Index S&P 500
P/E 15.33
EPS (ttm) 6.47
Insider Own 20.43%
Shs Outstand 324.48M
Perf Week -2.95%
Market Cap 32.28B
Forward P/E 10.04
EPS next Y 9.87
Insider Trans -0.45%
Shs Float 259.08M
Perf Month -5.06%
Income 2.11B
PEG 2.13
EPS next Q 2.26
Inst Own 71.53%
Short Float 2.19%
Perf Quarter 6.74%
Sales 40.65B
P/S 0.79
EPS this Y -4.00%
Inst Trans -0.31%
Short Ratio 2.80
Perf Half Y 10.27%
Book/sh 39.89
P/B 2.48
EPS next Y 18.84%
ROA 5.81%
Short Interest 5.68M
Perf Year 10.77%
Cash/sh 7.16
P/C 13.85
EPS next 5Y 7.21%
ROE 16.48%
52W Range 84.80 - 106.69
Perf YTD 4.25%
Dividend Est. 5.14 (5.18% )
P/FCF 12.03
EPS past 5Y -11.67%
ROI 8.30%
52W High -7.10%
Beta 1.13
Dividend TTM 5.00 (5.04% )
Quick Ratio 1.32
Sales past 5Y 5.13%
Gross Margin 11.98%
52W Low 16.89%
ATR (14) 1.74
Dividend Ex-Date Mar 01, 2024
Current Ratio 2.12
EPS Y/Y TTM -29.90%
Oper. Margin 7.73%
RSI (14) 43.00
Volatility 1.63% 1.62%
Employees 20000
Debt/Eq 0.97
Sales Y/Y TTM -14.50%
Profit Margin 5.18%
Recom 2.56
Target Price 106.17
Option/Short Yes / Yes
LT Debt/Eq 0.96
EPS Q/Q 0.09%
Payout 76.43%
Rel Volume 0.73
Prev Close 98.78
Sales Surprise 2.30%
EPS Surprise 12.13%
Sales Q/Q -2.65%
Earnings Apr 26 BMO
Avg Volume 2.03M
Price 99.12
SMA20 -2.08%
SMA50 -1.86%
SMA200 2.61%
Trades
Volume 1,490,452
Change 0.34%
Date
Action
Analyst
Rating Change
Price Target Change
Mar-01-24 Initiated
Wolfe Research
Underperform
Feb-05-24 Upgrade
JP Morgan
Neutral → Overweight
$95 → $100
Jan-10-24 Downgrade
Deutsche Bank
Buy → Hold
$105
Jan-03-24 Upgrade
Vertical Research
Hold → Buy
Dec-13-23 Downgrade
Citigroup
Buy → Neutral
$105 → $98
Oct-18-23 Upgrade
BofA Securities
Underperform → Neutral
$99 → $107
Oct-04-23 Upgrade
Citigroup
Neutral → Buy
$104 → $106
Oct-03-23 Upgrade
KeyBanc Capital Markets
Underweight → Sector Weight
Jun-14-23 Initiated
Citigroup
Neutral
$89
Apr-13-23 Downgrade
Jefferies
Buy → Hold
$113 → $90
Apr-12-23 Upgrade
Piper Sandler
Neutral → Overweight
$118
Mar-20-23 Upgrade
Deutsche Bank
Hold → Buy
$100
Feb-24-23 Upgrade
RBC Capital Mkts
Sector Perform → Outperform
$99 → $130
Feb-06-23 Upgrade
Credit Suisse
Underperform → Outperform
$109
Jan-31-23 Upgrade
Atlantic Equities
Neutral → Overweight
$110
Nov-15-22 Downgrade
Mizuho
Buy → Neutral
$88
Oct-31-22 Downgrade
Barclays
Overweight → Equal Weight
$95 → $82
Oct-13-22 Initiated
Goldman
Sell
$80
Sep-02-22 Downgrade
JP Morgan
Overweight → Neutral
$115 → $80
Aug-29-22 Downgrade
KeyBanc Capital Markets
Sector Weight → Underweight
$73
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LyondellBasell Industries NV engages in the refinery and production of plastic resins and other chemicals. It operates through the following segments: Olefins and Polyolefins-Americas; Olefins and Polyolefins-Europe, Asia, International; Intermediates and Derivatives; Advanced Polymer Solutions; Refining; and Technology. The Olefins and Polyolefins-Americas segment produces and markets olefins and co-products, polyethylene and polypropylene. The Olefins and Polyolefins-Europe, Asia, International segment also offers olefins and polyolefins. The Intermediates and Derivatives segment includes propylene oxide and its derivatives; oxyfuels and related products; and intermediate chemicals. The Advanced Polymer Solutions segment produces and markets compounding and solutions, such as polypropylene compounds, engineered plastics, masterbatches, colors and powders, engineered composites, and advanced polymers. The Refining segment refines heavy, high-sulfur crude oil and other crude oils of varied types and sources. The Technology segment develops chemical and polyolefin process technologies and manufactures and sells polyolefin catalysts. The company was founded in December 2007 and is headquartered in London, the United Kingdom.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Buchanan Robin W.T. Director Mar 15 '24 Sale 100.46 18,111 1,819,427 12,276 Mar 19 04:07 PM McMurray Michael C. EVP & CFO Mar 12 '24 Option Exercise 78.15 16,940 1,323,861 105,798 Mar 14 04:17 PM McMurray Michael C. EVP & CFO Mar 12 '24 Sale 100.84 16,940 1,708,219 88,858 Mar 14 04:17 PM Oyolu Chukwuemeka A. SVP, CAO & Investor Relations Feb 29 '24 Option Exercise 89.26 7,084 632,318 34,659 Mar 04 05:26 PM Oyolu Chukwuemeka A. SVP, CAO & Investor Relations Feb 29 '24 Sale 100.47 7,084 711,744 27,575 Mar 04 05:26 PM Lane Kenneth Todd EVP, Olefins and Polyolefins Feb 26 '24 Option Exercise 89.26 9,489 846,988 98,934 Feb 27 08:04 PM Seward James Malcolm EVP & Chief Innovation Officer Feb 26 '24 Option Exercise 91.16 8,213 748,665 37,251 Feb 27 08:06 PM Lane Kenneth Todd EVP, Olefins and Polyolefins Feb 26 '24 Sale 98.92 9,489 938,681 89,445 Feb 27 08:04 PM Lane Kenneth Todd EVP, Olefins and Polyolefins Feb 23 '24 Option Exercise 97.84 29,229 2,859,877 120,987 Feb 27 08:04 PM Lane Kenneth Todd EVP, Olefins and Polyolefins Feb 23 '24 Sale 99.19 29,229 2,899,192 91,758 Feb 27 08:04 PM AI INVESTMENTS HOLDINGS LLC 10% Owner Feb 16 '24 Sale 97.89 205,022 20,069,550 39,383 Feb 21 04:03 PM Kaplan Jeffrey A EVP and General Counsel Nov 20 '23 Option Exercise 78.15 10,934 854,492 60,810 Nov 22 04:06 PM Guilfoyle James D SVP, O&P (EAMEI) Nov 20 '23 Option Exercise 72.73 5,667 412,161 52,778 Nov 22 04:06 PM Kaplan Jeffrey A EVP and General Counsel Nov 20 '23 Sale 96.83 15,934 1,542,834 44,876 Nov 22 04:06 PM Kaplan Jeffrey A EVP and General Counsel Aug 29 '23 Sale 97.56 10,000 975,623 49,876 Aug 30 04:39 PM AI INVESTMENTS HOLDINGS LLC 10% Owner Aug 11 '23 Sale 99.61 6,028 600,439 63,837 Aug 14 05:00 PM AI INVESTMENTS HOLDINGS LLC 10% Owner Aug 11 '23 Sale 99.61 483 48,111 765,996 Aug 14 05:00 PM Lane Kenneth Todd EVP, Olefins and Polyolefins Aug 10 '23 Option Exercise 89.26 9,491 847,167 81,940 Aug 11 04:16 PM Seward James Malcolm EVP & Chief Innovation Officer Aug 08 '23 Option Exercise 78.15 2,728 213,193 23,624 Aug 10 04:10 PM
Index -
P/E 12.55
EPS (ttm) 8.44
Insider Own 7.51%
Shs Outstand 64.19M
Perf Week -1.07%
Market Cap 6.81B
Forward P/E 12.49
EPS next Y 8.48
Insider Trans -0.23%
Shs Float 59.43M
Perf Month -3.75%
Income 543.25M
PEG 1.25
EPS next Q 2.07
Inst Own 81.37%
Short Float 3.34%
Perf Quarter 1.67%
Sales 2.69B
P/S 2.53
EPS this Y -7.71%
Inst Trans 4.93%
Short Ratio 4.82
Perf Half Y 17.91%
Book/sh 54.36
P/B 1.95
EPS next Y 1.02%
ROA 1.09%
Short Interest 1.98M
Perf Year 7.14%
Cash/sh -
P/C -
EPS next 5Y 10.02%
ROE 15.48%
52W Range 82.25 - 120.31
Perf YTD -2.36%
Dividend Est. 3.75 (3.54%)
P/FCF 10.38
EPS past 5Y 5.78%
ROI 13.01%
52W High -11.95%
Beta 1.03
Dividend TTM 3.63 (3.43%)
Quick Ratio -
Sales past 5Y 15.10%
Gross Margin -
52W Low 28.79%
ATR (14) 2.94
Dividend Ex-Date May 31, 2024
Current Ratio 0.30
EPS Y/Y TTM -15.65%
Oper. Margin 24.62%
RSI (14) 43.25
Volatility 2.25% 2.55%
Employees 5495
Debt/Eq 1.24
Sales Y/Y TTM 24.72%
Profit Margin 20.17%
Recom 2.71
Target Price 118.07
Option/Short Yes / Yes
LT Debt/Eq 0.15
EPS Q/Q -23.69%
Payout 39.41%
Rel Volume 1.59
Prev Close 106.45
Sales Surprise 2.48%
EPS Surprise -1.41%
Sales Q/Q 8.77%
Earnings Apr 25 BMO
Avg Volume 411.56K
Price 105.93
SMA20 -3.21%
SMA50 -2.69%
SMA200 3.58%
Trades
Volume 654,407
Change -0.49%
Date
Action
Analyst
Rating Change
Price Target Change
Jan-08-24 Downgrade
Compass Point
Buy → Neutral
Jan-03-24 Downgrade
Evercore ISI
In-line → Underperform
$98 → $111
Dec-01-23 Initiated
Citigroup
Sell
$94
Aug-25-23 Upgrade
UBS
Sell → Neutral
$97 → $100
May-16-23 Downgrade
Morgan Stanley
Overweight → Equal-Weight
$127 → $121
Mar-15-23 Initiated
UBS
Sell
$107
Feb-21-23 Downgrade
Raymond James
Outperform → Mkt Perform
Jan-05-23 Upgrade
BofA Securities
Neutral → Buy
$155
Dec-21-22 Initiated
DA Davidson
Buy
$147
Dec-05-22 Initiated
Morgan Stanley
Overweight
$178
Nov-03-22 Downgrade
Wolfe Research
Outperform → Peer Perform
Oct-31-22 Upgrade
Evercore ISI
Underperform → In-line
$140 → $160
Sep-28-22 Resumed
Wedbush
Neutral
Aug-15-22 Upgrade
Compass Point
Neutral → Buy
$152
Aug-01-22 Upgrade
Wedbush
Underperform → Neutral
$139 → $141
Jul-13-22 Upgrade
Compass Point
Sell → Neutral
$128
Jun-15-22 Upgrade
JP Morgan
Underweight → Overweight
$143 → $155
Apr-08-22 Upgrade
BofA Securities
Underperform → Neutral
$144
Apr-07-22 Upgrade
Wolfe Research
Underperform → Outperform
$157 → $171
Apr-06-22 Upgrade
Raymond James
Mkt Perform → Outperform
$160
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11:00AM
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(Morningstar Research) +6.57%
11:00AM
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09:00AM
Apr-26-23 08:00PM
Apr-24-23 04:42PM
(The Wall Street Journal)
Apr-20-23 10:03AM
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12:19PM
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07:15AM
Mar-28-23 05:29PM
Mar-23-23 10:26AM
Mar-14-23 11:14PM
(Morningstar Research) +7.49%
Mar-13-23 09:16PM
(Morningstar Research) -12.63%
Mar-10-23 12:11PM
Mar-09-23 04:59PM
(Morningstar Research) -5.13%
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Cullen/Frost Bankers, Inc. is a financial holding company, which engages in the provision of commercial and consumer banking services. It operates through the Banking and Frost Wealth Advisors segments. The Banking segment involves the operation of commercial and consumer banking services. The Frost Wealth Advisors segment includes fee-based services within private trust, retirement services, and financial management services. The company was founded by Thomas Clayborne Frost in 1868 and is headquartered in San Antonio, TX.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Berman Bobby GEVP Research & Strategy Mar 14 '24 Sale 105.49 1,312 138,403 27,815 Mar 15 09:46 AM Bracher Paul President of CFR Feb 16 '24 Option Exercise 78.92 9,820 774,994 106,200 Feb 20 02:41 PM Bracher Paul President of CFR Feb 16 '24 Sale 109.40 9,820 1,074,308 96,380 Feb 20 02:41 PM FROST PATRICK B President of Frost Bank Oct 29 '23 Option Exercise 0.00 1,914 0 253,177 Oct 30 03:17 PM Bracher Paul President of CFR Oct 29 '23 Option Exercise 0.00 2,606 0 97,017 Oct 30 03:15 PM Berman Bobby GEVP Research & Strategy Oct 29 '23 Option Exercise 0.00 1,330 0 27,992 Oct 30 03:14 PM Alonzo Annette M GEVP Chief HR Officer Oct 29 '23 Option Exercise 0.00 1,595 0 12,945 Oct 30 03:13 PM Wolfshohl Candace K GEVP Culture/PeopleDevelopment Oct 29 '23 Option Exercise 0.00 1,516 0 17,807 Oct 30 03:23 PM Severyn Carol Jean GEVP and Chief Risk Officer Oct 29 '23 Option Exercise 0.00 1,330 0 6,701 Oct 30 03:22 PM Stead Jimmy GEVP Chief Consumer Banking Oct 29 '23 Option Exercise 0.00 1,462 0 8,426 Oct 30 03:21 PM Salinas Jerry GEVP and CFO Oct 29 '23 Option Exercise 0.00 2,579 0 34,122 Oct 30 03:20 PM Kasanoff Howard L. GEVP Chief Credit Officer Oct 29 '23 Option Exercise 0.00 851 0 1,490 Oct 30 03:19 PM GREEN PHILLIP D Chairman and CEO Oct 29 '23 Option Exercise 0.00 11,966 0 126,345 Oct 30 03:18 PM FROST PATRICK B President of Frost Bank May 19 '23 Option Exercise 71.39 8,080 576,831 217,563 May 23 11:06 AM FROST PATRICK B President of Frost Bank May 19 '23 Sale 101.09 6,617 668,932 210,946 May 23 11:06 AM John Howard Willome Director May 15 '23 Buy 98.66 2,000 197,312 9,000 May 16 10:56 AM Avery Chris Director May 10 '23 Buy 95.75 5,000 478,750 10,000 May 11 12:13 PM
Index RUT
P/E -
EPS (ttm) -12.98
Insider Own 7.90%
Shs Outstand 9.39M
Perf Week -3.85%
Market Cap 708.15M
Forward P/E 11.99
EPS next Y 6.19
Insider Trans 0.00%
Shs Float 8.79M
Perf Month -14.78%
Income -118.86M
PEG -
EPS next Q -0.89
Inst Own 80.69%
Short Float 11.71%
Perf Quarter -4.92%
Sales 2.96B
P/S 0.24
EPS this Y 75.00%
Inst Trans -1.94%
Short Ratio 4.25
Perf Half Y -22.22%
Book/sh 30.01
P/B 2.47
EPS next Y 294.99%
ROA -2.52%
Short Interest 1.03M
Perf Year -19.89%
Cash/sh 44.61
P/C 1.66
EPS next 5Y -12.60%
ROE -34.13%
52W Range 70.25 - 141.47
Perf YTD -9.07%
Dividend Est. -
P/FCF 11.01
EPS past 5Y 44.00%
ROI -4.25%
52W High -47.53%
Beta 2.29
Dividend TTM -
Quick Ratio 1.53
Sales past 5Y 1.80%
Gross Margin 18.76%
52W Low 5.67%
ATR (14) 3.73
Dividend Ex-Date Mar 11, 2020
Current Ratio 1.78
EPS Y/Y TTM 11.73%
Oper. Margin 8.65%
RSI (14) 41.93
Volatility 4.32% 4.81%
Employees 12000
Debt/Eq 8.79
Sales Y/Y TTM 3.36%
Profit Margin -4.01%
Recom 2.92
Target Price 104.78
Option/Short Yes / Yes
LT Debt/Eq 8.77
EPS Q/Q -210.22%
Payout -
Rel Volume 0.77
Prev Close 70.36
Sales Surprise 0.89%
EPS Surprise -143.39%
Sales Q/Q -5.83%
Earnings Apr 24 AMC
Avg Volume 242.01K
Price 74.23
SMA20 -5.51%
SMA50 -9.76%
SMA200 -22.74%
Trades
Volume 187,487
Change 5.50%
Date
Action
Analyst
Rating Change
Price Target Change
Jan-16-24 Downgrade
The Benchmark Company
Buy → Hold
Oct-17-23 Upgrade
Morgan Stanley
Equal-Weight → Overweight
$160 → $175
Jul-19-23 Upgrade
The Benchmark Company
Hold → Buy
May-09-23 Downgrade
Barclays
Overweight → Equal Weight
$250 → $150
Apr-18-23 Upgrade
Morgan Stanley
Underweight → Equal-Weight
$175 → $165
Jan-19-23 Initiated
The Benchmark Company
Hold
Jan-17-23 Upgrade
Citigroup
Neutral → Buy
$210
Jan-10-23 Upgrade
Barclays
Equal Weight → Overweight
$200
Mar-14-22 Upgrade
Citigroup
Sell → Neutral
Mar-14-22 Downgrade
Citigroup
Buy → Neutral
$175 → $115
Sep-09-21 Resumed
RBC Capital Mkts
Sector Perform
$100
Jul-29-21 Upgrade
Evercore ISI
Underperform → In-line
$101
Aug-18-20 Downgrade
Citigroup
Neutral → Sell
$35
Aug-13-20 Downgrade
Goldman
Neutral → Sell
$65 → $45
Aug-03-20 Upgrade
Barclays
Underweight → Equal Weight
$12 → $42
Jul-08-20 Downgrade
Morgan Stanley
Equal-Weight → Underweight
$25
Apr-13-20 Downgrade
Scotiabank
Sector Perform → Sector Underperform
Mar-19-20 Downgrade
Wolfe Research
Outperform → Underperform
Mar-19-20 Downgrade
Barclays
Overweight → Underweight
Mar-17-20 Downgrade
CapitalOne
Overweight → Equal Weight
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(American City Business Journals)
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(The Wall Street Journal)
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Nabors Industries Ltd. engages in the provision of off shore platform rigs. It also provides performance tools, directional drilling services, tubular running services, and technologies for its own rig fleet and those operated by third parties. It manufactures drilling equipment and drilling rig instrumentation. It operates through the following business segments: U.S. Drilling, Canada Drilling, International Drilling, Drilling Solutions, and Rig Technologies. The U.S. Drilling segment includes land drilling activities in the lower states and Alaska, as well as offshore operations in the Gulf of Mexico. The Canada Drilling segment operates in land-based drilling rigs in Canada. The International Drilling segment focuses on maintaining a footprint in the oil and gas market, most notably in Saudi Arabia, Algeria, Argentina, Colombia, Kazakhstan, and Venezuela. The Drilling Solutions segment offers drilling technologies, such as proprietary drilling-bit steering systems and rig instrumentation software. The Rig Technologies segment refers to the Canrig, which manufactures and sells top drives, catwalks, wrenches, draw works, and drilling related equipment, such as robotic systems and downhole tools. The company was founded by Clair Nabors in 1952 and is headquartered in Hamilton, Bermuda.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
PETRELLO ANTHONY G CHAIRMAN, PRESIDENT & CEO Jan 02 '24 Option Exercise 0.00 18,428 0 150,705 Jan 03 06:51 PM Restrepo William J Chief Financial Officer Jan 02 '24 Option Exercise 0.00 3,422 0 111,182 Jan 03 06:57 PM Restrepo William J Chief Financial Officer Jan 01 '24 Option Exercise 0.00 3,962 0 111,695 Jan 03 06:57 PM PETRELLO ANTHONY G CHAIRMAN, PRESIDENT & CEO Jan 01 '24 Option Exercise 0.00 18,484 0 108,095 Jan 03 06:51 PM Kotts John P Director Sep 05 '23 Sale 125.13 4,975 622,527 4,787 Sep 05 09:50 PM
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