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Picton Mahoney Asset Management Has Lowered Its General Mtrs Co (Call) (GM) Holding as Stock Price Declined; Brant Point Investment Management Has Lowered F M C (FMC) Position by $1.02 Million as Stock Declined

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Picton Mahoney Asset Management decreased its stake in General Mtrs Co (Call) (GM) by 56.41% based on its latest 2017Q4 regulatory filing with the SEC. Picton Mahoney Asset Management sold 22,000 shares as the company’s stock declined 17.02% with the market. The institutional investor held 17,000 shares of the auto manufacturing company at the end of 2017Q4, valued at $697,000, down from 39,000 at the end of the previous reported quarter. Picton Mahoney Asset Management who had been investing in General Mtrs Co (Call) for a number of months, seems to be less bullish one the $54.98B market cap company. The stock increased 0.23% or $0.09 during the last trading session, reaching $39.26. About 3.36M shares traded. General Motors Company (NYSE:GM) has risen 0.46% since April 17, 2017 and is uptrending. It has underperformed by 11.09% the S&P500.

Ira Unschuld decreased its stake in F M C Corp (FMC) by 21.09% based on its latest 2017Q4 regulatory filing with the SEC. Brant Point Investment Management Llc sold 10,800 shares as the company’s stock declined 21.14% with the market. The hedge fund run by Ira Unschuld held 40,400 shares of the major chemicals company at the end of 2017Q4, valued at $3.82M, down from 51,200 at the end of the previous reported quarter. Brant Point Investment Management Llc who had been investing in F M C Corp for a number of months, seems to be less bullish one the $10.97 billion market cap company. The stock increased 1.14% or $0.92 during the last trading session, reaching $81.54. About 426,061 shares traded. FMC Corporation (NYSE:FMC) has risen 22.51% since April 17, 2017 and is uptrending. It has outperformed by 10.96% the S&P500.

Investors sentiment increased to 0.9 in Q4 2017. Its up 0.03, from 0.87 in 2017Q3. It improved, as 64 investors sold GM shares while 322 reduced holdings. 122 funds opened positions while 225 raised stakes. 999.45 million shares or 1.00% less from 1.01 billion shares in 2017Q3 were reported. Linden Advsrs Lp invested 0.06% of its portfolio in General Motors Company (NYSE:GM). Selway Asset Mngmt holds 0.48% of its portfolio in General Motors Company (NYSE:GM) for 19,700 shares. Oregon Employees Retirement Fund holds 0.74% or 1.13M shares. Schroder Mngmt Group has 0.03% invested in General Motors Company (NYSE:GM) for 424,047 shares. Asset Mgmt One Limited stated it has 0.19% of its portfolio in General Motors Company (NYSE:GM). Legal And General Grp Public Ltd Company owns 0.22% invested in General Motors Company (NYSE:GM) for 7.58M shares. Sva Plumb Wealth Mgmt Lc reported 0.03% stake. Balyasny Asset Mngmt Limited Com holds 0.25% in General Motors Company (NYSE:GM) or 1.98M shares. Evermay Wealth Mgmt Ltd Liability Com holds 23,714 shares. Geode Management Limited Com has invested 0.18% of its portfolio in General Motors Company (NYSE:GM). Omers Administration Corp holds 0.02% or 59,500 shares in its portfolio. Freestone Cap Limited Liability Corporation holds 1.48% of its portfolio in General Motors Company (NYSE:GM) for 522,190 shares. State Board Of Administration Of Florida Retirement owns 1.86 million shares for 0.2% of their portfolio. Tcw Grp Incorporated invested 0.15% in General Motors Company (NYSE:GM). Sterneck Capital Management Limited Liability Company invested 1.25% of its portfolio in General Motors Company (NYSE:GM).

Analysts await General Motors Company (NYSE:GM) to report earnings on April, 26 before the open. They expect $1.26 earnings per share, down 25.88% or $0.44 from last year’s $1.7 per share. GM’s profit will be $1.76B for 7.79 P/E if the $1.26 EPS becomes a reality. After $1.65 actual earnings per share reported by General Motors Company for the previous quarter, Wall Street now forecasts -23.64% negative EPS growth.

Among 29 analysts covering General Motors Company (NYSE:GM), 17 have Buy rating, 3 Sell and 9 Hold. Therefore 59% are positive. General Motors Company had 93 analyst reports since July 24, 2015 according to SRatingsIntel. The stock of General Motors Company (NYSE:GM) earned “Hold” rating by Vetr on Tuesday, August 11. The rating was maintained by UBS on Friday, October 2 with “Buy”. Citigroup maintained it with “Buy” rating and $50 target in Monday, May 16 report. The stock of General Motors Company (NYSE:GM) has “Buy” rating given on Tuesday, October 24 by Piper Jaffray. The stock of General Motors Company (NYSE:GM) earned “Buy” rating by Citigroup on Wednesday, September 2. Bank of America maintained it with “Buy” rating and $60 target in Wednesday, February 7 report. Barclays Capital upgraded the stock to “Overweight” rating in Friday, October 13 report. Jefferies initiated the shares of GM in report on Tuesday, August 9 with “Hold” rating. Daiwa Securities downgraded General Motors Company (NYSE:GM) on Wednesday, January 11 to “Underperform” rating. The firm has “Hold” rating by Jefferies given on Monday, June 12.

Picton Mahoney Asset Management, which manages about $1.40 billion US Long portfolio, upped its stake in Sterling Bancorp Del (NYSE:STL) by 18,500 shares to 702,525 shares, valued at $17.29 million in 2017Q4, according to the filing. It also increased its holding in Advanced Drain Sys Inc Del (NYSE:WMS) by 135,890 shares in the quarter, for a total of 200,390 shares, and has risen its stake in Morgan Stanley (NYSE:MS).

Since December 12, 2017, it had 0 insider buys, and 2 sales for $936,904 activity. Pfeiffer Nicholas sold $33,873 worth of FMC Corporation (NYSE:FMC) on Tuesday, December 12.

Among 32 analysts covering FMC Tech (NYSE:FMC), 22 have Buy rating, 1 Sell and 9 Hold. Therefore 69% are positive. FMC Tech had 95 analyst reports since July 23, 2015 according to SRatingsIntel. The company was initiated on Friday, January 22 by Credit Suisse. The firm earned “Hold” rating on Wednesday, August 2 by Piper Jaffray. The stock has “Buy” rating by RBC Capital Markets on Monday, June 5. The firm has “Buy” rating by Nomura given on Wednesday, November 8. As per Tuesday, August 8, the company rating was maintained by Susquehanna. The firm has “Outperform” rating given on Friday, September 18 by Cowen & Co. The stock of FMC Corporation (NYSE:FMC) earned “Neutral” rating by Citigroup on Friday, July 15. KeyBanc Capital Markets maintained FMC Corporation (NYSE:FMC) on Monday, December 4 with “Buy” rating. FBR Capital upgraded it to “Underperform” rating and $31 target in Thursday, July 23 report. The stock has “Buy” rating by SunTrust on Friday, October 13.

Investors sentiment is 1.09 in 2017 Q4. Its the same as in 2017Q3. It is flat, as 39 investors sold FMC shares while 153 reduced holdings. only 57 funds opened positions while 153 raised stakes. 119.71 million shares or 1.28% more from 118.19 million shares in 2017Q3 were reported. First Interstate National Bank & Trust reported 0% stake. Tiemann Advsr Ltd holds 0.16% or 2,130 shares. Northwestern Mutual Wealth holds 0% of its portfolio in FMC Corporation (NYSE:FMC) for 140 shares. State Of New Jersey Common Pension Fund D holds 0.01% or 19,000 shares in its portfolio. Twin Cap Mngmt stated it has 92,540 shares. Stanley has invested 1.48% in FMC Corporation (NYSE:FMC). Virginia Retirement Systems Et Al has invested 0.01% in FMC Corporation (NYSE:FMC). Lombard Odier Asset Mgmt (Switzerland) holds 0.14% or 14,695 shares in its portfolio. Pub Sector Pension Inv Board invested in 31,230 shares or 0.02% of the stock. State Of Alaska Department Of Revenue has 0.05% invested in FMC Corporation (NYSE:FMC). Howe And Rusling Inc reported 18 shares stake. Kanawha Capital Mngmt Llc holds 16,522 shares. Sit Inv Associate Incorporated invested 0% of its portfolio in FMC Corporation (NYSE:FMC). Deltec Asset Mgmt Ltd Liability Corporation has invested 0.12% in FMC Corporation (NYSE:FMC). Denver Inv Advsrs Ltd Limited Liability Company holds 0.85% or 181,040 shares in its portfolio.

Analysts await FMC Corporation (NYSE:FMC) to report earnings on May, 2 after the close. They expect $1.63 earnings per share, up 279.07% or $1.20 from last year’s $0.43 per share. FMC’s profit will be $219.21M for 12.51 P/E if the $1.63 EPS becomes a reality. After $1.10 actual earnings per share reported by FMC Corporation for the previous quarter, Wall Street now forecasts 48.18% EPS growth.

General Motors Company (NYSE:GM) Institutional Positions Chart

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