Index -
P/E 11.37
EPS (ttm) 4.25
Insider Own 64.08%
Shs Outstand 1.00B
Perf Week 4.03%
Market Cap 49.18B
Forward P/E 11.00
EPS next Y 4.39
Insider Trans -0.00%
Shs Float 365.92M
Perf Month 10.08%
Income 4.30B
PEG 1.68
EPS next Q 1.05
Inst Own 22.35%
Short Float 2.59%
Perf Quarter 13.23%
Sales 11.06B
P/S 4.45
EPS this Y 10.86%
Inst Trans 5.92%
Short Ratio 6.32
Perf Half Y 19.96%
Book/sh 13.29
P/B 3.63
EPS next Y 4.13%
ROA 11.64%
Short Interest 9.47M
Perf Year 35.13%
Cash/sh 2.38
P/C 20.27
EPS next 5Y 6.75%
ROE 32.39%
52W Range 35.51 - 47.79
Perf YTD 31.45%
Dividend Est. 3.59 (7.45% )
P/FCF 10.38
EPS past 5Y 10.78%
ROI 12.86%
52W High 1.00%
Beta 1.36
Dividend TTM 3.51 (7.26% )
Quick Ratio 0.95
Sales past 5Y 10.33%
Gross Margin 46.24%
52W Low 35.93%
ATR (14) 0.74
Dividend Ex-Date Nov 08, 2024
Current Ratio 0.99
EPS Y/Y TTM 21.85%
Oper. Margin 41.26%
RSI (14) 72.16
Volatility 1.29% 1.47%
Employees 5810
Debt/Eq 1.64
Sales Y/Y TTM 6.25%
Profit Margin 38.90%
Recom 2.00
Target Price 50.36
Option/Short Yes / Yes
LT Debt/Eq 1.43
EPS Q/Q 13.31%
Payout 83.08%
Rel Volume 1.16
Prev Close 47.58
Sales Surprise -3.87%
EPS Surprise -3.35%
Sales Q/Q 2.54%
Earnings Nov 05 BMO
Avg Volume 1.50M
Price 48.27
SMA20 5.29%
SMA50 7.48%
SMA200 14.47%
Trades
Volume 1,739,147
Change 1.45%
Date
Action
Analyst
Rating Change
Price Target Change
Oct-17-24 Resumed
BofA Securities
Underperform
$43
Oct-06-23 Resumed
Goldman
Buy
$40
Mar-14-23 Upgrade
JP Morgan
Neutral → Overweight
$37 → $41
Jan-09-23 Upgrade
Wolfe Research
Peer Perform → Outperform
$36
Dec-09-22 Initiated
Citigroup
Neutral
$33.50
Sep-29-22 Downgrade
BofA Securities
Buy → Underperform
$34
May-02-22 Resumed
Truist
Buy
$37
Sep-28-21 Resumed
BofA Securities
Buy
$36
Jul-16-21 Downgrade
Wolfe Research
Outperform → Peer Perform
$30
Feb-16-21 Upgrade
Truist
Hold → Buy
$28
Jan-11-21 Upgrade
Raymond James
Mkt Perform → Outperform
$28
Oct-21-20 Initiated
Wolfe Research
Outperform
Sep-10-20 Initiated
Goldman
Buy
$24
Jul-15-20 Downgrade
Morgan Stanley
Overweight → Equal-Weight
Apr-02-20 Upgrade
Credit Suisse
Neutral → Outperform
$21 → $18
Mar-24-20 Upgrade
Barclays
Equal Weight → Overweight
$21
Mar-19-20 Upgrade
BofA/Merrill
Neutral → Buy
$20
Mar-12-20 Downgrade
Raymond James
Outperform → Mkt Perform
Mar-11-20 Downgrade
BofA/Merrill
Buy → Neutral
Feb-25-20 Downgrade
JP Morgan
Overweight → Neutral
$27
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MPLX LP engages in the operation of midstream energy infrastructure and logistics assets, and distribution fuels services. It operates through the Logistics and Storage (L&S) and Gathering and Processing (G&P) segments. The Logistics and Storage segment transports, stores, distributes, and markets crude oil, asphalt, refined petroleum products, and water. The Gathering and Processing segment gathers, processes, and transports natural gas, and gathers, transports, fractionates, stores, and markets natural gas liquids (NGLs). The company was founded on March 27, 2012 and is headquartered in Findlay, OH.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
HAGEDORN CARL KRISTOPHER Exec VP & Chief Fin Ofc Nov 18 '24 Sale 47.24 4,000 188,960 14,750 Nov 20 06:24 PM HAGEDORN CARL KRISTOPHER Officer Nov 18 '24 Proposed Sale 47.24 4,000 188,960 Nov 18 02:22 PM
Index -
P/E 14.07
EPS (ttm) 2.83
Insider Own 68.31%
Shs Outstand 43.61M
Perf Week 2.53%
Market Cap 2.05B
Forward P/E 12.79
EPS next Y 3.11
Insider Trans 0.04%
Shs Float 16.31M
Perf Month 1.95%
Income 129.53M
PEG 1.24
EPS next Q 0.74
Inst Own 13.69%
Short Float 3.85%
Perf Quarter 2.03%
Sales 984.92M
P/S 2.08
EPS this Y 9.58%
Inst Trans 4.98%
Short Ratio 3.85
Perf Half Y 0.13%
Book/sh -2.45
P/B -
EPS next Y -1.84%
ROA 7.06%
Short Interest 0.63M
Perf Year -18.22%
Cash/sh 0.14
P/C 279.55
EPS next 5Y 11.31%
ROE -
52W Range 37.02 - 53.80
Perf YTD -7.90%
Dividend Est. 4.36 (10.97% )
P/FCF 12.91
EPS past 5Y 1.79%
ROI 6.98%
52W High -26.10%
Beta 2.10
Dividend TTM 4.32 (10.85% )
Quick Ratio 1.17
Sales past 5Y 11.13%
Gross Margin 26.67%
52W Low 7.40%
ATR (14) 0.75
Dividend Ex-Date Nov 08, 2024
Current Ratio 1.24
EPS Y/Y TTM -16.09%
Oper. Margin 24.20%
RSI (14) 54.08
Volatility 1.40% 1.72%
Employees -
Debt/Eq -
Sales Y/Y TTM -4.87%
Profit Margin 13.15%
Recom 2.00
Target Price 44.00
Option/Short Yes / Yes
LT Debt/Eq -
EPS Q/Q -10.54%
Payout 142.51%
Rel Volume 0.66
Prev Close 39.63
Sales Surprise -18.93%
EPS Surprise -15.22%
Sales Q/Q -22.39%
Earnings Nov 06 BMO
Avg Volume 163.33K
Price 39.76
SMA20 2.18%
SMA50 -2.20%
SMA200 -1.91%
Trades
Volume 107,017
Change 0.33%
Date
Action
Analyst
Rating Change
Price Target Change
Oct-17-24 Initiated
BofA Securities
Underperform
$36
Aug-28-24 Upgrade
Citigroup
Neutral → Buy
$44 → $45
Apr-19-24 Initiated
Truist
Buy
$46
Mar-19-24 Upgrade
Raymond James
Mkt Perform → Outperform
$45
Sep-08-23 Upgrade
Citigroup
Sell → Neutral
$47 → $45
Jun-28-23 Downgrade
Citigroup
Neutral → Sell
$47
Dec-09-22 Initiated
Citigroup
Neutral
$48
Apr-21-20 Upgrade
Credit Suisse
Underperform → Neutral
$12
Apr-14-20 Upgrade
Wells Fargo
Underweight → Equal Weight
$13
Jan-07-20 Downgrade
Wells Fargo
Equal Weight → Underweight
$33
Oct-11-18 Initiated
Credit Suisse
Underperform
Mar-01-18 Downgrade
Wells Fargo
Outperform → Market Perform
Jan-17-18 Downgrade
Barclays
Equal Weight → Underweight
$32
Jul-05-17 Resumed
Barclays
Equal Weight
$33
Nov-09-16 Upgrade
Wells Fargo
Market Perform → Outperform
Oct-03-16 Downgrade
Wells Fargo
Outperform → Market Perform
Jun-21-16 Upgrade
Goldman
Neutral → Buy
May-09-16 Downgrade
Piper Jaffray
Overweight → Neutral
Feb-29-16 Reiterated
Barclays
Equal Weight
$38 → $36
Apr-01-15 Reiterated
Barclays
Equal Weight
$42 → $45
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Delek Logistics Partners LP owns and operates logistics and marketing assets for crude oil, intermediate, and refined products. The firm gathers, transports, and stores crude oil. It also markets, distributes, transports, and stores refined products. It operates through the following segments: Pipelines and Transportation, Wholesale Marketing and Terminalling, and Investments in Pipeline Joint Ventures. The Pipelines and Transportation segment consists of crude oil transportation pipelines, refined product pipelines, crude oil gathering system, and associated crude oil storage tanks. The Wholesale Marketing and Terminalling segment provides marketing services for refined products output of the Tyler Refinery and the Big Spring Refinery. It also engages in wholesale activity at the Abilene and San Angelo, Texas terminals, as well as at terminals owned by third parties, whereby the firm purchases light products for sale and exchange to third parties. It is also involved in providing terminalling services to independent third parties and Delek Holdings. The Investments in Pipeline Joint Ventures segment owns a portion of three joint ventures that have constructed separate crude oil pipeline systems and related ancillary assets, which serve third parties and subsidiaries of Delek Holdings. The company was founded on April 24, 2012 and is headquartered in Brentwood, TN.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Yemin Ezra Uzi Executive Chairman Nov 14 '24 Buy 38.72 710 27,500 54,851 Nov 18 09:03 PM Soreq Avigal President Oct 10 '24 Buy 39.00 2,563 99,957 46,758 Oct 15 07:17 AM Spiegel Reuven EVP/CFO Oct 10 '24 Buy 39.00 1,282 49,998 20,223 Oct 15 07:15 AM Sakazi Odely Senior Vice President Oct 10 '24 Buy 39.00 128 4,992 5,066 Oct 15 07:11 AM Israel Joseph EVP, Operations Oct 10 '24 Buy 39.00 3,076 119,964 13,782 Oct 15 07:08 AM Spiegel Reuven EVP/CFO Aug 22 '24 Buy 38.98 3,885 151,422 20,163 Aug 26 02:25 PM Brillon Sherri Anne Director Aug 19 '24 Buy 39.00 2,000 78,000 11,433 Aug 21 09:01 AM Spiegel Reuven EVP/CFO Dec 08 '23 Sale 49.60 350 17,360 11,260 Dec 12 08:04 PM
Index -
P/E 25.82
EPS (ttm) 1.63
Insider Own 8.96%
Shs Outstand 200.00M
Perf Week -1.08%
Market Cap 7.91B
Forward P/E 13.04
EPS next Y 3.22
Insider Trans 0.06%
Shs Float 171.29M
Perf Month -2.01%
Income 325.28M
PEG 1.23
EPS next Q 0.23
Inst Own 80.94%
Short Float 4.50%
Perf Quarter -14.19%
Sales 29.75B
P/S 0.27
EPS this Y -76.24%
Inst Trans -1.29%
Short Ratio 3.57
Perf Half Y -25.43%
Book/sh 51.04
P/B 0.82
EPS next Y 42.63%
ROA 1.82%
Short Interest 7.71M
Perf Year -22.17%
Cash/sh 6.53
P/C 6.43
EPS next 5Y 21.00%
ROE 3.35%
52W Range 38.25 - 64.16
Perf YTD -24.37%
Dividend Est. 1.99 (4.73%)
P/FCF 7.40
EPS past 5Y 6.01%
ROI 2.65%
52W High -34.49%
Beta 1.18
Dividend TTM 1.50 (3.57%)
Quick Ratio 0.90
Sales past 5Y 23.69%
Gross Margin 3.15%
52W Low 9.88%
ATR (14) 1.23
Dividend Ex-Date Nov 21, 2024
Current Ratio 1.81
EPS Y/Y TTM -85.90%
Oper. Margin 1.55%
RSI (14) 46.97
Volatility 2.42% 3.05%
Employees 5218
Debt/Eq 0.32
Sales Y/Y TTM -10.62%
Profit Margin 1.09%
Recom 2.06
Target Price 50.67
Option/Short Yes / Yes
LT Debt/Eq 0.28
EPS Q/Q -109.53%
Payout 21.71%
Rel Volume 0.49
Prev Close 42.33
Sales Surprise 1.42%
EPS Surprise 57.02%
Sales Q/Q -19.03%
Earnings Oct 31 BMO
Avg Volume 2.16M
Price 42.03
SMA20 1.19%
SMA50 -3.82%
SMA200 -18.25%
Trades
Volume 1,051,371
Change -0.71%
Date
Action
Analyst
Rating Change
Price Target Change
Jul-18-24 Initiated
Wolfe Research
Peer Perform
Mar-15-24 Upgrade
BofA Securities
Neutral → Buy
$62 → $78
Feb-26-24 Resumed
Barclays
Equal Weight
$60
Feb-22-24 Reiterated
TD Cowen
Market Perform
$50 → $52
Feb-14-24 Upgrade
UBS
Neutral → Buy
$64 → $73
Oct-05-23 Initiated
BMO Capital Markets
Outperform
$65
Aug-16-23 Downgrade
Mizuho
Buy → Neutral
$56 → $63
Aug-15-23 Downgrade
BofA Securities
Buy → Neutral
$62 → $65
May-05-23 Reiterated
TD Cowen
Market Perform
$50 → $44
Mar-16-23 Upgrade
Wells Fargo
Equal Weight → Overweight
$55
Mar-09-23 Initiated
UBS
Neutral
$58
Mar-02-23 Downgrade
TD Cowen
Outperform → Market Perform
$58 → $52
Jan-10-23 Upgrade
Mizuho
Neutral → Buy
$40 → $68
Sep-21-22 Downgrade
Wells Fargo
Overweight → Equal Weight
$62 → $55
May-16-22 Upgrade
Goldman
Neutral → Buy
$46 → $56
May-11-22 Upgrade
Cowen
Market Perform → Outperform
$38 → $52
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Nov-11-24 11:15AM
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Aug-02-24 10:16AM
(Morningstar Research) -6.59%
Aug-01-24 07:40AM
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HF Sinclair Corp. is an independent energy company. It manufactures and sells products such as gasoline, diesel fuel, jet fuel, renewable diesel, specialty lubricant products, specialty chemicals, and specialty and modified asphalt. The company operates through five segments: Refining, Marketing, Renewables, Lubricants and Specialty Products, and Midstream. The company was founded in 1947 and is headquartered in Dallas, TX.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Go Timothy CEO and President Nov 05 '24 Buy 39.97 2,500 99,922 126,513 Nov 07 04:55 PM MYERS FRANKLIN Director Nov 01 '24 Buy 38.76 5,000 193,775 145,293 Nov 04 04:51 PM MYERS FRANKLIN Director Jun 12 '24 Buy 52.04 2,000 104,080 140,293 Jun 12 04:36 PM MYERS FRANKLIN Director May 20 '24 Buy 57.37 6,500 372,905 138,293 May 20 05:20 PM Fernandez Manuel J Director Mar 20 '24 Sale 61.10 1,213 74,114 9,828 Mar 20 06:14 PM LEE JAMES H Director Feb 27 '24 Sale 59.18 3,190 188,784 62,729 Feb 27 04:57 PM MYERS FRANKLIN Director Feb 26 '24 Buy 58.94 4,180 246,369 131,793 Feb 26 04:34 PM Pompa Valerie EVP, Operations Feb 23 '24 Sale 57.53 7,000 402,710 29,617 Feb 23 05:12 PM Agarwal Indira VP, Controller and CAO Dec 11 '23 Sale 52.08 4,339 225,975 18,366 Dec 12 04:15 PM LEE JAMES H Director Dec 11 '23 Sale 52.30 2,643 138,229 65,919 Dec 11 04:57 PM Fernandez Manuel J Director Dec 05 '23 Sale 54.82 1,735 95,113 11,041 Dec 05 06:34 PM Bhatia Vaishali S. EVP, General Counsel & Sec Dec 05 '23 Sale 54.24 18,465 1,001,542 51,924 Dec 05 05:59 PM MYERS FRANKLIN Director Dec 05 '23 Buy 54.79 5,000 273,950 127,613 Dec 05 04:45 PM
Index -
P/E -
EPS (ttm) -0.73
Insider Own 23.42%
Shs Outstand 122.42M
Perf Week 0.69%
Market Cap 1.42B
Forward P/E -
EPS next Y -0.26
Insider Trans 0.01%
Shs Float 93.79M
Perf Month -10.77%
Income -89.81M
PEG -
EPS next Q -0.26
Inst Own 67.61%
Short Float 3.77%
Perf Quarter -13.56%
Sales 3.01B
P/S 0.47
EPS this Y -272.73%
Inst Trans 2.89%
Short Ratio 8.70
Perf Half Y -7.57%
Book/sh 3.10
P/B 3.74
EPS next Y 31.58%
ROA -0.04%
Short Interest 3.54M
Perf Year 1.75%
Cash/sh 0.26
P/C 44.71
EPS next 5Y 6.00%
ROE -0.20%
52W Range 10.01 - 15.17
Perf YTD 0.17%
Dividend Est. 0.63 (5.43% )
P/FCF -
EPS past 5Y -
ROI -1.73%
52W High -23.53%
Beta 2.10
Dividend TTM 0.61 (5.30% )
Quick Ratio 0.91
Sales past 5Y 4.07%
Gross Margin 10.16%
52W Low 15.88%
ATR (14) 0.39
Dividend Ex-Date Oct 31, 2024
Current Ratio 1.03
EPS Y/Y TTM -264.79%
Oper. Margin 7.97%
RSI (14) 43.53
Volatility 3.38% 3.37%
Employees 2137
Debt/Eq 3.37
Sales Y/Y TTM -3.28%
Profit Margin -2.98%
Recom 2.00
Target Price 13.67
Option/Short Yes / Yes
LT Debt/Eq 3.36
EPS Q/Q -209.28%
Payout 272.36%
Rel Volume 0.94
Prev Close 11.56
Sales Surprise -
EPS Surprise -220.00%
Sales Q/Q -11.56%
Earnings Oct 31 BMO
Avg Volume 406.70K
Price 11.60
SMA20 -0.86%
SMA50 -8.24%
SMA200 -8.43%
Trades
Volume 382,240
Change 0.35%
Date
Action
Analyst
Rating Change
Price Target Change
Nov-01-24 Upgrade
CapitalOne
Equal Weight → Overweight
Mar-28-23 Resumed
CapitalOne
Equal Weight
$15
Dec-03-21 Resumed
Citigroup
Buy
$12
Nov-23-21 Downgrade
CapitalOne
Overweight → Equal Weight
$12 → $11
Oct-14-21 Downgrade
Barclays
Overweight → Equal Weight
$10 → $12
Oct-15-20 Upgrade
Barclays
Equal Weight → Overweight
Mar-16-20 Upgrade
UBS
Neutral → Buy
$15 → $8
Feb-20-20 Downgrade
UBS
Buy → Neutral
$21 → $15
Jan-07-20 Downgrade
Wells Fargo
Equal Weight → Underweight
$21
Jun-26-19 Downgrade
Raymond James
Outperform → Mkt Perform
Nov-02-18 Upgrade
RBC Capital Mkts
Sector Perform → Outperform
Sep-04-18 Downgrade
Robert W. Baird
Outperform → Neutral
Oct-17-17 Reiterated
UBS
Buy
$41 → $39
Oct-13-17 Upgrade
Barclays
Underweight → Equal Weight
$31 → $27
Oct-13-17 Reiterated
RBC Capital Mkts
Sector Perform
$34 → $28
Aug-07-17 Upgrade
Robert W. Baird
Neutral → Outperform
$35 → $37
May-08-17 Upgrade
Credit Suisse
Neutral → Outperform
Feb-17-17 Downgrade
RBC Capital Mkts
Outperform → Sector Perform
$39 → $38
Feb-17-17 Downgrade
CapitalOne
Overweight → Equal Weight
Nov-14-16 Upgrade
CapitalOne
Equal Weight → Overweight
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May-05-23 01:43AM
(Thomson Reuters StreetEvents)
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Jan-18-23 05:21PM
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Genesis Energy LP engages in the provision of midstream services and produces natural soda ash. It operates through the following segments: Offshore Pipeline Transportation, Sodium Minerals and Sulfur Services, Onshore Facilities and Transportation, and Marine Transportation. The Offshore Pipeline Transportation segment owns interests in crude oil and natural gas pipeline transportation and handling operations through its offshore pipeline transportation segment. The Sodium Minerals and Sulfur Services segment comprises Alkali and sulfur removal business. The Onshore Facilities and Transportation segment owns and leases suite of onshore crude oil and refined products infrastructure, including pipelines, trucks, terminals, railcars, and rail loading. The Marine Transportation segment provides transportation services by tank barge primarily for refined petroleum products, including heavy fuel oil and asphalt, as well as crude oil. The company was founded in 1996 and is headquartered in Houston, TX.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
SIMS RYAN S President & Chief Comm Officer Nov 08 '24 Buy 11.25 1,000 11,250 22,500 Nov 12 08:11 AM Gaspard Garland G Vice President Aug 06 '24 Buy 13.27 2,261 29,992 19,525 Aug 06 03:02 PM SIMS RYAN S President & Chief Comm Officer Feb 29 '24 Buy 11.55 1,500 17,325 21,500 Mar 01 10:05 AM
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