Raiff Partners Inc sold 105,000 shares as the company's stock declined 6.68% while stock markets rallied. Credit Agricole S A, France-based fund reported 1.47M shares. The company has market cap of $366.27 million. It is down 0.00% since December 4, 2016 and is. It has underperformed by 41.10% the S&P500. Robert W. Baird reissued a "hold" rating and issued a $10.00 price objective on shares of GNC in a report on Sunday, September 17th. Therefore 18% are positive. If the $4.89 price target is reached, the company will be worth $29.30M less. The stock was sold at an average price of $9.28, for a total transaction of $599,070.40. GNC has been the subject of several analyst reports. The firm has "Buy" rating given on Wednesday, April 6 by Goldman Sachs. Barclays cut their price objective on GNC from $9.00 to $6.00 and set an "underweight" rating on the stock in a report on Friday, October 27th. (NYSE:GNC). Winslow Evans Crocker holds 525 shares. The rating was maintained by Barclays Capital with "Overweight" on Monday, November 2. As per Friday, October 30, the company rating was upgraded by Stephens.
For the second time in less than two years, GNC Holdings is reviewing its alternatives. Also, CEO Kenneth Martindale sold 64,555 shares of GNC stock in a transaction dated Thursday, September 14th. As per Tuesday, December 13, the company rating was downgraded by Barclays Capital. Robert W. Baird maintained GNC Holdings, Inc.
Shares of GNC Holdings Inc (NYSE:GNC) has a market capitalization of $404.52 Million and its number of outstanding shares are 75.05 Million. During the same quarter in the previous year, the firm earned $0.59 earnings per share. GNC's profit will be $14.49 million for 6.23 P/E if the $0.21 EPS becomes a reality. The specialty retailer reported $0.32 earnings per share (EPS) for the quarter, missing analysts' consensus estimates of $0.33 by ($0.01). GNC Holdings had a negative net margin of 15.11% and a negative return on equity of 133.37%. Wedbush maintained GNC Holdings, Inc. GNC Holdings has a 52-week low of $5.61 and a 52-week high of $15.50.
Investors sentiment decreased to 0.92 in 2017 Q2. GNC's revenue for the quarter was down 2.9% compared to the same quarter last year. research analysts forecast that GNC will post 1.28 EPS for the current fiscal year. It turned negative, as 39 investors sold GNC shares while 42 reduced holdings.
Hedge funds and other institutional investors have recently made changes to their positions in the business. Moreover, United Capital Financial Advisers Limited Liability has 0.01% invested in GNC Holdings, Inc.
NextEra Energy Partners (NYSE:NEP) Sentiment Up in Q2 2017
The utilities provider reported $1.85 earnings per share (EPS) for the quarter, beating the consensus estimate of $1.77 by $0.08. It has underperformed by 36.61% the S&P500. (PEP) by 21.33% based on its latest 2017Q2 regulatory filing with the SEC.
GNC Holdings Inc (NYSE:GNC) 52-week high price stands at $14.64 and low price stands at $5.03, its price distance from 52-week high is -63.66% while its distance from 52-week low price is 5.77%. First Republic reported 0% in GNC Holdings, Inc. Sterneck Cap Mngmt Limited Liability Co reported 170,220 shares stake. Following the transaction, the director now owns 47,337 shares in the company, valued at $325,205.19.
GNC Holdings Inc.'s average Book Value per Share Growth Rate was -106.9 percent during the past 12 months. (NYSE:GNC) on Friday, October 27 with "Underweight" rating. 2,988 are held by Zurcher Kantonalbank (Zurich Cantonalbank).
GNC Holdings Inc (NYSE:GNC) has average revenue estimates of $560.63 Million, compared to low analyst estimates of $544.9 Million and high estimates of $580.83 Million for the current quarter. WFG Advisors LP now owns 14,773 shares of the specialty retailer's stock valued at $125,000 after purchasing an additional 1,715 shares during the last quarter. Sg Americas Securities Limited Liability Co owns 90,280 shares. Art Advisors Ltd accumulated 129,048 shares. 803.96 million shares or 0.96% less from 811.73 million shares in 2017Q1 were reported. It is negative, as 84 investors sold CVS shares while 559 reduced holdings. 43 funds opened positions while 127 raised stakes. If the $4.81 PT is reached, the company will be worth $28.87 million less. During the same quarter in the prior year, the firm earned $0.59 EPS. Dupont Corp holds 0.02% or 98,454 shares in its portfolio. Schroder Investment Mngmt Group invested in 234,486 shares or 0% of the stock. Reaves W H & Company Inc sold 77,900 shares as Union Pac Corp Com (UNP)'s stock declined 2.52%. Tower Research Capital Llc (Trc) stated it has 297 shares or 0% of all its holdings. CVS Health had 53 analyst reports since July 22, 2015 according to SRatingsIntel. Oakbrook Investments Ltd Llc invested 0.03% in CVS Health Corporation (NYSE:CVS). Macquarie Gp owns 56,000 shares. Next Fin Grp holds 100 shares or 0% of its portfolio. Seabridge Advsrs Ltd Liability Corporation holds 0.87% or 221,195 shares. 10,489 were accumulated by Fdx Advsr.
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