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Wesbanco Bank Inc. Boosts Holdings in ConocoPhillips (NYSE:COP)
Wesbanco Bank Inc. Boosts Holdings in ConocoPhillips (NYSE:COP)
Wesbanco Bank Inc. raised its stake in shares of ConocoPhillips (NYSE:COP – Get Rating) by 4.7% during the 2nd quarter, according to the company in its most recent Form 13F filing with the Securities & Exchange Commission. The institutional investor owned 135,367 shares of the energy producer's stock after purchasing an additional 6,129 shares during the period. Wesbanco Bank Inc.'s holdings in ConocoPhillips were worth $12,157,000 at the end of the most recent quarter.
Several other hedge funds and other institutional investors have also added to or reduced their stakes in COP. Capital World Investors lifted its holdings in ConocoPhillips by 62.4% during the first quarter. Capital World Investors now owns 23,463,085 shares of the energy producer's stock valued at $2,346,309,000 after purchasing an additional 9,014,700 shares in the last quarter. Diamond Hill Capital Management Inc. purchased a new position in ConocoPhillips during the first quarter valued at $702,569,000. BlackRock Inc. lifted its holdings in ConocoPhillips by 3.4% during the fourth quarter. BlackRock Inc. now owns 111,073,845 shares of the energy producer's stock valued at $8,017,310,000 after purchasing an additional 3,652,817 shares in the last quarter. Capital Research Global Investors raised its position in shares of ConocoPhillips by 28.2% in the first quarter. Capital Research Global Investors now owns 12,335,053 shares of the energy producer's stock valued at $1,233,506,000 after buying an additional 2,715,820 shares during the last quarter. Finally, Cowa LLC raised its position in shares of ConocoPhillips by 6,475.2% in the first quarter. Cowa LLC now owns 2,375,224 shares of the energy producer's stock valued at $2,383,000 after buying an additional 2,339,100 shares during the last quarter. 79.66% of the stock is owned by hedge funds and other institutional investors.
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ConocoPhillips Trading Down 8.6 %
Shares of COP traded down $9.47 during trading on Friday, reaching $100.59. 10,157,266 shares of the company traded hands, compared to its average volume of 6,900,776. ConocoPhillips has a twelve month low of $63.54 and a twelve month high of $124.08. The stock has a market cap of $130.11 billion, a PE ratio of 8.31, a price-to-earnings-growth ratio of 0.35 and a beta of 1.31. The stock has a 50-day simple moving average of $102.78 and a 200-day simple moving average of $101.29. The company has a quick ratio of 1.44, a current ratio of 1.54 and a debt-to-equity ratio of 0.32.
ConocoPhillips (NYSE:COP – Get Rating) last announced its quarterly earnings results on Thursday, August 4th. The energy producer reported $3.91 earnings per share for the quarter, beating analysts' consensus estimates of $3.78 by $0.13. ConocoPhillips had a net margin of 23.10% and a return on equity of 31.24%. The business had revenue of $21.99 billion during the quarter, compared to analysts' expectations of $19.71 billion. During the same period last year, the business earned $1.27 earnings per share. On average, analysts anticipate that ConocoPhillips will post 14.54 earnings per share for the current year.
ConocoPhillips Dividend Announcement
The firm also recently disclosed a None dividend, which will be paid on Friday, October 14th. Stockholders of record on Thursday, September 29th will be paid a $1.40 dividend. The ex-dividend date is Thursday, September 29th. ConocoPhillips's payout ratio is 15.19%.
Insider Activity
In other news, EVP Nicholas G. Olds sold 10,950 shares of the firm's stock in a transaction that occurred on Wednesday, September 14th. The shares were sold at an average price of $116.52, for a total value of $1,275,894.00. The transaction was disclosed in a document filed with the Securities & Exchange Commission, which is available at this hyperlink. Insiders own 0.08% of the company's stock.
Analyst Ratings Changes
A number of equities research analysts have recently commented on the stock. The Goldman Sachs Group reduced their target price on shares of ConocoPhillips from $140.00 to $123.00 and set a "buy" rating for the company in a research report on Wednesday, June 22nd. Piper Sandler increased their target price on shares of ConocoPhillips from $123.00 to $134.00 and gave the company an "overweight" rating in a research report on Monday, September 12th. Societe Generale increased their target price on shares of ConocoPhillips to $127.00 in a research report on Thursday, June 9th. Bank of America increased their target price on shares of ConocoPhillips from $134.00 to $140.00 and gave the company a "buy" rating in a research report on Monday, September 19th. Finally, Mizuho reduced their target price on shares of ConocoPhillips from $148.00 to $138.00 and set a "buy" rating for the company in a research report on Thursday, August 18th. Three investment analysts have rated the stock with a hold rating, fourteen have given a buy rating and one has assigned a strong buy rating to the stock. According to data from MarketBeat.com, the company has an average rating of "Moderate Buy" and a consensus price target of $121.79.
About ConocoPhillips
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ConocoPhillips explores for, produces, transports, and markets crude oil, bitumen, natural gas, liquefied natural gas (LNG), and natural gas liquids worldwide. It primarily engages in the conventional and tight oil reservoirs, shale gas, heavy oil, LNG, oil sands, and other production operations. The company's portfolio includes unconventional plays in North America; conventional assets in North America, Europe, Asia, and Australia; various LNG developments; oil sands assets in Canada; and an inventory of conventional and unconventional exploration prospects.
WesBanco Bank Inc.在提交給美國證券交易委員會的最新Form 13F文件中稱,該行在第二季度將康菲石油(紐約證券交易所代碼:COP-GET Rating)的持股比例提高了4.7%。該機構投資者持有這家能源生產商135,367股股票,在此期間又購買了6,129股。截至最近一個季度末,WesBanco Bank Inc.持有的康菲石油股份價值12,157,000美元。
其他幾家對衝基金和其他機構投資者也增持或減持了COP的股份。資本世界投資者在第一季度增持了62.4%的康菲石油股份。Capital World Investors現在持有這家能源生產商23,463,085股股票,價值2,346,309,000美元,上個季度又購買了9,014,700股。鑽石山資本管理公司在第一季度購買了康菲石油的新頭寸,價值702,569,000美元。貝萊德股份有限公司在第四季度增持了3.4%的康菲石油股份。貝萊德股份有限公司目前持有這家能源生產商111,073,845股股票,價值8,017,310,000美元,上個季度又購買了3,652,817股。Capital Research Global Investors在第一季度將康菲石油的股票持倉提高了28.2%。Capital Research Global Investors現在持有這家能源生產商12,335,053股股票,價值1,233,506,000美元,上個季度又購買了2,715,820股。最後,考華有限責任公司在第一季度將其在康菲石油股票的持倉量提高了6,475.2%。在上個季度又購買了2,339,100股後,Coba LLC現在擁有這家能源生產商2,375,224股股票,價值2,383,000美元。79.66%的股票由對衝基金和其他機構投資者持有。
到達康菲石油警報:
康菲石油股價下跌8.6%
在週五的交易中,CoP的股價下跌了9.47美元,達到100.59美元。該公司有10,157,266股易手,而其平均成交量為6,900,776股。康菲石油的12個月低點為63.54美元,12個月高位為124.08美元。該股市值為1,301.1億美元,市盈率為8.31倍,市盈率為0.35倍,貝塔係數為1.31。該股的50日簡單移動均線切入位為102.78美元,200日簡單移動均線切入位為101.29美元。該公司的速動比率為1.44,流動比率為1.54,債務權益比為0.32。
康菲石油(紐約證券交易所代碼:COP-GET Rating)上一次公佈季度收益是在8月4日星期四。這家能源生產商公佈本季度每股收益為3.91美元,比分析師普遍預期的3.78美元高出0.13美元。康菲石油的淨利潤率為23.10%,股本回報率為31.24%。該業務當季營收為219.9億美元,高於分析師預期的197.1億美元。去年同期,該業務每股收益為1.27美元。分析師平均預計,康菲石油本年度每股收益為14.54歐元。
康菲石油分紅公告
該公司最近還披露了一項零股息,將於10月14日(星期五)支付。9月29日(星期四)登記在冊的股東將獲得1.40美元的股息。除息日為9月29日(星期四)。康菲石油的派息率為15.19%.
內幕活動
在其他新聞方面,執行副總裁尼古拉斯·G·奧茲在9月14日星期三的一筆交易中出售了10,950股該公司的股票。這些股票的平均價格為116.52美元,總價值為1,275,894.00美元。這筆交易是在提交給美國證券交易委員會的一份文件中披露的,該文件可在此超鏈接。內部人士持有該公司0.08%的股份。
分析師評級發生變化
一些股票研究分析師最近對該股發表了評論。高盛夫婦將康菲石油股票的目標價從140.00美元下調至123.00美元,並在6月22日星期三的一份研究報告中為該公司設定了買入評級。派珀·桑德勒將康菲石油股票的目標價從123.00美元上調至134.00美元,並在12日(週一)的一份研究報告中給予該公司“增持”評級。法國興業銀行在6月9日週四的一份研究報告中將康菲石油股票的目標價上調至127.00美元。9月19日週一,美國銀行在一份研究報告中將康菲石油股票的目標價從134.00美元上調至140.00美元,並給予該公司“買入”評級。最後,瑞穗在8月18日(週四)的一份研究報告中將康菲石油的股票目標價從148.00美元下調至138.00美元,併為該公司設定了“買入”評級。三名投資分析師對該股的評級為持有,14名分析師給出了買入評級,一名分析師給出了強烈的買入評級。根據MarketBeat.com的數據,該公司的平均評級為“適度買入”,共識目標價為121.79美元。
關於康菲石油
(獲取評級)
康菲石油在全球勘探、生產、運輸和銷售原油、瀝青、天然氣、液化天然氣和天然氣液體。它主要從事常規和緻密油藏、頁巖氣、重油、液化天然氣、油砂等生產業務。該公司的投資組合包括北美的非常規業務;北美、歐洲、亞洲和澳大利亞的常規資產;各種液化天然氣開發;加拿大的油砂資產;以及常規和非常規勘探前景的清單。
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在新加坡,moomoo上的投資產品和服務是通過Moomoo Financial Singapore Pte. Ltd.提供,該公司受新加坡金融管理局(MAS)監管(牌照號碼︰CMS101000) ,持有資本市場服務牌照 (CMS) ,持有財務顧問豁免(Exempt Financial Adviser)資質。本內容未經新加坡金融管理局的審查。
在澳大利亞,moomoo上的金融產品和服務是通過Futu Securities (Australia) Ltd提供,該公司是受澳大利亞證券和投資委員會(ASIC)監管的澳大利亞金融服務許可機構(AFSL No. 224663)。請閱讀並理解我們的《金融服務指南》、《條款與條件》、《隱私政策》和其他披露文件,這些文件可在我們的網站 https://www.moomoo.com/au中獲取。
在加拿大,透過moomoo應用程式提供的僅限訂單執行的券商服務由Moomoo Financial Canada Inc.提供,並受加拿大投資監管機構(CIRO)監管。
在馬來西亞,moomoo上的投資產品和服務是透過Moomoo Securities Malaysia Sdn. Bhd. 提供,該公司受馬來西亞證券監督委員會(SC)監管(牌照號碼︰eCMSL/A0397/2024) ,持有資本市場服務牌照 (CMSL) 。本內容未經馬來西亞證券監督委員會的審查。
Moomoo Technologies Inc., Moomoo Financial Inc., Moomoo Financial Singapore Pte. Ltd.,Futu Securities (Australia) Ltd, Moomoo Financial Canada Inc和Moomoo Securities Malaysia Sdn. Bhd., 是關聯公司。
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moomoo是Moomoo Technologies Inc.公司提供的金融資訊和交易應用程式。
在美國,moomoo上的投資產品和服務由Moomoo Financial Inc.提供,一家受美國證券交易委員會(SEC)監管的持牌主體。 Moomoo Financial Inc.是金融業監管局(FINRA)和證券投資者保護公司(SIPC)的成員。
在新加坡,moomoo上的投資產品和服務是通過Moomoo Financial Singapore Pte. Ltd.提供,該公司受新加坡金融管理局(MAS)監管(牌照號碼︰CMS101000) ,持有資本市場服務牌照 (CMS) ,持有財務顧問豁免(Exempt Financial Adviser)資質。本內容未經新加坡金融管理局的審查。
在澳大利亞,moomoo上的金融產品和服務是通過Futu Securities (Australia) Ltd提供,該公司是受澳大利亞證券和投資委員會(ASIC)監管的澳大利亞金融服務許可機構(AFSL No. 224663)。請閱讀並理解我們的《金融服務指南》、《條款與條件》、《隱私政策》和其他披露文件,這些文件可在我們的網站 https://www.moomoo.com/au中獲取。
在加拿大,透過moomoo應用程式提供的僅限訂單執行的券商服務由Moomoo Financial Canada Inc.提供,並受加拿大投資監管機構(CIRO)監管。
在馬來西亞,moomoo上的投資產品和服務是透過Moomoo Securities Malaysia Sdn. Bhd. 提供,該公司受馬來西亞證券監督委員會(SC)監管(牌照號碼︰eCMSL/A0397/2024) ,持有資本市場服務牌照 (CMSL) 。本內容未經馬來西亞證券監督委員會的審查。
Moomoo Technologies Inc., Moomoo Financial Inc., Moomoo Financial Singapore Pte. Ltd.,Futu Securities (Australia) Ltd, Moomoo Financial Canada Inc和Moomoo Securities Malaysia Sdn. Bhd., 是關聯公司。
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