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

Postado Dezembro 08, 2017

About 8.37M shares traded. It has underperformed by 14.60% the S&P500. Co. owned about 0.09% of Cabot Oil & Gas worth $11,613,000 as of its most recent filing with the Securities and Exchange Commission (SEC). Cambridge Investment Research Advisors Inc. now owns 9,917 shares of the oil and gas exploration company's stock worth $249,000 after acquiring an additional 271 shares during the period. Stelliam Investment Management Lp who had been investing in Cabot Oil & Gas Corp for a number of months, seems to be bullish on the $12.94B market cap company. 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. It has underperformed by 15.45% the S&P500.

TRADEMARK VIOLATION WARNING: "Icon Advisers Inc. Co". Institutional investors own 95.69% of the company's stock. Johnson & Johnson (NYSE:JNJ) was reduced too.

Each $1 invested in the company is earning less and less each quarter. Short-term as well long term investors always focus on the liquidity of the stocks so for that concern, liquidity measure in recent quarter results of the company was recorded 1.60 as current ratio and on the opponent side the debt to equity ratio was 0.58 and long-term debt to equity ratio also remained 0.49. The investor is now holding $24.97 million shares due in part to a decrease of 1.32 million new shares in their portfolio. 22 funds opened positions while 34 raised stakes. The oil and gas exploration company reported $0.07 earnings per share (EPS) for the quarter, missing the Zacks' consensus estimate of $0.08 by ($0.01). Suntrust Banks Incorporated owns 13,704 shares. First Washington Corporation owns 91,300 shares for 1.15% of their portfolio. Amg Natl Tru Financial Bank owns 28,922 shares or 0.05% of their United States portfolio. Metropolitan Life Insur has invested 0.04% in Cabot Oil & Gas Corporation (NYSE:COG). That's a potential 12.48 increase relative to where Cabot Oil & Gas Corporation (NYSE:COG) has been trading recently. Cabot Oil & Gas Corporation (NYSE:COG) has risen 1.25% since December 7, 2016 and is uptrending.

Investec Asset Management LTD decreased its position in Cabot Oil & Gas Co. Capital World Investors now owns 27,084,300 shares of the oil and gas exploration company's stock valued at $679,274,000 after purchasing an additional 16,579,300 shares in the last quarter. Barclays lifted their price target on shares of Cabot Oil & Gas from $31.00 to $32.00 and gave the company an "overweight" rating in a research note on Monday, November 20th. Natl Bank Of America De has 0.01% invested in Cabot Oil & Gas Corporation (NYSE:COG) for 2.29 million shares.

Cabot Oil & Gas Corporation is an independent oil and gas company engaged in the development, exploitation and exploration of oil and gas properties. Putnam Invests Ltd Com invested in 0% or 8,778 shares. Cowen reaffirmed a buy rating and set a $30.00 price target on shares of Cabot Oil & Gas in a report on Tuesday, September 12th. Therefore 69% are positive. Susquehanna Bancshares Inc upgraded Cabot Oil & Gas Co. from a "neutral" rating to a "positive" rating and increased their target price for the company from $23.00 to $27.00 in a report on Monday, February 6th.

In other Cabot Oil & Gas news, Chairman Dan O. Dinges sold 66,610 shares of the business's stock in a transaction that occurred on Thursday, November 2nd. 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. The rating was maintained by Robert W. Baird on Monday, September 25 with "Hold". The company was maintained on Tuesday, March 15 by JP Morgan. The rating was maintained by Jefferies on Wednesday, July 19 with "Hold". One analyst has rated the stock with a sell rating, eight have given a hold rating and fifteen have given a buy rating to the company. $7.33's average target is 0.41% above currents $7.3 stock price.

Fairview Capital Investment Management Llc decreased Magellan Midstream Partners (NYSE:MMP) stake by 18,174 shares to 373,149 valued at $26.59 million in 2017Q2. Sba Communications Corporation was reduced too.

Investors sentiment increased to 1.09 in 2017 Q2. Its down 0.85, from 2.15 in 2017Q1. Investors bought 3,111 call options on the company. 988.30 million shares or 1.42% more from 974.49 million shares in 2017Q1 were reported. Rbf Cap Lc holds 0.43% or 500,977 shares in its portfolio. (NYSE:UPS) for 64,589 shares.

Oversold values are 0 to 20 and investors might look to buy dips in up trends when the signal line crosses up from below 20 to above 20. (NYSE:UPS) for 2,312 shares. Bancorporation Of The Ozarks holds 0.52% of its portfolio in Starbucks Corporation (NASDAQ:SBUX) for 25,082 shares. Panagora Asset Mgmt holds 0% or 96,291 shares. Sentry Invests reported 42,800 shares. Nj State Employees Deferred Compensation Plan holds 250,000 shares or 0.31% of its portfolio. Glg Prns LP accumulated 577,799 shares.

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