Howland Capital Management Has Decreased Its Colgate Palmolive Co (CL) Position by $314,625; Tillar-Wenstrup Advisors Has Boosted Position in United Continental (UAL)

April 26, 2018 - By Hazel Jackson

United Continental Holdings, Inc. (NYSE:UAL) Logo

Tillar-Wenstrup Advisors Llc increased its stake in United Continental (UAL) by 97.9% based on its latest 2017Q4 regulatory filing with the SEC. Tillar-Wenstrup Advisors Llc bought 15,981 shares as the company’s stock rose 1.38% while stock markets declined. The institutional investor held 32,305 shares of the transportation company at the end of 2017Q4, valued at $2.18M, up from 16,324 at the end of the previous reported quarter. Tillar-Wenstrup Advisors Llc who had been investing in United Continental for a number of months, seems to be bullish on the $18.60B market cap company. The stock decreased 2.11% or $1.45 during the last trading session, reaching $67.06. About 3.20M shares traded. United Continental Holdings, Inc. (NYSE:UAL) has declined 0.28% since April 26, 2017 and is downtrending. It has underperformed by 11.83% the S&P500.

Howland Capital Management Llc decreased its stake in Colgate Palmolive Co (CL) by 2.23% based on its latest 2017Q4 regulatory filing with the SEC. Howland Capital Management Llc sold 4,195 shares as the company’s stock declined 7.81% with the market. The institutional investor held 184,103 shares of the package goods and cosmetics company at the end of 2017Q4, valued at $13.89 million, down from 188,298 at the end of the previous reported quarter. Howland Capital Management Llc who had been investing in Colgate Palmolive Co for a number of months, seems to be less bullish one the $58.09B market cap company. The stock increased 0.15% or $0.1 during the last trading session, reaching $66.51. About 1.95M shares traded. Colgate-Palmolive Company (NYSE:CL) has declined 5.65% since April 26, 2017 and is downtrending. It has underperformed by 17.20% the S&P500.

Investors sentiment decreased to 0.87 in Q4 2017. Its down 0.03, from 0.9 in 2017Q3. It fall, as 56 investors sold CL shares while 444 reduced holdings. 98 funds opened positions while 335 raised stakes. 606.34 million shares or 1.77% less from 617.24 million shares in 2017Q3 were reported. Tokio Marine Asset Management Company Limited holds 0.2% in Colgate-Palmolive Company (NYSE:CL) or 17,771 shares. Hartford Fincl Management invested in 0.18% or 4,800 shares. Mairs Pwr invested 0.01% of its portfolio in Colgate-Palmolive Company (NYSE:CL). Hartline Investment holds 0.08% or 4,034 shares in its portfolio. Whittier Company Of Nevada holds 0.21% or 32,632 shares in its portfolio. Granite Invest Limited Liability Company stated it has 0.08% of its portfolio in Colgate-Palmolive Company (NYSE:CL). Bridges Invest Mgmt has 0.17% invested in Colgate-Palmolive Company (NYSE:CL) for 27,715 shares. Sarasin & Prtnrs Ltd Liability Partnership reported 2.61M shares or 3.83% of all its holdings. Amundi Pioneer Asset holds 3.83M shares. Credit Suisse Ag reported 0.15% in Colgate-Palmolive Company (NYSE:CL). Marble Harbor Inv Counsel Ltd invested 0.26% of its portfolio in Colgate-Palmolive Company (NYSE:CL). 43,602 are held by Van Hulzen Asset Mgmt Ltd Liability. 1,400 were accumulated by Arcadia Mi. Weiss Multi holds 0.05% of its portfolio in Colgate-Palmolive Company (NYSE:CL) for 28,000 shares. Glenmede Tru Com Na has invested 0.3% in Colgate-Palmolive Company (NYSE:CL).

Since December 13, 2017, it had 0 insider buys, and 20 selling transactions for $32.94 million activity. Another trade for 142,979 shares valued at $10.02 million was made by MOISON FRANCK J on Monday, February 5. 1,572 shares were sold by Verduin Patricia, worth $110,310 on Tuesday, February 20. COOK IAN M sold 20,891 shares worth $1.47 million. On Wednesday, December 13 Daniels Jennifer sold $539,694 worth of Colgate-Palmolive Company (NYSE:CL) or 7,375 shares. The insider Marsili Daniel B sold 19,500 shares worth $1.40 million. $106,939 worth of Colgate-Palmolive Company (NYSE:CL) was sold by HUSTON JOHN J.

Analysts await Colgate-Palmolive Company (NYSE:CL) to report earnings on April, 27 before the open. They expect $0.73 earnings per share, up 8.96% or $0.06 from last year’s $0.67 per share. CL’s profit will be $637.61M for 22.78 P/E if the $0.73 EPS becomes a reality. After $0.75 actual earnings per share reported by Colgate-Palmolive Company for the previous quarter, Wall Street now forecasts -2.67% negative EPS growth.

Howland Capital Management Llc, which manages about $1.25B and $1.25B US Long portfolio, upped its stake in Vanguard Bd Index Fd Inc (BND) by 5,078 shares to 82,011 shares, valued at $6.69 million in 2017Q4, according to the filing. It also increased its holding in Vanguard Intl Equity Ind (VWO) by 27,543 shares in the quarter, for a total of 48,928 shares, and has risen its stake in Kinsale Cap Group Inc.

Among 25 analysts covering Colgate-Palmolive (NYSE:CL), 6 have Buy rating, 1 Sell and 18 Hold. Therefore 24% are positive. Colgate-Palmolive had 68 analyst reports since July 21, 2015 according to SRatingsIntel. The rating was downgraded by Zacks to “Hold” on Wednesday, August 5. Stifel Nicolaus maintained Colgate-Palmolive Company (NYSE:CL) rating on Tuesday, April 17. Stifel Nicolaus has “Hold” rating and $7500 target. The rating was maintained by Citigroup with “Neutral” on Thursday, November 2. The stock of Colgate-Palmolive Company (NYSE:CL) earned “Buy” rating by Sterne Agee CRT on Tuesday, July 21. As per Wednesday, August 23, the company rating was maintained by KeyBanc Capital Markets. Jefferies maintained the stock with “Hold” rating in Thursday, July 6 report. The rating was downgraded by Citigroup on Monday, January 30 to “Neutral”. Citigroup maintained Colgate-Palmolive Company (NYSE:CL) rating on Thursday, April 14. Citigroup has “Buy” rating and $82 target. Jefferies maintained it with “Hold” rating and $79.0 target in Tuesday, August 22 report. The company was upgraded on Monday, September 25 by Morgan Stanley.

Among 23 analysts covering United Continental (NYSE:UAL), 12 have Buy rating, 0 Sell and 11 Hold. Therefore 52% are positive. United Continental had 107 analyst reports since July 24, 2015 according to SRatingsIntel. The stock has “Outperform” rating by Imperial Capital on Wednesday, October 19. On Wednesday, January 31 the stock rating was upgraded by Bernstein to “Outperform”. JP Morgan maintained it with “Overweight” rating and $66.50 target in Thursday, February 4 report. The stock of United Continental Holdings, Inc. (NYSE:UAL) earned “Outperform” rating by Imperial Capital on Wednesday, October 12. Stephens maintained the shares of UAL in report on Thursday, March 29 with “Hold” rating. The firm earned “Equal-Weight” rating on Friday, October 20 by Morgan Stanley. On Tuesday, July 11 the stock rating was maintained by Bank of America with “Buy”. The firm has “In-Line” rating given on Thursday, March 16 by Evercore. The firm has “Overweight” rating by JP Morgan given on Tuesday, January 30. UBS maintained United Continental Holdings, Inc. (NYSE:UAL) on Wednesday, January 11 with “Buy” rating.

Investors sentiment decreased to 0.66 in 2017 Q4. Its down 0.05, from 0.71 in 2017Q3. It fall, as 61 investors sold UAL shares while 193 reduced holdings. 64 funds opened positions while 104 raised stakes. 260.19 million shares or 5.52% less from 275.39 million shares in 2017Q3 were reported. Ohio-based Gateway Investment Advisers Ltd Liability Co has invested 0.19% in United Continental Holdings, Inc. (NYSE:UAL). Balyasny Asset Mgmt Lc holds 56,488 shares. Focused Wealth Incorporated has invested 0.04% in United Continental Holdings, Inc. (NYSE:UAL). Ontario Teachers Pension Plan Board holds 0.03% of its portfolio in United Continental Holdings, Inc. (NYSE:UAL) for 31,774 shares. Franklin Resources Inc has 0% invested in United Continental Holdings, Inc. (NYSE:UAL). Rbf Cap Ltd Liability Co reported 0.52% of its portfolio in United Continental Holdings, Inc. (NYSE:UAL). 4,283 were reported by Tiverton Asset Mgmt Limited Liability Corp. Rampart Investment Mngmt Communication Ltd has 0.08% invested in United Continental Holdings, Inc. (NYSE:UAL). Prelude Cap Mngmt Lc owns 1,303 shares or 0.01% of their US portfolio. Selway Asset Management owns 28,500 shares for 1.13% of their portfolio. The California-based Hennessy has invested 0.06% in United Continental Holdings, Inc. (NYSE:UAL). U S Global Invsts has invested 5.73% of its portfolio in United Continental Holdings, Inc. (NYSE:UAL). Sg Americas Secs Ltd Llc, a New York-based fund reported 28,404 shares. Putnam Invests Limited Liability reported 0.04% of its portfolio in United Continental Holdings, Inc. (NYSE:UAL). Utd Capital Fincl Advisers Limited Liability reported 0.03% stake.

Colgate-Palmolive Company (NYSE:CL) Institutional Positions Chart

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