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Compass Diversified Holdings (CODI) EPS Estimated At $0.44; Aqr Capital Management Has Cut Strayer Ed (STRA) Stake

Aqr Capital Management Llc decreased Strayer Ed Inc (STRA) stake by 55.99% reported in 2017Q3 SEC filing. Aqr Capital Management Llc sold 11,230 shares as Strayer Ed Inc (STRA)’s stock rose 11.26%. The Aqr Capital Management Llc holds 8,827 shares with $770,000 value, down from 20,057 last quarter. Strayer Ed Inc now has $994.99 million valuation. The stock increased 0.08% or $0.07 during the last trading session, reaching $92.98. About 47,426 shares traded. Strayer Education, Inc. (NASDAQ:STRA) has risen 93.51% since February 18, 2017 and is uptrending. It has outperformed by 76.81% the S&P500.

Analysts expect Compass Diversified Holdings LLC (NYSE:CODI) to report $0.44 EPS on March, 7.They anticipate $0.37 EPS change or 528.57% from last quarter’s $0.07 EPS. CODI’s profit would be $26.36 million giving it 9.35 P/E if the $0.44 EPS is correct. After having $0.25 EPS previously, Compass Diversified Holdings LLC’s analysts see 76.00% EPS growth. The stock decreased 1.20% or $0.2 during the last trading session, reaching $16.45. About 89,979 shares traded. Compass Diversified Holdings LLC (NYSE:CODI) has risen 3.37% since February 18, 2017 and is uptrending. It has underperformed by 13.33% the S&P500.

Among 4 analysts covering Strayer Education Inc. (NASDAQ:STRA), 1 have Buy rating, 1 Sell and 2 Hold. Therefore 25% are positive. Strayer Education Inc. had 8 analyst reports since October 29, 2015 according to SRatingsIntel. Piper Jaffray maintained Strayer Education, Inc. (NASDAQ:STRA) on Thursday, July 20 with “Hold” rating. The firm earned “Neutral” rating on Wednesday, February 3 by Credit Suisse. Piper Jaffray maintained Strayer Education, Inc. (NASDAQ:STRA) on Monday, October 16 with “Hold” rating. The firm has “Hold” rating given on Monday, December 4 by Piper Jaffray. As per Friday, September 15, the company rating was maintained by BMO Capital Markets. The firm has “Outperform” rating by BMO Capital Markets given on Tuesday, October 31.

Aqr Capital Management Llc increased Cracker Barrel Old Ctry Stor (NASDAQ:CBRL) stake by 78,138 shares to 486,871 valued at $73.96 million in 2017Q3. It also upped Coca Cola Bottling Co Cons (NASDAQ:COKE) stake by 13,605 shares and now owns 22,259 shares. Quantum Corp was raised too.

Investors sentiment decreased to 1.14 in Q3 2017. Its down 0.11, from 1.25 in 2017Q2. It dived, as 12 investors sold STRA shares while 39 reduced holdings. 13 funds opened positions while 45 raised stakes. 10.45 million shares or 0.67% more from 10.38 million shares in 2017Q2 were reported. Blackrock has invested 0.01% in Strayer Education, Inc. (NASDAQ:STRA). Rice Hall James & Associate Ltd Liability Co has 129,512 shares. Great West Life Assurance Can has 14,359 shares. Voya Inv Management Limited Liability Corporation holds 5,070 shares. Thrivent Financial For Lutherans invested in 0% or 6,460 shares. Dimensional Fund Advisors Lp holds 0.02% or 442,903 shares. Whittier Trust reported 0% in Strayer Education, Inc. (NASDAQ:STRA). Tower Capital Lc (Trc) holds 0.01% of its portfolio in Strayer Education, Inc. (NASDAQ:STRA) for 1,162 shares. National Bank & Trust Of Montreal Can reported 556 shares stake. Principal Fin Gru holds 80,161 shares or 0.01% of its portfolio. Metropolitan Life Insur New York has invested 0% in Strayer Education, Inc. (NASDAQ:STRA). 4,540 were reported by Jacobs Levy Equity Mgmt. 17,011 were accumulated by California State Teachers Retirement System. Glenmede Tru Na has invested 0% in Strayer Education, Inc. (NASDAQ:STRA). Teachers Retirement Systems Of The State Of Kentucky owns 0% invested in Strayer Education, Inc. (NASDAQ:STRA) for 2,800 shares.

Investors sentiment increased to 1.32 in 2017 Q3. Its up 0.04, from 1.28 in 2017Q2. It increased, as 14 investors sold Compass Diversified Holdings LLC shares while 17 reduced holdings. 10 funds opened positions while 31 raised stakes. 19.09 million shares or 0.09% less from 19.11 million shares in 2017Q2 were reported. Legal General Grp Public Limited Co owns 173,880 shares. Gp Incorporated One Trading L P reported 0% of its portfolio in Compass Diversified Holdings LLC (NYSE:CODI). Cranbrook Wealth Lc has 5,179 shares. California Employees Retirement Systems reported 0% stake. 179,400 are held by Alps Advsr. Missouri-based First Allied Advisory has invested 0.01% in Compass Diversified Holdings LLC (NYSE:CODI). Baystate Wealth Limited invested in 500 shares or 0% of the stock. Cambridge Invest Research Advisors Inc reported 15,278 shares stake. Advisory Service Net Ltd Liability Corporation holds 0% in Compass Diversified Holdings LLC (NYSE:CODI) or 250 shares. Smithfield Trust holds 0.01% of its portfolio in Compass Diversified Holdings LLC (NYSE:CODI) for 3,536 shares. 49,025 were reported by Raymond James Serv Advsr Inc. Millennium Ltd Co reported 0% in Compass Diversified Holdings LLC (NYSE:CODI). Northern Tru has 0% invested in Compass Diversified Holdings LLC (NYSE:CODI). Glenmede Na accumulated 32 shares or 0% of the stock. 100 are held by Hudock Capital Ltd Liability.

Among 5 analysts covering Compass Diversified Holdings (NYSE:CODI), 4 have Buy rating, 0 Sell and 1 Hold. Therefore 80% are positive. Compass Diversified Holdings had 9 analyst reports since August 25, 2015 according to SRatingsIntel. As per Thursday, November 9, the company rating was maintained by SunTrust. The company was initiated on Tuesday, October 27 by Janney Capital. The rating was maintained by Jefferies on Friday, November 3 with “Buy”. The firm earned “Buy” rating on Tuesday, August 15 by Jefferies. Janney Capital reinitiated the stock with “Neutral” rating in Wednesday, May 4 report. The firm earned “Buy” rating on Friday, September 22 by Jefferies. The firm has “Buy” rating given on Tuesday, June 6 by Jefferies. The firm has “Buy” rating given on Tuesday, August 25 by Bank of America. The firm has “Buy” rating by Suntrust Robinson given on Wednesday, July 20.

Compass Diversified Holdings LLC is a private equity firm specializing in acquisitions, buyouts, industry consolidation, recapitalization, and middle market investments. The company has market cap of $985.36 million. It seeks to invest in niche industrial or branded consumer companies, manufacturing, distribution, consumer products, and business services sectors. It currently has negative earnings. The firm prefers to invest in companies based in North America.

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