Barrow Hanley Mewhinney & Strauss Llc increased Keycorp (KEY) stake by 29.87% reported in 2017Q2 SEC filing. Barrow Hanley Mewhinney & Strauss Llc acquired 5.08M shares as Keycorp (KEY)’s stock declined 6.49%. The Barrow Hanley Mewhinney & Strauss Llc holds 22.09 million shares with $414.00 million value, up from 17.01M last quarter. Keycorp now has $21.25B valuation. The stock increased 1.23% or $0.24 during the last trading session, reaching $19.76. About 16.62 million shares traded or 46.85% up from the average. KeyCorp (NYSE:KEY) has risen 43.10% since December 17, 2016 and is uptrending. It has outperformed by 26.40% the S&P500.
Wealthtrust Axiom Llc decreased Corning Inc (GLW) stake by 6.07% reported in 2017Q2 SEC filing. Wealthtrust Axiom Llc sold 14,544 shares as Corning Inc (GLW)’s stock rose 5.06%. The Wealthtrust Axiom Llc holds 224,988 shares with $6.76M value, down from 239,532 last quarter. Corning Inc now has $27.85 billion valuation. The stock increased 0.75% or $0.24 during the last trading session, reaching $32.05. About 13.38 million shares traded or 154.27% up from the average. Corning Incorporated (NYSE:GLW) has risen 53.38% since December 17, 2016 and is uptrending. It has outperformed by 36.68% the S&P500.
Barrow Hanley Mewhinney & Strauss Llc decreased Ameriprise Financial Inc (NYSE:AMP) stake by 2.17 million shares to 141 valued at $18,000 in 2017Q2. It also reduced American Axle & Manufacturing (NYSE:AXL) stake by 389,148 shares and now owns 3.76M shares. Wal (NYSE:WMT) was reduced too.
Investors sentiment decreased to 1.1 in Q2 2017. Its down 0.08, from 1.18 in 2017Q1. It turned negative, as 42 investors sold KEY shares while 198 reduced holdings. 76 funds opened positions while 207 raised stakes. 857.12 million shares or 1.29% less from 868.28 million shares in 2017Q1 were reported. Rampart Inv Management Com Ltd Com owns 12,103 shares or 0.08% of their US portfolio. Afam Incorporated reported 0.31% of its portfolio in KeyCorp (NYSE:KEY). Sii Investments Wi reported 16,110 shares or 0.02% of all its holdings. Mason Street Advsr Limited Company reported 0.07% of its portfolio in KeyCorp (NYSE:KEY). 1,200 are owned by Evercore Wealth Ltd Liability Com. First Quadrant LP Ca holds 0% or 4,000 shares. Paloma Prtn Management invested 0.01% in KeyCorp (NYSE:KEY). Atlanta Cap Gp stated it has 11,669 shares. Hanson & Doremus Mgmt holds 0% or 74 shares. Moreover, Manufacturers Life Insurance The has 0.17% invested in KeyCorp (NYSE:KEY). The Pennsylvania-based Riggs Asset Managment Co has invested 0.02% in KeyCorp (NYSE:KEY). Schroder Invest Mgmt holds 0.01% in KeyCorp (NYSE:KEY) or 271,790 shares. Lenox Wealth Mngmt holds 0.08% of its portfolio in KeyCorp (NYSE:KEY) for 11,001 shares. White Pine Cap Ltd Llc has invested 0.59% of its portfolio in KeyCorp (NYSE:KEY). Tcw Group Inc Inc has 417,582 shares for 0.06% of their portfolio.
Since August 4, 2017, it had 0 insider buys, and 5 selling transactions for $5.15 million activity. The insider Paine Andrew J III sold $869,610. Shares for $331,560 were sold by Brady Amy G. on Monday, August 7. Mago Angela G sold $92,400 worth of stock. 2,758 shares were sold by Harris Paul N, worth $51,122 on Tuesday, October 24.
Among 32 analysts covering Keycorp (NYSE:KEY), 19 have Buy rating, 2 Sell and 11 Hold. Therefore 59% are positive. Keycorp had 96 analyst reports since July 20, 2015 according to SRatingsIntel. The company was maintained on Friday, November 10 by Robert W. Baird. The firm has “Equal-Weight” rating by Morgan Stanley given on Tuesday, April 12. As per Friday, January 20, the company rating was downgraded by Sandler O’Neill. The stock has “Outperform” rating by Bernstein on Thursday, September 14. The rating was maintained by FBR Capital with “Mkt Perform” on Friday, January 22. The stock has “Overweight” rating by Morgan Stanley on Thursday, December 14. As per Friday, October 30, the company rating was initiated by Standpoint Research. As per Thursday, July 27, the company rating was maintained by RBC Capital Markets. The rating was maintained by Piper Jaffray on Friday, August 25 with “Buy”. On Thursday, June 22 the stock rating was maintained by Keefe Bruyette & Woods with “Hold”.
Analysts await Corning Incorporated (NYSE:GLW) to report earnings on January, 23. They expect $0.47 earnings per share, down 6.00% or $0.03 from last year’s $0.5 per share. GLW’s profit will be $408.45 million for 17.05 P/E if the $0.47 EPS becomes a reality. After $0.43 actual earnings per share reported by Corning Incorporated for the previous quarter, Wall Street now forecasts 9.30% EPS growth.
Investors sentiment decreased to 0.75 in Q2 2017. Its down 0.17, from 0.92 in 2017Q1. It fall, as 42 investors sold GLW shares while 336 reduced holdings. 89 funds opened positions while 257 raised stakes. 627.26 million shares or 3.43% less from 649.52 million shares in 2017Q1 were reported. Salem Inv Counselors Inc stated it has 1,090 shares or 0% of all its holdings. Quantitative Inv Management Ltd Com has invested 0.03% in Corning Incorporated (NYSE:GLW). Cornerstone Capital Mngmt Limited Liability Co, New York-based fund reported 398,407 shares. Eaton Vance Mgmt owns 1.86M shares for 0.15% of their portfolio. Enterprise Finance Services holds 633 shares. Aviva Public Ltd Liability owns 586,303 shares for 0.1% of their portfolio. Lincluden Mgmt Ltd holds 1.19% or 459,171 shares in its portfolio. Private Bancorporation Tru reported 0.04% stake. Ballentine Limited Co reported 0.02% stake. Jacobs & Com Ca reported 1.03% in Corning Incorporated (NYSE:GLW). Carl Domino Inc holds 1.82% or 52,060 shares in its portfolio. Norinchukin Bancorp The holds 126,826 shares or 0.08% of its portfolio. California State Teachers Retirement accumulated 1.72 million shares. Boyer Corporon Wealth Mngmt Ltd invested in 2.13% or 159,174 shares. Sandy Spring Financial Bank invested 0.31% of its portfolio in Corning Incorporated (NYSE:GLW).
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