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AR Antero Resources Corporation daily Stock Chart
Antero Resources Corporation
Index- P/E- EPS (ttm)-7.38 Insider Own10.00% Shs Outstand268.39M Perf Week32.77%
Market Cap1.00B Forward P/E- EPS next Y-0.43 Insider Trans0.00% Shs Float224.19M Perf Month43.43%
Income-2163.20M PEG- EPS next Q-0.09 Inst Own94.30% Short Float20.41% Perf Quarter25.56%
Sales3.87B P/S0.26 EPS this Y11.70% Inst Trans2.48% Short Ratio3.99 Perf Half Y124.57%
Book/sh22.86 P/B0.17 EPS next Y-34.40% ROA-14.50% Target Price3.33 Perf Year4.52%
Cash/sh0.00 P/C- EPS next 5Y- ROE-31.90% 52W Range0.64 - 4.41 Perf YTD37.89%
Dividend- P/FCF1.52 EPS past 5Y-19.50% ROI1.70% 52W High-10.88% Beta4.94
Dividend %- Quick Ratio1.00 Sales past 5Y10.50% Gross Margin51.20% 52W Low515.99% ATR0.29
Employees524 Current Ratio1.00 Sales Q/Q-62.70% Oper. Margin-56.80% RSI (14)68.46 Volatility10.76% 9.15%
OptionableYes Debt/Eq0.57 EPS Q/Q- Profit Margin-55.80% Rel Volume0.74 Prev Close3.73
ShortableYes LT Debt/Eq0.57 EarningsJul 29 AMC Payout- Avg Volume11.48M Price3.93
Recom3.30 SMA2031.20% SMA5027.83% SMA20067.59% Volume8,506,669 Change5.36%
Jul-15-20Upgrade MKM Partners Sell → Neutral $3
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Mar-13-20Downgrade TD Securities Buy → Hold $1.30
Feb-18-20Downgrade MKM Partners Buy → Sell $1
Jan-09-20Downgrade Wells Fargo Equal Weight → Underweight $4
Oct-04-19Downgrade Morgan Stanley Equal-Weight → Underweight $3.25 → $1.50
Oct-03-19Resumed JP Morgan Underweight
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Aug-02-19Upgrade Macquarie Underperform → Neutral
Jun-18-19Upgrade CapitalOne Underweight → Equal Weight
May-30-19Initiated Macquarie Underperform
Apr-12-19Resumed Goldman Buy $10.50
Mar-22-19Initiated CapitalOne Equal Weight
Mar-19-19Downgrade Tudor Pickering Buy → Hold
Dec-20-18Downgrade CapitalOne Overweight → Equal Weight
Dec-19-18Downgrade Raymond James Outperform → Underperform
Dec-06-18Initiated MKM Partners Buy $17
Sep-21-18Downgrade BMO Capital Markets Outperform → Market Perform
Jul-05-18Initiated TD Securities Buy
May-23-18Resumed Stifel Buy $24.50
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Antero Resources Corporation, an independent oil and natural gas company, acquires, explores for, develops, and produces natural gas, natural gas liquids, and oil properties in the United States. As of December 31, 2019, the company had approximately 451,000 net acres in the southwestern core of the Marcellus Shale; and 91,000 net acres in the core of the Utica Shale. It also owned and operated 324 miles of gas gathering pipelines in the Marcellus Shale; 17 compressor stations in the Marcellus Shale; 110 miles of low-pressure and high-pressure gathering pipelines in the Utica Shale; 8 miles of high-pressure pipelines; and 2 compressor stations in the Utica Shale. The company had estimated proved reserves of 18.9 trillion cubic feet of natural gas equivalent, including 11.5 trillion cubic feet of natural gas; 652 million barrels of assumed recovered ethane; 540 million barrels of primarily propane, isobutane, normal butane, and natural gasoline; and 42 million barrels of oil. The company was formerly known as Antero Resources Appalachian Corporation and changed its name to Antero Resources Corporation in June 2013. Antero Resources Corporation was founded in 2002 and is headquartered in Denver, Colorado.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Kennedy Michael N.See RemarksDec 30Sale2.77138,098383,02914,324Dec 31 04:16 PM
LTRPA Liberty TripAdvisor Holdings, Inc. daily Stock Chart
Liberty TripAdvisor Holdings, Inc.
Index- P/E- EPS (ttm)-0.60 Insider Own0.10% Shs Outstand120.56M Perf Week7.66%
Market Cap321.90M Forward P/E- EPS next Y- Insider Trans0.00% Shs Float72.17M Perf Month20.27%
Income-45.00M PEG- EPS next Q- Inst Own86.20% Short Float3.29% Perf Quarter45.90%
Sales1.46B P/S0.22 EPS this Y66.10% Inst Trans-0.27% Short Ratio1.35 Perf Half Y-58.02%
Book/sh4.26 P/B0.63 EPS next Y- ROA- Target Price3.00 Perf Year-75.77%
Cash/sh5.88 P/C0.45 EPS next 5Y- ROE- 52W Range0.86 - 12.03 Perf YTD-63.67%
Dividend- P/FCF- EPS past 5Y0.30% ROI-18.90% 52W High-77.81% Beta2.31
Dividend %- Quick Ratio3.50 Sales past 5Y3.30% Gross Margin- 52W Low211.26% ATR0.19
Employees4194 Current Ratio3.50 Sales Q/Q-86.00% Oper. Margin- RSI (14)53.92 Volatility8.72% 7.63%
OptionableYes Debt/Eq0.00 EPS Q/Q- Profit Margin- Rel Volume0.62 Prev Close2.78
ShortableYes LT Debt/Eq6.73 Earnings- Payout- Avg Volume1.76M Price2.67
Recom3.00 SMA208.98% SMA507.24% SMA200-40.30% Volume1,091,227 Change-3.96%
Jun-13-19Upgrade Guggenheim Sell → Neutral
Oct-16-18Initiated Evercore ISI In-line $12.50
May-25-18Downgrade Guggenheim Neutral → Sell
Jan-18-17Initiated Miller Tabak Hold
Nov-06-15Downgrade Guggenheim Buy → Neutral
May-19-15Initiated Guggenheim Buy
Nov-07-14Reiterated FBR Capital Outperform $43 → $32
Oct-21-14Initiated RBC Capital Mkts Outperform $38
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Liberty TripAdvisor Holdings, Inc., through its subsidiaries, operates as an online travel company that connects travelers with travel partners. The company operates in two segments, Hotels, Media & Platform, and Experiences & Dining. Its travel platform provides content, price comparison tools, and online reservation and related services for destinations, accommodations, travel activities and experiences, and restaurants. The company owns and operates a portfolio of travel media brands and businesses, which offers travel-planning and trip-taking resources in the travel industry; and provides click-based, display-based, and subscription-based advertising services. It also operates Viator, a Website that offers research, book, and experience activities and attractions in travel destinations; and TheFork, an online restaurant booking platform operating various sites. Liberty TripAdvisor Holdings, Inc. was founded in 2013 and is headquartered in Englewood, Colorado.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Mueller ChrisDirectorDec 06Option Exercise0.006,80606,806Dec 10 04:47 PM
MAFFEI GREGORY BPresident/CEOSep 13Buy10.3815,408160,0042,785,581Sep 17 04:33 PM
GRAM Grana y Montero S.A.A. daily Stock Chart
Grana y Montero S.A.A.
Index- P/E- EPS (ttm)-1.85 Insider Own- Shs Outstand181.72M Perf Week-0.43%
Market Cap423.41M Forward P/E- EPS next Y- Insider Trans- Shs Float108.66M Perf Month5.91%
Income-246.50M PEG- EPS next Q- Inst Own18.10% Short Float0.00% Perf Quarter23.94%
Sales1.21B P/S0.35 EPS this Y-521.70% Inst Trans-1.79% Short Ratio0.05 Perf Half Y-10.38%
Book/sh5.99 P/B0.39 EPS next Y- ROA-15.00% Target Price- Perf Year-14.65%
Cash/sh1.51 P/C1.54 EPS next 5Y4.96% ROE-58.70% 52W Range1.34 - 3.00 Perf YTD-5.67%
Dividend- P/FCF3.99 EPS past 5Y-33.60% ROI-13.70% 52W High-22.33% Beta0.68
Dividend %- Quick Ratio0.90 Sales past 5Y-10.20% Gross Margin8.10% 52W Low73.88% ATR0.10
Employees46762 Current Ratio1.10 Sales Q/Q-49.00% Oper. Margin- RSI (14)56.43 Volatility4.23% 4.46%
OptionableNo Debt/Eq0.00 EPS Q/Q- Profit Margin-22.90% Rel Volume0.04 Prev Close2.41
ShortableYes LT Debt/Eq0.93 Earnings- Payout- Avg Volume57.35K Price2.33
Recom2.00 SMA203.34% SMA504.28% SMA2008.06% Volume2,242 Change-3.17%
Jan-17-19Upgrade JP Morgan Underweight → Neutral
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Grana y Montero S.A.A., together with its subsidiaries, engages in engineering and construction, infrastructure, and real estate businesses in Peru, Chile, and Colombia. The company operates through three segments: Engineering and Construction; Infrastructure; and Real Estate. The Engineering and Construction segment provides traditional engineering services, such as structural, civil, and design engineering; and services ranging from architectural planning to advanced specialties comprising process design, simulation, and environmental services. This segment also provides services related to civil works, which include construction of hydroelectric power stations and other large infrastructure facilities; electro mechanic construction, such as concentrator plants, oil and natural gas pipelines, and transmission lines; and building construction comprising office and residential buildings, hotels, affordable housing projects, shopping centers, and industrial facilities. It serves mining, power, oil and gas, transportation, and infrastructure development companies. The Infrastructure segment offers long-term concessions or similar contractual arrangements in Peru for three toll roads, the Lima Metro, a waste water treatment plant in Lima, four producing oil fields, and a gas processing plant, as well as maintenance services for infrastructure assets. The Real Estate segment develops and sells homes, and office and commercial space. Grana y Montero S.A.A. was founded in 1933 and is based in Surquillo, Peru.
TCS The Container Store Group, Inc. daily Stock Chart
The Container Store Group, Inc.
Index- P/E83.00 EPS (ttm)0.04 Insider Own3.30% Shs Outstand48.39M Perf Week-3.77%
Market Cap161.19M Forward P/E10.71 EPS next Y0.31 Insider Trans1.26% Shs Float19.26M Perf Month-11.94%
Income1.90M PEG5.42 EPS next Q0.01 Inst Own87.40% Short Float13.56% Perf Quarter45.61%
Sales858.10M P/S0.19 EPS this Y-10.90% Inst Trans-0.16% Short Ratio6.92 Perf Half Y-19.42%
Book/sh5.44 P/B0.61 EPS next Y392.06% ROA0.20% Target Price3.00 Perf Year-33.20%
Cash/sh1.31 P/C2.54 EPS next 5Y15.30% ROE0.70% 52W Range1.80 - 5.19 Perf YTD-21.33%
Dividend- P/FCF4.49 EPS past 5Y-8.70% ROI6.00% 52W High-36.03% Beta2.02
Dividend %- Quick Ratio0.60 Sales past 5Y3.20% Gross Margin57.30% 52W Low84.44% ATR0.30
Employees5100 Current Ratio1.20 Sales Q/Q-27.60% Oper. Margin2.80% RSI (14)41.36 Volatility5.43% 7.26%
OptionableYes Debt/Eq1.17 EPS Q/Q-305.30% Profit Margin0.20% Rel Volume0.37 Prev Close3.20
ShortableYes LT Debt/Eq1.13 EarningsJul 28 AMC Payout0.00% Avg Volume377.29K Price3.32
Recom3.70 SMA20-14.92% SMA50-5.67% SMA200-4.27% Volume138,718 Change3.75%
Aug-04-20Downgrade Goldman Neutral → Sell $2.25 → $3
Oct-17-19Upgrade Goldman Sell → Neutral $7 → $5.25
Jul-11-19Initiated Goldman Sell $7
Oct-31-18Downgrade JP Morgan Neutral → Underweight
May-24-17Reiterated Barclays Equal Weight $5 → $6
Jan-17-17Downgrade Morgan Stanley Equal-Weight → Underweight
Mar-31-16Initiated Barclays Equal Weight $6
Jan-08-16Downgrade JP Morgan Overweight → Neutral
Dec-17-15Initiated Goldman Neutral
Dec-11-15Downgrade BofA/Merrill Buy → Underperform
Aug-20-15Upgrade BB&T Capital Mkts Underweight → Hold
Mar-26-15Downgrade BB&T Capital Mkts Hold → Underweight
Nov-14-14Initiated CRT Capital Fair Value $25
Oct-07-14Reiterated Barclays Equal Weight $24 → $19
Jul-17-14Initiated BB&T Capital Mkts Hold
Apr-24-14Reiterated Barclays Equal Weight $40 → $34
Feb-24-14Downgrade Stifel Buy → Hold
Nov-12-13Initiated Stifel Buy $43
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The Container Store Group, Inc. operates as a retailer of storage and organization products and solutions in the United States. It operates through two segments, The Container Store and Elfa. The company provides approximately 11,000 products designed to help customers. Its merchandise category includes Custom Closets, including elfa, Laren, and Avera branded products and installation services, as well as closet lifestyle department products; storage, long-term storage, and shelving; kitchen and trash; office, collections, and hooks; bath, travel, and laundry; gift packaging, seasonal, and impulse; and others. The company also designs, manufactures, and sells component-based shelving and drawer systems that are customizable for any area of the home, such as closets, kitchens, offices, and garages, as well as made-to-measure sliding doors. As of March 28, 2020, it operated 93 stores with an average size of approximately 25,000 square feet in 33 states and the District of Columbia. The company offers its products directly to customers through its website, responsive mobile site, and call center, as well as sells to various retailers and distributors, and on a wholesale basis. The Container Store Group, Inc. was founded in 1978 and is headquartered in Coppell, Texas.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Jordan Robert EDirectorFeb 28Buy3.7320,00074,55480,757Mar 02 04:47 PM
SALT Scorpio Bulkers Inc. daily Stock Chart
Scorpio Bulkers Inc.
Index- P/E- EPS (ttm)-21.95 Insider Own37.00% Shs Outstand7.87M Perf Week-11.66%
Market Cap158.51M Forward P/E28.28 EPS next Y0.46 Insider Trans0.00% Shs Float7.77M Perf Month-8.61%
Income-156.60M PEG- EPS next Q-0.43 Inst Own19.60% Short Float7.23% Perf Quarter-35.44%
Sales190.50M P/S0.83 EPS this Y463.30% Inst Trans-11.77% Short Ratio1.87 Perf Half Y-62.46%
Book/sh100.34 P/B0.13 EPS next Y102.40% ROA-9.70% Target Price- Perf Year-74.89%
Cash/sh5.58 P/C2.32 EPS next 5Y- ROE-18.90% 52W Range12.50 - 72.30 Perf YTD-79.67%
Dividend0.65 P/FCF- EPS past 5Y15.60% ROI-1.30% 52W High-82.09% Beta1.24
Dividend %5.02% Quick Ratio- Sales past 5Y35.60% Gross Margin45.80% 52W Low3.60% ATR0.89
Employees7 Current Ratio0.60 Sales Q/Q-74.10% Oper. Margin-31.00% RSI (14)36.81 Volatility7.50% 5.83%
OptionableYes Debt/Eq0.83 EPS Q/Q-225.50% Profit Margin-82.20% Rel Volume0.63 Prev Close13.22
ShortableYes LT Debt/Eq0.70 EarningsAug 03 AMC Payout- Avg Volume300.72K Price12.95
Recom2.10 SMA20-7.56% SMA50-20.47% SMA200-62.26% Volume188,678 Change-2.04%
Jun-10-20Downgrade Jefferies Buy → Hold
Oct-17-18Downgrade JP Morgan Overweight → Neutral
Oct-10-18Downgrade Evercore ISI Outperform → In-line
Oct-04-18Initiated B. Riley FBR Buy $9.50
Mar-28-17Initiated Morgan Stanley Equal-Weight
Mar-13-17Upgrade Credit Suisse Neutral → Outperform
Sep-27-16Reiterated Deutsche Bank Hold $3 → $4.50
Aug-02-16Resumed Seaport Global Securities Buy $5
Jan-26-16Upgrade JP Morgan Neutral → Overweight
Jan-07-16Downgrade Stifel Buy → Hold
Dec-01-15Reiterated UBS Buy $2.50 → $1.50
Nov-18-15Downgrade Deutsche Bank Buy → Hold $3 → $1
Jul-29-15Upgrade Deutsche Bank Hold → Buy $2 → $3
Jun-12-15Reiterated Imperial Capital In-line $3.50 → $2.25
Mar-16-15Initiated Imperial Capital Outperform $3.50
Dec-16-14Reiterated UBS Neutral $4.75 → $2
Dec-10-14Reiterated Deutsche Bank Hold $7 → $2
Nov-19-14Reiterated Wunderlich Buy $9 → $7
Nov-18-14Reiterated Stifel Buy $11 → $8
Oct-27-14Downgrade Deutsche Bank Buy → Hold $12 → $7
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Scorpio Bulkers Inc., a shipping company, owns and operates dry bulk carriers worldwide. Its vessels transport a range of bulk commodities, including ores, coal, grains, and fertilizers. As of December 31, 2019, the company operated a fleet of 58 vessels that consist of 55 owned and finance leased vessels, including 17 Kamsarmax vessels and 35 Ultramax vessels; five time chartered-in Kamsarmax vessels; and one Ultramax vessel. Scorpio Bulkers Inc. was founded in 2013 and is based in Monaco.
ATEN A10 Networks, Inc. daily Stock Chart
A10 Networks, Inc.
Index- P/E176.53 EPS (ttm)0.05 Insider Own10.80% Shs Outstand78.18M Perf Week7.05%
Market Cap651.52M Forward P/E17.47 EPS next Y0.50 Insider Trans-21.78% Shs Float59.92M Perf Month19.31%
Income3.70M PEG7.68 EPS next Q0.10 Inst Own70.00% Short Float2.24% Perf Quarter18.82%
Sales219.40M P/S2.97 EPS this Y38.20% Inst Trans0.35% Short Ratio2.27 Perf Half Y18.66%
Book/sh1.42 P/B6.09 EPS next Y35.62% ROA1.40% Target Price12.25 Perf Year19.64%
Cash/sh1.90 P/C4.55 EPS next 5Y23.00% ROE3.40% 52W Range3.43 - 8.69 Perf YTD25.91%
Dividend- P/FCF22.31 EPS past 5Y20.50% ROI-17.00% 52W High-0.46% Beta0.90
Dividend %- Quick Ratio2.10 Sales past 5Y3.40% Gross Margin77.70% 52W Low152.19% ATR0.39
Employees810 Current Ratio2.30 Sales Q/Q6.70% Oper. Margin1.80% RSI (14)69.61 Volatility4.41% 4.83%
OptionableYes Debt/Eq0.00 EPS Q/Q165.60% Profit Margin1.70% Rel Volume2.15 Prev Close8.36
ShortableYes LT Debt/Eq0.00 EarningsJul 28 AMC Payout0.00% Avg Volume591.47K Price8.65
Recom1.50 SMA2012.44% SMA5020.14% SMA20028.41% Volume1,270,642 Change3.47%
Jul-21-20Initiated Sidoti Buy $11
Dec-16-19Initiated BWS Financial Buy $9.50
Mar-23-18Downgrade Dougherty & Company Buy → Neutral
Mar-19-18Downgrade DA Davidson Buy → Neutral $8 → $7
Jul-14-17Reiterated DA Davidson Buy $16 → $9
Jul-14-17Downgrade KeyBanc Capital Mkts Overweight → Sector Weight
Feb-10-17Reiterated Dougherty & Company Buy $10 → $10.50
Oct-31-16Upgrade DA Davidson Neutral → Buy $10.50
Oct-28-16Reiterated Dougherty & Company Buy $11 → $10
Oct-28-16Downgrade Oppenheimer Outperform → Perform
Oct-05-16Downgrade DA Davidson Buy → Neutral $11.50
Aug-29-16Reiterated Dougherty & Company Buy $9 → $11
Feb-10-16Reiterated Oppenheimer Outperform $10 → $8
Nov-11-15Reiterated Oppenheimer Outperform $7 → $10
Oct-30-15Upgrade Dougherty & Company Neutral → Buy $8
Jul-31-15Reiterated RBC Capital Mkts Outperform $6 → $7
May-05-15Upgrade BofA/Merrill Neutral → Buy
Jan-08-15Upgrade DA Davidson Neutral → Buy $5 → $6
Nov-03-14Reiterated DA Davidson Neutral $5.75 → $5
Oct-24-14Reiterated RBC Capital Mkts Outperform $16 → $6
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A10 Networks, Inc. provides software and hardware solutions in the United States, Japan, other Asia Pacific and EMEA countries, and Latin America. The company offers Thunder application delivery controller (ADC) that provides advanced server load balancing; Lightning ADC, a cloud-native software-as-a-service platform to boost the delivery and security of applications and micro services; and Thunder carrier grade networking product, which offers standards-compliant address and protocol translation services for service provider networks. It also provides Thunder threat protection system for the protection of networks and server resources against massive distributed denial of service attacks; Thunder secure sockets layer (SSL) insight solution that decrypts SSL-encrypted traffic and forwards it to a third-party security device for deep packet inspection; and Thunder convergent firewall, which addresses various critical security capabilities in one package by consolidating various security and networking functions in a single appliance. In addition, the company offers intelligent management and automation tools comprising harmony controller that provides intelligent management, automation, and analytics for secure application delivery in multi-cloud environment; and aGalaxy TPS, a multi-device network management solution. The company delivers its solutions on optimized hardware appliances, bare metal software, containerized software, virtual appliances, and cloud-native software. It serves cloud providers, Web-scale businesses, service providers, government organizations, and enterprises in the telecommunications, technology, industrial, retail, government, financial, gaming, and education industries. The company markets its products through sales organizations, as well as distribution channel partners, including distributors, value added resellers, and system integrators. A10 Networks, Inc. was incorporated in 2004 and is headquartered in San Jose, California.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Reiss GunterVP Worldwide MarketingJul 24Sale7.303,00021,900153,158Jul 28 07:12 PM
Constantino ThomasEVP, Chief Financial OfficerJul 07Sale6.6515,622103,886213,252Jul 07 09:22 PM
Reiss GunterVP Worldwide MarketingJun 24Sale6.943,00020,814137,797Jun 24 08:30 PM
Reiss GunterVP Worldwide MarketingMay 22Sale6.683,00020,040140,797May 26 04:13 PM
CHEN LEE10% OwnerMay 18Sale6.002,200,00013,200,0007,670,224May 20 03:43 PM
Reiss GunterVP Worldwide MarketingMay 06Sale6.681,88912,619143,797May 08 05:05 PM
COCHRAN ROBERT DEVP Legal & Corp CollaborationMay 06Sale6.682,64617,675199,714May 08 05:05 PM
Constantino ThomasEVP, Chief Financial OfficerMay 06Sale6.682,57717,214204,752May 08 05:04 PM
Reiss GunterVP Worldwide MarketingApr 27Sale6.842,53917,367145,686Apr 28 04:20 PM
Constantino ThomasEVP, Chief Financial OfficerApr 27Sale6.843,48723,851207,329Apr 28 04:19 PM
COCHRAN ROBERT DEVP Legal & Corp CollaborationApr 27Sale6.843,42223,406202,360Apr 28 04:18 PM
Reiss GunterVP Worldwide MarketingApr 24Sale6.353,00019,050148,225Apr 27 04:27 PM
Reiss GunterVP Worldwide MarketingApr 20Sale6.551,2017,867151,225Apr 21 07:21 PM
Reiss GunterVP Worldwide MarketingMar 25Sale5.003,00015,000152,426Mar 27 04:21 PM
Reiss GunterVP Worldwide MarketingFeb 24Sale7.193,00021,576155,426Feb 26 04:04 PM
Reiss GunterVP Worldwide MarketingFeb 18Sale7.144,20630,035158,426Feb 20 04:03 PM
COCHRAN ROBERT DEVP Legal & Corp CollaborationFeb 13Sale7.199,77870,304205,782Feb 14 04:10 PM
White Christopher P.EVP, Worldwide SalesJan 06Sale6.969,16963,780101,915Jan 08 04:04 PM
Reiss GunterVP Worldwide MarketingNov 06Sale7.152,63918,866161,742Nov 08 04:05 PM
RVNC Revance Therapeutics, Inc. daily Stock Chart
Revance Therapeutics, Inc.
Index- P/E- EPS (ttm)-3.96 Insider Own2.50% Shs Outstand54.26M Perf Week10.99%
Market Cap1.35B Forward P/E- EPS next Y-3.53 Insider Trans0.00% Shs Float54.23M Perf Month2.84%
Income-186.10M PEG- EPS next Q-1.09 Inst Own95.68% Short Float11.90% Perf Quarter29.72%
Sales0.20M P/S6745.63 EPS this Y6.90% Inst Trans7.95% Short Ratio12.43 Perf Half Y-2.07%
Book/sh4.71 P/B5.53 EPS next Y19.50% ROA-47.20% Target Price34.60 Perf Year99.24%
Cash/sh9.54 P/C2.73 EPS next 5Y11.60% ROE-89.00% 52W Range9.88 - 27.97 Perf YTD60.57%
Dividend- P/FCF- EPS past 5Y-2.50% ROI-72.90% 52W High-6.83% Beta1.65
Dividend %- Quick Ratio10.50 Sales past 5Y1.50% Gross Margin- 52W Low163.77% ATR1.28
Employees193 Current Ratio10.50 Sales Q/Q- Oper. Margin- RSI (14)60.48 Volatility6.63% 4.93%
OptionableYes Debt/Eq0.68 EPS Q/Q-29.20% Profit Margin- Rel Volume2.11 Prev Close23.58
ShortableYes LT Debt/Eq0.68 EarningsAug 06 AMC Payout- Avg Volume519.16K Price26.06
Recom1.90 SMA207.76% SMA509.84% SMA20031.74% Volume1,094,225 Change10.52%
Mar-23-20Downgrade Goldman Buy → Neutral $32 → $15
Dec-02-19Initiated Goldman Buy
Oct-30-19Upgrade Wells Fargo Market Perform → Outperform $20
Jun-11-19Initiated Barclays Overweight $28
Feb-15-19Initiated Wells Fargo Market Perform
Feb-14-19Initiated H.C. Wainwright Buy $25
Jan-29-19Initiated Stifel Buy $50
Nov-16-18Upgrade Guggenheim Neutral → Buy
Sep-17-18Downgrade JMP Securities Mkt Outperform → Mkt Perform
Apr-20-18Reiterated Mizuho Buy $54 → $48
Mar-27-18Initiated Needham Buy $42
Mar-05-18Initiated Goldman Buy $60
Jan-09-18Downgrade Guggenheim Buy → Neutral
Dec-06-17Reiterated Mizuho Buy $37 → $54
Dec-06-17Initiated Guggenheim Buy $42
Nov-27-17Initiated Barclays Overweight $31
Nov-17-17Initiated Mizuho Buy $37
Aug-22-17Initiated JMP Securities Mkt Outperform $34
Nov-29-16Initiated Aegis Capital Buy $28
Jun-14-16Reiterated SunTrust Buy $46 → $22
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Revance Therapeutics, Inc., a biotechnology company, engages in the development, manufacture, and commercialization of neuromodulators for various aesthetic and therapeutic indications in the United States and internationally. The company's lead drug candidate is DaxibotulinumtoxinA for injection (DAXI) which competed phase 3 clinical trials for the treatment of glabellar (frown) lines and cervical dystonia; in phase 2 clinical trials to treat adult upper limb spasticity and plantar fasciitis, and in pre-clinical trials to treat chronic migraine. It is also developing DAXI for forehead lines, lateral canthal lines, and upper facial lines that is in phase 2 clinical trials; DaxibotulinumtoxinA Topical for therapeutic and aesthetic applications; and OnabotulinumtoxinA, a biosimilar to BOTOX. The company has a collaboration agreement with Mylan Ireland Limited for the development, manufacture, and commercialization of a biosimilar to BOTOX; and collaboration and license agreement with Mylan N.V. for the development and regulatory approval of a biosimilar to BOTOX. The company was formerly known as Essentia Biosystems, Inc. and changed its name to Revance Therapeutics, Inc. in April 2005. Revance Therapeutics, Inc. was founded in 1999 and is headquartered in Newark, California.
CCS Century Communities, Inc. daily Stock Chart
Century Communities, Inc.
Index- P/E8.13 EPS (ttm)4.43 Insider Own2.90% Shs Outstand33.34M Perf Week1.12%
Market Cap1.21B Forward P/E7.24 EPS next Y4.97 Insider Trans-35.68% Shs Float29.31M Perf Month15.86%
Income145.00M PEG0.90 EPS next Q0.90 Inst Own98.20% Short Float10.45% Perf Quarter51.60%
Sales2.76B P/S0.44 EPS this Y12.50% Inst Trans2.60% Short Ratio7.17 Perf Half Y1.07%
Book/sh33.88 P/B1.06 EPS next Y14.72% ROA5.50% Target Price42.50 Perf Year30.65%
Cash/sh5.19 P/C6.95 EPS next 5Y9.06% ROE13.70% 52W Range9.04 - 39.31 Perf YTD31.70%
Dividend- P/FCF6.58 EPS past 5Y28.70% ROI6.80% 52W High-8.37% Beta2.10
Dividend %- Quick Ratio- Sales past 5Y47.60% Gross Margin19.70% 52W Low298.45% ATR1.54
Employees1460 Current Ratio- Sales Q/Q25.20% Oper. Margin8.00% RSI (14)56.76 Volatility2.90% 4.48%
OptionableYes Debt/Eq0.97 EPS Q/Q126.70% Profit Margin5.20% Rel Volume0.51 Prev Close36.14
ShortableYes LT Debt/Eq0.79 EarningsJul 28 AMC Payout0.00% Avg Volume427.05K Price36.02
Recom2.70 SMA203.49% SMA5012.01% SMA20029.46% Volume217,123 Change-0.33%
Mar-18-20Downgrade JP Morgan Overweight → Neutral $15.50
Feb-13-20Downgrade Wedbush Outperform → Neutral $38
Sep-11-19Upgrade JP Morgan Neutral → Overweight $30.50 → $32.50
May-31-19Upgrade Wedbush Neutral → Outperform
Feb-08-19Downgrade Wedbush Outperform → Neutral $24
Nov-07-18Reiterated B. Riley FBR Buy $45 → $37
Sep-21-18Downgrade JP Morgan Overweight → Neutral
Dec-29-17Reiterated Wedbush Outperform $34 → $42
Sep-14-17Upgrade JP Morgan Neutral → Overweight
Aug-08-17Resumed Citigroup Buy $30
Feb-23-17Reiterated FBR & Co. Outperform $26 → $27
Sep-20-16Initiated Wedbush Outperform $30
Sep-01-16Initiated Citigroup Buy $23
Jul-14-14Initiated FBR Capital Outperform $28
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Century Communities, Inc., together with its subsidiaries, engages in the design, development, construction, marketing, and sale of single-family attached and detached homes. It is also involved in the entitlement and development of the underlying land; and provision of mortgage, title, and insurance services to its home buyers. The company sells homes through its sales representatives, as well as through independent real estate brokers in 17 states in the United States. Century Communities, Inc. was founded in 2000 and is headquartered in Greenwood Village, Colorado.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
DIXON JOHN SCOTTChief Accounting OfficerAug 04Sale35.873,171113,7490Aug 04 04:44 PM
Francescon Robert JCo-CEO, PresidentAug 03Sale36.06100,0003,606,0001,292,793Aug 04 04:41 PM
Francescon DaleChairman and Co-CEOAug 03Sale36.06100,0003,606,000441,373Aug 04 04:36 PM
Francescon DaleChairman and Co-CEOJul 31Sale35.50100,0003,550,000541,373Aug 04 04:36 PM
Francescon Robert JCo-CEO, PresidentJul 31Sale35.50100,0003,550,0001,392,793Aug 04 04:41 PM
MESSENGER DAVID LCFO and SecretaryJun 16Sale31.9735,0001,118,831132,688Jun 17 06:16 PM
Francescon Robert JCo-CEO, PresidentMay 19Sale27.65100,0002,765,000291,370May 21 04:48 PM
Francescon Robert JCo-CEO, PresidentAug 29Sale27.9325,000698,355301,280Aug 30 04:22 PM
Francescon Robert JCo-CEO, PresidentAug 28Sale27.6850,0001,384,205326,280Aug 30 04:22 PM
CTRE CareTrust REIT, Inc. daily Stock Chart
CareTrust REIT, Inc.
Index- P/E36.10 EPS (ttm)0.52 Insider Own1.00% Shs Outstand95.21M Perf Week4.38%
Market Cap1.78B Forward P/E23.81 EPS next Y0.79 Insider Trans0.16% Shs Float94.16M Perf Month15.26%
Income49.30M PEG6.02 EPS next Q0.20 Inst Own92.80% Short Float1.42% Perf Quarter7.36%
Sales168.10M P/S10.58 EPS this Y-31.80% Inst Trans-1.25% Short Ratio1.43 Perf Half Y-17.14%
Book/sh9.64 P/B1.95 EPS next Y1.67% ROA3.20% Target Price18.78 Perf Year-16.92%
Cash/sh0.06 P/C306.77 EPS next 5Y6.00% ROE5.30% 52W Range7.16 - 24.56 Perf YTD-8.82%
Dividend1.00 P/FCF43.19 EPS past 5Y27.60% ROI- 52W High-23.41% Beta1.00
Dividend %5.32% Quick Ratio- Sales past 5Y22.60% Gross Margin- 52W Low162.71% ATR0.67
Employees52 Current Ratio- Sales Q/Q-4.30% Oper. Margin43.80% RSI (14)62.04 Volatility4.48% 3.47%
OptionableYes Debt/Eq0.54 EPS Q/Q-5.10% Profit Margin28.90% Rel Volume0.74 Prev Close18.59
ShortableYes LT Debt/Eq0.54 EarningsAug 06 AMC Payout186.10% Avg Volume934.89K Price18.81
Recom2.60 SMA208.33% SMA504.52% SMA200-1.66% Volume691,346 Change1.18%
Aug-03-20Upgrade Raymond James Outperform → Strong Buy $21
Apr-29-20Upgrade Raymond James Mkt Perform → Outperform $19
Apr-06-20Upgrade Mizuho Underperform → Neutral $19 → $13
Feb-28-20Downgrade Berenberg Buy → Hold
Jan-07-20Downgrade BMO Capital Markets Outperform → Market Perform $26 → $22
Dec-20-19Initiated Mizuho Underperform
Sep-03-19Initiated Barclays Overweight $26
May-31-19Downgrade Raymond James Strong Buy → Mkt Perform
Jan-08-19Upgrade Raymond James Outperform → Strong Buy
Dec-20-18Downgrade KeyBanc Capital Mkts Overweight → Sector Weight
Nov-29-18Upgrade Stifel Hold → Buy
Dec-19-17Upgrade Wells Fargo Market Perform → Outperform
Nov-09-17Reiterated Stifel Hold $17 → $19
Oct-23-17Initiated CapitalOne Equal Weight $21
Mar-30-17Reiterated Canaccord Genuity Buy $18 → $19
Oct-24-16Initiated JMP Securities Mkt Perform
Aug-22-16Initiated Barclays Equal Weight $16
Aug-15-16Reiterated Canaccord Genuity Buy $16 → $18
Jul-26-16Initiated Wells Fargo Market Perform
Sep-10-15Initiated KeyBanc Capital Mkts Overweight $13
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CareTrust REIT, Inc. is a self-administered, publicly-traded real estate investment trust engaged in the ownership, acquisition, development and leasing of skilled nursing, seniors housing and other healthcare-related properties. With a nationwide portfolio of long-term net-leased properties, and a growing portfolio of quality operators leasing them, CareTrust REIT is pursuing both external and organic growth opportunities across the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Plumb Spencer GDirectorMar 13Buy12.771,50019,15512,721Mar 16 06:13 PM
ASC Ardmore Shipping Corporation daily Stock Chart
Ardmore Shipping Corporation
Index- P/E7.96 EPS (ttm)0.49 Insider Own- Shs Outstand33.25M Perf Week-5.35%
Market Cap130.51M Forward P/E10.81 EPS next Y0.36 Insider Trans- Shs Float32.98M Perf Month-8.69%
Income16.30M PEG0.19 EPS next Q-0.15 Inst Own97.70% Short Float3.14% Perf Quarter-32.93%
Sales245.90M P/S0.53 EPS this Y47.20% Inst Trans-6.50% Short Ratio2.71 Perf Half Y-27.43%
Book/sh10.39 P/B0.37 EPS next Y-35.14% ROA2.10% Target Price- Perf Year-38.84%
Cash/sh2.17 P/C1.79 EPS next 5Y42.64% ROE4.90% 52W Range3.73 - 9.79 Perf YTD-57.02%
Dividend0.05 P/FCF3.39 EPS past 5Y-65.00% ROI2.20% 52W High-60.27% Beta1.17
Dividend %1.29% Quick Ratio2.20 Sales past 5Y27.90% Gross Margin38.60% 52W Low4.29% ATR0.25
Employees48 Current Ratio2.30 Sales Q/Q23.50% Oper. Margin15.90% RSI (14)37.86 Volatility3.99% 5.59%
OptionableYes Debt/Eq1.21 EPS Q/Q235.60% Profit Margin6.60% Rel Volume1.11 Prev Close3.92
ShortableYes LT Debt/Eq1.10 EarningsJul 28 BMO Payout0.00% Avg Volume381.38K Price3.89
Recom2.20 SMA20-5.77% SMA50-15.84% SMA200-36.70% Volume423,559 Change-0.77%
Jan-23-20Upgrade Stifel Hold → Buy $9.50
Oct-17-19Downgrade Stifel Buy → Hold $9 → $9.50
Mar-06-17Upgrade ABN Amro Hold → Buy
Aug-25-16Downgrade Morgan Stanley Overweight → Equal-Weight
Dec-15-15Initiated Deutsche Bank Buy $16
Jul-15-15Initiated Stifel Buy $16
May-18-15Initiated JP Morgan Overweight
Feb-20-15Initiated Global Hunter Securities Accumulate
Sep-18-14Resumed Clarkson Capital Buy
Sep-16-14Initiated MLV & Co Buy $17
Jul-09-14Initiated Canaccord Genuity Buy $17
Jan-09-14Initiated Maxim Group Buy $18
Jan-06-14Initiated Global Hunter Securities Buy $20
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Ardmore Shipping Corporation, together with its subsidiaries, engages in the seaborne transportation of petroleum products and chemicals worldwide. As of August 30, 2019, the company operated a fleet of 25 double-hulled product and chemical tankers. It serves oil majors, oil companies, oil and chemical traders, and chemical companies. The company was founded in 2010 and is based in Pembroke, Bermuda.
AT Atlantic Power Corporation daily Stock Chart
Atlantic Power Corporation
Index- P/E- EPS (ttm)-0.28 Insider Own3.30% Shs Outstand97.60M Perf Week0.51%
Market Cap182.11M Forward P/E9.52 EPS next Y0.21 Insider Trans2.66% Shs Float88.29M Perf Month0.51%
Income-22.00M PEG- EPS next Q0.07 Inst Own66.90% Short Float1.15% Perf Quarter4.23%
Sales281.40M P/S0.65 EPS this Y-250.20% Inst Trans-9.29% Short Ratio1.45 Perf Half Y-17.23%
Book/sh-0.65 P/B- EPS next Y-33.23% ROA-3.20% Target Price2.51 Perf Year-17.57%
Cash/sh0.41 P/C4.79 EPS next 5Y15.50% ROE93.50% 52W Range1.70 - 2.56 Perf YTD-15.45%
Dividend- P/FCF1.87 EPS past 5Y20.50% ROI-7.60% 52W High-23.05% Beta0.55
Dividend %- Quick Ratio0.60 Sales past 5Y-10.50% Gross Margin26.40% 52W Low15.88% ATR0.06
Employees266 Current Ratio0.70 Sales Q/Q-12.60% Oper. Margin-7.10% RSI (14)44.34 Volatility2.96% 2.46%
OptionableYes Debt/Eq- EPS Q/Q-636.30% Profit Margin-10.30% Rel Volume0.37 Prev Close1.98
ShortableYes LT Debt/Eq- EarningsAug 06 AMC Payout- Avg Volume699.50K Price1.97
Recom2.70 SMA20-2.16% SMA50-1.69% SMA200-9.42% Volume258,306 Change-0.51%
Apr-30-20Downgrade National Bank Financial Outperform → Sector Perform
May-03-19Upgrade National Bank Financial Underperform → Sector Perform
Mar-05-19Downgrade National Bank Financial Sector Perform → Underperform
Mar-03-17Upgrade National Bank Financial Underperform → Sector Perform
Jun-26-14Initiated Imperial Capital Outperform $7
Mar-27-13Upgrade BMO Capital Markets Underperform → Market Perform $7 → $5
Jan-24-13Downgrade BMO Capital Markets Market Perform → Underperform $11.50 → $12
Dec-18-12Initiated BMO Capital Markets Market Perform
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Atlantic Power Corporation owns and operates a fleet of power generation assets in the United States and Canada. As of December 31, 2019, its portfolio consisted of twenty-one operating projects with an aggregate electric generating capacity of approximately 1,723 megawatts on a gross ownership basis and approximately 1,327 MW on a net ownership basis across eleven states in the United States and two provinces in Canada. The company sells its electricity to utilities and other customers. Atlantic Power Corporation was founded in 2004 and is headquartered in Dedham, Massachusetts.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Howell KevinDirectorJun 24Buy1.868001,488193,000Jun 25 04:32 PM
Ronan TerrenceChief Financial OfficerJun 24Buy1.852,6004,810550,752Jun 29 09:08 AM
Ronan TerrenceChief Financial OfficerJun 19Buy1.882,0003,760548,152Jun 23 09:48 AM
MOORE JAMES J JRChief Executive OfficerMay 15Buy1.8625,00046,5001,101,726May 15 01:18 PM
COFELICE JOSEPHEVP Commercial DevelopmentMay 15Buy1.8417,65732,489884,437May 18 10:40 AM
Ronan TerrenceChief Financial OfficerMar 12Buy1.862,0003,720546,152Mar 13 01:03 PM
Howell KevinDirectorMar 12Buy1.872,0003,740192,200Mar 13 11:27 AM
Ronan TerrenceChief Financial OfficerMar 09Buy2.102,0004,200552,152Mar 10 01:58 PM
MOORE JAMES J JRChief Executive OfficerMar 03Buy2.2225,00055,5001,076,726Mar 04 01:47 PM
D'Angelo James PatrickChief Administrative OfficerNov 20Sale2.4190,000216,90033,409Nov 22 04:33 PM
XONE The ExOne Company daily Stock Chart
The ExOne Company
Index- P/E- EPS (ttm)-0.87 Insider Own1.20% Shs Outstand16.10M Perf Week15.41%
Market Cap162.77M Forward P/E- EPS next Y-0.59 Insider Trans31.76% Shs Float11.46M Perf Month15.15%
Income-14.20M PEG- EPS next Q-0.24 Inst Own36.80% Short Float18.77% Perf Quarter39.26%
Sales57.10M P/S2.85 EPS this Y-18.20% Inst Trans0.51% Short Ratio13.85 Perf Half Y45.47%
Book/sh2.65 P/B3.82 EPS next Y33.70% ROA- Target Price9.33 Perf Year46.52%
Cash/sh1.22 P/C8.26 EPS next 5Y46.49% ROE- 52W Range3.55 - 10.00 Perf YTD35.52%
Dividend- P/FCF- EPS past 5Y9.40% ROI-29.30% 52W High1.10% Beta2.31
Dividend %- Quick Ratio1.00 Sales past 5Y3.90% Gross Margin32.30% 52W Low184.79% ATR0.45
Employees271 Current Ratio1.80 Sales Q/Q-27.50% Oper. Margin- RSI (14)66.75 Volatility5.47% 4.80%
OptionableYes Debt/Eq0.08 EPS Q/Q- Profit Margin- Rel Volume2.49 Prev Close9.85
ShortableYes LT Debt/Eq0.05 EarningsAug 06 AMC Payout- Avg Volume155.33K Price10.11
Recom2.00 SMA2013.60% SMA5012.70% SMA20036.14% Volume387,058 Change2.64%
Jul-16-20Resumed B. Riley FBR Neutral $8.50
Jul-10-18Reiterated Canaccord Genuity Buy $12
Nov-13-17Upgrade Canaccord Genuity Hold → Buy $9.50 → $13
Oct-03-16Resumed FBR & Co. Outperform $18
May-24-16Initiated FBR Capital Outperform $14
Mar-28-16Downgrade Imperial Capital In-line → Underperform $9
Sep-09-15Initiated Imperial Capital Outperform $8
Aug-12-15Reiterated Oppenheimer Outperform $27 → $14
Jun-05-15Resumed FBR Capital Mkt Perform $13
Mar-17-15Downgrade FBR Capital Outperform → Mkt Perform $37 → $17
Nov-14-14Reiterated FBR Capital Outperform $45 → $37
Oct-22-14Initiated Oppenheimer Outperform $35
Aug-29-14Initiated Stifel Hold
Aug-15-14Initiated FBR Capital Outperform $55 → $45
Jun-19-14Initiated Brean Capital Hold
May-16-14Reiterated FBR Capital Outperform $66 → $55
May-16-14Reiterated Deutsche Bank Hold $45 → $27
Mar-31-14Upgrade BB&T Capital Mkts Hold → Buy
Jan-15-14Reiterated Deutsche Bank Hold $65 → $55
Jan-15-14Downgrade Canaccord Genuity Buy → Hold $75 → $55
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