Trending Stock News

Monsanto Co New Com (MON) Shareholder Assetmark Increased Position by $4.09 Million as Stock Price Rose; As Canadian Nat Res LTD (CNQ) Share Price Rose, 3G Capital Partners LP Upped Stake by $16.50 Million

3G Capital Partners Lp increased its stake in Canadian Nat Res Ltd (CNQ) by 50% based on its latest 2017Q3 regulatory filing with the SEC. 3G Capital Partners Lp bought 500,000 shares as the company’s stock rose 3.36% with the market. The hedge fund held 1.50 million shares of the oil & gas production company at the end of 2017Q3, valued at $50.24 million, up from 1.00M at the end of the previous reported quarter. 3G Capital Partners Lp who had been investing in Canadian Nat Res Ltd for a number of months, seems to be bullish on the $44.62B market cap company. The stock decreased 0.33% or $0.12 during the last trading session, reaching $36.15. About 1.84 million shares traded. Canadian Natural Resources Limited (NYSE:CNQ) has risen 10.32% since January 20, 2017 and is uptrending. It has underperformed by 6.38% the S&P500.

Assetmark Inc increased its stake in Monsanto Co New Com (MON) by 5841.67% based on its latest 2017Q3 regulatory filing with the SEC. Assetmark Inc bought 34,349 shares as the company’s stock rose 6.51% with the market. The institutional investor held 34,937 shares of the agricultural chemicals company at the end of 2017Q3, valued at $4.19 million, up from 588 at the end of the previous reported quarter. Assetmark Inc who had been investing in Monsanto Co New Com for a number of months, seems to be bullish on the $53.12 billion market cap company. The stock increased 1.51% or $1.8 during the last trading session, reaching $120.66. About 6.99 million shares traded or 147.91% up from the average. Monsanto Company (NYSE:MON) has risen 15.46% since January 20, 2017 and is uptrending. It has underperformed by 1.24% the S&P500.

Assetmark Inc, which manages about $13.57B and $8.79 billion US Long portfolio, decreased its stake in Spdr Index Shs Fds Dj Intl Rl Etf (RWX) by 601,321 shares to 1.05M shares, valued at $40.46 million in 2017Q3, according to the filing. It also reduced its holding in Astrazeneca Plc Sponsored Adr (NYSE:AZN) by 104,487 shares in the quarter, leaving it with 104,227 shares, and cut its stake in Integra Lifesciences Hldgs C Com New (NASDAQ:IART).

Among 23 analysts covering Monsanto Company (NYSE:MON), 12 have Buy rating, 0 Sell and 11 Hold. Therefore 52% are positive. Monsanto Company had 61 analyst reports since August 25, 2015 according to SRatingsIntel. As per Wednesday, September 23, the company rating was reinitiated by Goldman Sachs. The stock has “Overweight” rating by Morgan Stanley on Thursday, August 27. As per Tuesday, September 5, the company rating was maintained by RBC Capital Markets. Jefferies maintained Monsanto Company (NYSE:MON) on Monday, August 14 with “Hold” rating. The company was maintained on Friday, October 9 by Stifel Nicolaus. The rating was maintained by Barclays Capital on Thursday, June 29 with “Hold”. Citigroup downgraded the stock to “Hold” rating in Monday, March 14 report. The rating was maintained by JP Morgan on Thursday, April 7 with “Neutral”. The stock has “Sell” rating by Goldman Sachs on Monday, April 11. The firm has “Buy” rating given on Friday, August 11 by Piper Jaffray.

Investors sentiment decreased to 0.84 in 2017 Q3. Its down 0.14, from 0.98 in 2017Q2. It turned negative, as 48 investors sold MON shares while 342 reduced holdings. 84 funds opened positions while 244 raised stakes. 321.42 million shares or 4.04% more from 308.94 million shares in 2017Q2 were reported. Mariner Wealth Advsr Lc owns 3,797 shares or 0.02% of their US portfolio. Preferred Limited Liability Company owns 0.25% invested in Monsanto Company (NYSE:MON) for 3,630 shares. Ls Inv Advsr Limited Com has invested 0.08% in Monsanto Company (NYSE:MON). 1.25 million were reported by Sumitomo Mitsui Tru Holdings. 713,168 were accumulated by Manufacturers Life Insur The. Mercer Capital Advisers holds 0.02% or 184 shares. 9,285 are held by Acg Wealth. Daiwa has invested 0.01% in Monsanto Company (NYSE:MON). Cornerstone Advisors reported 17,000 shares. Middleton And Co Inc Ma stated it has 11,440 shares or 0.25% of all its holdings. Hightower Advisors Ltd Liability Co stated it has 67,666 shares. Invest House Ltd owns 10,995 shares or 0.17% of their US portfolio. Plancorp Llc invested 2.47% in Monsanto Company (NYSE:MON). Oakbrook Investments Limited Liability has 0.16% invested in Monsanto Company (NYSE:MON). Soros Fund Mngmt Ltd Liability Co owns 0.54% invested in Monsanto Company (NYSE:MON) for 188,539 shares.

Since September 25, 2017, it had 0 insider buys, and 6 sales for $6.90 million activity. 22,640 shares were sold by BEGEMANN BRETT D, worth $2.72M. Ringenberg Nicole M sold $964,553 worth of stock. MIZELL STEVEN sold $1.38 million worth of Monsanto Company (NYSE:MON) on Monday, October 9. Courduroux Pierre sold $527,040 worth of Monsanto Company (NYSE:MON) on Thursday, October 19.

Among 14 analysts covering Canadian Natural Resources Limited (NYSE:CNQ), 11 have Buy rating, 0 Sell and 3 Hold. Therefore 79% are positive. Canadian Natural Resources Limited had 29 analyst reports since July 21, 2015 according to SRatingsIntel. Macquarie Research upgraded the stock to “Outperform” rating in Friday, August 5 report. The firm has “Neutral” rating by Macquarie Research given on Friday, January 8. The rating was downgraded by TD Securities on Friday, April 1 to “Hold”. The firm earned “Outperform” rating on Friday, November 6 by RBC Capital Markets. The stock of Canadian Natural Resources Limited (NYSE:CNQ) has “Buy” rating given on Thursday, June 16 by RBC Capital Markets. Morgan Stanley upgraded the shares of CNQ in report on Wednesday, July 19 to “Overweight” rating. On Friday, June 17 the stock rating was maintained by Citigroup with “Buy”. The stock has “” rating by Raymond James on Friday, August 7. Bank of America initiated Canadian Natural Resources Limited (NYSE:CNQ) on Friday, August 19 with “Buy” rating. The firm has “Outperform” rating given on Friday, December 16 by Wells Fargo.

3G Capital Partners Lp, which manages about $11.34B and $1.08B US Long portfolio, decreased its stake in Altice Usa Inc by 300,000 shares to 1.38 million shares, valued at $37.55 million in 2017Q3, according to the filing. It also reduced its holding in Constellation Brands Inc (NYSE:STZ) by 82,809 shares in the quarter, leaving it with 291,980 shares, and cut its stake in Microsoft Corp (NASDAQ:MSFT).

Receive News & Ratings Via Email - Enter your email address below to receive a concise daily summary of the latest news and analysts' ratings with our FREE daily email newsletter.


Leave a Reply

Your email address will not be published. Required fields are marked *