Published: Thu, February 15, 2018
Business | By Tara Barton

Shaw Communications (SJR) Given Media Impact Rating of 0.14

Shaw Communications (SJR) Given Media Impact Rating of 0.14

TheStreet upgraded Shaw Communications from a "c" rating to a "b-" rating in a report on Monday, October 30th. TD Securities maintained the shares of SJR.B in report on Thursday, November 3 with "Buy" rating. Ameriprise Financial Inc. acquired a new stake in Shaw Communications during the 2nd quarter valued at approximately $252,000. (NYSE:VZ) earned "Hold" rating by Oppenheimer on Thursday, August 10. Scotia Capital has "Outperform" rating and $29 target. As per Friday, October 23, the company rating was maintained by Barclays Capital. The stock has a market capitalization of $9,786.41, a price-to-earnings ratio of 14.80, a PEG ratio of 4.32 and a beta of 0.88. The firm has "Outperform" rating by Scotia Capital given on Wednesday, December 7. The rating was maintained by Barclays Capital with "Equal-Weight" on Friday, October 27. Cutler Group LP now owns 6,500 shares of the company's stock valued at $141,000 after acquiring an additional 5,900 shares in the last quarter.

Shaw Communications says 3,300 of its employees have chose to take a voluntary buyout package - far above the company's original estimate of about 650. (NYSE:SJR) on Friday, October 23 with "Sector Perform" rating. As per Friday, October 27, the company rating was upgraded by Echelon Wealth Partners. Shaw Communications's dividend payout ratio (DPR) is presently 66.67%. Public Sector Pension Investment Board sold 1.39M shares as the company's stock declined 0.94% while stock markets rallied. The institutional investor held 139,897 shares of the television services company at the end of 2017Q3, valued at $3.22M, down from 160,382 at the end of the previous reported quarter. The stock decreased 100.00% or $50.99 during the last trading session, reaching $50.99. About 563,563 shares traded.

Zacks Investment Research cut shares of Shaw Communications Inc. It has outperformed by 0.88% the S&P500. The Company operates through four divisions: Consumer, Wireless, Business Network Services and Business Infrastructure Services. It has a 14.4 P/E ratio. Under the Consumer division, the Company offers Cable telecommunications and Satellite video services to residential customers. The stock decreased 0.83% or $0.17 during the last trading session, reaching $20.26. About 388,472 shares traded.

Shaw Communications (NYSE:SJR) (TSE:SJR.B) last released its earnings results on Thursday, January 11th. It has underperformed by 3.14% the S&P500. The rating was maintained by KeyBanc Capital Markets with "Sector Weight" on Tuesday, January 2. Taken from Impala Asset Management latest Adv, the fund reported to have 38 full and part-time employees. It invests in the real estate markets of the United States.

"In our view, this is a very bold transition strategy and one that will come with higher than average implementation risk (known unknown)", wrote Macquarie Capital Markets Canada Analyst in a report to clients. It has a 39.61 P/E ratio. This segment serves railroads, leasing companies, and industrial shippers of various products.

Kanawha Capital Management LLC Sells 259 Shares of 3M Co (MMM)
National Grid plc transmits and distributes electricity and natural gas. 3M Company now has $138.16 billion valuation. The stock of 3M Company (NYSE:MMM) has "Underperform" rating given on Friday, October 23 by RBC Capital Markets.

Investors sentiment increased to 1.27 in Q3 2017. Its up 0.06, from 1.01 in 2017Q2.

Other institutional investors have also recently added to or reduced their stakes in the company. 122.94 million shares or 1.90% more from 120.64 million shares in 2017Q2 were reported. Moreover, Cornerstone Capital Hldgs has 0.02% invested in Alere Inc. National Planning Corp holds 13,711 shares.

Uss Investment Management Ltd decreased Activision Blizzard Inc (NASDAQ:ATVI) stake by 315,000 shares to 2.03 million valued at $130.95M in 2017Q3. 10,084 are owned by Fdx Advsr. Sei Investments Com reported 189 shares stake. Blue Finance Capital owns 10,820 shares or 0.38% of their United States portfolio. 10,862 are owned by First Citizens Savings Bank &. Amp Cap Invsts Ltd reported 280,314 shares or 0.09% of all its holdings. (NYSE:VZ). Profit Inv Management Limited Liability Com holds 0.76% of its portfolio in Verizon Communications Inc. (NYSE:VZ), 7 have Buy rating, 0 Sell and 21 Hold. Perkins Coie Trust, Washington-based fund reported 700 shares. The North Carolina-based Bb&T Corp has invested 0.18% in Trinity Industries, Inc. (NYSE:VZ) earned "Perform" rating by Oppenheimer on Wednesday, July 20.

Since September 19, 2017, it had 0 insider buys, and 1 insider sale for $188,320 activity. Shares for $26.37 million were bought by ValueAct Holdings - L.P.

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