Cheniere Energy (LNG) Holder Valinor Management Trimmed Position by $64.07 Million; Adobe Sys (GM) Share Value Declined While Cacti Asset Management Has Lifted Position

January 15, 2018 - By Michael Collier

Cacti Asset Management Llc increased its stake in Adobe Sys Inc (GM) by 6.66% based on its latest 2017Q3 regulatory filing with the SEC. Cacti Asset Management Llc bought 59,545 shares as the company’s stock declined 12.09% while stock markets rallied. The institutional investor held 954,270 shares of the auto manufacturing company at the end of 2017Q3, valued at $38.86 million, up from 894,725 at the end of the previous reported quarter. Cacti Asset Management Llc who had been investing in Adobe Sys Inc for a number of months, seems to be bullish on the $62.60 billion market cap company. The stock decreased 0.27% or $0.12 during the last trading session, reaching $44.07. About 14.91M shares traded or 16.74% up from the average. General Motors Company (NYSE:GM) has risen 7.92% since January 15, 2017 and is uptrending. It has underperformed by 8.78% the S&P500.

David Gallo decreased its stake in Cheniere Energy Inc (LNG) by 79.79% based on its latest 2017Q3 regulatory filing with the SEC. Valinor Management Llc sold 1.42M shares as the company’s stock rose 6.51% with the market. The hedge fund run by David Gallo held 360,704 shares of the public utilities company at the end of 2017Q3, valued at $16.25M, down from 1.78 million at the end of the previous reported quarter. Valinor Management Llc who had been investing in Cheniere Energy Inc for a number of months, seems to be less bullish one the $13.02 billion market cap company. The stock increased 0.44% or $0.24 during the last trading session, reaching $54.73. About 1.32M shares traded. Cheniere Energy, Inc. (NYSEMKT:LNG) has risen 51.31% since January 15, 2017 and is uptrending. It has outperformed by 34.61% the S&P500.

Cacti Asset Management Llc, which manages about $925.34 million and $1.18B US Long portfolio, decreased its stake in Boeing Co (NYSE:BA) by 6,670 shares to 257,135 shares, valued at $65.37M in 2017Q3, according to the filing.

Among 29 analysts covering General Motors Company (NYSE:GM), 16 have Buy rating, 3 Sell and 10 Hold. Therefore 55% are positive. General Motors Company had 81 analyst reports since July 24, 2015 according to SRatingsIntel. The rating was maintained by Piper Jaffray with “Buy” on Monday, October 16. UBS maintained General Motors Company (NYSE:GM) on Friday, October 2 with “Buy” rating. The firm has “Equal-Weight” rating by Morgan Stanley given on Friday, May 6. As per Monday, October 30, the company rating was maintained by Jefferies. The firm earned “Sell” rating on Monday, October 30 by Goldman Sachs. The rating was maintained by Barclays Capital on Monday, September 21 with “Hold”. RBC Capital Markets maintained it with “Hold” rating and $3700 target in Friday, July 14 report. The stock of General Motors Company (NYSE:GM) has “Sector Perform” rating given on Friday, July 22 by RBC Capital Markets. The rating was initiated by Macquarie Research with “Outperform” on Thursday, December 1. On Wednesday, October 11 the stock rating was maintained by UBS with “Buy”.

Investors sentiment decreased to 0.87 in 2017 Q3. Its down 0.15, from 1.02 in 2017Q2. It worsened, as 66 investors sold GM shares while 322 reduced holdings. 96 funds opened positions while 242 raised stakes. 1.01 billion shares or 1.95% less from 1.03 billion shares in 2017Q2 were reported. Perigon Wealth Mgmt Ltd Limited Liability Company reported 966 shares. Moreover, Salem Investment Counselors has 0% invested in General Motors Company (NYSE:GM) for 100 shares. United Svcs Automobile Association stated it has 0.05% of its portfolio in General Motors Company (NYSE:GM). 4.72 million were accumulated by Price T Rowe Associate Md. Wunderlich Managemnt has 1.35% invested in General Motors Company (NYSE:GM). Mcf Advisors Ltd Com holds 295 shares. Ibm Retirement Fund reported 0.28% of its portfolio in General Motors Company (NYSE:GM). Arrowstreet Capital Lp has 40,200 shares for 0% of their portfolio. Hourglass Cap Ltd Liability stated it has 2.8% of its portfolio in General Motors Company (NYSE:GM). Ingalls & Snyder Ltd holds 1.12% in General Motors Company (NYSE:GM) or 532,077 shares. 14.90M were reported by Dimensional Fund Advisors Limited Partnership. Lehman Financial Resource reported 1.39% in General Motors Company (NYSE:GM). Dubuque Bank & Trust Tru invested in 1,450 shares or 0.01% of the stock. Denali Advisors Ltd Llc invested 2.74% in General Motors Company (NYSE:GM). Winslow Evans & Crocker has invested 0.02% in General Motors Company (NYSE:GM).

Among 9 analysts covering Cheniere Energy Inc (NYSEMKT:LNG), 8 have Buy rating, 0 Sell and 1 Hold. Therefore 89% are positive. Cheniere Energy Inc had 13 analyst reports since July 23, 2015 according to SRatingsIntel. The stock of Cheniere Energy, Inc. (NYSEAMERICAN:LNG) has “Overweight” rating given on Monday, October 12 by Barclays Capital. The firm earned “Outperform” rating on Wednesday, February 8 by Wells Fargo. Howard Weil upgraded the shares of LNG in report on Tuesday, June 14 to “Sector Outperform” rating. Citigroup upgraded Cheniere Energy, Inc. (NYSEAMERICAN:LNG) on Wednesday, January 13 to “Buy” rating. Goldman Sachs upgraded Cheniere Energy, Inc. (NYSEAMERICAN:LNG) on Tuesday, February 23 to “Buy” rating. The company was initiated on Thursday, July 23 by Global Hunter Securities. Bernstein initiated it with “Market Perform” rating and $38 target in Wednesday, May 11 report. Credit Suisse initiated the shares of LNG in report on Wednesday, August 5 with “Outperform” rating. The stock of Cheniere Energy, Inc. (NYSEAMERICAN:LNG) earned “Overweight” rating by Barclays Capital on Tuesday, September 6.

Valinor Management Llc, which manages about $4.82B and $3.19 billion US Long portfolio, upped its stake in Facebook Inc (NASDAQ:FB) by 71,200 shares to 858,575 shares, valued at $146.70M in 2017Q3, according to the filing. It also increased its holding in Alibaba Group Hldg Ltd (NYSE:BABA) by 95,400 shares in the quarter, for a total of 729,100 shares, and has risen its stake in Alphabet Inc.

Since December 15, 2017, it had 0 insider purchases, and 2 insider sales for $1.32 million activity. Another trade for 20,000 shares valued at $1.00M was sold by BRANDOLINI NUNO.

Investors sentiment decreased to 0.97 in Q3 2017. Its down 0.36, from 1.33 in 2017Q2. It is negative, as 42 investors sold LNG shares while 111 reduced holdings. 44 funds opened positions while 104 raised stakes. 215.48 million shares or 3.93% more from 207.33 million shares in 2017Q2 were reported. Bank & Trust Of America De reported 483,927 shares stake. Pnc Grp Inc holds 0% of its portfolio in Cheniere Energy, Inc. (NYSEAMERICAN:LNG) for 5,413 shares. Oppenheimer And holds 9,440 shares. Blackrock invested in 11.82 million shares. Northern Corp reported 1.13 million shares or 0.01% of all its holdings. Anchorage Cap Grp Limited Liability accumulated 3.63% or 7.37M shares. Bronson Point Mgmt Llc reported 0.29% stake. Cbre Clarion Secs Ltd Llc holds 101,164 shares. Aviva Public Limited Co reported 137,751 shares stake. Sei Invests reported 287,428 shares. Freshford Cap Limited Liability Co reported 383,330 shares. Glenmede Trust Na invested in 0% or 2,029 shares. Gsa Partners Llp invested 0.04% in Cheniere Energy, Inc. (NYSEAMERICAN:LNG). Creative Planning owns 67,247 shares. Shufro Rose Comm Limited Liability reported 0.14% in Cheniere Energy, Inc. (NYSEAMERICAN:LNG).

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