Axa reported 0% of its portfolio in QEP Resources, Inc. While it's Return on Investment (ROI) value is 6.3%. The company has a market cap of $2,301.25, a PE ratio of 8.04, a P/E/G ratio of 11.55 and a beta of 1.70.
The stock decreased 1.94% or $0.19 during the last trading session, reaching $9.36. About 5.86M shares traded.
Checking on current price levels compared to prior highs and lows, we have seen that QEP Resources, Inc. It has underperformed by 51.27% the S&P500.
Investors sentiment decreased to 1.23 in Q3 2017. It turned negative, as 37 investors sold QEP shares while 74 reduced holdings. 46 funds opened positions while 90 raised stakes. To make a proper assessment, investors seek a sound estimate of this year's and next year's earnings per share (EPS), as well as a strong sense of how much the company will earn even farther down the road. 219.29 million shares or 0.85% less from 221.16 million shares in 2017Q2 were reported. (NYSE:QEP). Utah Retirement Sys reported 43,894 shares or 0.01% of all its holdings. That suggests something of the likelihood of a short squeeze in shares of QEP. Reilly Advsrs Ltd Limited Liability Company holds 0% or 150 shares in its portfolio. State Board Of Administration Of Florida Retirement System reported 371,650 shares. Hsbc Public Limited Co invested in 32,508 shares or 0% of the stock. 395.35 million shares or 2.44% less from 405.25 million shares in 2017Q2 were reported. Flinton Capital Management LLC now owns 275,184 shares of the pipeline company's stock valued at $2,633,000 after acquiring an additional 75,776 shares during the period. Metropolitan Life Com Ny has 226,236 shares for 0.01% of their portfolio. This is the signal from the 20-day MA which is used to monitor changes in share price. Bank Of Ny Mellon Corp stated it has 0.01% of its portfolio in QEP Resources, Inc. According to these analysts, the Low Revenue Estimate for QEP Resources, Inc.is 344.76 Million and the High Revenue Estimate is 451 Million. (NYSE:QEP) for 1.13M shares. Where the relative strength index (RSI) is a technical momentum indicator that compares the magnitude of recent gains to recent losses in an attempt to determine excess buying & selling conditions of an asset, it is one of the most popular technical indicators, computed on the basis of the speed and direction of a stock's price movement. (NYSE:QEP) has a Piotroski F-Score of 7. Globeflex Cap Limited Partnership holds 0.53% in The Children's Place, Inc. Previously Qep Resources (NYSE:QEP) reported $-0.14 earnings per share (EPS) for the quarter, missing the consensus estimate of $-0.07 by $-0.07 with surprise factor of -100%. Putnam Ltd reported 0% in QEP Resources, Inc.
Key Group Holdings Cayman Ltd increased its stake in Qep Res Inc (QEP) by 155% based on its latest 2017Q3 regulatory filing with the SEC. World Wrestling Entertain (NYSE:WWE) was reduced too.
Taking a peek at sell-side analyst views, we can see that the current consensus target price for the company is $13.83. Therefore 52% are positive.
Several equities research analysts have recently issued reports on QEP shares. The company was maintained on Tuesday, June 14 by Deutsche Bank. Canaccord Genuity maintained the shares of LH in report on Wednesday, February 28 with "Buy" rating. The stock has "Hold" rating by Piper Jaffray on Thursday, July 20.
A number of other analysts have also issued reports on the company. Barclays Capital maintained it with "Overweight" rating and $9 target in Wednesday, October 11 report. The firm has "Buy" rating given on Wednesday, March 16 by KLR Group. BMO Capital Markets maintained the stock with "Market Perform" rating in Friday, November 17 report. The stock has "Neutral" rating by Mizuho on Tuesday, March 21.
The stock is now showing YTD performance of -0.21 Percent. About 108,332 shares traded. Old Second Bancorp, Inc. Laboratory Corporation of America Holdings (NYSE:LH) has risen 10.51% since March 5, 2017 and is uptrending. It has outperformed by 27.40% the S&P500. Victory Mngmt holds 0.53% or 3.68 million shares in its portfolio. Institutional investors and hedge funds own 93.28% of the company's stock.
Investors sentiment decreased to 0.79 in 2017 Q3.
Talara Capital Management Llc, which manages about $249.36M and $192.43M US Long portfolio, decreased its stake in Monsanto Co New (NYSE:MON) by 25,662 shares to 68,111 shares, valued at $8.16M in 2017Q3, according to the filing.
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