Are Bristol-Myers Squibb Company (BMY) Earnings Estimates Revised?

Friday, 27 Apr, 2018

Jefferies Group Llc sold 205,713 shares as Bristol Myers Squibb Co (BMY)'s stock rose 2.38%. Advisor Partners LLC now owns 36,961 shares of the biopharmaceutical company's stock valued at $2,356,000 after acquiring an additional 2,382 shares during the last quarter.

On 8/3/2016 NYSE:BMY - Bristol-Myers Squibb announced a quarterly dividend of $0.38 2.02% with an ex dividend date of 10/5/2016 which will be payable on 11/1/2016. Currently, the stock has a 1 Year Price Target of $61.35. Van ECK Associates Corp lifted its stake in shares of Bristol-Myers Squibb by 3.9% in the 2nd quarter.

Among 22 analysts covering Bristol-Myers Squibb Company (NYSE:BMY), 7 have Buy rating, 3 Sell and 12 Hold. It has underperformed by 0.18% the S&P500. A fast growing company on the other hand is able to command a higher price to earnings multiple for its stock. ACIA's old rating was Underweight.

Investors of record on Friday, April 6th will be paid a dividend of $0.40 per share. Its down 0.09, from 1.03 in 2017Q3. It increased, as 35 investors sold PII shares while 140 reduced holdings. 106 funds opened positions while 457 raised stakes. Retirement Of Alabama accumulated 49,606 shares. First Personal Service stated it has 0.11% in Bristol-Myers Squibb Company (NYSE:BMY). Over the 52-week time span, the stock notched a high price of $70.05 and its minimum price was $50.56. Texas Permanent School Fund invested in 0.34% or 446,803 shares. Stralem & has 40,900 shares. Camber Mgmt Ltd Com accumulated 1.50M shares. Clinton Gru reported 85,158 shares. Portfolio Strategies accumulated 200 shares or 0.02% of the stock. The biopharmaceutical company reported $0.94 earnings per share (EPS) for the quarter, beating the Thomson Reuters' consensus estimate of $0.85 by $0.09. Windward Capital Management Ca holds 0.09% or 2,408 shares in its portfolio. 186.75 million shares or 0.02% less from 186.79 million shares in 2017Q3 were reported. First Republic Invest holds 475,336 shares or 0.19% of its portfolio. Investors who are keeping close eye on the stock of Bristol-Myers Squibb Company (NYSE:BMY) established that the company was able to keep return on investment at 15.94 in the trailing twelve month while Reuters data showed that industry's average stands at 13.44 and sector's optimum level is 13.05. Massachusetts-based Peddock Advsrs Limited Com has invested 0.25% in Bristol-Myers Squibb Company (NYSE:BMY).

Since December 12, 2017, it had 1 buy, and 1 insider sale for $85,985 activity. Lynch Thomas J. Jr. sold $335,172 worth of Bristol-Myers Squibb Company (NYSE:BMY) on Tuesday, December 12. About 14.22M shares traded or 52.47% up from the average. It also upped Costco Whsl Corp New (Put) (NASDAQ:COST) stake by 29,300 shares and now owns 165,500 shares. Veeva Sys Inc Cl A (NYSE:VEEV) was raised too. (NYSE:ROP), 10 have Buy rating, 0 Sell and 3 Hold. Therefore 45% are positive. Parsons Management Ri reported 0.41% of its portfolio in Bristol-Myers Squibb Company (NYSE:BMY). The stock of Bristol-Myers Squibb Company (NYSE:BMY) has "Underperform" rating given on Wednesday, April 18 by BMO Capital Markets. Guggenheim maintained the stock with "Buy" rating in Tuesday, April 17 report. The firm has "Buy" rating given on Monday, November 16 by Wunderlich. Bristol Myers had 18 analyst reports since October 30, 2017 according to SRatingsIntel. On Friday, October 28 the stock rating was maintained by Deutsche Bank with "Hold". (NASDAQ:MYGN) on Monday, January 22. The company was maintained on Monday, April 16 by BMO Capital Markets. The balance sheet health of any company plays a key role in its ability to meet its obligations and maintain the faith of its investment base. Peel Hunt maintained Tarsus Group plc (LON:TRS) rating on Wednesday, December 9.

Among 16 analysts covering Acacia Communi... Legacy Private Trust holds 0.04% or 1,900 shares in its portfolio. Therefore 17% are positive. Acacia Communi... has $125.0 highest and $2600 lowest target. For the stock, price target value has been calculated at $62.00. Roper Industries Inc. had 56 analyst reports since July 29, 2015 according to SRatingsIntel. The stock has "Add" rating by Peel Hunt on Monday, January 9.

Returns and Valuations for Verizon Communications Inc. (NASDAQ:ACIA) has "Buy" rating given on Friday, July 14 by William Blair. The company was downgraded on Friday, August 5 by Morgan Stanley. The firm has "Outperform" rating given on Tuesday, June 7 by Cowen & Co. The firm has "Buy" rating by Peel Hunt given on Wednesday, July 26. (NASDAQ:ACIA) earned "Neutral" rating by DA Davidson on Friday, February 23. (NASDAQ:ACIA) to report earnings on May, 8.

Whereas they predicted High and Low Earnings Estimate as $0.92 and $0.79 respectively. The institutional investor held 10.07 million shares of the health care company at the end of 2017Q4, valued at $345.74M, up from 9.92M at the end of the previous reported quarter. Air Products and Chemicals, Inc. Perhaps most importantly where cash movements are concerned, the company saw about 1.12 billion in net operating cash flow. The Company's lead product is paritaprevir, a protease inhibitor designed for use against HCV. If we consider a median price to earnings ratio on the stock, that corresponds with a stock price of 13.50.