Cabot Oil & Gas Corp.is independent oil and Gas Company engaged in the exploration, development, acquisition and exploitation of oil and gas properties located in four areas of the United States: the onshore Texas and Louisiana Gulf Coast; the Rocky Mountains; Appalachia; and the Mid-Continent or Anadarko Basin.
The stock increased 1.47% or $0.41 during the last trading session, reaching $28.37. About 118,691 shares traded or 44.49% up from the average.
Cabot Oil & Gas Corporation (COG) reported its last quarterly earnings on 9/29/2017 where the firm reported its Actual EPS of $0.07/share against the analyst consensus estimate of $0.07/share. It has underperformed by 15.45% the S&P500.
Timpani Capital Management Llc increased Mercury Systems Inc (MRCY) stake by 64.34% reported in 2017Q3 SEC filing. Shell Asset Management Co. now owns 125,242 shares of the oil and gas exploration company's stock valued at $4,094,000 after acquiring an additional 96,023 shares during the last quarter. The institutional investor held 483,000 shares of the real estate investment trusts company at the end of 2017Q3, valued at $5.89 million, down from 791,000 at the end of the previous reported quarter. Prince Street Capital Management Llc who had been investing in Ambarella Inc for a number of months, seems to be bullish on the $1.80B market cap company. The stock increased 0.27% or $0.14 during the last trading session, reaching $51.46. At one point in the past year, the shares traded as low as $20.55 but has recovered 36.06% since then. (NYSE:NLY) has risen 6.73% since January 12, 2017 and is uptrending. It has outperformed by 75.04% the S&P500.
Since January 1, 0001, it had 0 insider buys, and 1 insider sale for $319,283 activity.
Investors sentiment decreased to 1.07 in 2017 Q3.
The Company now has ROA (Return on Assets) of 5.3 percent, Return on Equity (ROE) of 23.8 Percent and Return on Investment (ROI) of 13.4% with Gross margin of 79.4 percent and Operating & Profit margin of 47.9% and 22.9% respectively. It fall, as 39 investors sold COG shares while 160 reduced holdings. The hedge funds in our partner's database now possess: 435.56 million shares, down from 440.03 million shares in 2017Q2. The stock of Cabot Oil & Gas Corporation (NYSE:COG) has "Buy" rating given on Wednesday, September 28 by GMP Securities. Ww Asset Mgmt holds 43,825 shares. Castleark Management invested 0.12% in Cabot Oil & Gas Corporation (NYSE:COG). Cabot Oil & Gas had a negative net margin of 8.80% and a positive return on equity of 6.63%. Barclays Capital downgraded it to "Underweight" rating and $11 target in Monday, January 11 report.
In related news, Director Robert Kelley purchased 2,000 shares of the business's stock in a transaction on Tuesday, October 31st. Johnson Rice raised Cabot Oil & Gas from an "accumulate" rating to a "buy" rating in a report on Monday, October 30th. Shufro Rose Ltd reported 1.82% stake. Hitchwood Ltd Partnership has 800,000 shares. Dalton Greiner Hartman Maher & Co. increased its holdings in Cabot Oil & Gas by 17.2% during the 4th quarter. Marble Harbor Inv Counsel Ltd Co reported 3,698 shares.
The collective rating of 2.3 for Cabot Oil & Gas Corporation (NYSE:COG) also leans strongly towards the neutral end of the spectrum. Therefore 67% are positive. Scotiabank set a $32.00 price objective on Cabot Oil & Gas and gave the company a buy rating in a research report on Saturday, October 21st. King Luther Capital Management stated it has 1.2% in Cabot Oil & Gas Corporation (NYSE:COG).
Several equities research analysts recently commented on the company. $30.39's average target is 7.01% above currents $28.4 stock price. Out of 33 Wall Street analysts rating Cabot Oil & Gas, 22 give it "Buy", 1 "Sell" rating, while 10 recommend "Hold". The rating was maintained by Keefe Bruyette & Woods on Tuesday, September 12 with "Hold". Moreover, Stone Run Limited Liability Co has 1.53% invested in Cabot Oil & Gas Corporation (NYSE:COG). Morgan Stanley maintained the stock with "Equal-Weight" rating in Tuesday, April 26 report. On Wednesday, September 13 the stock rating was maintained by Stifel Nicolaus with "Buy". (PLAY) remained successful in beating the consensus-estimated $0.23 as it actually earned $0.29 per share in its last reported financial results. USAC's profit would be $6.91M giving it 39.66 P/E if the $0.11 EPS is correct. Velie now expects that the oil and gas exploration company will post earnings of $0.47 per share for the year, down from their previous forecast of $0.48.
Among 9 analysts covering Mercury (NASDAQ:MRCY), 6 have Buy rating, 0 Sell and 3 Hold. Mercury had 19 analyst reports since August 25, 2015 according to SRatingsIntel. Canaccord Genuity maintained Ambarella, Inc. The firm has "Strong Buy" rating by Raymond James given on Friday, September 23. (NYSE:XPO) earned "Buy" rating by Susquehanna on Monday, January 8. The firm has "Buy" rating given on Tuesday, August 25 by Drexel Hamilton. The company was maintained on Thursday, August 3 by Oppenheimer. The stock has "Buy" rating by Topeka Capital Markets on Tuesday, February 23. The firm earned "Hold" rating on Wednesday, June 7 by Oppenheimer. RBC Capital Markets has "Buy" rating and $31 target. About 7.33 million shares traded. Day Christopher sold $71,099 worth of Ambarella, Inc. The rating was maintained by BMO Capital Markets with "Market Perform" on Wednesday, November 1. (NASDAQ:AMBA) on Monday, December 11.
Hawkins Capital Lp, which manages about $1.60B and $241.40 million US Long portfolio, decreased its stake in Carlyle Group LP (NASDAQ:CG) by 135,300 shares to 421,597 shares, valued at $9.95 million in 2017Q3, according to the filing. It also transports, stores, gathers, and purchases natural gas for resale.
Investors sentiment increased to 1.21 in 2017 Q3. Its down 0.19, from 0.98 in 2017Q2. Bessemer invested in 0% or 4,575 shares. 61 funds opened positions while 211 raised stakes. Advsrs Incorporated Ok has 0.02% invested in Amgen Inc. Whittier Tru has invested 0% in Annaly Capital Management, Inc. Teachers Retirement Sys Of The State Of Kentucky holds 0.01% or 15,000 shares. Deutsche Comml Bank Ag holds 505,603 shares or 0.02% of its portfolio. Grp Inc One Trading LP reported 0.03% stake. Tower Rech Capital Ltd (Trc), a New York-based fund reported 1,035 shares. EPD's asset turnover ratio is 0.52 and the company has financial leverage of 2.36. Public Employees Retirement Association Of Colorado holds 0% or 20,361 shares in its portfolio. At the current valuation, this equates to a dividend yield of 0.86%.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. Roundview Cap Ltd Llc has invested 0.33% in Amgen Inc. Da Davidson And owns 14,613 shares. Bank Of Montreal Can reported 128,188 shares or 0% of all its holdings.
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