Cms Energy (CMS) Holder Clinton Group Increased Its Stake by $1.54 Million as Market Value Declined; General Electric Co (GE) Stake Held by Stuyvesant Capital Management

April 17, 2018 - By Maria Brooks

CMS Energy Corporation (NYSE:CMS) Logo

Greg Taxin increased its stake in Cms Energy Corp (CMS) by 302.03% based on its latest 2017Q4 regulatory filing with the SEC. Clinton Group Inc bought 32,661 shares as the company’s stock declined 5.49% with the market. The hedge fund run by Greg Taxin held 43,475 shares of the power generation company at the end of 2017Q4, valued at $2.06M, up from 10,814 at the end of the previous reported quarter. Clinton Group Inc who had been investing in Cms Energy Corp for a number of months, seems to be bullish on the $12.84B market cap company. The stock increased 0.99% or $0.44 during the last trading session, reaching $45.44. About 1.73M shares traded. CMS Energy Corporation (NYSE:CMS) has declined 0.78% since April 17, 2017 and is downtrending. It has underperformed by 12.33% the S&P500.

Stuyvesant Capital Management increased its stake in General Electric Co (GE) by 58.06% based on its latest 2017Q4 regulatory filing with the SEC. Stuyvesant Capital Management bought 55,689 shares as the company’s stock declined 23.20% with the market. The institutional investor held 151,600 shares of the consumer electronics and appliances company at the end of 2017Q4, valued at $2.65M, up from 95,911 at the end of the previous reported quarter. Stuyvesant Capital Management who had been investing in General Electric Co for a number of months, seems to be bullish on the $119.74B market cap company. The stock increased 3.45% or $0.4594 during the last trading session, reaching $13.7894. About 52.74 million shares traded. General Electric Company (NYSE:GE) has declined 54.35% since April 17, 2017 and is downtrending. It has underperformed by 65.90% the S&P500.

Among 28 analysts covering General Electric Company (NYSE:GE), 8 have Buy rating, 6 Sell and 14 Hold. Therefore 29% are positive. General Electric Company had 99 analyst reports since July 21, 2015 according to SRatingsIntel. The company was maintained on Monday, June 12 by Cowen & Co. Bank of America maintained the stock with “Buy” rating in Tuesday, November 14 report. On Tuesday, November 14 the stock rating was downgraded by RBC Capital Markets to “Sector Perform”. The stock of General Electric Company (NYSE:GE) has “Market Perform” rating given on Monday, April 4 by Bernstein. The firm earned “Buy” rating on Tuesday, June 13 by Stifel Nicolaus. On Tuesday, October 13 the stock rating was upgraded by William Blair to “Outperform”. The rating was maintained by Deutsche Bank on Tuesday, November 21 with “Sell”. The firm has “Outperform” rating by Bernstein given on Friday, December 16. The company was initiated on Thursday, May 12 by JP Morgan. The firm earned “Buy” rating on Thursday, January 21 by Citigroup.

Stuyvesant Capital Management, which manages about $147.08M and $55.26 million US Long portfolio, decreased its stake in Chesapeake Energy Corp (NYSE:CHK) by 143,650 shares to 298,750 shares, valued at $1.18M in 2017Q4, according to the filing.

Since January 26, 2018, it had 1 buy, and 0 insider sales for $43,446 activity.

Investors sentiment decreased to 0.5 in Q4 2017. Its down 0.19, from 0.69 in 2017Q3. It dropped, as 153 investors sold GE shares while 921 reduced holdings. 151 funds opened positions while 383 raised stakes. 4.69 billion shares or 0.29% less from 4.70 billion shares in 2017Q3 were reported. Banque Pictet And Cie Sa stated it has 0.09% of its portfolio in General Electric Company (NYSE:GE). Verity & Verity Ltd Liability has 1.54% invested in General Electric Company (NYSE:GE). 75,200 are owned by Hikari Pwr Ltd. Retirement Systems Of Alabama invested 0.44% in General Electric Company (NYSE:GE). Cap Fund Mgmt reported 0.07% of its portfolio in General Electric Company (NYSE:GE). Green Square Ltd Liability Corporation owns 26,727 shares. Texan Management has 60,326 shares. Cypress Asset Management Incorporated Tx accumulated 284,098 shares. Ahl Prns Limited Liability Partnership has invested 0.15% in General Electric Company (NYSE:GE). The Missouri-based Signalpoint Asset Mgmt Lc has invested 0.3% in General Electric Company (NYSE:GE). Zurcher Kantonalbank (Zurich Cantonalbank) owns 1.86M shares for 0.29% of their portfolio. Natl Bank Of The West owns 245,230 shares. Ifc Holdings Fl holds 114,521 shares or 0.14% of its portfolio. Segment Wealth Mgmt Llc reported 23,722 shares. Jolley Asset Mgmt Limited Liability stated it has 1.36% in General Electric Company (NYSE:GE).

Investors sentiment increased to 1.4 in Q4 2017. Its up 0.43, from 0.97 in 2017Q3. It improved, as 26 investors sold CMS shares while 128 reduced holdings. 52 funds opened positions while 164 raised stakes. 235.44 million shares or 0.35% more from 234.63 million shares in 2017Q3 were reported. Crow Point Prtnrs Limited Liability stated it has 600,000 shares or 4.48% of all its holdings. Tdam Usa Incorporated holds 16,904 shares or 0.05% of its portfolio. State Board Of Administration Of Florida Retirement Systems invested in 0.06% or 454,599 shares. Opus Incorporated reported 25,000 shares stake. Clearbridge Invs Ltd holds 0% or 150 shares in its portfolio. Global X Mngmt Lc stated it has 0.02% in CMS Energy Corporation (NYSE:CMS). Quantitative Invest Mngmt Limited Liability has invested 0.12% of its portfolio in CMS Energy Corporation (NYSE:CMS). Employees Retirement Sys Of Texas has 15,000 shares. Legg Mason Asset Mngmt (Japan) Ltd holds 30,700 shares or 0.87% of its portfolio. Robeco Institutional Asset Management Bv reported 305,239 shares. Ubs Asset Management Americas Inc invested in 1.13M shares or 0.05% of the stock. Proshare Advisors Ltd Co invested in 43,975 shares. Wade G W Incorporated stated it has 0.04% of its portfolio in CMS Energy Corporation (NYSE:CMS). Advsrs Asset Incorporated holds 129,744 shares. Plante Moran Financial Advisors Ltd Liability Com owns 4,574 shares.

Clinton Group Inc, which manages about $2.04B and $1.14B US Long portfolio, decreased its stake in Foot Locker Inc (NYSE:FL) by 154,779 shares to 81,960 shares, valued at $3.84M in 2017Q4, according to the filing. It also reduced its holding in Coherent Inc (NASDAQ:COHR) by 1,969 shares in the quarter, leaving it with 3,422 shares, and cut its stake in Royal Caribbean Cruises Ltd (NYSE:RCL).

Among 17 analysts covering CMS Energy Corporation (NYSE:CMS), 7 have Buy rating, 0 Sell and 10 Hold. Therefore 41% are positive. CMS Energy Corporation had 50 analyst reports since August 31, 2015 according to SRatingsIntel. The company was maintained on Tuesday, February 13 by Morgan Stanley. The stock has “Sector Perform” rating by Howard Weil on Friday, July 15. The stock has “Hold” rating by Guggenheim on Tuesday, January 2. The firm earned “Hold” rating on Monday, March 19 by SunTrust. SunTrust maintained CMS Energy Corporation (NYSE:CMS) rating on Monday, March 26. SunTrust has “Hold” rating and $4500 target. The rating was maintained by SunTrust on Monday, September 26 with “Neutral”. Wells Fargo maintained the stock with “Buy” rating in Thursday, February 15 report. The company was maintained on Wednesday, December 13 by Morgan Stanley. BMO Capital Markets maintained it with “Buy” rating and $4800 target in Friday, July 28 report. The firm has “Buy” rating given on Monday, December 18 by Wells Fargo.

CMS Energy Corporation (NYSE:CMS) Institutional Positions Chart

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