Published: Mon, January 01, 2018
Markets | By Josh Butler

Cabot Oil & Gas Corp (COG) Holding Maintained by Sanders Capital Llc

Energy Opportunities Capital Management Llc decreased its stake in Cabot Oil & Gas Corp Com (COG) by 23.57% based on its latest 2017Q3 regulatory filing with the SEC. Following the completion of the sale, the chairman now directly owns 2,887,018 shares of the company's stock, valued at approximately $80,605,542.56. The Hawkins Capital Lp holds 21,500 shares with $575,000 value, up from 840 last quarter. Private Bank & Trust Co who had been investing in American Tower Corp for a number of months, seems to be less bullish one the $60.99B market cap company. (NYSE:COG) traded down 0.241% during midday trading on Thursday, reaching $22.765. The company is expecting to pocket around $987.5 million in net proceeds from the offering, which it will use on January 26 to redeem all of its outstanding 5.00% notes due 2019.

Cabot Oil & Gas (NYSE:COG) last issued its earnings results on Friday, October 27th. It has underperformed by 15.45% the S&P500.

Among 14 analysts covering Agilent Technologies (NYSE:A), 10 have Buy rating, 0 Sell and 4 Hold. CVS Health had 59 analyst reports since July 22, 2015 according to SRatingsIntel. On Wednesday, July 5 the stock rating was maintained by Jefferies with "Buy". The firm earned "Buy" rating on Tuesday, September 12 by Cowen & Co. The stock has "Buy" rating by Argus Research on Wednesday, April 20. The rating was maintained by Cowen & Co with "Hold" on Tuesday, August 15. The company was upgraded on Thursday, September 10 by Bank of America. The firm has "Overweight" rating by Piper Jaffray given on Monday, May 1. Morgan Stanley maintained the shares of COG in report on Wednesday, October 18 with "Overweight" rating. The rating was maintained by BTIG Research with "Buy" on Thursday, August 18. The rating was maintained by KeyBanc Capital Markets on Monday, November 27 with "Buy". Bokf Na has 1.15% invested in Johnson & Johnson (NYSE:JNJ) for 305,836 shares. The company has a debt-to-equity ratio of 0.49, a quick ratio of 1.61 and a current ratio of 1.64. It dived, as 63 investors sold COL shares while 210 reduced holdings. 127 funds opened positions while 298 raised stakes. Amundi Pioneer Asset Management accumulated 0.83% or 9.72M shares. 727,352 were accumulated by Lord Abbett And Limited Com. Advisory Svcs Limited Liability Corp owns 754 shares. (NYSE:A) for 107,867 shares. Zurcher Kantonalbank (Zurich Cantonalbank) holds 0% or 5,082 shares. Paloma Prtnrs Management owns 48,602 shares or 0.02% of their USA portfolio. D E Shaw And stated it has 1.35M shares. It is a positive indicator for investor portfolio value - when the price of a stock Investor owns goes up in value. (NYSE:A) for 372,928 shares. Schwab Charles Mgmt Inc holds 0.06% or 544,325 shares in its portfolio. (NYSE:A) or 575,282 shares. Citadel Advsrs Lc owns 1.74 million shares for 0.04% of their portfolio. Tudor Investment Et Al reported 52,913 shares stake.

Investors sentiment decreased to 0.99 in Q3 2017. The Netherlands-based Pensionfund Dsm Netherlands has invested 0.76% in CVS Health Corporation (NYSE:CVS). Tortoise Investment Mngmt Lc holds 0.01% or 1,165 shares in its portfolio. Teacher Retirement System Of Texas invested 0.01% of its portfolio in Agilent Technologies, Inc.

Since August 16, 2017, it had 0 insider buys, and 7 sales for $58.32 million activity. Grau Dominique also sold $806,434 worth of Agilent Technologies, Inc. Following the purchase, the director now owns 619,500 shares in the company, valued at $17,017,665. 72,545 shares were sold by HIRSCH DIDIER, worth $4.53M. Moriarty Thomas M sold $7.19 million worth of stock. Shares for $286,335 were sold by KOH BOON HWEE on Wednesday, August 30. HUTTON JEFFREY W sold 11,918 shares worth $319,283.

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Hawkins Capital Lp decreased Plains All Amern Pipeline L (NYSE:PAA) stake by 191,100 shares to 18,700 valued at $396,000 in 2017Q3. Point72 Asia (Hong Kong) owns 1,661 shares. Intel Corp (NASDAQ:INTC) was reduced too.

Investors sentiment decreased to 0.88 in Q3 2017. The firm has a market cap of $13,227.73, a price-to-earnings ratio of -92.26, a price-to-earnings-growth ratio of 2.01 and a beta of 0.52.

Cabot Oil & Gas ( COG ) rose Thursday, climbing 1.5% to a session high of $28.55 a share after analysts at BMO Capital Markets said the company's $765 million plan to sell its assets in the Eagle Ford shale formation in Texas announced last week will succeed in reducing its operating costs and boosting its cash balance above $1 billion.

A number of institutional investors and hedge funds have recently made changes to their positions in COG. KeyCorp set a $30.00 price target on Cabot Oil & Gas and gave the company a buy rating in a report on Saturday, November 25th. Shell Asset Management Co. now owns 125,242 shares of the oil and gas exploration company's stock worth $4,094,000 after purchasing an additional 96,023 shares during the last quarter. Nuance Investments Llc bought 1,942 shares as the company's stock rose 13.72% with the market. State Board Of Administration Of Florida Retirement Sys reported 684,549 shares. Fjarde Ap holds 0.05% or 107,101 shares. Hsbc Hldg Pcl stated it has 0.01% of its portfolio in Cabot Oil & Gas Corporation (NYSE:COG). Capital World Investors increased its holdings in Cabot Oil & Gas by 157.8% in the second quarter.

TRADEMARK VIOLATION NOTICE: "Brokers Offer Predictions for Cabot Oil & Gas Co.'s FY2017 Earnings (COG)" was first published by Dispatch Tribunal and is owned by of Dispatch Tribunal. Cabot Oil & Gas had a negative net margin of 8.80% and a positive return on equity of 6.63%. Trexquant LP holds 12,027 shares. Jennison Assoc Ltd Liability Company reported 1.86% of its portfolio in NVIDIA Corporation (NASDAQ:NVDA). Blackrock invested in 0.04% or 31.58 million shares. The oil and gas exploration company reported $0.07 EPS for the quarter, missing the consensus estimate of $0.08 by ($0.01). Two analysts have rated the stock with a sell rating, nine have given a hold rating and fourteen have assigned a buy rating to the company's stock.

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