported 4,735 shares. Paulson & CO. Inc. raised its stake in T-Mobile US by 46.1% in the 2nd quarter. (NASDAQ:TMUS) or 36,516 shares. They expect $0.31 EPS, down 31.11% or $0.14 from last year's $0.45 per share. TMUS's profit will be $257.91M for 49.75 P/E if the $0.31 EPS becomes a reality.
Stock under Radar: GNC Holdings Inc (GNC)
It is negative, as 84 investors sold CVS shares while 559 reduced holdings. 43 funds opened positions while 127 raised stakes. Baird reissued a "hold" rating and issued a $10.00 price objective on shares of GNC in a report on Sunday, September 17th.
Price-to-free-cash-flow (P/FCF) of 18.56 gives an overview of the equity valuation for T-Mobile US, Inc.
Ivory Investment Management Lp decreased T Mobile Us Inc (TMUS) stake by 82.99% reported in 2017Q2 SEC filing. Therefore 77% are positive. T-Mobile US had 15 analyst reports since August 3, 2015 according to SRatingsIntel. The stock has "Buy" rating by Jefferies on Tuesday, August 1. T-Mobile US has a 52-week low of $54.52 and a 52-week high of $68.88. (NASDAQ:TMUS) has "Buy" rating given on Monday, November 27 by Moffett Nathanson. Cowen & Co has "Buy" rating and $7000 target. (NASDAQ:TMUS) on Monday, July 17 with "Hold" rating. Deutsche Bank has "Hold" rating and $70 target.
The issue of control was one of several deal-breakers in the T-Mobile-Sprint talks and the buyback would strengthen Deutsche Telekom's hand in any future merger talks. On Friday, June 24 the stock rating was downgraded by Nomura to "Neutral". The rating has been disclosed in an analyst note on Wednesday morning. Finally, HSBC Holdings plc cut shares of China Mobile from a "buy" rating to a "hold" rating in a research report on Thursday, March 23rd. (NASDAQ:TMUS) rating on Friday, July 14. (NASDAQ:TMUS) for 99,231 shares. Snap Inc was reduced too. T-Mobile US, Inc. (NYSE:TMUS) has risen 62.63% since December 5, 2016 and is uptrending. As per Thursday, August 10, the company rating was maintained by Oppenheimer. The rating was maintained by UBS with "Buy" on Monday, November 6. The firm has "Sector Perform" rating by RBC Capital Markets given on Friday, August 14. The firm has "Buy" rating by Sidoti given on Tuesday, January 12. Macquarie Research initiated the shares of TMUS in report on Tuesday, April 5 with "Neutral" rating. The company has market cap of $250.52 million. The Company's pest control services include protection against termite damage, rodents, and insects to homes and businesses, including hotels, food service establishments, food manufacturers, retailers, and transportation companies.
It is common practice for investors to use the price-to-earnings ratio (P/E ratio or price multiple) to determine if a company's stock price is over or undervalued. The Ivory Investment Management Lp holds 139,125 shares with $8.43 million value, down from 817,740 last quarter.
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