Technical chart analysis on Cabot Oil & Gas Corporation (COG)

Adjust Comment Print

(NYSE:UPS) has risen 2.10% since December 6, 2016 and is uptrending. It has underperformed by 4.22% the S&P500.

The collective rating of 2.2 for Cabot Oil & Gas Corporation (NYSE:COG) also leans strongly towards the neutral end of the spectrum. The institutional investor purchased 42,776 shares of the oil and gas exploration company's stock, valued at approximately $1,144,000. The Viking Global Investors Lp holds 14.18 million shares with $355.54 million value, down from 17.48M last quarter. Cabot Oil & Gas's dividend payout ratio is now -62.50%. At the close of regular trading, its last week's stock price volatility was 1.6% which for the month reaches 3.25%. About 515,337 shares traded.

Cabot Oil & Gas Corporation (NYSE:COG) scores higher than Gastar Exploration Inc. It has underperformed by 15.45% the S&P500. Sentry Invests reported 42,800 shares. It tells an investor how quickly a company is increasing its revenues. Its down 0.85, from 2.15 in 2017Q1. 71 funds opened positions while 145 raised stakes. Encompass Capital Advisors Llc, a New York-based fund reported 1.34 million shares. Twin Capital Mngmt Inc owns 30,657 shares. First Washington Corporation owns 91,300 shares for 1.15% of their portfolio. Stelliam Investment Management Lp owns 10.52 million shares or 8.52% of their USA portfolio. Millennium Mgmt Limited Liability reported 0.14% in Cabot Oil & Gas Corporation (NYSE:COG). Sanders Cap Lc invested 4.37% in Cabot Oil & Gas Corporation (NYSE:COG). The shares went up by 1.1% in value last month. During the same quarter in the prior year, the business posted ($0.04) earnings per share. analysts anticipate that Cabot Oil & Gas Corporation will post 0.49 earnings per share for the current fiscal year. At the current valuation, this equates to a dividend yield of 0.71%.Stock's free cash flow yield, which represents the amount of cash available to investors before dividends, expressed as a percentage of the stock price, is -0.21.

The average 1-year price target for Cabot Oil & Gas Corporation (COG) - averaging the work of different analysts - reveals a mean PT of $31.55/share. Company's return on equity, which is really just the product of the company's profit margin, asset turnover, and financial leverage ratios, is -5.60%, which is worse than the Independent Oil & Gas industry average ROE. Tci Wealth Advisors has 820 shares for 0% of their portfolio. The original version of this news story can be read at Out of 9 Wall Street analysts rating Cabot Oil & Gas, 5 give it "Buy", 1 "Sell" rating, while 3 recommend "Hold". Therefore 69% are positive. The stock of Cabot Oil & Gas Corporation (NYSE:COG) earned "Buy" rating by KeyBanc Capital Markets on Wednesday, October 18. Comparatively, GST is expected to grow at a 4.00% annual rate. As per Friday, July 28, the company rating was maintained by Williams Capital Group. The company was downgraded on Tuesday, July 18 by Williams Capital Group. J P Morgan Chase & Co set a $37.00 target price on Cabot Oil & Gas and gave the company a "buy" rating in a research report on Monday, November 27th. As per Friday, September 23, the company rating was upgraded by Raymond James.

Among 6 analysts covering Adesto Technologies (NASDAQ:IOTS), 6 have Buy rating, 0 Sell and 0 Hold. The firm earned "Hold" rating on Thursday, September 3 by Zacks.

BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp Has $21.97 Million Position in Marsh & McLennan
They just need to take the company's market capitalization and divide it by the company's total sales over the past 12 months. The company's stock had a trading volume of 934,518 shares, compared to its average volume of 1,768,658. (NYSE: MMC ).

WARNING: "Cabot Oil & Gas (COG) Given Media Impact Rating of 0.10" was posted by TrueBlueTribune and is owned by of TrueBlueTribune. The stock now has an average rating of "Buy" and an average price target of $30.59.

Coldstream Capital Management Inc, which manages about $1.42 billion and $775.21 million US Long portfolio, decreased its stake in Ishares Tr (EFV) by 19,414 shares to 300,221 shares, valued at $15.52M in 2017Q2, according to the filing. It is negative, as 11 investors sold EVC shares while 32 reduced holdings. Sba Communications Corporation was reduced too.

Investors sentiment increased to 1.09 in 2017 Q2. Its up 0.34, from 0.87 in 2017Q1. Liberty Mutual Gp Asset Management reported 30,510 shares stake. The stock decreased 3.31% or $0.25 during the last trading session, reaching $7.3.

Whereas its latest closing price kept its distance from the SMA20 at -2.61% and 2.69% from SMA 50 while it was knocked up 12.56% from the simple moving average price of 200 days. (NYSE:UPS) for 64,589 shares. Making necessary changes to some holdings may help position investors for the next couple of quarters. COG has a beta of 0.52 and GST's beta is 3.44. Falcon Point Ltd Liability reported 242,540 shares or 0.22% of all its holdings. Monarch Prtn Asset Management Limited Liability holds 67,780 shares or 0.04% of its portfolio. Blair William & Il holds 0.32% or 385,326 shares in its portfolio. Co. increased its stake in Cabot Oil & Gas by 11.1% in the third quarter. Employees Retirement Of Texas accumulated 25,000 shares.