CMS Energy (CMS) EPS Estimated At $0.42, 1832 Asset Management LP Has Raised Rogers Communications (RCI) Stake By $363,000

July 17, 2017 - By Darrin Black

1832 Asset Management Lp increased Rogers Communications Inc (RCI) stake by 0.09% reported in 2016Q4 SEC filing. 1832 Asset Management Lp acquired 9,075 shares as Rogers Communications Inc (RCI)’s stock rose 4.21%. The 1832 Asset Management Lp holds 10.58 million shares with $433.57M value, up from 10.58 million last quarter. Rogers Communications Inc now has $25.99B valuation. The stock rose 0.41% or $0.2 reaching $49.53 per share. About 68,028 shares traded. Rogers Communications Inc. (USA) (NYSE:RCI) has risen 20.75% since July 17, 2016 and is uptrending. It has outperformed by 4.05% the S&P500.

Analysts expect CMS Energy Corporation (NYSE:CMS) to report $0.42 EPS on July, 28 before the open.They anticipate $0.03 EPS change or 6.67% from last quarter’s $0.45 EPS. CMS’s profit would be $118.31 million giving it 27.28 P/E if the $0.42 EPS is correct. After having $0.71 EPS previously, CMS Energy Corporation’s analysts see -40.85% EPS growth. About 358,345 shares traded. CMS Energy Corporation (NYSE:CMS) has risen 12.78% since July 17, 2016 and is uptrending. It has underperformed by 3.92% the S&P500.

Investors sentiment increased to 1.02 in 2016 Q4. Its up 0.08, from 0.94 in 2016Q3. It improved, as 35 investors sold CMS Energy Corporation shares while 157 reduced holdings. 50 funds opened positions while 146 raised stakes. 240.61 million shares or 0.20% less from 241.09 million shares in 2016Q3 were reported. Cap accumulated 0.33% or 5.48 million shares. Gsa Capital Llp holds 0.04% or 14,738 shares in its portfolio. Sg Americas Secs Ltd Liability Com, New York-based fund reported 52,353 shares. Jane Street Group Ltd Co has invested 0% in CMS Energy Corporation (NYSE:CMS). Susquehanna Int Group Llp accumulated 40,120 shares. Vantage Investment Advisors Ltd Limited Liability Company has invested 0% in CMS Energy Corporation (NYSE:CMS). Thomas White Interest Ltd, a Illinois-based fund reported 26,285 shares. Cibc Incorporated stated it has 0% of its portfolio in CMS Energy Corporation (NYSE:CMS). Guardian Life Ins Of America has 1,069 shares. Hennessy Advisors owns 0.86% invested in CMS Energy Corporation (NYSE:CMS) for 699,648 shares. 6 are held by Sun Life Financial. Moreover, Boston Advisors Lc has 0.06% invested in CMS Energy Corporation (NYSE:CMS) for 60,378 shares. Us Bancshares De stated it has 0.05% of its portfolio in CMS Energy Corporation (NYSE:CMS). Toronto Dominion National Bank & Trust owns 0.01% invested in CMS Energy Corporation (NYSE:CMS) for 48,136 shares. Creative Planning accumulated 0.02% or 69,155 shares.

Among 8 analysts covering CMS Energy Corporation (NYSE:CMS), 1 have Buy rating, 0 Sell and 7 Hold. Therefore 13% are positive. CMS Energy Corporation had 15 analyst reports since August 31, 2015 according to SRatingsIntel. Howard Weil initiated CMS Energy Corporation (NYSE:CMS) on Friday, July 15 with “Sector Perform” rating. The stock of CMS Energy Corporation (NYSE:CMS) earned “Neutral” rating by SunTrust on Monday, March 7. The stock of CMS Energy Corporation (NYSE:CMS) earned “Neutral” rating by SunTrust on Monday, October 19. The rating was initiated by Credit Suisse with “Neutral” on Wednesday, January 25. Barclays Capital maintained it with “Equal-Weight” rating and $43 target in Friday, March 18 report. Suntrust Robinson maintained the stock with “Neutral” rating in Monday, October 19 report. On Monday, August 29 the stock rating was maintained by Suntrust Robinson with “Neutral”. The stock has “Neutral” rating by UBS on Monday, October 26. The stock of CMS Energy Corporation (NYSE:CMS) earned “Sector Perform” rating by Scotia Capital on Friday, July 15. SunTrust maintained CMS Energy Corporation (NYSE:CMS) on Monday, September 26 with “Neutral” rating.

CMS Energy Corporation is an energy firm operating primarily in Michigan. The company has market cap of $12.91 billion. The Firm operates through three divisions: electric utility, which consists of regulated activities associated with the generation, transmission and distribution of electricity in Michigan; gas utility, which consists of regulated activities associated with the transportation, storage and distribution of natural gas in Michigan, and enterprises, which consists of various subsidiaries engaging primarily in domestic independent power production. It has a 21.86 P/E ratio. The Firm is the parent holding firm of various subsidiaries, including Consumers Energy Company , an electric and gas utility company, and CMS Enterprises Company (CMS Enterprises), a domestic independent power producer.

Investors sentiment increased to 0.97 in 2016 Q4. Its up 0.08, from 0.89 in 2016Q3. It increased, as 27 investors sold RCI shares while 75 reduced holdings. 22 funds opened positions while 77 raised stakes. 248.10 million shares or 2.87% less from 255.42 million shares in 2016Q3 were reported. Central Bankshares & reported 0% of its portfolio in Rogers Communications Inc. (USA) (NYSE:RCI). Dimensional Fund Lp owns 130,349 shares. Pub Sector Pension Inv Board holds 722,825 shares or 0.27% of its portfolio. National Pension Ser stated it has 374,121 shares. Intact Investment Management Inc, Ontario – Canada-based fund reported 1.91 million shares. Cidel Asset Mgmt has 2.95% invested in Rogers Communications Inc. (USA) (NYSE:RCI) for 1.54M shares. Artisan Prtn Ltd Partnership owns 3.84M shares for 0.31% of their portfolio. Patten Gru Incorporated holds 0.01% of its portfolio in Rogers Communications Inc. (USA) (NYSE:RCI) for 300 shares. Deutsche National Bank & Trust Ag owns 0.08% invested in Rogers Communications Inc. (USA) (NYSE:RCI) for 2.69M shares. Symons Capital has invested 5.31% of its portfolio in Rogers Communications Inc. (USA) (NYSE:RCI). Assetmark has 0% invested in Rogers Communications Inc. (USA) (NYSE:RCI). Oppenheimer & Inc invested 0.26% in Rogers Communications Inc. (USA) (NYSE:RCI). Community Bancorporation Na has 380 shares. Advsr Asset invested in 79,865 shares or 0.05% of the stock. Pnc Finance Services Group Inc Inc holds 69,230 shares.

Among 7 analysts covering Rogers Comms (NYSE:RCI), 2 have Buy rating, 0 Sell and 5 Hold. Therefore 29% are positive. Rogers Comms had 9 analyst reports since October 9, 2015 according to SRatingsIntel. IBC upgraded Rogers Communications Inc. (USA) (NYSE:RCI) on Friday, October 9 to “Sector Outperform” rating. The firm earned “Equal-Weight” rating on Thursday, December 17 by Morgan Stanley. The rating was downgraded by RBC Capital Markets on Monday, January 9 to “Sector Perform”. The firm earned “Buy” rating on Friday, December 11 by TD Securities. Macquarie Research upgraded Rogers Communications Inc. (USA) (NYSE:RCI) on Tuesday, October 20 to “Outperform” rating. The rating was initiated by Goldman Sachs with “Neutral” on Friday, December 4. IBC downgraded Rogers Communications Inc. (USA) (NYSE:RCI) on Wednesday, April 5 to “Sector Perform” rating. The company was maintained on Friday, October 14 by Barclays Capital.

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