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Last Close
Nov 28 02:55PM ET
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IndexS&P 500 P/E13.37 EPS (ttm)3.93 Insider Own0.63% Shs Outstand125.11M Perf Week-2.25%
Market Cap6.55B Forward P/E11.64 EPS next Y4.51 Insider Trans0.38% Shs Float123.97M Perf Month-7.70%
Income495.80M PEG2.98 EPS next Q1.08 Inst Own92.47% Short Float / Ratio4.33% / 2.68 Perf Quarter-40.81%
Sales4.96B P/S1.32 EPS this Y-48.43% Inst Trans1.62% Short Interest5.37M Perf Half Y-49.62%
Book/sh26.38 P/B1.99 EPS next Y18.04% ROA5.45% Target Price69.35 Perf Year-59.36%
Cash/sh2.60 P/C20.23 EPS next 5Y4.49% ROE18.28% 52W Range49.49 - 134.38 Perf YTD-57.93%
Dividend2.31 P/FCF- EPS past 5Y- ROI7.70% 52W High-60.93% Beta0.86
Dividend %4.41% Quick Ratio0.96 Sales past 5Y16.17% Gross Margin43.68% 52W Low6.08% ATR2.27
Employees6600 Current Ratio1.54 Sales Q/Q-28.70% Oper. Margin21.24% RSI (14)39.54 Volatility2.43% 4.35%
OptionableYes Debt/Eq1.30 EPS Q/Q-102.94% Profit Margin9.99% Rel Volume0.44 Prev Close52.00
ShortableYes LT Debt/Eq0.96 EarningsOct 30 AMC Payout37.42% Avg Volume2.00M Price52.50
Recom1.95 SMA20-1.38% SMA50-12.67% SMA200-44.97% Volume733,915 Change0.96%
Date Action Analyst Rating Change Price Target Change
Oct-24-23Downgrade Morgan Stanley Overweight → Equal-Weight $100 → $70
Oct-24-23Downgrade Goldman Buy → Neutral $135 → $59
Oct-24-23Downgrade BofA Securities Buy → Neutral $63
Oct-16-23Upgrade Vertical Research Hold → Buy $94
Sep-25-23Downgrade Redburn Atlantic Overweight → Neutral $71
Sep-05-23Downgrade UBS Buy → Neutral $120 → $97
Aug-21-23Initiated JP Morgan Neutral $90
Aug-04-23Upgrade Credit Suisse Underperform → Neutral $101
Jul-24-23Downgrade Wells Fargo Overweight → Equal Weight $142 → $102
Mar-17-23Upgrade Redburn Neutral → Buy $155
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FMC Corp. is an agricultural sciences company, which engages in the provision of solutions to growers and development of pipeline in crop protection, plant health, precision agriculture, and professional pest, and turf management. It offers insect control products under the Rynaxypyr and Cyazypyr brands, herbicides under the Authority, Boral, Centium, Command, and Gamit brands, insecticides under the Talstar and Hero brands, flutriafol-based fungicides, and bionematicides under the Quartzo and Presence brands. The company was founded by John Bean in 1883 and is headquartered in Philadelphia, PA.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
pereira ronaldoEVP, President, FMC AmericasSep 13Buy75.592,000151,18021,478Sep 15 09:25 AM
Pfeiffer NicholasCorporate ControllerSep 13Buy75.6299275,01513,056Sep 15 09:30 AM
DOUGLAS MARKPresident and CEOMay 03Buy115.534,121476,10241,672May 04 01:17 PM
Sandifer Andrew DEVP and CFOMar 02Sale127.775,000638,83539,061Mar 03 02:14 PM
pereira ronaldoEVP, President, FMC AmericasMar 01Sale129.291,955252,76119,478Mar 03 02:19 PM
Reilly Michael FinianEVP, General Counsel & Sec.Mar 01Sale128.561,200154,26821,295Mar 03 02:17 PM
Pfeiffer NicholasCorporate ControllerFeb 27Option Exercise92.363,757346,99715,821Mar 01 02:33 PM
Pfeiffer NicholasCorporate ControllerFeb 27Sale129.704,421573,41112,064Mar 01 02:33 PM
Pfeiffer NicholasCorporate ControllerDec 02Sale132.5650066,28211,222Dec 05 02:35 PM
Last Close
Nov 28 02:55PM ET
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BCPC Balchem Corp. daily Stock Chart
IndexRUT P/E38.43 EPS (ttm)3.19 Insider Own0.98% Shs Outstand32.15M Perf Week-1.34%
Market Cap3.95B Forward P/E30.19 EPS next Y4.05 Insider Trans-1.19% Shs Float31.92M Perf Month6.37%
Income103.30M PEG1.60 EPS next Q0.94 Inst Own89.16% Short Float / Ratio0.80% / 3.01 Perf Quarter-12.53%
Sales926.27M P/S4.26 EPS this Y0.50% Inst Trans1.06% Short Interest0.26M Perf Half Y-1.69%
Book/sh31.80 P/B3.85 EPS next Y0.12% ROA6.38% Target Price145.00 Perf Year-13.76%
Cash/sh2.39 P/C51.28 EPS next 5Y24.00% ROE10.75% 52W Range110.74 - 143.74 Perf YTD0.24%
Dividend0.71 P/FCF33.67 EPS past 5Y3.12% ROI7.27% 52W High-14.84% Beta0.69
Dividend %0.58% Quick Ratio2.08 Sales past 5Y9.81% Gross Margin31.92% 52W Low10.53% ATR2.67
Employees1340 Current Ratio3.16 Sales Q/Q-5.86% Oper. Margin18.07% RSI (14)50.42 Volatility1.85% 2.00%
OptionableYes Debt/Eq0.39 EPS Q/Q14.77% Profit Margin11.15% Rel Volume0.36 Prev Close123.23
ShortableYes LT Debt/Eq0.39 EarningsOct 27 BMO Payout21.83% Avg Volume85.43K Price122.40
Recom1.00 SMA201.47% SMA50-0.66% SMA200-4.96% Volume26,025 Change-0.67%
Date Action Analyst Rating Change Price Target Change
Feb-22-22Upgrade Sidoti Neutral → Buy $175
Nov-29-21Downgrade Sidoti Buy → Neutral $175
Aug-02-21Downgrade Stephens Overweight → Equal-Weight $140 → $145
Feb-22-21Upgrade Stephens Equal-Weight → Overweight
Aug-04-20Reiterated H.C. Wainwright Buy $104 → $126
Jul-10-20Initiated Stephens Equal-Weight $100
Feb-24-20Reiterated H.C. Wainwright Buy $122 → $116
May-06-19Downgrade Pivotal Research Group Buy → Hold $100
Feb-21-19Initiated Seaport Global Securities Neutral
Nov-06-18Upgrade Pivotal Research Group Hold → Buy $95 → $100
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Balchem Corp. provides marketing of specialty performance ingredients and products. It operates through the following segments: Human Nutrition and Health, Animal Nutrition and Health, Specialty Products and Industrial Products. The Human Nutrition and Health segment supplies ingredients in the food and beverage industry, providing customized solutions in powder, solid and liquid flavor delivery systems, spray dried emulsified powder systems, and cereal systems. The Animal Nutrition and Health segment comprises nutritional products derived from microencapsulation and chelation technologies in addition to basic choline chloride. The Specialty Products segment offers Ethylene oxide for the health care industry. The Industrial Products segment refers to certain derivatives of choline chloride which manufactured and sold into industrial applications as a component for hydraulic fracturing of shale natural gas wells. The company was founded in January 1967 and is headquartered in Montvale, NJ.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Fischer David BDirectorSep 11Sale131.573,800499,97913,469Sep 12 04:15 PM
Sestrick Michael RobertSVP & Chief Technology OfficerMay 02Sale130.362,300299,8375,424May 04 04:15 PM
Fischer David BDirectorMar 20Sale127.013,000381,02117,269Mar 22 04:15 PM
Last Close
Nov 28 02:55PM ET
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ECVT Ecovyst Inc daily Stock Chart
IndexRUT P/E18.69 EPS (ttm)0.52 Insider Own11.19% Shs Outstand122.19M Perf Week-1.18%
Market Cap1.12B Forward P/E9.52 EPS next Y1.01 Insider Trans0.06% Shs Float103.12M Perf Month6.00%
Income62.73M PEG1.09 EPS next Q0.24 Inst Own89.49% Short Float / Ratio1.62% / 2.47 Perf Quarter-3.94%
Sales701.11M P/S1.60 EPS this Y-7.26% Inst Trans-7.48% Short Interest1.67M Perf Half Y-8.59%
Book/sh5.84 P/B1.65 EPS next Y29.96% ROA3.35% Target Price12.93 Perf Year5.88%
Cash/sh0.33 P/C29.20 EPS next 5Y17.21% ROE8.85% 52W Range8.26 - 12.35 Perf YTD8.75%
Dividend- P/FCF14.41 EPS past 5Y0.03% ROI4.03% 52W High-21.98% Beta0.96
Dividend %- Quick Ratio1.55 Sales past 5Y-3.48% Gross Margin27.42% 52W Low16.65% ATR0.28
Employees890 Current Ratio2.03 Sales Q/Q-25.46% Oper. Margin14.92% RSI (14)54.81 Volatility2.16% 3.16%
OptionableYes Debt/Eq1.32 EPS Q/Q-11.19% Profit Margin8.95% Rel Volume0.41 Prev Close9.66
ShortableYes LT Debt/Eq1.30 EarningsNov 02 BMO Payout0.00% Avg Volume675.97K Price9.64
Recom1.29 SMA203.51% SMA501.45% SMA200-7.80% Volume233,870 Change-0.26%
Date Action Analyst Rating Change Price Target Change
Sep-11-23Initiated Citigroup Buy $12
Mar-23-22Initiated BWS Financial Buy $18
Nov-29-21Initiated Citigroup Neutral $10.80
Aug-16-21Initiated BMO Capital Markets Outperform $17
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Ecovyst, Inc. engages in the manufacture of specialty catalysts, materials and chemicals. It operates through the following segments: Refining Services, Catalysts and Performance Chemicals. The Refining Services segment offers sulfuric acid, virgin sulfuric acid, Oleum ECO services, sulfuric acid regeneration, aluminum sulfate, treatment services and industrial field services. The Catalysts segment includes zeolites, anti-blocking agents, chemical catalysis, polyolefin supports, chrome catalysts for high-density polyethylene, and polyolefin catalysi. The Performance Chemicals segment supplies personal and industrial cleaning products, fuel-efficient tires, surface coatings, and food and beverage products. The company was founded on August 7, 2015 and is headquartered in Malvern, PA.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Feehan MichaelSee RemarksAug 23Buy9.675,00048,350340,940Aug 25 07:30 AM
Bitting KurtSee RemarksAug 23Buy9.643,10029,891415,718Aug 25 07:30 AM
INEOS LtdFormer 10% OwnerMay 26Sale10.8814,000,000152,331,20010,731,385May 26 04:17 PM
CCMP Capital, LP10% OwnerMar 07Sale9.9511,490,444114,329,9180Mar 07 04:20 PM
CCMP Capital, LP10% OwnerMar 07Sale9.9511,490,444114,329,9180Mar 07 04:15 PM
Vann Kyle DDirectorMar 03Buy11.0210,000110,217182,320Mar 07 05:01 PM
Ginns JonnyDirectorDec 07Buy9.0940,402367,157193,245Dec 09 04:05 PM
Last Close
Nov 28 02:55PM ET
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OLN Olin Corp. daily Stock Chart
Index- P/E10.28 EPS (ttm)4.54 Insider Own0.46% Shs Outstand132.30M Perf Week-0.83%
Market Cap5.72B Forward P/E11.98 EPS next Y3.90 Insider Trans-4.11% Shs Float121.99M Perf Month10.78%
Income603.90M PEG- EPS next Q0.22 Inst Own87.34% Short Float / Ratio2.96% / 2.44 Perf Quarter-20.85%
Sales7.20B P/S0.79 EPS this Y-59.18% Inst Trans-5.74% Short Interest3.61M Perf Half Y-5.12%
Book/sh19.00 P/B2.46 EPS next Y5.75% ROA7.53% Target Price52.69 Perf Year-19.40%
Cash/sh1.29 P/C36.12 EPS next 5Y- ROE24.76% 52W Range41.71 - 64.70 Perf YTD-11.86%
Dividend0.83 P/FCF7.85 EPS past 5Y22.33% ROI11.37% 52W High-27.88% Beta1.42
Dividend %1.78% Quick Ratio0.80 Sales past 5Y10.60% Gross Margin18.20% 52W Low11.87% ATR1.17
Employees7780 Current Ratio1.50 Sales Q/Q-28.01% Oper. Margin13.95% RSI (14)53.22 Volatility1.60% 2.72%
OptionableYes Debt/Eq1.34 EPS Q/Q-62.47% Profit Margin8.39% Rel Volume0.24 Prev Close46.99
ShortableYes LT Debt/Eq1.28 EarningsOct 26 AMC Payout8.95% Avg Volume1.48M Price46.66
Recom2.12 SMA203.80% SMA500.42% SMA200-11.25% Volume300,580 Change-0.70%
Date Action Analyst Rating Change Price Target Change
Nov-13-23Initiated Citigroup Buy $50
Oct-30-23Downgrade JP Morgan Overweight → Neutral $75 → $48
Oct-11-23Downgrade Barclays Overweight → Equal Weight $60 → $52
Sep-26-23Downgrade Wells Fargo Overweight → Equal Weight $65 → $50
Sep-06-23Downgrade Goldman Buy → Neutral $67 → $57
Sep-05-23Upgrade KeyBanc Capital Markets Sector Weight → Overweight $67
Sep-05-23Downgrade Vertical Research Buy → Hold $58
Jun-27-23Downgrade UBS Buy → Neutral $68 → $53
Jan-10-23Downgrade Morgan Stanley Equal-Weight → Underweight $50
Jan-05-23Upgrade Barclays Equal Weight → Overweight $60 → $65
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Olin Corp. engages in manufacturing of chemicals products. It operates through the following segments: Chlor Alkali Products and Vinyls, Epoxy, and Winchester. The Chlor Alkali Products and Vinyls segment manufactures and sells chlorine and caustic soda, ethylene dichloride and vinyl chloride monomer, methyl chloride, methylene chloride, chloroform, carbon tetrachloride, perchloroethylene, trichloroethylene and vinylidene chloride, hydrochloric acid, hydrogen, bleach products and potassium hydroxide. The Epoxy segment produces and sells epoxy materials, which includes allyl chloride, epichlorohydrin, liquid epoxy resins and downstream products such as converted epoxy resins and additives. The Winchester segment produces and sells sporting ammunition, reloading components, small caliber military ammunition and components, and industrial cartridges. The company was founded by Franklin W. Olin in 1892 and is headquartered in Clayton, MO.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Gumpel DamianVP & Pres, Epoxy & Corp Strat.Aug 18Option Exercise13.1480010,51228,451Aug 18 01:33 PM
Gumpel DamianVP & Pres, Epoxy & Corp Strat.Aug 18Sale55.3980044,31327,651Aug 18 01:33 PM
Gumpel DamianVP & Pres, Epoxy & Corp Strat.Aug 10Option Exercise13.148,000105,12035,651Aug 14 07:26 PM
Gumpel DamianVP & Pres, Epoxy & Corp Strat.Aug 10Sale58.388,000467,06127,651Aug 14 07:26 PM
FLAUGHER BRETT AVP & Pres, WinchesterAug 08Option Exercise27.4011,250308,25011,250Aug 09 04:35 PM
FLAUGHER BRETT AVP & Pres, WinchesterAug 08Sale58.9511,250663,1820Aug 09 04:35 PM
PETERS VALERIE AVP, HRAug 03Sale58.224,124240,0780Aug 04 04:08 PM
PETERS VALERIE AVP, HRMay 10Sale54.07462,4774,108May 12 10:01 AM
FLAUGHER BRETT AVP & Pres, WinchesterFeb 18Option Exercise0.0060,000060,413Feb 21 02:09 PM
Gumpel DamianVP & Pres, Epoxy & Corp Strat.Feb 16Option Exercise28.3013,000367,90424,755Feb 21 12:05 PM
Gumpel DamianVP & Pres, Epoxy & Corp Strat.Feb 16Sale62.6513,000814,41017,155Feb 21 12:05 PM
Alderman Heidi SDirectorFeb 01Sale64.012,000128,0200Feb 01 05:51 PM
VERMILLION TERESA MVP & TreasurerJan 02Option Exercise0.0056006,892Jan 04 06:58 PM
Last Close
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GURE Gulf Resources Inc daily Stock Chart
Index- P/E- EPS (ttm)-0.55 Insider Own36.65% Shs Outstand10.43M Perf Week-2.56%
Market Cap15.85M Forward P/E- EPS next Y- Insider Trans-0.05% Shs Float6.61M Perf Month-11.63%
Income-5.71M PEG- EPS next Q- Inst Own3.98% Short Float / Ratio0.31% / 1.23 Perf Quarter-27.27%
Sales41.76M P/S0.38 EPS this Y- Inst Trans-4.73% Short Interest0.02M Perf Half Y-48.10%
Book/sh24.99 P/B0.06 EPS next Y- ROA-2.00% Target Price- Perf Year-57.18%
Cash/sh9.95 P/C0.15 EPS next 5Y19.00% ROE-2.16% 52W Range1.35 - 3.84 Perf YTD-50.81%
Dividend- P/FCF4.00 EPS past 5Y3.35% ROI-2.12% 52W High-60.37% Beta0.44
Dividend %- Quick Ratio11.56 Sales past 5Y98.43% Gross Margin30.35% 52W Low12.59% ATR0.08
Employees435 Current Ratio11.64 Sales Q/Q-74.34% Oper. Margin20.87% RSI (14)36.99 Volatility7.18% 4.47%
OptionableYes Debt/Eq0.03 EPS Q/Q-119.88% Profit Margin-13.66% Rel Volume0.69 Prev Close1.51
ShortableYes LT Debt/Eq0.03 EarningsNov 20 AMC Payout0.00% Avg Volume16.48K Price1.52
Recom- SMA20-9.77% SMA50-12.51% SMA200-36.83% Volume9,516 Change0.66%
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Gulf Resources, Inc. is a holding company that engages in the manufacture of chemical products. It operates through the following segments: Bromine, Crude Salt, Chemical Products, and Natural Gas. It produces and trades bromine, crude salt and natural gas, and manufactures and sells chemical products used in oil and gas field exploration, oil and gas distribution, and oil field drilling. The firm also supplies papermaking chemical agents, inorganic chemicals, and manufactures materials for human and animal antibiotics. The company was founded by Ming Yang on February 28, 1989 and is headquartered in Shouguang, China.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Zhang TengfeiDirectorJun 22Sale2.512,0005,0251,000Jun 23 04:30 PM
Ma ShengweiIndependent DirectorDec 20Sale3.002,0006,0001,000Dec 21 04:30 PM
Last Close
Nov 28 02:55PM ET
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CC Chemours Company daily Stock Chart
Index- P/E- EPS (ttm)-2.08 Insider Own1.17% Shs Outstand148.50M Perf Week-3.69%
Market Cap3.86B Forward P/E6.89 EPS next Y3.78 Insider Trans-0.37% Shs Float146.71M Perf Month10.40%
Income-308.00M PEG- EPS next Q0.22 Inst Own78.27% Short Float / Ratio3.69% / 4.52 Perf Quarter-23.93%
Sales6.00B P/S0.64 EPS this Y-36.42% Inst Trans0.20% Short Interest5.41M Perf Half Y-6.09%
Book/sh5.09 P/B5.12 EPS next Y27.51% ROA-3.93% Target Price30.89 Perf Year-20.58%
Cash/sh9.75 P/C2.67 EPS next 5Y7.40% ROE-30.21% 52W Range22.88 - 39.05 Perf YTD-14.98%
Dividend0.99 P/FCF- EPS past 5Y-1.34% ROI-6.28% 52W High-33.33% Beta1.98
Dividend %3.82% Quick Ratio1.08 Sales past 5Y3.06% Gross Margin21.40% 52W Low13.78% ATR0.84
Employees6600 Current Ratio1.68 Sales Q/Q-16.32% Oper. Margin-1.17% RSI (14)50.09 Volatility2.27% 3.45%
OptionableYes Debt/Eq5.60 EPS Q/Q-91.24% Profit Margin-5.13% Rel Volume0.29 Prev Close26.19
ShortableYes LT Debt/Eq5.50 EarningsOct 26 AMC Payout27.39% Avg Volume1.20M Price26.03
Recom2.60 SMA201.92% SMA50-1.32% SMA200-16.12% Volume292,181 Change-0.60%
Date Action Analyst Rating Change Price Target Change
Jun-22-23Downgrade BofA Securities Buy → Neutral $41 → $37
Jan-24-23Upgrade UBS Neutral → Buy $31 → $43
Jan-11-23Upgrade BofA Securities Neutral → Buy $37 → $40
Jan-10-23Downgrade RBC Capital Mkts Outperform → Sector Perform $35 → $33
Nov-01-22Initiated Credit Suisse Underperform $24
Oct-13-22Initiated Goldman Neutral $30
Oct-05-22Downgrade Argus Buy → Hold
Jun-14-22Downgrade BofA Securities Buy → Neutral $48 → $44
Jun-10-21Initiated Wolfe Research Outperform
Jun-09-21Upgrade Goldman Neutral → Buy $35 → $47
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The Chemours Co. is a holding company, which engages in the provision of performance chemicals. The firm delivers solutions, which include a range of industrial and chemical products for markets including coatings, plastics, refrigeration and air conditioning, transportation, semiconductor and consumer electronics, and general industrial. It operates through the following segments: Titanium Technologies, Thermal and Specialized Solutions, Advanced Performance Materials, and Chemical Solutions. The Titanium Technologies segment is involved in the manufacture of titanium dioxide pigment. The Thermal and Specialized Solutions segment offers refrigerants, propellants, blowing agents, and specialty solvents. The Advanced Performance Materials segment produces polymers and advanced materials that deliver attributes, including chemical inertness, thermal stability, low friction, weather and corrosion resistance, extreme temperature stability, and di-electric properties. The Chemical Solutions segment refers to the sale of chemicals used in industrial and consumer applications in the Americas. The company was founded on February 18, 2014, and is headquartered in Wilmington, DE.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Scarborough AlveniaSVP Corp Communications & CBOJun 09Option Exercise14.435,12573,95419,015Jun 12 05:11 PM
Newman MarkPresident and CEOJun 09Buy34.637,661265,300266,955Jun 12 09:21 AM
Scarborough AlveniaSVP Corp Communications & CBOJun 09Sale32.305,125165,53713,890Jun 12 05:11 PM
Abbott Matthew SSVP, Chief Enterprise TransforJun 08Option Exercise14.438,912128,60038,781Jun 09 04:46 PM
Abbott Matthew SSVP, Chief Enterprise TransforJun 08Sale34.208,912304,79029,869Jun 09 04:46 PM
Bellezza AlishaPresident, Thermal Spec SolnsMar 06Option Exercise23.7527,716658,26652,843Mar 07 05:24 PM
Bellezza AlishaPresident, Thermal Spec SolnsMar 06Sale35.4727,716983,08743,931Mar 07 05:24 PM
Last Close
Nov 28 02:55PM ET
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HUN Huntsman Corp daily Stock Chart
Index- P/E53.70 EPS (ttm)0.45 Insider Own5.52% Shs Outstand183.63M Perf Week-2.17%
Market Cap4.25B Forward P/E19.98 EPS next Y1.22 Insider Trans0.03% Shs Float164.67M Perf Month5.50%
Income81.00M PEG- EPS next Q-0.04 Inst Own84.92% Short Float / Ratio2.50% / 1.93 Perf Quarter-11.87%
Sales6.36B P/S0.67 EPS this Y-82.28% Inst Trans-3.70% Short Interest4.11M Perf Half Y-1.34%
Book/sh19.75 P/B1.23 EPS next Y119.88% ROA-0.27% Target Price25.94 Perf Year-14.88%
Cash/sh2.85 P/C8.56 EPS next 5Y-14.53% ROE-0.58% 52W Range22.14 - 33.46 Perf YTD-11.35%
Dividend0.92 P/FCF34.80 EPS past 5Y-2.77% ROI1.54% 52W High-27.20% Beta1.14
Dividend %3.77% Quick Ratio1.14 Sales past 5Y0.19% Gross Margin14.85% 52W Low10.03% ATR0.62
Employees7000 Current Ratio1.88 Sales Q/Q-25.11% Oper. Margin2.04% RSI (14)49.39 Volatility1.94% 2.39%
OptionableYes Debt/Eq0.58 EPS Q/Q-100.00% Profit Margin1.27% Rel Volume0.75 Prev Close24.96
ShortableYes LT Debt/Eq0.53 EarningsNov 01 BMO Payout37.51% Avg Volume2.13M Price24.36
Recom2.58 SMA200.03% SMA501.64% SMA200-7.63% Volume1,342,963 Change-2.40%
Date Action Analyst Rating Change Price Target Change
Oct-18-23Upgrade BofA Securities Underperform → Buy $27
Jun-14-23Initiated Citigroup Neutral $27
Apr-12-23Initiated Mizuho Neutral $27
Feb-22-23Downgrade Vertical Research Buy → Hold
Nov-08-22Downgrade Tudor, Pickering, Holt & Co. Buy → Hold
Nov-07-22Downgrade Scotiabank Sector Outperform → Sector Perform
Oct-13-22Initiated Goldman Sell $26
Oct-13-22Downgrade Seaport Research Partners Buy → Neutral
Sep-20-22Downgrade Wells Fargo Overweight → Equal Weight $35 → $28
Sep-20-22Downgrade JP Morgan Neutral → Underweight $25
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Huntsman Corp. engages in the manufacturing of differentiated organic chemical products. It operates through the following segments: Polyurethanes, Performance Products, and Advanced Materials. The Polyurethanes segment manufactures and markets polyurethane chemicals, including MDI products, PO, polyols, PG, TPU, aniline, and MTBE. The Performance Products segment produces and sells amines, surfactants, LAB, and maleic anhydride to a variety of consumer and industrial end markets. The Advanced Materials segment provides basic liquid and solid epoxy resins, specialty resin compounds, cross linking, matting and curing agents, epoxy, acrylic, and polyurethane based polymer products. The company was founded by Jon Meade Huntsman Sr. in 1970 and is headquartered in The Woodlands, TX.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hankins Anthony PCEO Asia Pacific and Div PresNov 20Option Exercise21.2238,941826,328729,493Nov 21 05:14 PM
Lister Philip M.Exec VP & CFONov 02Option Exercise22.0125,902570,01178,531Nov 03 04:19 PM
Wright Scott JDivision PresidentJun 08Option Exercise21.228,307176,275124,713Jun 09 04:33 PM
STRYKER DAVID MExec VP, GC and SecJun 02Buy24.502,50061,250385,502Jun 05 05:28 PM
STRYKER DAVID MExec VP, GC and SecFeb 24Option Exercise22.3731,930714,156400,153Feb 28 05:33 PM
Last Close
Nov 28 02:55PM ET
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IOSP Innospec Inc daily Stock Chart
IndexRUT P/E20.87 EPS (ttm)5.08 Insider Own1.08% Shs Outstand24.77M Perf Week-2.34%
Market Cap2.63B Forward P/E15.99 EPS next Y6.62 Insider Trans-0.36% Shs Float24.60M Perf Month9.93%
Income126.80M PEG2.78 EPS next Q1.62 Inst Own96.69% Short Float / Ratio0.57% / 1.82 Perf Quarter-1.49%
Sales1.96B P/S1.34 EPS this Y-2.76% Inst Trans-0.24% Short Interest0.14M Perf Half Y12.53%
Book/sh45.26 P/B2.34 EPS next Y12.77% ROA7.71% Target Price124.50 Perf Year-4.74%
Cash/sh8.33 P/C12.71 EPS next 5Y7.50% ROE11.45% 52W Range91.74 - 116.00 Perf YTD2.99%
Dividend1.40 P/FCF17.09 EPS past 5Y16.10% ROI10.98% 52W High-8.68% Beta1.15
Dividend %1.32% Quick Ratio1.55 Sales past 5Y10.21% Gross Margin29.88% 52W Low15.48% ATR2.00
Employees2100 Current Ratio2.51 Sales Q/Q-9.53% Oper. Margin8.35% RSI (14)58.71 Volatility1.45% 1.80%
OptionableYes Debt/Eq0.04 EPS Q/Q1.12% Profit Margin6.45% Rel Volume0.29 Prev Close105.99
ShortableYes LT Debt/Eq0.03 EarningsNov 07 AMC Payout24.04% Avg Volume76.50K Price105.93
Recom2.00 SMA202.43% SMA504.28% SMA2003.05% Volume18,721 Change-0.05%
Date Action Analyst Rating Change Price Target Change
Mar-30-22Initiated Seaport Research Partners Neutral
Sep-04-19Initiated CL King Buy $95
Apr-12-19Downgrade KeyBanc Capital Markets Overweight → Sector Weight
Apr-24-18Upgrade Johnson Rice Accumulate → Buy
Nov-14-17Upgrade Johnson Rice Hold → Accumulate
Nov-09-17Downgrade Monness Crespi & Hardt Buy → Neutral
Aug-22-17Upgrade Monness Crespi & Hardt Neutral → Buy $65
Dec-19-16Downgrade Monness Crespi & Hardt Buy → Neutral
Nov-04-16Reiterated Monness Crespi & Hardt Buy $60 → $62
Aug-04-16Upgrade Monness Crespi & Hardt Neutral → Buy $60
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