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Ashland Global Holdings Inc. (:ASH) to pay $0.23 on Dec 15, 2017; Berkshire Asset Management Has Increased Its General Electric (GE) Position

Berkshire Asset Management Llc increased General Electric (GE) stake by 47.91% reported in 2017Q2 SEC filing. Berkshire Asset Management Llc acquired 298,535 shares as General Electric (GE)’s stock declined 7.64%. The Berkshire Asset Management Llc holds 921,663 shares with $24.89 million value, up from 623,128 last quarter. General Electric now has $159.06 billion valuation. The stock decreased 0.37% or $0.0682 during the last trading session, reaching $18.3418. About 19.53 million shares traded. General Electric Company (NYSE:GE) has declined 4.46% since November 29, 2016 and is downtrending. It has underperformed by 21.16% the S&P500.

Ashland Global Holdings Inc. (:ASH) is expected to pay $0.23 on Dec 15, 2017. $0.90 is the ADY. (:ASH) shareholders before Nov 30, 2017 will receive the $0.23 dividend. Ashland Global Holdings Inc.’s current price of $72.32 translates into 0.31% yield. Ashland Global Holdings Inc.’s dividend has Dec 1, 2017 as record date. Nov 15, 2017 is the announcement. The stock increased 1.67% or $1.185 during the last trading session, reaching $72.315. About 156,415 shares traded. Ashland Global Holdings Inc. (:ASH) has risen 18.65% since November 29, 2016 and is uptrending. It has outperformed by 1.95% the S&P500.

Among 25 analysts covering General Electric Company (NYSE:GE), 10 have Buy rating, 5 Sell and 10 Hold. Therefore 40% are positive. General Electric Company had 78 analyst reports since July 21, 2015 according to SRatingsIntel. The rating was maintained by Oppenheimer on Monday, July 17 with “Hold”. The rating was downgraded by CFRA on Friday, July 21 to “Hold”. The rating was downgraded by Oppenheimer to “Underperform” on Tuesday, October 24. The firm earned “Buy” rating on Wednesday, August 26 by Vetr. The firm has “Buy” rating by S&P Research given on Wednesday, October 14. The rating was maintained by Cowen & Co on Monday, June 12 with “Hold”. The stock of General Electric Company (:GE) earned “Outperform” rating by Credit Suisse on Monday, November 23. As per Monday, October 23, the company rating was upgraded by Bank of America. The stock of General Electric Company (:GE) earned “Buy” rating by Bank of America on Tuesday, November 14. Bank of America downgraded General Electric Company (:GE) rating on Wednesday, April 26. Bank of America has “Neutral” rating and $31 target.

Investors sentiment decreased to 0.79 in 2017 Q2. Its down 0.03, from 0.82 in 2017Q1. It is negative, as 85 investors sold GE shares while 816 reduced holdings. 111 funds opened positions while 598 raised stakes. 4.61 billion shares or 0.66% more from 4.58 billion shares in 2017Q1 were reported. Rech & Mngmt Co reported 111,862 shares or 0.99% of all its holdings. Cardinal Cap Mngmt stated it has 189,261 shares. Gm Advisory Grp Inc Inc invested in 30,850 shares or 0.26% of the stock. Leavell Inv Mgmt invested 0.24% in General Electric Company (:GE). Cohen Lawrence B has invested 0.41% of its portfolio in General Electric Company (:GE). Buckingham Asset Ltd Liability Corporation owns 0.69% invested in General Electric Company (:GE) for 108,172 shares. Engineers Gate Manager Limited Partnership accumulated 27,088 shares. Efg Asset Mgmt (Americas) Corporation holds 0.08% or 7,750 shares. Moreover, Gabelli Funds Ltd Liability Corporation has 0.32% invested in General Electric Company (:GE). Exchange Capital Mgmt Inc invested in 0.75% or 82,244 shares. Schroder Investment Mgmt Group has invested 0.27% in General Electric Company (:GE). Shapiro Capital Ltd Llc reported 18,868 shares stake. Proffitt And Goodson Incorporated holds 46,352 shares. Mcdaniel Terry Com reported 0.04% in General Electric Company (:GE). Moreover, National Bank Of Stockton has 0.66% invested in General Electric Company (:GE).

Ashland Global Holdings Inc. provides specialty chemical solutions worldwide. The company has market cap of $4.49 billion. It operates through Specialty Ingredients, Performance Materials, and Valvoline divisions. It currently has negative earnings. The firm provides products, technologies, and resources for solving formulation and product-performance challenges.

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