Analysts Estimates And Ratings Level 3 Communications, Inc. (LVLT)

Marco Green
October 13, 2017

PG&E Corporation had 32 analyst reports since July 30, 2015 according to SRatingsIntel. (NYSE:LVLT) has "Neutral" rating given on Friday, April 29 by Bank of America. The rating was maintained by Macquarie Research on Monday, August 3 with "Neutral". The firm has "Sector Perform" rating given on Friday, June 17 by RBC Capital Markets. The firm earned "Buy" rating on Monday, September 25 by Robert W. Baird. The rating was maintained by RBC Capital Markets on Friday, July 7 with "Hold". The rating was maintained by Citigroup with "Neutral" on Friday, August 14. (NYSE:LVLT). Captrust Advsr has invested 0% in Level 3 Communications, Inc. The Btg Pactual Global Asset Management Ltd holds 60,000 shares with $3.56M value, up from 50,000 last quarter. Based in USA, Level 3 Communications, Inc. has a market cap of 20.04B. The beta factor is 1.16.Volatility shows sense of how far the stock will fall if the market takes a dive and how high stock will rise if the bull starts to climb. About 515,085 shares traded.

Analysts expect Level 3 Communications, Inc. (NYSE:LVLT) has risen 15.09% since October 11, 2016 and is uptrending. It has underperformed by 1.61% the S&P500. Its up 0.09, from 1.04 in 2017Q1. 41 funds opened positions while 138 raised stakes. 349.71 million shares or 2.43% less from 358.41 million shares in 2017Q1 were reported. Also, the number of funds holding Level 3 Communications Inc in their top 10 stock positions increased from 31 to 34 for an increase of 3. (NYSE:LVLT)'s institutional ownership stands at 82.30%. Her Majesty The Queen In Right Of The Province Of Alberta As Represented By Alberta Mgmt Corp has 400,000 shares. West Family Investments Inc., a Illinois-based fund reported 1.08 million shares.#img1#. Moreover, Cadence Capital Management Llc has 0.05% invested in the company for 39,168 shares. Bank of Nova Scotia owned approximately 0.11% of Level 3 Communications worth $24,255,000 at the end of the most recent quarter. 8,328 were accumulated by Profund Limited Liability Company.

Singapore Technologies Telemedia Pte Ltd holds 99.47% of its portfolio in Level 3 Communications, Inc. for 65.03 million shares. Level 3 Communications's revenue for the quarter was down.1% compared to the same quarter a year ago. (NYSE:LVLT) or 569,796 shares. The Return on Assets for Level 3 Communications, Inc.

Level 3 Communications, Inc. (NYSE:LVLT) for 2,124 shares. The Lombard Odier Asset Management Europe Ltd holds 455 shares with $4.27 million value, down from 20,884 last quarter. (NASDAQ:CAR) [Trend Analysis] also making a striking appeal, share price swings at $40.83 with percentage change of 1.47% in most recent trading session. (NYSE:LVLT) has "Hold" rating given on Tuesday, November 1 by Jefferies.

Among 18 analysts covering Level 3 (NYSE:LVLT), 5 have Buy rating, 1 Sell and 12 Hold. Therefore 28% are positive. Barclays PLC reissued an "equal weight" rating and issued a $59.00 price target (down previously from $61.00) on shares of Level 3 Communications in a research report on Friday, July 14th. Oppenheimer upgraded the stock to "Outperform" rating in Friday, October 28 report. (NYSE:LVLT) has "Hold" rating given on Tuesday, December 13 by Suntrust Robinson. The Pennsylvania-based Federated Investors Inc Pa has invested 0.05% in the stock.

Level 3 Communications, Inc is a provider of a range of integrated communications services. (NASDAQ:VIAB) was released by: and their article: "Viacom is Oversold" with publication date: October 11, 2017. The firm earned "Buy" rating on Wednesday, February 15 by Loop Capital. The stock decreased 0.16% or $0.09 during the last trading session, reaching $55.39. Float is the proportion of issued also outstanding shares that can be liberally traded, nothing like locked-up insider holdings or restricted employee shares. It has outperformed by 36.17% the S&P500.

Investors sentiment increased to 1.13 in Q2 2017. Savings Bank Of Ny Mellon Corp stated it has 2.18 million shares or 0.04% of all its holdings.

Piermont Capital Management Inc. holds 0.14% of its portfolio in Amphastar Pharmaceuticals Inc for 27,523 shares. Nationwide Fund Advsrs holds 0.04% or 168,811 shares. ROI is 5.70%. A positive result means that returns exceed costs. Hutchin Hill LP reported 1.13% stake. Nelson Van Denburg Campbell Wealth Mngmt Ltd Co invested in 0.07% or 2,915 shares.

Analysts await Amphastar Pharmaceuticals Inc (NASDAQ:AMPH) to report earnings on November, 14. Point72 Asset L P invested 0.05% of its portfolio in T-Mobile US Inc (NASDAQ:TMUS).

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