Bowling Portfolio Management Decreased Acco Brands (ACCO) Position By $582,714; Stonebridge Capital Advisors Raised By $315,333 Its Exxon Mobil (XOM) Stake

January 13, 2018 - By Henry Gaston

Stonebridge Capital Advisors Llc increased Exxon Mobil Corp (XOM) stake by 5.83% reported in 2017Q3 SEC filing. Stonebridge Capital Advisors Llc acquired 3,893 shares as Exxon Mobil Corp (XOM)’s stock rose 0.21%. The Stonebridge Capital Advisors Llc holds 70,644 shares with $5.79 million value, up from 66,751 last quarter. Exxon Mobil Corp now has $370.83B valuation. The stock increased 0.68% or $0.59 during the last trading session, reaching $87.52. About 9.83 million shares traded. Exxon Mobil Corporation (NYSE:XOM) has declined 9.08% since January 13, 2017 and is downtrending. It has underperformed by 25.78% the S&P500.

Bowling Portfolio Management Llc decreased Acco Brands Corp (ACCO) stake by 53.46% reported in 2017Q3 SEC filing. Bowling Portfolio Management Llc sold 52,974 shares as Acco Brands Corp (ACCO)’s stock declined 9.84%. The Bowling Portfolio Management Llc holds 46,113 shares with $549,000 value, down from 99,087 last quarter. Acco Brands Corp now has $1.36 billion valuation. The stock increased 1.19% or $0.15 during the last trading session, reaching $12.8. About 378,872 shares traded. ACCO Brands Corporation (NYSE:ACCO) has risen 20.02% since January 13, 2017 and is uptrending. It has outperformed by 3.32% the S&P500.

Among 26 analysts covering Exxon Mobil (NYSE:XOM), 10 have Buy rating, 6 Sell and 10 Hold. Therefore 38% are positive. Exxon Mobil had 80 analyst reports since July 22, 2015 according to SRatingsIntel. As per Wednesday, May 18, the company rating was upgraded by Argus Research. As per Thursday, July 6, the company rating was reinitiated by RBC Capital Markets. On Wednesday, January 10 the stock rating was maintained by BMO Capital Markets with “Hold”. The firm has “Underperform” rating by Raymond James given on Wednesday, November 18. The rating was maintained by Jefferies with “Hold” on Thursday, July 27. Citigroup maintained Exxon Mobil Corporation (NYSE:XOM) on Friday, July 21 with “Neutral” rating. On Thursday, August 17 the stock rating was maintained by Piper Jaffray with “Hold”. The rating was maintained by Jefferies on Friday, April 7 with “Neutral”. The company was initiated on Friday, December 2 by BMO Capital Markets. The firm earned “Hold” rating on Tuesday, August 29 by RBC Capital Markets.

Investors sentiment is 0.85 in Q3 2017. Its the same as in 2017Q2. It is the same, as 57 investors sold XOM shares while 806 reduced holdings. only 114 funds opened positions while 621 raised stakes. 2.13 billion shares or 0.48% more from 2.12 billion shares in 2017Q2 were reported. Afam Cap owns 0.63% invested in Exxon Mobil Corporation (NYSE:XOM) for 64,112 shares. Karpas Strategies Limited Liability Corp holds 1.63% in Exxon Mobil Corporation (NYSE:XOM) or 45,333 shares. Century Cos invested 0.4% of its portfolio in Exxon Mobil Corporation (NYSE:XOM). Chesley Taft & Associate Ltd Limited Liability Company holds 284,085 shares. Moreover, Poplar Forest Cap Ltd Liability has 0.03% invested in Exxon Mobil Corporation (NYSE:XOM) for 4,720 shares. Caz Invests Ltd Partnership holds 10,860 shares or 1.09% of its portfolio. Birmingham Capital Al owns 47,901 shares or 1.56% of their US portfolio. B & T Cap Management Dba Alpha Cap Management has invested 2.12% in Exxon Mobil Corporation (NYSE:XOM). South Dakota Council owns 81,125 shares for 0.13% of their portfolio. Natixis Asset Mgmt invested in 0.24% or 34,414 shares. Tudor Inv Corporation Et Al holds 0.01% or 5,259 shares in its portfolio. Barry Investment Advisors Limited Liability Company owns 46,048 shares. Moors Cabot holds 2.09% of its portfolio in Exxon Mobil Corporation (NYSE:XOM) for 176,308 shares. Department Mb Bankshares N A has invested 0.46% of its portfolio in Exxon Mobil Corporation (NYSE:XOM). Old Mutual Glob (Uk) Limited stated it has 522,886 shares.

Since August 4, 2017, it had 0 insider purchases, and 6 sales for $5.32 million activity. 19,500 shares were sold by Corson Bradley W, worth $1.62 million on Monday, December 11. Milton Bryan W sold $606,082 worth of stock. Shares for $200,293 were sold by Wascom Dennis G. REINEMUND STEVEN also sold $88,253 worth of Exxon Mobil Corporation (NYSE:XOM) shares. Chapman Neil A sold $996,628 worth of Exxon Mobil Corporation (NYSE:XOM) on Thursday, December 14. The insider Franklin Robert Stuart sold $1.81 million.

Among 3 analysts covering Acco Brands (NYSE:ACCO), 2 have Buy rating, 0 Sell and 1 Hold. Therefore 67% are positive. Acco Brands had 4 analyst reports since April 29, 2016 according to SRatingsIntel. KeyBanc Capital Markets maintained the stock with “Hold” rating in Thursday, September 7 report. The firm has “Outperform” rating given on Friday, April 29 by Barrington Research. The company was maintained on Friday, April 7 by BWS Financial. BWS Financial initiated ACCO Brands Corporation (NYSE:ACCO) rating on Wednesday, January 25. BWS Financial has “Buy” rating and $18 target.

Analysts await ACCO Brands Corporation (NYSE:ACCO) to report earnings on February, 28. They expect $0.44 earnings per share, up 37.50% or $0.12 from last year’s $0.32 per share. ACCO’s profit will be $46.89 million for 7.27 P/E if the $0.44 EPS becomes a reality. After $0.35 actual earnings per share reported by ACCO Brands Corporation for the previous quarter, Wall Street now forecasts 25.71% EPS growth.

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