King Luther Capital Management Corp increased its stake in Newell Brands Inc (NWL) by 6.99% based on its latest 2017Q3 regulatory filing with the SEC. King Luther Capital Management Corp bought 224,036 shares as the company’s stock rose 13.21% with the market. The institutional investor held 3.43 million shares of the plastic products company at the end of 2017Q3, valued at $146.23M, up from 3.20 million at the end of the previous reported quarter. King Luther Capital Management Corp who had been investing in Newell Brands Inc for a number of months, seems to be bullish on the $14.10 billion market cap company. The stock decreased 0.45% or $0.13 during the last trading session, reaching $28.76. About 1.42M shares traded. Newell Brands Inc. (NYSE:NWL) has risen 11.94% since March 16, 2017 and is uptrending. It has underperformed by 4.76% the S&P500.
Wilmot B. Harkey decreased its stake in Owens Rlty Mtg Inc (ORM) by 5.47% based on its latest 2017Q3 regulatory filing with the SEC. Nantahala Capital Management Llc sold 35,435 shares as the company’s stock declined 4.21% while stock markets rallied. The hedge fund run by Wilmot B. Harkey held 611,878 shares of the consumer services company at the end of 2017Q3, valued at $11.14 million, down from 647,313 at the end of the previous reported quarter. Nantahala Capital Management Llc who had been investing in Owens Rlty Mtg Inc for a number of months, seems to be less bullish one the $146.61M market cap company. The stock increased 0.14% or $0.02 during the last trading session, reaching $14.6. About 12,834 shares traded. Owens Realty Mortgage, Inc. (NYSEMKT:ORM) has declined 2.65% since March 16, 2017 and is downtrending. It has underperformed by 19.35% the S&P500.
Among 20 analysts covering Newell Rubbermaid Inc. (NYSE:NWL), 9 have Buy rating, 0 Sell and 11 Hold. Therefore 45% are positive. Newell Rubbermaid Inc. had 62 analyst reports since August 4, 2015 according to SRatingsIntel. The company was maintained on Sunday, November 5 by Forward View Consulting. The stock of Newell Brands Inc. (NYSE:NWL) has “Hold” rating given on Friday, November 3 by Jefferies. The rating was downgraded by Raymond James to “Market Perform” on Friday, November 3. The rating was reinitiated by Wells Fargo on Tuesday, November 15 with “Outperform”. The stock has “Buy” rating by RBC Capital Markets on Thursday, June 8. The firm has “Buy” rating given on Monday, August 7 by Forward View Consulting. The firm has “Outperform” rating by RBC Capital Markets given on Tuesday, September 8. The stock of Newell Brands Inc. (NYSE:NWL) has “Mkt Perform” rating given on Tuesday, December 15 by Raymond James. Jefferies downgraded it to “Hold” rating and $47.0 target in Thursday, September 14 report. On Thursday, November 2 the stock rating was downgraded by JP Morgan to “Neutral”.
Investors sentiment increased to 1.11 in Q3 2017. Its up 0.17, from 0.94 in 2017Q2. It improved, as 71 investors sold NWL shares while 188 reduced holdings. 70 funds opened positions while 217 raised stakes. 442.84 million shares or 0.35% more from 441.31 million shares in 2017Q2 were reported. Arrowstreet Cap Ltd Partnership has invested 0% in Newell Brands Inc. (NYSE:NWL). Voya Investment Ltd Liability Corp invested in 262,555 shares or 0.02% of the stock. Connable Office reported 56,146 shares. Mackenzie Financial Corporation invested in 0.01% or 58,800 shares. Morgan Stanley holds 0.06% or 4.75M shares in its portfolio. 11,145 are owned by Bokf Na. Capital Invsts has invested 0.74% of its portfolio in Newell Brands Inc. (NYSE:NWL). Chicago Equity Prtnrs Ltd Liability stated it has 7,785 shares or 0.01% of all its holdings. Legal & General Group Public Lc accumulated 2.23 million shares or 0.07% of the stock. Guggenheim Cap Limited Liability has invested 0.07% of its portfolio in Newell Brands Inc. (NYSE:NWL). Congress Asset Mngmt Ma has invested 0.16% in Newell Brands Inc. (NYSE:NWL). Great West Life Assurance Can has 0.04% invested in Newell Brands Inc. (NYSE:NWL) for 341,645 shares. Laurion Mgmt Limited Partnership owns 12,200 shares or 0% of their US portfolio. Rockefeller has 2,250 shares. Stonebridge Capital accumulated 5,050 shares.
King Luther Capital Management Corp, which manages about $16.93 billion and $11.42B US Long portfolio, decreased its stake in Logmein Inc (NASDAQ:LOGM) by 3,016 shares to 6,262 shares, valued at $689,000 in 2017Q3, according to the filing. It also reduced its holding in Criteo S A (NASDAQ:CRTO) by 13,200 shares in the quarter, leaving it with 42,185 shares, and cut its stake in Berkshire Hathaway Inc Del (BRKB).