Tuesday, 2 January 2018

America First Investment Advisors Increased By $462,292 Its Loews Corp. (L) Holding; Carlisle Companies (CSL) Sellers Decreased By 14.91% Their Shorts

America First Investment Advisors Increased By $462,292 Its Loews Corp. (L) Holding; Carlisle Companies (CSL) Sellers Decreased By 14.91% Their Shorts
January 2, 2018 - By Peter Erickson

America First Investment Advisors Llc increased Loews Corp. (L) stake by 3.89% reported in 2017Q3 SEC filing. America First Investment Advisors Llc acquired 9,836 shares as Loews Corp. (L)’s stock declined 2.26%. The America First Investment Advisors Llc holds 262,405 shares with $12.56 million value, up from 252,569 last quarter. Loews Corp. now has $16.80 billion valuation. The stock decreased 0.26% or $0.13 during the last trading session, reaching $49.9. About 245,550 shares traded. Loews Corporation (NYSE:L) has risen 15.12% since January 2, 2017 and is uptrending. It has underperformed by 1.58% the S&P500.



Carlisle Companies Incorporated (NYSE:CSL) had a decrease of 14.91% in short interest. CSL’s SI was 1.38M shares in January as released by FINRA. Its down 14.91% from 1.63 million shares previously. With 274,500 avg volume, 5 days are for Carlisle Companies Incorporated (NYSE:CSL)’s short sellers to cover CSL’s short positions. The stock increased 2.03% or $2.31 during the last trading session, reaching $115.96. About 64,735 shares traded. Carlisle Companies Incorporated (NYSE:CSL) has declined 0.67% since January 2, 2017 and is downtrending. It has underperformed by 17.37% the S&P500.

Carlisle Companies Incorporated operates as a diversified manufacturing firm in the worldwide. The company has market cap of $7.19 billion. The companyƂ’s Construction Materials segment makes and sells rubber, thermoplastic polyolefin, and polyvinyl chloride membrane roofing systems; rigid foam insulation panels for various roofing applications; and liquid and spray-applied waterproofing membranes, vapor and air barriers, and HVAC duct sealants and hardware for the commercial and residential construction markets. It has a 22.93 P/E ratio. The Company’s Interconnect Technologies segment creates and makes wires, cables, connectors, contacts, and cable assemblies for the transfer of power and data primarily for the aerospace, medical, defense electronics, test and measurement equipment, and other industrial markets.

Among 12 analysts covering Carlisle Companies (NYSE:CSL), 7 have Buy rating, 0 Sell and 5 Hold. Therefore 58% are positive. Carlisle Companies had 25 analyst reports since September 1, 2015 according to SRatingsIntel. Topeka Capital Markets initiated the stock with “Buy” rating in Thursday, May 26 report. As per Monday, October 5, the company rating was maintained by Oppenheimer. Northcoast downgraded the stock to “Neutral” rating in Thursday, June 2 report. RBC Capital Markets maintained Carlisle Companies Incorporated (NYSE:CSL) rating on Thursday, October 22. RBC Capital Markets has “Sector Perform” rating and $89 target. The stock has “Sector Weight” rating by KeyBanc Capital Markets on Tuesday, September 29. The firm has “Buy” rating by BMO Capital Markets given on Tuesday, October 24. The rating was downgraded by Longbow to “Neutral” on Tuesday, November 29. The firm earned “Buy” rating on Wednesday, December 16 by Wunderlich. As per Wednesday, June 14, the company rating was downgraded by Oppenheimer. The rating was maintained by BMO Capital Markets with “Buy” on Friday, April 21.

Since August 30, 2017, it had 0 insider purchases, and 1 sale for $589,438 activity. The insider Berlin John E sold 6,250 shares worth $589,438.

Investors sentiment decreased to 0.85 in 2017 Q3. Its down 0.05, from 0.9 in 2017Q2. It dropped, as 31 investors sold Carlisle Companies Incorporated shares while 118 reduced holdings. 46 funds opened positions while 81 raised stakes. 53.11 million shares or 1.54% less from 53.95 million shares in 2017Q2 were reported. Brandywine Global Investment Limited, Pennsylvania-based fund reported 51,200 shares. 74,831 are held by United Svcs Automobile Association. Ontario – Canada-based Royal Natl Bank Of Canada has invested 0% in Carlisle Companies Incorporated (NYSE:CSL). Highbridge Mgmt Ltd Llc owns 4,934 shares. Davenport And Com Limited Com, a Virginia-based fund reported 4,110 shares. 20,154 are held by Tocqueville Asset Management L P. Huntington Bancshares owns 3,347 shares for 0.01% of their portfolio. State Of Tennessee Treasury Department has invested 0.04% of its portfolio in Carlisle Companies Incorporated (NYSE:CSL). Morgan Stanley owns 0.01% invested in Carlisle Companies Incorporated (NYSE:CSL) for 210,814 shares. Jefferies Gp Limited Company invested in 0.01% or 12,924 shares. Bluecrest Cap Mngmt Limited holds 13,079 shares. Comerica Bankshares stated it has 50,759 shares. Natixis invested 0.07% of its portfolio in Carlisle Companies Incorporated (NYSE:CSL). M&T Bankshares holds 0% or 5,429 shares. Victory Management Inc stated it has 1.16 million shares.

Investors sentiment decreased to 1 in 2017 Q3. Its down 0.31, from 1.31 in 2017Q2. It dropped, as 34 investors sold L shares while 137 reduced holdings. 47 funds opened positions while 124 raised stakes. 196.05 million shares or 0.97% more from 194.17 million shares in 2017Q2 were reported. Glenmede Tru Com Na holds 1,646 shares. Gargoyle Inv Advisor Ltd Liability Co accumulated 21,948 shares. Price T Rowe Incorporated Md reported 22.81 million shares. Srb Corp reported 0.02% in Loews Corporation (NYSE:L). Blackrock Incorporated has invested 0.04% of its portfolio in Loews Corporation (NYSE:L). Waters Parkerson Ltd reported 12,400 shares. Sentinel Tru Communication Lba owns 44,383 shares. Us Retail Bank De holds 23,266 shares. Vanguard Grp Inc Incorporated holds 18.93M shares or 0.04% of its portfolio. Earnest Ltd Liability Corporation owns 4,465 shares or 0% of their US portfolio. Strategy Asset Managers Limited has 0.53% invested in Loews Corporation (NYSE:L) for 54,559 shares. Laurion Cap Management Lp holds 91,700 shares. Capstone Investment Advisors Limited stated it has 12,651 shares. Baystate Wealth Mgmt Ltd Liability Co accumulated 668 shares. Public Sector Pension Inv Board reported 31,057 shares.

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