Akio Toyoda celebrated when Toyota overtook GM, which had enjoyed a long run as the bestselling carmaker in the US.
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Toyota''s president said he celebrated when the automaker topped the US sales list in 2021. "I actually did a little happy dance in my office," Akio Toyoda told dealers, per Reuters. Supply shortages are starting to bite, however, as Toyota cut October''s global production forecast. The president of Toyota Motor Corporation said he was so thrilled when the Japanese automaker became the top-selling automaker in the US in 2021 that he started dancing. "I actually did a little ''happy dance'' in my office," Akio Toyoda told a network of the automaker''s dealers, according to a video seen by Reuters at a press briefing Thursday. "Thankfully nobody saw it!" Toyoda said. GM had enjoyed a decades-long run at the top of the US market but was dethroned last year after a series of supply chain shortages hampered its output. GM sold 2.2 million cars in 2021, a 13% fall from the previous year''s 2.5 million. Toyota, on the other hand, saw the sales of its vehicles — which includes the popular Tacoma Pickup range — rise by 10.4% to 2.3 million cars.
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Dow futures changed little overnight, along with S&P 500 futures and Nasdaq futures, with nike ( NKE ) And the micron technology ( mo ) Earnings are in focus and the Fed’s favorite inflation gauge is on deck. X The stock market sold out heavily on Thursday, erasing Wednesday’s gains. The S&P 500 has reached its lowest levels in a bear market. The Nasdaq Composite didn’t quite cut its June lows, but the big Nasdaq 100, led by Apple Inc. Tesla ( TSLA ). Treasury yields rebounded somewhat on Thursday, while unemployment claims fell to a five-month low, something the Fed doesn’t want to see. apple ( AAPL ) And the Carmax ( KMX ) caused massive losses on Thursday. After paring losses on Wednesday due to a report of iPhone production cuts due to weak demand, Apple shares sold sharply on Thursday, in part due to an analyst downgrade, with iPhone chip makers also suffering. Carmax ( KMX ) severely lost earnings views Thursday morning, warning of “affordability challenges.” For largely similar reasons, Moody’s lowered its outlook for the global auto industry to negative from stable.
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NEW YORK : Wall Street stocks suffered another ugly rout on Thursday (Sept 29) as US bond yields resumed their upward climb on a bruising day for shares of Apple and other tech giants. Thursday''s economic reports included data showing a drop in weekly US jobless claims that point to a strong labor market likely to keep the Federal Reserve focused on its current policy of countering inflation. “Risky assets don’t stand a chance of a meaningful rally if the economy continues to show resilience while inflation continues to be significantly above the Fed’s funds rate,” said Oanda’s Edward Moya. The broad-based S&P 500 dropped 2.1% to 3,640.47, its lowest close since November 2020. The Dow Jones Industrial Average lost 1.5% to 29,225.61, while the tech-rich Nasdaq Composite Index tumbled 2.8% to 10,737.51. FHN Financial''s Chris Low said investors were also unnerved by market volatility in Britain after Prime Minister Liz Truss doubled down on a controversial tax cut policy that has rattled markets.
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Improvements in vehicle production will lead to modest gain in Q3 auto sales, experts say. But inventories are still an issue.
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Auto stocks are sliding on worries of a potential economic slowdown.
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[Editor’s note: “The Global EV Disruption Is Your Million-Dollar Opportunity ” was previously published in November 2021 . It has since been updated to include the most relevant information available.] When it comes to identifying next-generation breakthrough investments that could rise 100%, 200%, 500%, or more, I always come back to one saying. Where there’s disruption, there’s opportunity . Case in point: the internet. Throughout the 1990s, the internet rapidly disrupted how people across the globe worked, played, and communicated. For many, it was a scary time. Change is never easy. For many more, it was an exciting time. The internet was unlocking a new world of possibilities. But… for investors… it was an opportunity. Specifically, it was a once-in-a-decade opportunity to invest early in the emerging titans of disruptive industry. Think Amazon ( AMZN ), when it was a $438 million company in 1997… It’s a $1.2 TRILLION company today – representing a whopping 365,000%-plus return. That means a mere $1,000 investment in Amazon in 1997 would be worth more than $3.6 million today.
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Bob Galyen brings 46 years of battery industry experience which includes his time as CTO of CATL, the world''s largest manufacturer of lithium batteries with over 84,000 employees FISHERS, IN / ACCESSWIRE / September 29, 2022 / American Resources Corporation (NASDAQ:AREC) ("American Resources" or the "Company"), a next generation and socially responsible supplier of rare earth and critical elements, carbon and advanced carbon materials to the new infrastructure and electrification marketplace, today announced that its majority-owned ReElement Technologies LLC division ("ReElement") has added battery industry veteran and expert Bob Galyen to its advisory board. Mark Jensen, CEO of American Resources Corporation commented, "We are honored and excited that Bob has agreed to join the ReElement advisory board at such an exciting moment for our Company. From our conversations and his multiple visits to our facility in Noblesville, Indiana, it became very apparent that Bob was a natural fit for our team and culture.
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GM pulls back for a retest of the June/July lows….GM
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Currently, General Motors Company’s (GM) stock is trading at $35.00, marking a gain of 0.83% from last night’s close. At this price, the stock is -47.93% below its 52-week high of $67.21 and 15.39% above its 52-week low of $30.33. Based on the past 30-day period, the stock price is -17.78% below the high and […]
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Taxpayers deserve some assurance that colleges won’t just do more of the same.
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General Motors executives delayed their return-to-office plan after facing fierce resistance from facing criticism from employees over their handling of its rollout.
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By David Shepardson (Reuters) – General Motors Co on Tuesday said it will not mandate workers return to offices before 2023 after it had told them on Friday that they would be expected to work three days on-campus each week later this year.
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ROSEMONT, IL / ACCESSWIRE / September 27, 2022 / Assembly manufacturing professionals from Apple, Caterpillar, Delta Faucet, GE Aviation, General Motors, Honda, Kohler, Motorola, Northrop Grumman, Stanley Black & Decker, Subaru, Whirlpool, Yamaha and many more have already registered to attend the 10 th Annual ASSEMBLY Show to see the newest technologies on display from 250+ exhibiting companies. These industry professionals will have a chance to explore hands-on exhibit, network with peers, and learn from subject matter experts at this trade show and conference taking place at the Donald E. Stephens Convention Center in Rosemont, IL from October 25-27, 2022. "For the last decade the ASSEMBLY Show has been the leading event exclusively for assembly manufacturing, and we are proud to be celebrating this milestone and welcoming all our charter exhibitors who helped us launch the event back in 2013. Exhibitors on the trade show floor will be showcasing the latest solutions in autonomous & electric mobility, fastening tools, pressing and riveting, robotics and for the factory of the future," said Bill DeYoe, Publisher of ASSEMBLY Magazine, producers of the trade show and conference. "There''s a lot to love about The ASSEMBLY Show , but perhaps the best part is that it''s FREE to attend for assembly professionals if they register by September 30 th ." Save the $30 on-site registration fee and register now .
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SAIC Motor and Pony.ai will build cars equipped with Level 4 autonomous driving systems to promote Shanghai’s autonomous driving sector and relevant policies.
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On CNBC’s “ Halftime Report Final Trades ,” Jim Lebenthal of Cerity Partners chose General Motors Company (NYSE: GM ), saying that discretionary stocks had “held up pretty well” for the last three months. “There is a reason for that strength. It’s undervalued, with good demand,” he added. Bryn Talkington of Requisite Capital Management said Wynn Resorts, Limited (NASDAQ: WYNN ) could … Full story available on Benzinga.com
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General Motors Company (NYSE:GM) price is hovering lower on Monday, September 26, dropping -0.56% below its previous close. A look at today’s price movement shows that the recent level at last check reads $35.48, with intraday deals fluctuating between $34.835 and $36.72. The company’s 5Y monthly beta was ticking 1.27 while its P/E ratio in … General Motors Company Still Hasn’t Convinced Analysts? Read More »
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GM has told its corporate staff they''ll need to work in the office three days a week. It marks a shift away from the flexible-working policy announced in 2021 by CEO Mary Barra. High-profile companies are increasingly telling employees they need to return to the office. General Motors has told its corporate staff they''ll soon need to work in the office at least three days a week, marking a shift away from the company''s flexible-working policy. "Employees who transitioned to working remotely some or all of the time during the pandemic will pivot to a more regular in-person work cycle, and they will now be expected to work three days on-campus each week," Maria Raynal, a GM spokesperson, told Insider, adding that the new policy will come into effect later this year. GM CEO Mary Barra announced in April 2021 a companywide "Work Appropriately" policy, whereby staff were permitted to work remotely if their jobs enabled them to do so. Raynal told Insider that GM was changing its policy to drive "collaboration, enterprise mindset, and impact" as the company prepares to launch as many as 22 electric vehicles by 2023 .
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GM is changing its remote-working policy as it prepares to launch as many as 22 electric vehicles by 2023.
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Amid multiple signs that the electric-vehicle revolution in the U.S. is accelerating and at a time when the governments in America are going to unleash billions of dollars of funds for EV charging stations, now is a very good time to buy EV charging stocks. U.S. EV sales jumped 60% year over year in the first half of 2022 , while Ford’s (NYSE: F ) EV sales exploded 307% year and year in August and Tesla’s (NASDAQ: TSLA ) U.S. sales jumped 105% YOY last month . Explaining why he had decided to purchase Tesla (NASDAQ: TSLA ) stock after being bearish on it for years, veteran investment manager Brad Gerstner said on Sept. 15, “The world is moving now wholesale, both for geopolitical realities and for energy realities, in the direction of electrification.” Eventually, EV charging stations will generate more profits than gasoline stations. As a result, a few EV charging stocks can indeed jump tenfold in the next eight years. Finally, in a sign that funds will soon start to flow to EV charging companies, the Biden administration recently appointed veteran transportation administrator Gabe Klein to supervise the deployment of the funds.
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GM is ordering a return to office by remote workers, starting with three days a week, as the RTO trend continues among large corporations.
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gm Continue reading on Medium »
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TOLEDO, Ohio (AP) — General Motors says it will spend $760 million to renovate its transmission factory in Toledo, Ohio, so it can build drive lines for electric vehicles. It’s the first GM engine or transmission plant to begin the…
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TOLEDO, Ohio - General Motors says it will spend $760 million to renovate its transmission factory in Toledo, Ohio, so it can build drive lines for electric vehicles. It''s the…
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General Motors announced today that it would be investing over three quarters of a billion dollars in converting an ICE powertrain facility.
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Rental car company Hertz Global Holdings plans to order up to 175,000 General Motors Co electric vehicles over the next five years, its latest move toward zero-emission models. The multi-billion dollar, multi-year deal could be the first of many GM agreements to supply electric vehicles to rental car companies, said Steve Carlisle, the automaker’s North […]
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The Dearborn automaker has promised to produce 2 million electric vehicles by 2026.
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There''s a lot of buyer interest in the electric Hummer now being offered by Chevrolet. But there''s limited capacity to build them, and now General Motors has stopped taking orders for the massive EV.
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[Editor’s note: “How to Play Tesla’s Inevitable Demise ” was previously published in June 2021 . It has since been updated to include the most relevant information available.] Fortune favors the bold. Let’s hope fortune favors me when I say it may be time to bet against Tesla ( TSLA ). Full disclosure: We own TSLA stock in our Innovation Investor portfolio. How could we not? Elon Musk & Co. are at the forefront of three of the most disruptive technological shifts in the world today – EVs, solar, and battery storage. But I’ve been putting some serious thought into finding innovative, disruptive tech companies with the potential for 2X, 5X, or 10X-plus gains. While Tesla still has the potential for upside, we think there’s a much, much bigger opportunity elsewhere. I’m growing increasingly bullish on the idea that Lucid Motors ( LCID ) is about to eat Tesla’s lunch . And as a result, Tesla stock will struggle in the coming years while Lucid Motors stock will roar higher. It’s a bold claim, I know.
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The number of reservations is notable because of the starting prices of the vehicles, which range between roughly $85,000 and $111,000.
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The plant, which has about 1,700 employees, makes transmissions for front-wheel and rear-wheel drive full-size trucks, cars and SUVs.
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Volvo''s EV range to date has been limited to smaller vehicles like the C40 Recharge , but it''s now ready to tackle the high end. The company has announced that it will reveal the "flagship" EX90 electric SUV on November 9th. While the brand is unsurprisingly shy on details, it claims the new model will offer the best standard safety features of any Volvo to date. The trick is an improved "understanding" of both the driver and the environment. The EX90 will supposedly include a cutting-edge sensor array that includes cameras, radar and LiDAR on the outside. In the cabin, more cameras and capacitive steering wheel sensors will detect inattentiveness and take gradually more drastic actions to protect you, including stopping the car at the side of the road and calling for help. Some of these safety concepts aren''t new. Systems like GM''s Super Cruise check that your eyes are on the road, while Tesla cars will disable Autopilot and come to a stop if you don''t put your hands on the wheel. Volvo is clearly hoping it offers the best safeguards of the bunch, though, and LiDAR might provide an advantage over rivals like Tesla (which doesn''t use LiDAR) and Lucid (still a relatively small brand).
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Visa (V) and GM Sectec, a firm specializing in cybersecurity, have strengthened their alliance to improve fraud prevention, cyber defense, and cybersecurity best practices in the…
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GM wants to exclusively sell electric vehicles by 2035, and it’s now trying to nudge the US government toward the same goal. The automaker has teamed up with an advocacy group, the Environmental Defense Fund (EDF), to develop recommended principles for the Environmental Protection Agency’s (EPA) car emissions standards from the 2027 model year onward. […] GM wants to help shape the EPA’s next clean car standard | Engadget
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Car-rental company Hertz struck a deal with General Motors for up to 175,000 electric vehicles through 2027 as it aims to create North America’s largest EV rental fleet.
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General Motors Company (NYSE: GM ) and Hertz Global Holdings Inc (NASDAQ: HTZ ) have entered into an agreement through which the former will sell up to 175,000 electric vehicles (EV) to the latter over the next five years. The EVs include Chevrolet, Buick, GMC, Cadillac, and BrightDrop. Over the agreement … Full story available on Benzinga.com
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General Motors is going from electric cars to electric carts.
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Futures Slide As Hawkish Rikshock Sends Dollar, Yields Higher Again Ahead Of Fed Market sentiment was quite cheerful heading into the overnight session, with futures hitting a third-day high of 3,936 thanks to yesterday'' late day delta squeeze (plunge in VIX as both calls and especially puts were sold) but then it quickly soured after first German PPI came in at a mindblowing 45.8% (vs expectations of 37.1%) the highest on record since World War II… ...but what really spooked futures was the record hike by the Swedish central bank, the Riksbank, which pushed the repo rate higher by a more than expected 100bps to 1.75%, and even though the central bank eased back on terminal rate expectations, the market still saw the Riksbank surprise as potentially indicative of what the BOE and Fed may do in the coming hours. As such, European stocks fell with US equity futures, giving up early gains, as traders braced for another supersized US rate hike amid rising anxiety the Federal Reserve could overtighten and raise the odds of a hard landing.
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Check out the stocks making headlines after the closing bell on Monday, Sept. 19.
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General Motors is investing nearly a half billion dollars into manufacturing techniques that will increase EV production rates.
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The Central Bank of Nigeria (CBN) should stop defending the dollar through subsidies while the Federal Government must muster the political will to end the era of subsidy payment on petrol to stabilise the economy, the founder & Executive Vice Chairman, CWG Plc, Austin Okere, said at the weekend. In an interview with The Nation , Okere rejected these two subsidies, arguing that they were responsible for the economic haemorrhaging. He called for the imposition of tax on the rich and elite class who hardly pay or pay miserable tax to the government. The conference had “Championing a Forward Thinking Africa” as the theme. “The economy is the way it is because there’s an imbalance. That imbalance is as a result of spending more than you are earning. So if you look at the debt, and we’ll keep adding on to it, don’t worry about the debt. Check. How is the debt coming about ? The debt is coming about, by unsustained nibble subsidies. “The true value of the dollar is about N700. If I sell it to you at N450, I’ve subsidised you by over N300.
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Martha''s Vineyard Is Just The Start: Ron DeSantis Has Big Plans On Immigration Authored by W.James Antle III via 19fortyfive.com, Ron DeSantis’ Immigration Moves Not Limited to Martha’s Vineyard: Florida Gov. Ron DeSantis has been trying to establish himself as a conservative leader on a number of issues. The latest is immigration . Like other Republican governors , DeSantis is trying to contrast himself with the policies of President Joe Biden . Before inflation, there was no greater flashpoint than immigration . DeSantis wants faraway affluent liberal communities to get a small sense of what the Biden-era migrant surge is doing to border communities. The residents of Martha’s Vineyard are not amused . But there is more to DeSantis’ immigration insurgency than dropping undocumented migrants off in blue cities (something the Biden administration itself might be contemplating ). The Florida governor is vying for leadership of the populist and nationalist right, ascendant factions of the conservative movement and Republican Party, as surely as he is seeking reelection in November.
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gm Continue reading on Medium »
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If you want to be an internet-age version of General Motors or IBM, you need to sell something people want and steer clear of political pitfalls A question: what’s the average lifespan of an American company? Not any old company, mind, but one big enough to figure in Standard and Poor’s index of the 500 largest. The answer is surprising: the seven-year rolling average stands at 19.9 years. Way back in 1965 it was 32 years and the projections are that the downward trend will continue. Remember that we’re talking averages here. The trend doesn’t mean that no companies currently extant will get to their first century. Some almost certainly will, as some have in the past: AT&T, for example, is 137 years old; General Electric is 130; Ford is 119; IBM is 111; and General Motors is 106. But most companies wither or are gobbled up long before they qualify for a telegram from the president. Continue reading…
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The annual Detroit Auto Show is open to the public from Sept.17 to Sept. 25, with electric vehicles the primary focus as the Big Three automakers began unveiling their all-new electric fleets in 2022. What Happened: On Sept. 8, General Motors Company (NYSE: GM ) announced the rollout of the 2024 Equinox EV, with a starting price of roughly $30,000 and a 300-mile range when fully charged. “It’s an affordable game-changer, offering an uncompromising experience, with more features, that won’t change your daily routine — except that you will no longer have to stop at the gas station.” said Mary Barra , Chair and CEO … Full story available on Benzinga.com
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gm Continue reading on Medium »
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I drove a Tesla for the first time and came away impressed with the much-hyped brand. The Model Y''s sleek interior, speedy acceleration, and innovative tech features set it apart. But its oversized touchscreen and lack of physical buttons isn''t for everyone. Tesla created and dominates the burgeoning market for electric vehicles. But can the startup''s popular cars withstand a barrage of competitors from titans like Ford , General Motors, and Volkswagen? That''s the big question I sought to answer when I got behind the wheel of a new Tesla Model Y SUV earlier this month. After testing more than a dozen battery-powered rides in the last year — but never one made by Elon Musk — I wondered whether Teslas can live up to the hype or not. Put differently: Are the company''s fanatical supporters right, or are its cars nothing special? I borrowed a friend''s Tesla to find out for myself. (The company doesn''t offer press loans, so journalists have to get creative.) First, the basics The Tesla Model Y.
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DETROIT (AP) — General Motors said Thursday it will spend $491 million to expand and upgrade an Indiana metal stamping plant for production of steel and aluminum stamped parts for “future vehicles,” including electric vehicles. The automaker said it would install two new press lines, complete press and die upgrades and make renovations to the […] The post GM plans Indiana plant upgrade to support EVs appeared first on Supply Professional .
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As part of GM’s plans to provide “EVs for everyone,” the automaker says it will be upgrading its Marion, Indiana, assembly plant. The post GM is investing half a billion to upgrade Indiana factory to support EV production appeared first on Top Tech News .
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Bengaluru teenager Pranav Anand became India''s 76th Grandmaster after he crossed the 2,500 Elo mark in the ongoing World Youth Chess Championship in Mamaia, Romania. The 15-year-old, having already met the other requirements that are necessary for a GM title, achieved the honour late on Thursday. To become a GM, a player has to secure three GM norms and cross the live rating of 2,500 Elo points. Anand had scored the third and final GM norm at the 55th Biel Chess Festival in Switzerland in July. "He is passionate towards chess. Extremely interested and passionate towards the game. He can work for any number of hours," Anand''s coach V Saravanan told PTI. "He is especially good in calculation and end games…they are his two biggest strengths right now," Saravanan said about his ward''s ninth round win in the under-16 section of the World Youth Chess Championship 2022. "Also, the most important reason for Pranav''s achievement is the dedication of his family, his mother, father...They
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Das Instrument DUT US6153691059 MOODY''S CORP DL-,01 EQUITY wird ex Dividende/Zinsen gehandelt am 18.08.2022 The instrument DUT US6153691059 MOODY''S CORP DL-,01 EQUITY has its ex-dividend/interest day on 18.08.202202. [ mehr ]
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Moody''s Corporation (MCO) declares AMT MISSING/share quarterly dividend.Payable DATE MISSING; for shareholders of record DATE MISSING; ex-div DATE MISSING.
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ImpactAlpha, August 17 – Village Capital and Moody’s second Future of Work Africa accelerator is supporting 45 startups boosting education and employment prospects for … The post Village Capital and Moody’s accelerate 45 startups shaping the future of work in Africa appeared first on ImpactAlpha .
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https://www.investing.com/news/pro/moodys-corp-pt-raised-to-352-at-bmo-capital-432SI-2872295
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Moody''s Analytics: These 231 housing markets are poised to see falling home prices in 2023.
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Deutsche Bank analyst Faiza Alwy on Wednesday has cut Moody''s (MCO) shares to Neutral from Buy, noting that the information services group''s stock is seen to have limited upside to…
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Moody''s (NYSE: MCO ) has outperformed the market over the past 10 years by 11.09% on an annualized basis producing an average annual return of 22.48%. Currently, Moody''s has a market capitalization of $56.93 billion. Buying $100 In MCO: If an … Full story available on Benzinga.com
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New Jersey, USA -- ( SBWIRE ) -- 07/29/2022 -- The latest study released on the Global Banking Credit Analytics Market by AMA Research evaluates market size, trend, and forecast to 2027. The Banking Credit Analytics market study covers significant research data and proofs to be a handy resource document for managers, analysts, industry experts and other key people to have ready-to-access and self-analyzed study to help understand market trends, growth drivers, opportunities and upcoming challenges and about the competitors. Key Players in This Report Include: IBM Corporation (United States),SAP (Germany),Oracle Corporation (United States),Moody''s Corporation (United States),SAS Institute (United States),Verisk Analytics, Inc. (United States),Provenir (United States),AxiomSL, Inc. (United States),Recorded Future, Inc. (United States),Digital Fineprint (England) Download Sample Report PDF (Including Full TOC, Table & Figures) @ https://www.advancemarketanalytics.com/sample-report/168106-global-banking-credit-analytics-market Definition: Banking Credit Analytics are solutions which offer credit risk analytics, credit rating, ETL, EMI Calculations like Services.
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https://www.investing.com/news/pro/moodys-corp-pt-raised-to-340-at-argus-432SI-2857970
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Moody''s Corporation with ticker code (MCO) have now 15 analysts covering the stock with the consensus suggesting a rating of ''Buy''. The range between the high target price and low target price is between 384 and 259 calculating the mean target price we have 309.13. Given that the stocks previous close was at 286.57 this indicates there is a potential upside of 7.9%. There is a 50 day moving average of 281.46 and the 200 moving average now moves to 335.28. The company has a market capitalisation of $54,173m. Company Website: https://www.moodys.com [stock_market_widget type="chart" template="basic" color="green" assets="MCO" range="6mo" interval="1d" axes="true" cursor="true" api="yf"] The potential market cap would be $58,438m based on the market concensus. Moody''s Corporation operates as an integrated risk assessment firm worldwide. It operates in two segments, Moody''s Investors Service and Moody''s Analytics. The Moody''s Investors Service segment publishes credit ratings and provides assessment services on various debt obligations, programs and facilities, and entities that issue such obligations, such as various corporate, financial institution, and governmental obligations, as well as and structured finance securities.
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The following slide deck was published by Moody''s Corporation in conjunction with their 2022 Q2 earnings call.
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Moody''s Corporation (NYSE:NYSE:MCO) Q2 2022 Earnings Conference Call July 26, 2022 12:00 PM ET Company Participants Shivani Kak - Head, Investor Relations Robert Fauber - President and CEO…
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Moody''s (MCO) stock is dropping 6.1% in Tuesday premarket trading after the credit ratings and financial and market information company cut its 2022 guidance as higher interest rates…
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WASHINGTON (dpa-AFX) - Moody''s Corp. (MCO) revealed earnings for second quarter that decreased from last year and missed the Street estimates.The company''s earnings totaled $327 million, or $1.77 …
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Companies Reporting Before The Bell • General Motors (NYSE: GM ) is likely to report quarterly earnings at $1.30 per share on revenue of $34.59 billion. • Pentair (NYSE: PNR ) is projected to report quarterly earnings at $1.00 per share on revenue of $1.05 billion. • IVERIC bio (NASDAQ: ISEE ) is expected to report earnings for its second quarter. • NexPoint Residential (NYSE: NXRT ) is estimated to report quarterly loss at $0.24 per share on revenue of $63.85 million. • Old National Bancorp (NASDAQ: ONB ) is likely to report quarterly earnings at $0.39 per share on revenue of $390.55 million. • Neogen (NASDAQ: NEOG ) is expected to report quarterly earnings at $0.11 per share on revenue of $138.37 million. • First Merchants (NASDAQ: FRME ) is expected to report quarterly earnings at $0.81 per share on revenue of $155.42 million. • Oxford Square Cap (NASDAQ: OXSQ ) is likely to report quarterly earnings at $0.08 per share on revenue of $10.00 million. • Independent Bank (NASDAQ: IBCP ) is estimated to report quarterly earnings at $0.
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Moody''s Corporation is a durable long-term compounder based on historical precedence. Macroeconomic trends may pressure the stock price more negatively.
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Moody''s'' (NYSE: MCO ) short percent of float has fallen 13.57% since its last report. The company recently reported that it has 3.16 million shares sold short , which is 1.72% of all regular shares that are available for trading. Based on its trading volume, it would take traders 3.1 days to cover their short positions on average. Why Short Interest Matters Short interest is the number of shares that have been sold short but have not yet been covered or closed out. Short selling is when a trader sells shares of a company they do not own, with the hope that the price will fall. Traders make money from short selling if the price … Full story available on Benzinga.com
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Fiserv, Inc. (NASDAQ: FISV), a leading global provider of payments and financial services technology solutions, is enabling financial institutions to leverage data to gain forward-looking insights into business operations and manage governance and operational risk. Fiserv is focused on the integration of systems of record with analytic modeling tools, allowing financial institutions to combine previously siloed data from across the enterprise into an actionable, strategic decision management platform. The company’s two most recent partnerships in this area, with Strategic Risk Associates (SRA), a risk and performance technology solution and risk consulting services leader, and Moody’s Analytics , a provider of industry-leading financial intelligence and analytical tools to help business leaders make better, faster decisions, are expanding its existing data-driven offerings. “The secret sauce of an effective decision management platform is transforming good data into information. This requires integrating systems of record like core platforms and payment systems with analytical modeling capabilities, then making that information easily accessible to financial institution decision makers,” said Danny Baker , Vice President of Market Strategy at Fiserv . “We’re doing the heavy lifting for our clients by partnering with providers like SRA and Moody’s Analytics to ensure the reliable, real-time source data from Fiserv core platforms, financial accounting solutions, and payments and channels solutions is available seamlessly within a strategic risk management platform and dashboarding toolkit.” The Fiserv approach combines best in class offerings in financial planning and analysis (FP&A), profitability, and risk management, leveraging the Prologue™ Financial Accounting suite from Fiserv as the cornerstone.
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Moody''s (NYSE: MCO ) has outperformed the market over the past 15 years by 4.68% on an annualized basis producing an average annual return of 10.94%. Currently, Moody''s has a market capitalization of $51.60 billion. Buying $1000 In MCO: If an … Full story available on Benzinga.com
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More from Moody''s on Russian gas supply, and the Putin threat to cut supply off. Adding to this from earlier: Moody''s: Russian gas supply halt will weaken growth, fiscal metrics (in Germany & Italy) More now, these Headlines via Reuters: Moody''s on governments of Germany and Italy says halt to Russian gas supplies would significantly weaken growth and fiscal metrics Moody''s on Germany and Italy, says immediate economic effects of Russia''s decision to cut supplies in mid-June are likely to be limited Moody''s on Germany and Italy says Russian gas cuts will slow the build-up of storage ahead of the winter season Moody''s on Germany & Italy says if Russian supplies fail to resume after maintenance of Nord stream i completes at July-end, energy prices to rise further Moody''s on Germany & Italy says if Russian supplies fail to resume after maintenance of Nord stream i completes, govts to be forced into some form of rationing Moody''s on Germany & Italy says expect economic effects from halt to Russian gas supplies would increase debt burdens in both countries Moody''s on Germany & Italy says Italy''s financing conditions already challenging, to likely worsen in event of outright cut off from Russian supplies Moody''s on Germany & Italy says Italy better positioned given existing pipelines to north africa and lng terminals Moody''s on Germany & Italy says Italy could beat its targets of being free of Russian gas by 2025 Moody''s on Germany & Italy says Germany''s goal of reducing reliance on Russian gas to 10% by 2024 appears ambitious Italian PM Draghi: This article was written by Eamonn Sheridan at www.
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Moody''s Corporation with ticker code (MCO) have now 15 analysts in total covering the stock. The consensus rating is ''Buy''. The range between the high target price and low target price is between 384 and 280 with the average target price sitting at 314.2. Given that the stocks previous close was at 280.05 this is indicating there is a potential upside of 12.2%. The day 50 moving average is 287.12 and the 200 day MA is 341.1. The company has a market capitalisation of $52,212m. Find out more information at: https://www.moodys.com [stock_market_widget type="chart" template="basic" color="green" assets="MCO" range="6mo" interval="1d" axes="true" cursor="true" api="yf"] The potential market cap would be $58,578m based on the market concensus. Moody''s Corporation operates as an integrated risk assessment firm worldwide. It operates in two segments, Moody''s Investors Service and Moody''s Analytics. The Moody''s Investors Service segment publishes credit ratings and provides assessment services on various debt obligations, programs and facilities, and entities that issue such obligations, such as various corporate, financial institution, and governmental obligations, as well as and structured finance securities.
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Recently many traders have been wondering if Warren Buffett has lost his touch. His holding company, Berkshire Hathaway (NYSE: BRK.A , NYSE: BRK.B ), had seen its performance trail the stock market for an extended period as growth stocks soared while stodgier companies were left behind. For a time, it wasn’t clear what the best Warren Buffett stocks to buy were. In 2022, however, the tables have turned. Berkshire’s more defensive portfolio has held up well while large portions of the market have been pummeled. This has investors turning back to Berkshire’s approach to look for safe haven stock picks. 7 Cryptos to Watch as They Attempt to Break Out of Consolidation As of last quarter, Berkshire Hathaway’s investment portfolio included holdings in close to 50 different companies. As such, it’s important to use prudence when picking among Buffett’s holdings for the best options in July 2022. The following are seven of the best Warren Buffett stocks to buy today. Ticker Company Current Price CVX Chevron $139.03 MCO Moody’s $282.12 ATVI Activision Blizzard $78.35 V Visa $199.76 GL Globe Life $97.40 USB US Bancorp $46.23 BK Bank of New York Mellon $41.49 Chevron (CVX) Energy prices are absolutely soaring in 2022 thanks to inflation and geopolitical unrest.
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Morgan Stanley: As The Recession Arrives, Will We See A Surge In Corporate Defaults By Vishwanath Tirupattur, global head of Quantitative Research at Morgan Stanley For some time, our economists have been highlighting that recession risks are rising globally. In their mid-year outlook, they lowered their 2022 global growth forecast sharply to 2.9%Y, less than half the 6.2%Y level a year ago. Since then, deceleration has continued. The combination of updated forecasts for a recession in the euro area, weaker incoming data, and revisions to 1Q GDP has led our US economists to shift down their 2022 US GDP forecast to 0.9% 4Q/4Q, and they have suggested that the risk of a US recession by the end of this year is high. A hallmark of the last three US recessions has been a spike in corporate credit default rates. We would argue that the credit default experience in a potential US recession may be more moderate this time around. However, despite the significant repricing in June, valuation adjustment is still incomplete.
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Coinbase (NASDAQ: COIN ) is in the headlines again, two weeks after laying off 18% of its staff . Twelve days before that , they’d sent new hires one of the most brutal H.R. mass emails I’ve ever seen: “Just kidding! Our hiring freeze does affect your job offer, after all!” (At least the “Chief People Officer” said they’ll get severance.) Source: Primakov / Shutterstock.com And once again…the spotlight is on Coinbase for all the wrong reasons: Even after the job cuts, “we believe Coinbase will need to make substantial reductions in its cost base in order to stem the resulting cash burn as retail trading activity dries up,” wrote Will Nance, VP and lead analyst for Payments and Digital Assets at Goldman Sachs, in his research note Monday downgrading COIN stock . It’s a bit rich to change your verdict from “Neutral” to “Sell” after the stock has already dropped -75%…in three months! If you weren’t necessarily in it for the long haul with COIN, the Super Bowl would have been a better time to cash out. (Or Thanksgiving.) That said, it’s worth looking at the fundamentals…what’s changed in just six weeks since Coinbase’s last earnings report…and what it might say about the “State of the Union” in the New Digital World, generally.
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Moody''s Corporation with ticker code (MCO) have now 15 analysts covering the stock with the consensus suggesting a rating of ''Buy''. The range between the high target price and low target price is between 384 and 280 with the average target price sitting at 317.53. Given that the stocks previous close was at 277.8 this is indicating there is a potential upside of 14.3%. The 50 day MA is 292.47 while the 200 day moving average is 343.64. The company has a market capitalisation of $49,926m. Company Website: https://www.moodys.com [stock_market_widget type="chart" template="basic" color="green" assets="MCO" range="6mo" interval="1d" axes="true" cursor="true" api="yf"] The potential market cap would be $57,066m based on the market concensus. Moody''s Corporation operates as an integrated risk assessment firm worldwide. It operates in two segments, Moody''s Investors Service and Moody''s Analytics. The Moody''s Investors Service segment publishes credit ratings and provides assessment services on various debt obligations, programs and facilities, and entities that issue such obligations, such as various corporate, financial institution, and governmental obligations, as well as and structured finance securities.
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PARIS: Moody''s Investors Service has confirmed that Russia defaulted on its foreign debt for the first time in a century after bondholders did not receive $100 million in interest payments. The historic default follows a series of unprecedented Western sanctions that have increasingly isolated Russia from the global financial system following its invasion of Ukraine on February 24. Russia lost the last avenue to service its foreign-currency loans after the United States removed an exemption last month that allowed US investors to receive Moscow''s payments. "On 27 June, holders of Russia''s sovereign debt had not received coupon payments on two euro bonds worth $100 million by the time the 30-calendar-day grace period expired, which we consider an event of default under our definition," Moody''s said. Moscow said on Monday there were "no grounds to call this situation a default," as the payments had not reached creditors due to the "the actions of third parties." Russian authorities insist they have the funds to honor the country''s debt, calling the predicament a "farce" and accusing the West of pushing an "artificial" default.
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Allocations will grow to underpin more bulk purchase annuity work, ratings agency predicts
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Moody''s Corporation found using ticker (MCO) have now 15 analysts covering the stock with the consensus suggesting a rating of ''Buy''. The target price ranges between 420.4 and 307 with a mean TP of 349.76. With the stocks previous close at 260.06 this now indicates there is a potential upside of 34.5%. The 50 day MA is 298.71 while the 200 day moving average is 346.41. The market cap for the company is $48,923m. Visit the company website at: https://www.moodys.com [stock_market_widget type="chart" template="basic" color="green" assets="MCO" range="6mo" interval="1d" axes="true" cursor="true" api="yf"] The potential market cap would be $65,798m based on the market concensus. Moody''s Corporation operates as an integrated risk assessment firm worldwide. It operates in two segments, Moody''s Investors Service and Moody''s Analytics. The Moody''s Investors Service segment publishes credit ratings and provides assessment services on various debt obligations, programs and facilities, and entities that issue such obligations, such as various corporate, financial institution, and governmental obligations, as well as and structured finance securities.
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Selecting stocks to sell has become an urgent priority for those investors who want to cash out before the expected recession hits hard. Investors are wary of further declines to come in this bear market. The benchmark S&P 500 index is down around % year-to-date (YTD). Meanwhile, the sell-off in growth stocks led to a 30% decline in the Nasdaq 100 index so far in 2022. The U.S. Department of Commerce recently announced the first-quarter gross domestic product (GDP) declined at a 1.5% annual pace. David Folkerts-Landau, the chief economist at Deutsche Bank (NYSE: DB ), forecasts a severe recession in the U.S. within the next two years. Last month, the chief economist at Moody’s (NYSE: MCO ) also noted that recession risks have become “uncomfortably high.” 7 Bargain Income Stocks to Buy and Hold Forever Against this backdrop of an imminent recession, we have selected stocks recently downgraded by analysts forecasting restrained demand in their businesses. With that information, here are seven stocks to sell before they plunge further into the abyss.
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Moody''s''s (NYSE: MCO ) short percent of float has risen 14.81% since its last report. The company recently reported that it has 3.43 million shares sold short , which is 1.86% of all regular shares that are available for trading. Based on its trading volume, it would take traders 3.3 days to cover their short positions on average. Why Short Interest Matters Short interest is the number of shares that have been sold short but have not yet been covered or closed out. Short selling is when a trader sells shares of a company they do not own, with the hope that the price will fall. Traders make money from short selling if the price … Full story available on Benzinga.com
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Moody`s Corp. (MCO) shares closed today at 1.9% above its 52 week low of $251.01, giving the company a market cap of $47B. The stock is currently down 34.5% year-to-date, down 28.0% over the past 12 months, and up 109.3% over the past five years. This week, the Dow Jones Industrial Average fell 4.8%, and the S&P 500 fell 5.7%. Trading Activity Trading volume this week was 11.1% higher than the 20-day average.Beta, a measure of the stock’s volatility relative to the overall market stands at 1.0. Technical Indicators The Relative Strength Index (RSI) on the stock was under 30, indicating it may be underbought.MACD, a trend-following momentum indicator, indicates a downward trend.The stock closed below its Bollinger band, indicating it may be oversold.The stock closed at 1.2% lower than its 5-day moving average, 9.3% lower than its 20-day moving average, and 18.0% lower than its 90-day moving average.
Market Comparative Performance The company's share price is the same as the S&P 500 Index , lags it on a 1-year basis, and beats it on a 5-year basis The company's share price is the same as the Dow Jones Industrial Average , lags it on a 1-year basis, and beats it on a 5-year basis The company share price is the same as the performance of its peers in the Industrials industry sector , lags it on a 1-year basis, and beats it on a 5 year basis Per Group Comparative Performance The company's stock price performance year-to-date beats the peer average by -0.9% The company's stock price performance over the past 12 months lags the peer average by 32.1% The company's price-to-earnings ratio, which relates a company's share price to its earnings per share, is -21.7% lower than the average peer.
This story was produced by the Kwhen Automated News Generator. For more articles like this, please visit us at finance.kwhen.com. Write to editors@kwhen.com. © 2020 Kwhen Inc.
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Moody''s Corporation with ticker code (MCO) have now 15 analysts in total covering the stock. The consensus rating is ''Buy''. The range between the high target price and low target price is between 384 and 280 calculating the average target price we see 321.6. Given that the stocks previous close was at 289.39 this now indicates there is a potential upside of 11.1%. There is a 50 day moving average of 311.06 and the 200 moving average now moves to 351.05. The market cap for the company is $52,376m. You can visit the company''s website by visiting: https://www.moodys.com [stock_market_widget type="chart" template="basic" color="green" assets="MCO" range="6mo" interval="1d" axes="true" cursor="true" api="yf"] The potential market cap would be $58,205m based on the market concensus. Moody''s Corporation operates as an integrated risk assessment firm worldwide. It operates in two segments, Moody''s Investors Service and Moody''s Analytics. The Moody''s Investors Service segment publishes credit ratings and provides assessment services on various debt obligations, programs and facilities, and entities that issue such obligations, such as various corporate, financial institution, and governmental obligations, as well as and structured finance securities.
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The following slide deck was published by Moody''s Corporation in conjunction with this event.
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Moody''s (MCO) stock is falling 1.6% in Friday premarket trading after Barclays analyst Manav Patnaik downgrades the credit rating company to Equalweight after MCO''s CEO recently said…
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Over the past 3 months, 18 analysts have published their opinion on Moody''s (NYSE: MCO ) stock. These analysts are typically employed by large Wall Street banks and tasked with understanding a company''s business to predict how a stock will trade over the upcoming year. Bullish Somewhat Bullish Indifferent Somewhat Bearish Bearish Total Ratings 3 11 4 0 0 Last 30D 1 1 1 0 0 1M Ago 1 4 1 0 0 2M Ago 0 2 1 0 0 3M Ago 1 4 1 0 0 According to 18 analyst offering 12-month price targets in the last 3 months, Moody''s has an average price target of $359.39 with a high of $417.00 and a low of $305.00. Below is a summary … Full story available on Benzinga.com
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Shares of S&P Global Inc. sank 8.2% in premarket trading Wednesday, after the debt rating and analytics company said it was suspending its full-year financial guidance, citing "extraordinarily weak" market conditions. The company said macroeconomic conditions deteriorated since it provided 2022 estimates a month ago, when it cut its adjusted earnings-per-share estimate to $13.00 to $13.25 from $13.30 to $13.50. The company said it expects to reintroduce financial guidance when it reports second-quarter results, which is currently projected to be in late-July. "Debt issuance volumes have been extraordinarily weak year-to-date," S&P Global said in a statement. "Should similar trends continue through the end of 2022, market issuance could see year-over-year declines in the high teens." The weak outlook also weighed on shares of rival Moody''s Corp. , which also shed 8.2% ahead of the open. Meanwhile, futures for the S&P 500 gained 0.2%. Market Pulse Stories are Rapid-fire, short news bursts on stocks and markets as they move.
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Loews is an interesting business, it''s an industrial conglomerate with subsidiaries in various segments. In this article, we''ll take a look at L stock.
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State-of-the-art, 300-unit residential building, One Rangers Way, will offer a completely unique living experience amid Globe Life Field, Choctaw Stadium and AT&T Stadium One Rangers Way will become one of the most luxurious, resort-style apartment communities in the country with over 43,000 square feet of interior and exterior amenity space ARLINGTON, Texas , May 13, 2022 /PRNewswire/ -- The Texas Rangers and The Cordish Companies are excited to announce details today for One Rangers Way , a 300-unit upscale residential community in the heart of the Arlington Entertainment District. One Rangers Way continues the incredible momentum of new development in the Entertainment District amid Globe Life Field, Choctaw Stadium and AT&T Stadium that began with the opening of Texas Live! in 2018. The project adds to the nearly $1 billion of new development currently under construction in the Entertainment District that includes the forthcoming Loews Arlington Hotel & Convention Center and National Medal of Honor Museum, which recently broke ground on March 25 .
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Related Stocks: FB , HBI , PFE , ABBV , CVS ,
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CNA Financial Corporation found using ticker (CNA) have now 2 analysts in total covering the stock. The consensus rating is ''Hold''. The target price ranges between 56 and 47 with the average target price sitting at 51.5. Now with the previous closing price of 45.52 this is indicating there is a potential upside of 13.1%. The day 50 moving average is 47.3 and the 200 day MA is 45.27. The market capitalisation for the company is $12,027m. Visit the company website at: https://www.cna.com [stock_market_widget type="chart" template="basic" color="green" assets="CNA" range="6mo" interval="1d" axes="true" cursor="true" api="yf"] The potential market cap would be $13,607m based on the market concensus. CNA Financial Corporation provides commercial property and casualty insurance products primarily in the United States. It operates through Specialty, Commercial, International, Life & Group, and Corporate & Other segments. The company offers professional liability coverages and risk management services to various professional firms, including architects, real estate agents, and accounting and law firms; directors and officers, employment practices, fiduciary, and fidelity coverages to small and mid-size firms, public and privately held firms, and not-for-profit organizations; professional and general liability, as well as associated standard property and casualty coverages for healthcare industry; surety and fidelity bonds; and warranty and alternative risks products.
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Hays plc with ticker (LON:HAS) now has a potential upside of 35.9% according to Barclays. [stock_market_widget type="chart" template="basic" color="green" assets="HAS.L" range="6mo" interval="1d" axes="true" cursor="true" api="yf"] Barclays set a target price of 190 GBX for the company, which when compared to the Hays plc share price of 122 GBX at opening today (05/05/2022) indicates a potential upside of 35.9%. Trading has ranged between 105 (52 week low) and 181 (52 week high) with an average of 4,289,755 shares exchanging hands daily. The market capitalisation at the time of writing is £2,033,621,872. Loews Corporation is a holding company. The Company’s segments consist individual operating subsidiaries, including CNA Financial Corporation (CAN), Boardwalk Pipeline Partners, LP and Loews Hotels Holding Corporation (Loews Hotels) and Corporate segment. The CNA segment provides insurance products, such as commercial property and casualty coverage, including surety, and its services also include risk management, information services, warranty and claims administration.
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Loews Corp. (NYSE: L) Q1 2022 earnings call dated May. 02, 2022 Corporate Participants: Mary Skafidas — Vice President, Investor Relations and Corporate Communications James S. Tisch — President and Chief Executive Officer David […] The post Loews Corp. (L) Q1 2022 Earnings Call Transcript first appeared on AlphaStreet .
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Loews''s (NYSE: L ) short percent of float has fallen 15.71% since its last report. The company recently reported that it has 1.22 million shares sold short , which is 0.59% of all regular shares that are available for trading. Based on its trading volume, it would take traders 1.5 days to cover their short positions on average. Why Short Interest Matters Short interest is the number of shares that have been sold short but have not yet been covered or closed out. Short selling is when a trader sells shares of a company they do not own, with the hope that the price will fall. Traders make money from short selling if the price … Full story available on Benzinga.com
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Loews Corporation (NYSE:NYSE:L) Q1 2022 Earnings Conference Call May 2, 2022 10:00 ET Company Participants Mary Skafidas - Vice President, Investor Relations and Corporate Communications…
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Loews Corp. reported Monday net income that rose from a year ago but revenue and book value per share that fell, as lower net unrealized investment gains resulted from the rise in interest rates. Net income increased to $338 million, or $1.36 a share, from $261 million, or 97 cents a share, in the year-ago period, as the diversified company said its CNA Financial, Boardwalk Pipelines and Loews Hotels businesses all saw earnings rise. Revenue fell 6.1% to $3.40 billion, as its three businesses all grew revenue but investment income was a loss of $16 million versus a gain of $327 million a year ago. There were not analysts covering the company to provide estimates for results, according to FactSet. Book value per share fell to $67.27 from $71.84. Separately, the company said it spent $129 million to repurchase shares during the quarter. The stock, which was still inactive in premarket trading, has gained 8.8% year to date while the S&P 500 has lost 13.3%. Market Pulse Stories are Rapid-fire, short news bursts on stocks and markets as they move.
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Companies Reporting Before The Bell • New Gold (AMEX: NGD ) is estimated to report quarterly earnings at $0.03 per share on revenue of $212.42 million. • InMode (NASDAQ: INMD ) is likely to report quarterly earnings at $0.37 per share on revenue of $80.24 million. • Air Industries (AMEX: AIRI ) is likely to report quarterly earnings at $0.01 per share on revenue of $15.40 million. • Enel Americas (NYSE: ENIA ) is expected to report quarterly earnings at $0.16 per share on revenue of $3.46 billion. • WEC Energy Gr (NYSE: WEC ) is expected to report quarterly earnings at $1.66 per share on revenue of $2.73 billion. • Enterprise Prods Partners (NYSE: EPD ) is expected to report quarterly earnings at $0.53 per share on revenue of $10.51 billion. • Galmed Pharmaceuticals (NASDAQ: GLMD ) is likely to report earnings for its fourth quarter. • Axsome Therapeutics (NASDAQ: AXSM ) is expected to report earnings for its first quarter. • Park Hotels & Resorts (NYSE: PK ) is projected to report quarterly loss at $0.
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Moody''s Corporation with ticker code (MCO) now have 12 analysts in total covering the stock. The consensus rating is ''Buy''. The target price ranges between 395 and 322 and has a mean target at 354.67. Now with the previous closing price of 375 this is indicating there is a potential downside of -5.4%. The 50 day moving average now sits at 352.6 and the 200 moving average now moves to 310.75. The company has a market capitalisation of $70,312m. Visit the company website at: /> [stock_market_widget type="chart" symbol="MCO" chart="bar" range="6mo" interval="1d" line-color="rgb(49, 125, 189)"] Moody''s Corporation operates as an integrated risk assessment firm worldwide. It operates in two segments, Moody''s Investors Service and Moody''s Analytics. The Moody''s Investors Service segment publishes credit ratings and provides assessment services on various debt obligations, programs and facilities, and entities that issue such obligations, such as various corporate, financial institution, and governmental obligations; and structured finance securities.
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