Why to Keeping Eye on: Cabot Oil & Gas Corporation, (NYSE: COG)

Marco Green
April 16, 2018

The company has a market cap of $2.96 Billion. (NYSE:GIS) went up during the trading session by $0.22 on Friday, trading at $44.80. About 40,922 shares traded. (INF) has 0.00% since April 16, 2017 and is.

Oceanic Investment Management Ltd increased its stake in Capital Product Partners LP (CPLP) by 11.35% based on its latest 2017Q4 regulatory filing with the SEC. Blair William & Company bought 20,166 shares as the company's stock declined 13.77% with the market. The Sir Capital Management Lp holds 30,200 shares with $864,000 value, down from 358,292 last quarter. The stock increased 0.75% or $0.21 during the last trading session, reaching $28. About 24,083 shares traded. Cabot Oil & Gas Corporation now has its 52-Week High range of $29.57, while its 52-week low range is $21.4. It has underperformed by 37.27% the S&P500.

Investors sentiment increased to 1.15 in 2017 Q4. At the moment, the company has a debt-to-equity ratio of 1.94, a current ratio of 0.70, and a quick ratio of 0.50. It is positive, as 35 investors sold COG shares while 148 reduced holdings. 69 funds opened positions while 165 raised stakes. 443.27 million shares or 1.77% more from 435.56 million shares in 2017Q3 were reported.

The 14-day ADX for Cabot Oil & Gas Corp (COG) is now sitting at 28.49. Koch Indus Inc invested 0.05% in Cabot Oil & Gas Corporation (NYSE:COG). Now we here analyzed the 20 SMA trends of Cabot Oil & Gas Corporation. Union State Bank accumulated 8,956 shares or 0.09% of the stock. Boothbay Fund Management Llc owns 36,000 shares or 0.07% of their USA portfolio.

Investors may be tracking certain levels on shares of Marriot Int Class A (MAR). (NYSE:GWW). Geode Mngmt Ltd Company owns 596,593 shares. Moreover, Wealthtrust has 0% invested in Cabot Oil & Gas Corporation (NYSE:COG). Arrowstreet Capital Ltd Partnership holds 0.06% or 904,310 shares. Riggs Asset Managment holds 80,679 shares. Roosevelt Inv Group Incorporated has 0.46% invested in Cabot Oil & Gas Corporation (NYSE:COG). Fuller Thaler Asset Management Inc invested 0% in Cabot Oil & Gas Corporation (NYSE:COG). Shanda Asset reported 0.16% stake. That puts total institutional holdings at 455,585,444 shares, according to SEC filings. However, it could also mean that something is fundamentally wrong with the company. Rating Scale: 1.0 represent "Strong Buy" and 2.0 signify "Buy" 3.0 while shows "Hold". Therefore 50% are positive. The Company has a Return on Assets of 15.20%. The company was upgraded on Tuesday, October 31 by Johnson Rice.

Technical Analysis of Cabot Oil & Gas Corporation: Technical indicators do not lead us to assume the stock will see more gains anytime soon. (NYSE:GWW) has "Neutral" rating given on Monday, October 19 by Stephens.

The stock has P/B of 4.34. Over the past twelve months, Cabot Oil & Gas Corporation (NYSE:COG)'s stock was -17.24%. On Thursday, November 2 the stock rating was downgraded by IBC to "Neutral". The firm primarily focuses on the Marcellus Shale with approximately 179,000 net acres in the dry gas window of the play located in Susquehanna County, Pennsylvania; and the Eagle Ford Shale with approximately 84,000 net acres in the oil window of the play located in Atascosa, Frio, and La Salle Counties, Texas. 15,000 are held by Muhlenkamp &.

For the current Fiscal Quarter, 26 analysts on average are expecting earnings of $0.22 per share. GWW's profit will be $190.03M for 20.55 P/E if the $3.39 EPS becomes a reality. After $0.38 actual EPS reported by Symantec Corporation for the previous quarter, Wall Street now forecasts -34.21% negative EPS growth. Its up 0.05, from 1.1 in 2017Q3. Its up 0.21, from 1.07 in 2017Q3. It fall, as 49 investors sold GWW shares while 190 reduced holdings. Price T Rowe Associate Inc Md reported 1.12 million shares stake. Long Road Investment Counsel Ltd Liability Corp owns 76,425 shares. Whittier Trust Co Of Nevada reported 1,000 shares.

Ashford Capital Management Inc holds 0.59% of its portfolio in Brookfield Global Listed Infrastructure Income Fund Inc. for 293,024 shares. Los Angeles Cap Mgmt Equity accumulated 140,737 shares. Trexquant Invest LP has invested 0.09% in Symantec Corporation (NASDAQ:SYMC). It does not measure the risk of an investment held on a stand-alone basis, but the amount of risk the investment adds to an already-diversified portfolio. Connecticut-based Mark Sheptoff Financial Planning Lc has invested 0.04% in Symantec Corporation (NASDAQ:SYMC). State Of Wisconsin Board holds 45,875 shares or 0.03% of its portfolio. Putnam Investments Limited Liability Company, a Massachusetts-based fund reported 8,900 shares. Wells Fargo & Mn has 1.37 million shares. Dekabank Deutsche Girozentrale stated it has 55,442 shares or 0.01% of all its holdings. Symantec had 91 analyst reports since August 11, 2015 according to SRatingsIntel. The firm has "Buy" rating given on Monday, September 18 by KeyBanc Capital Markets. The firm has "Buy" rating given on Tuesday, September 5 by Jefferies. The rating was maintained by Williams Capital Group with "Hold" on Friday, February 23. (NYSE:GWW) earned "Sell" rating by Deutsche Bank on Tuesday, August 25.

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