Stocks with Perfect Investment Pair: The Goodyear Tire & Rubber Company (NASDAQ:GT)


The stock decreased 2.14% or $3.6 during the last trading session, reaching $164.29. Pulling the focus closer to the past 4 weeks, shares have seen a change of -2.89%. Sound Shore Incorporated Ct reported 2.19% in The Goodyear Tire & Rubber Company (NASDAQ:GT). It has outperformed by 0.56% the S&P500. Parsons Management Ri reported 8,334 shares stake. The average 1-year price target for (BBY) reveals an average price target of $66.36 per share. The hedge fund run by Christopher Lord held 370,164 shares of the technology company at the end of 2017Q3, valued at $31.42M, down from 690,757 at the end of the previous reported quarter. About 3.62 million shares traded or 31.79% up from the average. The Sherwin-Williams Company (NYSE:SHW) has risen 15.27% since February 5, 2017 and is uptrending. It has outperformed by 9.85% the S&P500. Finally, Citigroup cut Goodyear Tire & Rubber from a "buy" rating to a "neutral" rating and dropped their price objective for the company from $38.00 to $36.00 in a report on Monday, October 30th. About 989,576 shares traded. 6,000 shares valued at $96,180 were sold by Isaacson-Leibowitz Kay on Wednesday, September 6.

Investors sentiment decreased to 0.81 in 2017 Q3. This represents a $0.42 annualized dividend and a yield of 1.25%. It improved, as 58 investors sold ROST shares while 200 reduced holdings. 58 funds opened positions while 196 raised stakes. 226.27 million shares or 0.48% more from 225.19 million shares in 2017Q2 were reported. Mengis Mgmt stated it has 36,230 shares or 0.81% of all its holdings. Pacific Ridge Prns Limited Liability holds 0.3% or 62,140 shares in its portfolio. Markel reported 20,000 shares or 0.01% of all its holdings. 21,553 were reported by Hightower Llc. Aperio Grp Ltd Co reported 128,612 shares or 0.02% of all its holdings. Ngam Advisors Limited Partnership accumulated 26,188 shares or 0.01% of the stock.

The collective rating of 2.2 for The Goodyear Tire & Rubber Company (NASDAQ:GT) also leans strongly towards the neutral end of the spectrum. Raub Brock Capital Management Lp who had been investing in Sherwin for a number of months, seems to be bullish on the $37.70B market cap company. 12,053 are held by Janney Montgomery Scott Ltd Liability Corp. Next Group invested in 18,000 shares. Lsv Asset Management reported 0.58% of its portfolio in The Goodyear Tire & Rubber Company (NASDAQ:GT). Wealthtrust holds 5 shares. Cibc Markets owns 39,141 shares or 0.01% of their USA portfolio.

Among 9 analysts covering Cooper Tire (NYSE:CTB), 6 have Buy rating, 0 Sell and 3 Hold. Therefore 67% are positive. Motorola Solutions had 44 analyst reports since August 6, 2015 according to SRatingsIntel. The firm has "Hold" rating by Jefferies given on Friday, September 8. Out of the covering analysts polled by Zacks Research, 4 have put a Strong Buy or Buy rating on the stock. The firm has "Overweight" rating given on Monday, October 30 by JP Morgan. Following the transaction, the senior vice president now owns 51,848 shares of the company's stock, valued at $1,665,357.76. Goodyear Tire & Rubber now has a consensus rating of "Buy" and a consensus price target of $38.00. The rating was downgraded by Standpoint Research to "Hold" on Wednesday, October 28.

Now investors want to know the actual market worth of the company in the Stock Market. The firm has "Buy" rating given on Wednesday, November 25 by Mizuho. They expect $0.73 EPS, down 23.16% or $0.22 from last year's $0.95 per share. GES's profit will be $43.60 million for 7.07 P/E if the $0.53 EPS becomes a reality. Its up 2.08% from 10.47M shares previously. Apartment Investment & Manag (NYSE:AIV) was reduced too. The other 6, though not evenly; between analysts who think you should buy The Goodyear Tire & Rubber Company versus those who think you should sell it. Therefore 71% are positive. Snap-on had 27 analyst reports since August 20, 2015 according to SRatingsIntel. (NYSE:MSI) has "Buy" rating given on Thursday, June 22 by BMO Capital Markets. On Wednesday, March 1 the stock rating was downgraded by Standpoint Research to "Hold". SunTrust has "Hold" rating and $60.0 target. The stock has "Hold" rating by Jefferies on Tuesday, October 17. As per Tuesday, July 4, the company rating was maintained by Jefferies. The company has market cap of $1.23 billion. Credit Suisse downgraded the shares of DCT in report on Friday, December 11 to "Underperform" rating. The firm has "Mkt Perform" rating by Bernstein given on Tuesday, January 5.

Since August 15, 2017, it had 0 insider purchases, and 4 insider sales for $507,858 activity. On Friday, August 25 OKeeffe John C sold $101,419 worth of DCT Industrial Trust Inc. (NYSE:DAL) for 643 shares.

Investors sentiment decreased to 1.04 in 2017 Q3. Its up 0.07, from 1.16 in 2017Q2.

Several other institutional investors have also sold shares of the company. 33 funds opened positions while 32 raised stakes. United Kingdom-based Legal & General Gp Public Limited Liability has invested 0.06% in Motorola Solutions, Inc. Alliancebernstein L P holds 84,240 shares or 0% of its portfolio. Teachers Retirement System Of The State Of Kentucky has 289,100 shares. Tci Wealth Advsrs holds 0% of its portfolio in Guess', Inc. Northcoast Asset Ltd Limited Liability Company stated it has 2.23% in The Sherwin-Williams Company (NYSE:SHW). (NYSE:MSI). First Interstate Natl Bank has invested 0% of its portfolio in Motorola Solutions, Inc. (NYSE:DCT) for 3,900 shares. Suntrust Banks holds 179,046 shares or 0.02% of its portfolio. Stifel Financial accumulated 347,604 shares.

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