Index S&P 500
P/E 25.23
EPS (ttm) 2.47
Insider Own 0.52%
Shs Outstand 680.37M
Perf Week -4.19%
Market Cap 42.02B
Forward P/E 15.23
EPS next Y 4.10
Insider Trans -2.92%
Shs Float 670.18M
Perf Month -3.12%
Income 1.70B
PEG 2.19
EPS next Q 1.10
Inst Own 93.72%
Short Float 1.71%
Perf Quarter 14.56%
Sales 26.83B
P/S 1.57
EPS this Y 2.57%
Inst Trans 0.09%
Short Ratio 2.16
Perf Half Y 25.31%
Book/sh 23.24
P/B 2.68
EPS next Y 14.12%
ROA 3.90%
Short Interest 11.47M
Perf Year 5.76%
Cash/sh 1.27
P/C 49.04
EPS next 5Y 11.51%
ROE 10.75%
52W Range 47.90 - 70.43
Perf YTD 8.22%
Dividend Est. 1.49 (2.38%)
P/FCF 33.75
EPS past 5Y 3.00%
ROI 7.05%
52W High -11.43%
Beta 1.30
Dividend TTM 1.48 (2.37%)
Quick Ratio 0.64
Sales past 5Y 2.88%
Gross Margin 32.95%
52W Low 30.23%
ATR (14) 1.38
Dividend Ex-Date Mar 22, 2024
Current Ratio 0.86
EPS Y/Y TTM 23.07%
Oper. Margin 7.63%
RSI (14) 43.81
Volatility 2.42% 1.94%
Employees 100000
Debt/Eq 0.77
Sales Y/Y TTM 2.83%
Profit Margin 6.32%
Recom 2.12
Target Price 66.84
Option/Short Yes / Yes
LT Debt/Eq 0.54
EPS Q/Q -311.62%
Payout 53.91%
Rel Volume 1.33
Prev Close 60.75
Sales Surprise -0.20%
EPS Surprise 3.43%
Sales Q/Q 0.19%
Earnings May 01 BMO
Avg Volume 5.32M
Price 62.38
SMA20 -3.05%
SMA50 -1.13%
SMA200 8.07%
Trades
Volume 7,084,527
Change 2.68%
Date
Action
Analyst
Rating Change
Price Target Change
Feb-23-24 Downgrade
Mizuho
Buy → Neutral
$62
Feb-20-24 Downgrade
Argus
Buy → Hold
Jan-31-24 Downgrade
HSBC Securities
Buy → Hold
$60
Jan-31-24 Downgrade
Deutsche Bank
Buy → Hold
$65 → $60
Jan-12-24 Downgrade
RBC Capital Mkts
Sector Perform → Underperform
$54 → $50
Dec-13-23 Downgrade
Vertical Research
Buy → Hold
$55
Sep-27-23 Upgrade
HSBC Securities
Hold → Buy
$58 → $69
Jun-01-23 Downgrade
Barclays
Overweight → Equal Weight
$70
Dec-12-22 Downgrade
BofA Securities
Buy → Neutral
$85 → $72
May-02-22 Initiated
BofA Securities
Buy
$85
Mar-24-22 Upgrade
Deutsche Bank
Hold → Buy
$80 → $79
Dec-17-21 Initiated
Mizuho
Buy
$93
Nov-08-21 Reiterated
Wells Fargo
Overweight
$82 → $83
Nov-08-21 Reiterated
RBC Capital Mkts
Sector Perform
$76 → $75
Nov-08-21 Reiterated
Deutsche Bank
Hold
$85 → $84
Nov-08-21 Reiterated
Credit Suisse
Outperform
$85 → $86
Nov-08-21 Reiterated
Citigroup
Buy
$73 → $81
Nov-08-21 Reiterated
Barclays
Overweight
$82 → $85
Oct-08-21 Initiated
Wells Fargo
Overweight
$82
Jul-08-21 Initiated
Jefferies
Buy
$85
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(Morningstar Research) -7.07%
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(Yahoo Finance Video) -5.97%
05:04PM
04:50PM
Johnson Controls International Plc engages in the provision of building products, energy solutions, integrated infrastructure and next generation transportation systems. Its products and solutions include fire detection and suppression, security, HVAC equipment, building automation and controls, digital, industrial refrigeration, residential and smart home, retail, distributed energy storage, and batteries. The company was established in 1885 and is headquartered in Cork, Ireland.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Vandiepenbeeck Marc EVP and CFO May 03 '24 Sale 61.25 186 11,392 44,369 May 03 05:05 PM Vandiepenbeeck Marc EVP and CFO Apr 22 '24 Sale 63.70 186 11,848 44,315 Apr 22 06:22 PM Vandiepenbeeck Marc EVP and CFO Apr 03 '24 Sale 65.50 186 12,183 44,501 Apr 03 05:52 PM Vandiepenbeeck Marc EVP and CFO Mar 20 '24 Sale 63.87 186 11,880 44,687 Mar 20 05:18 PM Vandiepenbeeck Marc EVP and CFO Mar 04 '24 Sale 60.24 186 11,205 44,873 Mar 05 03:20 PM Vandiepenbeeck Marc EVP and CFO Feb 20 '24 Sale 56.31 187 10,530 45,059 Feb 21 04:29 PM Vandiepenbeeck Marc EVP and CFO Feb 05 '24 Sale 53.79 186 10,005 45,246 Feb 06 09:26 AM Vandiepenbeeck Marc VP & Pres, EMEALA Jan 22 '24 Sale 54.33 186 10,105 26,138 Jan 23 01:58 PM Vandiepenbeeck Marc VP & Pres, EMEALA Jan 03 '24 Sale 56.55 187 10,575 26,180 Jan 04 02:15 PM Vandiepenbeeck Marc VP & Pres, EMEALA Dec 20 '23 Sale 54.00 187 10,098 26,367 Dec 21 09:29 AM Oliver George Chairman & CEO Nov 15 '23 Option Exercise 35.86 103,332 3,705,486 1,083,735 Nov 16 04:42 PM Oliver George Chairman & CEO Nov 15 '23 Sale 52.30 103,332 5,404,098 980,403 Nov 16 04:42 PM Oliver George Chairman & CEO Oct 16 '23 Option Exercise 35.86 103,332 3,705,486 1,083,091 Oct 17 04:22 PM Oliver George Chairman & CEO Oct 16 '23 Sale 52.37 103,332 5,411,497 979,759 Oct 17 04:22 PM Oliver George Chairman & CEO Aug 23 '23 Option Exercise 35.86 103,332 3,705,486 1,083,091 Aug 24 05:40 PM Oliver George Chairman & CEO Aug 23 '23 Sale 59.23 103,332 6,120,354 979,759 Aug 24 05:40 PM MANNING NATHAN D COO, Global Field Ops May 18 '23 Option Exercise 32.35 27,777 898,586 125,963 May 19 04:31 PM MANNING NATHAN D COO, Global Field Ops May 18 '23 Sale 63.01 35,478 2,235,437 90,485 May 19 04:31 PM Donofrio John Exec VP & General Counsel May 09 '23 Sale 63.02 14,253 898,247 37,090 May 10 04:57 PM LEONETTI OLIVIER EVP and CFO May 08 '23 Sale 62.36 30,997 1,932,973 101,757 May 09 05:04 PM
Index S&P 500
P/E 8.78
EPS (ttm) 17.91
Insider Own 0.42%
Shs Outstand 111.56M
Perf Week 1.73%
Market Cap 17.53B
Forward P/E 11.28
EPS next Y 13.94
Insider Trans -0.43%
Shs Float 111.09M
Perf Month -3.76%
Income 1.96B
PEG 0.41
EPS next Q 1.91
Inst Own 103.43%
Short Float 4.42%
Perf Quarter 6.94%
Sales 10.94B
P/S 1.60
EPS this Y 26.95%
Inst Trans -0.50%
Short Ratio 6.97
Perf Half Y 39.06%
Book/sh 65.11
P/B 2.41
EPS next Y 23.06%
ROA 7.45%
Short Interest 4.91M
Perf Year 56.08%
Cash/sh 16.18
P/C 9.71
EPS next 5Y 21.47%
ROE 30.94%
52W Range 99.33 - 172.16
Perf YTD 1.16%
Dividend Est. 2.82 (1.79%)
P/FCF 13.17
EPS past 5Y 14.99%
ROI 9.94%
52W High -8.71%
Beta 1.35
Dividend TTM 2.80 (1.78%)
Quick Ratio 0.95
Sales past 5Y 11.04%
Gross Margin 22.29%
52W Low 58.23%
ATR (14) 3.61
Dividend Ex-Date Apr 26, 2024
Current Ratio 1.53
EPS Y/Y TTM 2.97%
Oper. Margin 11.12%
RSI (14) 49.32
Volatility 2.28% 2.09%
Employees 12410
Debt/Eq 1.99
Sales Y/Y TTM 13.10%
Profit Margin 17.92%
Recom 2.79
Target Price 161.32
Option/Short Yes / Yes
LT Debt/Eq 1.78
EPS Q/Q -9.25%
Payout 15.63%
Rel Volume 0.64
Prev Close 156.38
Sales Surprise -0.94%
EPS Surprise -3.01%
Sales Q/Q 9.41%
Earnings May 08 AMC
Avg Volume 705.48K
Price 157.17
SMA20 0.07%
SMA50 -0.89%
SMA200 13.23%
Trades
Volume 449,819
Change 0.51%
Date
Action
Analyst
Rating Change
Price Target Change
Apr-04-24 Downgrade
JP Morgan
Neutral → Underweight
$135 → $160
Apr-04-24 Downgrade
Barclays
Overweight → Equal Weight
$170
Feb-26-24 Upgrade
Piper Sandler
Neutral → Overweight
$135 → $170
Feb-22-24 Downgrade
Tudor, Pickering, Holt & Co.
Buy → Sell
$140
Jan-22-24 Downgrade
Alembic Global Advisors
Overweight → Neutral
$160
Jan-16-24 Downgrade
BofA Securities
Neutral → Underperform
$124 → $135
Nov-21-23 Upgrade
Piper Sandler
Underweight → Neutral
$112 → $135
Sep-06-23 Upgrade
KeyBanc Capital Markets
Sector Weight → Overweight
$149
Aug-29-23 Downgrade
Piper Sandler
Neutral → Underweight
$120 → $112
Aug-09-23 Downgrade
JP Morgan
Overweight → Neutral
$135 → $122
Jul-18-23 Downgrade
Deutsche Bank
Buy → Hold
$120 → $125
Jun-26-23 Downgrade
BMO Capital Markets
Outperform → Market Perform
$133 → $119
Jun-22-23 Downgrade
BofA Securities
Buy → Neutral
$123 → $116
Jun-14-23 Initiated
Citigroup
Neutral
$119
Jun-09-23 Downgrade
Vertical Research
Buy → Hold
$122
Apr-12-23 Upgrade
Piper Sandler
Underweight → Neutral
$105 → $120
Mar-02-23 Upgrade
BofA Securities
Neutral → Buy
$135 → $140
Jan-04-23 Upgrade
RBC Capital Mkts
Sector Perform → Outperform
$98 → $125
Oct-11-22 Initiated
Mizuho
Neutral
$116
Aug-01-22 Downgrade
Citigroup
Buy → Neutral
$143 → $118
Show Previous Ratings
May-03-24 09:15AM
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Mar-04-24 06:11AM
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(Morningstar Research) +6.74%
Nov-08-23 12:43PM
01:02AM
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10:01AM
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06:05PM
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(Associated Press Finance)
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Celanese Corp. engages in the provision of technology and specialty materials businesses. It operates through the following segments: Engineered Materials, Acetate Tow, Acetyl Chain and Other Activities. The Engineered Materials segment includes the engineered materials business, food ingredients business and certain strategic affiliates. The Acetate Tow segment serves consumer-driven applications and is a global producer and supplier of acetate tow and acetate flake used in filter products applications. The Acetyl Chain segment includes the integrated chain of intermediate chemistry, emulsion polymers and ethylene vinyl acetate (EVA) polymers businesses, based on similar products, production processes, classes of customers and selling and distribution practices as well as economic similarities over a normal business cycle. The Other Activities segment consists of corporate center costs, including administrative activities such as finance, information technology and human resource functions, interest income and expenses associated with financing activities. The company was founded by Camille Dreyfus and Henri Dreyfus in 1918 and is headquartered in Irving, TX.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Richardson Scott A EVP & COO Mar 15 '24 Sale 156.49 2,000 312,980 74,429 Mar 15 04:22 PM Kelly Thomas Francis SVP, EM Mar 14 '24 Buy 156.69 1,400 219,373 57,023 Mar 15 04:21 PM Richardson Scott A EVP & COO Mar 14 '24 Sale 156.85 2,000 313,700 76,429 Mar 15 04:22 PM Murray Mark Christopher SVP - Acetyls Mar 08 '24 Buy 156.43 597 93,389 11,600 Mar 11 08:45 AM Kelly Thomas Francis SVP, EM May 19 '23 Buy 107.29 2,000 214,580 47,165 May 23 05:12 PM Murray Mark Christopher SVP - Acetyls May 12 '23 Buy 101.69 1,008 102,503 11,597 May 15 04:30 PM
Index RUT
P/E -
EPS (ttm) -3.11
Insider Own 0.89%
Shs Outstand 36.23M
Perf Week 10.41%
Market Cap 1.95B
Forward P/E 10.52
EPS next Y 5.09
Insider Trans 0.00%
Shs Float 36.01M
Perf Month 15.31%
Income -112.10M
PEG -
EPS next Q 1.12
Inst Own 93.53%
Short Float 1.90%
Perf Quarter 22.28%
Sales 1.64B
P/S 1.19
EPS this Y -6.76%
Inst Trans -2.76%
Short Ratio 2.96
Perf Half Y 36.46%
Book/sh 15.64
P/B 3.42
EPS next Y 38.58%
ROA -4.20%
Short Interest 0.68M
Perf Year -23.96%
Cash/sh 2.89
P/C 18.51
EPS next 5Y 6.20%
ROE -17.33%
52W Range 36.66 - 72.41
Perf YTD 13.43%
Dividend Est. -
P/FCF 22.42
EPS past 5Y -
ROI -5.54%
52W High -26.03%
Beta 1.75
Dividend TTM -
Quick Ratio 0.98
Sales past 5Y 8.78%
Gross Margin 24.16%
52W Low 46.10%
ATR (14) 2.02
Dividend Ex-Date -
Current Ratio 1.90
EPS Y/Y TTM -158.18%
Oper. Margin 13.73%
RSI (14) 67.74
Volatility 5.67% 3.65%
Employees 1700
Debt/Eq 2.74
Sales Y/Y TTM -2.08%
Profit Margin -6.83%
Recom 2.14
Target Price 59.71
Option/Short Yes / Yes
LT Debt/Eq 2.56
EPS Q/Q -214.36%
Payout -
Rel Volume 1.62
Prev Close 54.80
Sales Surprise 6.56%
EPS Surprise 53.85%
Sales Q/Q -13.42%
Earnings May 01 AMC
Avg Volume 230.91K
Price 53.56
SMA20 12.37%
SMA50 14.23%
SMA200 15.37%
Trades
Volume 374,454
Change -2.26%
Date
Action
Analyst
Rating Change
Price Target Change
Apr-22-24 Upgrade
Jefferies
Hold → Buy
$52 → $62
Nov-06-23 Downgrade
CJS Securities
Market Outperform → Market Perform
$49
Oct-03-23 Downgrade
Loop Capital
Buy → Hold
$62 → $53
Aug-07-23 Downgrade
BMO Capital Markets
Outperform → Market Perform
$71 → $60
Jul-27-23 Upgrade
Loop Capital
Hold → Buy
$64 → $75
May-05-23 Downgrade
Loop Capital
Buy → Hold
$92 → $64
Feb-02-23 Upgrade
Loop Capital
Hold → Buy
$81 → $100
Oct-11-22 Resumed
BMO Capital Markets
Outperform
$89 → $87
Jul-31-20 Upgrade
Stifel
Hold → Buy
$55 → $66
Apr-03-20 Downgrade
Wells Fargo
Overweight → Equal Weight
$43
Jan-24-20 Upgrade
Loop Capital
Hold → Buy
$94
Oct-16-19 Initiated
Wells Fargo
Outperform
Sep-05-19 Upgrade
Loop Capital
Hold → Buy
Jul-19-19 Downgrade
Jefferies
Buy → Hold
$129 → $107
Jul-18-19 Initiated
BMO Capital Markets
Outperform
May-28-19 Upgrade
Berenberg
Hold → Buy
Dec-11-18 Initiated
Stifel
Hold
$84
Oct-02-18 Downgrade
Berenberg
Buy → Hold
Jul-12-18 Initiated
Berenberg
Buy
$100
Mar-08-18 Upgrade
Buckingham Research
Neutral → Buy
$64 → $92
Show Previous Ratings
May-03-24 09:58AM
03:44AM
May-02-24 11:53PM
(Thomson Reuters StreetEvents) +5.61%
09:31AM
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05:57PM
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Feb-22-24 11:13PM
(Thomson Reuters StreetEvents) +5.40%
07:20AM
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05:56PM
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Nov-03-23 04:15AM
(Thomson Reuters StreetEvents)
Nov-02-23 07:27AM
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05:50PM
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03:12AM
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May-03-23 08:15PM
04:15PM
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10:02AM
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05:18AM
02:30AM
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Feb-27-23 07:25PM
04:15PM
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Ingevity Corp. engages in the manufacture of specialty chemicals and carbon materials. It operates through the following segments: Performance Chemicals and Performance Materials. The Performance Materials segment consists of automotive technologies and process purifications product families. Automotive technologies produces automotive carbon products used in gasoline vapor emission control systems in cars, trucks, motorcycles and boats. Process purifications produce a number of activated carbon products for food, water, beverage and chemical purification applications. The Performance Chemicals segment primarily addresses applications in three product families: pavement technologies, oilfield technologies, and industrial specialties. The company was founded on March 27, 2015 and is headquartered in North Charleston, SC.
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