State Farm Mutual Automobile Insurance Company Boosted By $9.79 Million Its Procter And Gamble Co (PG) Holding; Keyw Holding (KEYW) Has 1.7 Sentiment

September 17, 2017 - By Ellis Scott

The KeyW Holding Corporation is a holding company. The company has market cap of $344.05 million. The Firm is a well-known provider of engineering and technology solutions to support the collection, processing, analysis and dissemination of information across the full spectrum of the Intelligence, cyber and counterterrorism communities missions. It currently has negative earnings. It operates through Government Solutions segment.

State Farm Mutual Automobile Insurance Company increased Procter And Gamble Co (PG) stake by 0.57% reported in 2016Q4 SEC filing. State Farm Mutual Automobile Insurance Company acquired 116,510 shares as Procter And Gamble Co (PG)’s stock declined 5.32%. The State Farm Mutual Automobile Insurance Company holds 20.55M shares with $1.73B value, up from 20.43 million last quarter. Procter And Gamble Co now has $237.84 billion valuation. The stock decreased 0.30% or $0.28 on September 15, reaching $93.27. About 12.43 million shares traded or 106.82% up from the average. Procter & Gamble Co (NYSE:PG) has risen 7.54% since September 17, 2016 and is uptrending. It has underperformed by 9.16% the S&P500.

Among 23 analysts covering Proctor & Gamble (NYSE:PG), 11 have Buy rating, 1 Sell and 11 Hold. Therefore 48% are positive. Proctor & Gamble had 58 analyst reports since August 4, 2015 according to SRatingsIntel. The rating was maintained by Jefferies with “Buy” on Thursday, July 6. Stifel Nicolaus maintained Procter & Gamble Co (NYSE:PG) on Friday, July 22 with “Buy” rating. Morgan Stanley upgraded Procter & Gamble Co (NYSE:PG) on Tuesday, January 26 to “Overweight” rating. The rating was maintained by UBS with “Neutral” on Monday, October 26. Pritchard Capital maintained the shares of PG in report on Wednesday, August 19 with “Sell” rating. Wells Fargo reinitiated the shares of PG in report on Tuesday, November 15 with “Market Perform” rating. The rating was maintained by B. Riley & Co with “Buy” on Wednesday, October 26. Johnson Rice upgraded the shares of PG in report on Friday, August 26 to “Buy” rating. The firm has “Buy” rating given on Wednesday, June 15 by Jefferies. The stock of Procter & Gamble Co (NYSE:PG) earned “Neutral” rating by Citigroup on Tuesday, November 17.

Since May 1, 2017, it had 0 insider purchases, and 7 selling transactions for $17.28 million activity. $333,819 worth of stock was sold by Louvet Patrice on Thursday, May 4. Skoufalos Ioannis sold $334,265 worth of stock or 3,879 shares. On Monday, May 1 Bishop Steven D sold $233,011 worth of Procter & Gamble Co (NYSE:PG) or 2,668 shares.

Investors sentiment increased to 0.94 in 2016 Q4. Its up 0.18, from 0.76 in 2016Q3. It increased, as 89 investors sold PG shares while 777 reduced holdings. 122 funds opened positions while 614 raised stakes. 1.48 billion shares or 15.87% less from 1.76 billion shares in 2016Q3 were reported. Trustmark Savings Bank Tru Department holds 105,194 shares or 1.17% of its portfolio. The New York-based Strategic Advsr Limited Com has invested 1.65% in Procter & Gamble Co (NYSE:PG). Garrison Corporation invested in 36,732 shares or 1.92% of the stock. Brandes Invest Prtnrs Lp stated it has 79,773 shares. Commonwealth Fincl Ltd Company reported 0.44% in Procter & Gamble Co (NYSE:PG). Sei Investments, Pennsylvania-based fund reported 475,220 shares. Blair William & Il owns 661,002 shares or 0.5% of their US portfolio. Hl Services Ltd invested in 1.36% or 748,855 shares. Nippon Life Investors Americas invested in 0.86% or 111,510 shares. Moreover, Hm Payson & has 1.96% invested in Procter & Gamble Co (NYSE:PG). Visionary Asset Management has 34,109 shares. Zacks Invest reported 738,584 shares. Novare Mgmt Limited Liability invested in 3,354 shares or 0.07% of the stock. Ruffer Ltd Liability Partnership holds 0.06% or 11,575 shares. 8.12 million were reported by Fisher Asset Mngmt.

The stock decreased 5.21% or $0.38 on September 15, reaching $6.91. About 3.35 million shares traded or 645.06% up from the average. KEYW Holding Corp. (KEYW) has risen 6.38% since September 17, 2016 and is uptrending. It has underperformed by 10.32% the S&P500.

Athena Global Investors Llc holds 3.52% of its portfolio in KEYW Holding Corp. for 122,842 shares. Snyder Capital Management L P owns 1.06 million shares or 0.76% of their US portfolio. Moreover, Pier Capital Llc has 0.67% invested in the company for 316,053 shares. The Illinois-based Oak Ridge Investments Llc has invested 0.59% in the stock. Timpani Capital Management Llc, a Wisconsin-based fund reported 113,108 shares.

Analysts await KEYW Holding Corp. (NASDAQ:KEYW) to report earnings on November, 1. They expect $0.05 earnings per share, down 44.44% or $0.04 from last year’s $0.09 per share. KEYW’s profit will be $2.49M for 34.55 P/E if the $0.05 EPS becomes a reality. After $-0.02 actual earnings per share reported by KEYW Holding Corp. for the previous quarter, Wall Street now forecasts -350.00% EPS growth.

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