According to GuruFocus updates, these stocks have declined the most since Gurus have bought.
Ken Fisher (Trades, Portfolio) initiated holdings in Exploration & Production company EOG Resources Inc. during the quarter ended 03/31/2014. His purchase prices were between $161.74 and $197.16, with an estimated average price of $177.02. Since then the prices of EOG Resources Inc. shares have declined by -41% from the estimated average. Ken Fisher (Trades, Portfolio) owned 1,244 shares of EOG Resources Inc. as of 03/31/2014.
- Warning! GuruFocus has detected 3 Warning Signs with EOG. Click here to check it out.
- EOG 15-Year Financial Data
- The intrinsic value of EOG
- Peter Lynch Chart of EOG
EEOG Resources Inc. is a Delaware corporation organized in 1985. Eog Resources Inc. has a market cap of $57.27 billion; its shares were traded at around $104.79 with a P/E ratio of 26.00 and P/S ratio of 3.78. The dividend yield of EOG Resources Inc. stocks is 0.39%. EOG Resources Inc. had an annual average earnings growth of 11.00% over the past 10 years. GuruFocus rated EOG Resources Inc. the business predictability rank of 3.5-star.
EOG recently reported full year 2013 net income of $2.197 billion, or $8.04 per share, as compared to $570 million, or $2.11 per share, for the full year 2012. For the fourth quarter 2013, EOG reported net income of $580 million, or $2.12 per share. This compares to a fourth quarter 2012 net loss of $505 million, or $1.88 per share.
Ken Fisher (Trades, Portfolio) bought 1,244 shares in the quarter that ended on 03/31/2014, which is 0.0006% of the $44.34 billion portfolio of Fisher Asset Management LLC. Mario Gabelli (Trades, Portfolio) owns 12,985 shares as of 03/31/2014, a decrease of 31.3% of from the previous quarter. This position accounts for 0.014% of the $18.53 billion portfolio of GAMCO Investors.
VP and CFO Timothy K. Driggers sold 4,131 shares of EOG stock on 04/03/2014 at the average price of $100.49. Timothy K. Driggers owns at least 129,262 shares after this. The price of the stock has increased by 4.28% since.
Steven Romick (Trades, Portfolio) initiated holdings in Internet company Vodafone Group Plc during the quarter ended 12/31/2013. His purchase prices were between $63.13 and $71.96, with an estimated average price of $67.65. Since then the prices of Vodafone Group PLC shares have declined by -44% from the estimated average. Steven Romick (Trades, Portfolio) owned 4,097,100 shares of Vodafone Group Plc as of 12/31/2013.
Vodafone Group Plc is a provider of mobile communications. Vodafone Group Plc has a market cap of $100.86 billion; its shares were traded at around $38.15 with a P/E ratio of 141.70 and P/S ratio of 1.34. The dividend yield of Vodafone Group Plc stocks is 7.92%. Vodafone Group Plc had an annual average earnings growth of 2.30% over the past five years.
Joel Greenblatt (Trades, Portfolio) bought 162,973 shares in the quarter that ended on 12/31/2013, which is 0.15% of the $4.2 billion portfolio of Gotham Asset Management LLC. Ken Fisher (Trades, Portfolio) owns 16,970 shares as of 03/31/2014, a decrease of 58.56% of from the previous quarter. This position accounts for 0.0014% of the $44.34 billion portfolio of Fisher Asset Management LLC. NWQ Managers (Trades, Portfolio) owns 95,017 shares as of 12/31/2013, a decrease of 96.88% of from the previous quarter.
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