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Weekly 3-Year Low Highlights: CHL, TM, STO, NTT

August 25, 2014 | About:
gurujx

gurujx

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According to GuruFocus list of 3-year lows; China Mobile Ltd, Toyota Motor Corp, Statoil ASA, and Nippon Telegraph & Telephone Corp, have all reached their 3-year lows.

China Mobile Ltd (CHL) Reached $60.94

China Mobile Ltd., was incorporated under the laws of Hong Kong on September 3, 1997 as a limited liability company under the name 'China Telecom (Hong Kong) Limited'. China Mobile Ltd has a market cap of $245.01 billion; its shares were traded at around $60.94 with a P/E ratio of 12.40 and P/S ratio of 2.39. The dividend yield of China Mobile Ltd stocks is 3.15%. China Mobile Ltd had an annual average earnings growth of 13.80% over the past 10 years. GuruFocus rated China Mobile Ltd the business predictability rank of 3-star.

China Mobile Ltd. reported second quarter 2014 revenue of RMB 169.8 billion, and EBITDA of RMB 60.7 billion. Quarterly profits were reported at RMB 32.5 billion, compared to prior year quarter profits of RMB 35.3 billion.

1 Guru Increased Positions: John Rogers (Trades, Portfolio) owns 372,583 shares as of 06/30/2014, an increase of 16.76% from the previous quarter.

Toyota Motor Corp (TM) Reached $114.09

Toyota Motor Corp., is a limited liability, joint-stock company, which was incorporated under the Corporation Act of Japan. Toyota Motor Corp has a market cap of $180.82 billion; its shares were traded at around $114.09 with a P/E ratio of 10.30 and P/S ratio of 0.73. The dividend yield of Toyota Motor Corp stocks is 1.03%. Toyota Motor Corp had an annual average earnings growth of 20.20% over the past 5 years.

Toyota has released its fiscal first quarter 2015 results ended June 30, 2014. Net revenues increased by 2.2% to 6,390 billion yen, and operating income increased by 4.4% to 692.7 billion yen on consolidated vehicle sales increase of .4%.

1 Guru Increased Positions: John Rogers (Trades, Portfolio) owns 14,818 shares as of 06/30/2014, an increase of 159.15% from the previous quarter.

Statoil ASA (STO) Reached $28.22

Statoil ASA is an integrated oil and gas company, which is engaged in the exploration, production, transportation, refining and marketing of petroleum and petroleum-derived products. Statoil ASA has a market cap of $89.98 billion; its shares were traded at around $28.22 with a P/E ratio of 8.60 and P/S ratio of 0.85. The dividend yield of Statoil ASA stocks is 4.16%. Statoil ASA had an annual average earnings growth of 5.50% over the past 10 years. GuruFocus rated Statoil ASA the business predictability rank of 2.5-star.

Statoil ASA reported quarterly net income of NOK 12 billion, and EPS of NOK 3.75.

1 Guru Kept Positions in STO Unchanged or Slightly Adjusted: Mario Gabelli (Trades, Portfolio) owns 29,900 shares as of 06/30/2014, which accounts for 0.0048% of the $19.12 billion portfolio of GAMCO Investors.

1 Guru Reduced Positions: David Dreman (Trades, Portfolio) owns 200,081 shares as of 06/30/2014, a decrease of 22.39% of from the previous quarter.

Nippon Telegraph & Telephone Corp (NTT) Reached $33.25

Nippon Telegraph & Telephone Corp was incorporated on April 1, 1985. Nippon Telegraph & Telephone Corp has a market cap of $75.59 billion; its shares were traded at around $33.25 with a P/E ratio of 13.60 and P/S ratio of 0.73. The dividend yield of Nippon Telegraph & Telephone Corp stocks is 1.16%. Nippon Telegraph & Telephone Corp had an annual average earnings growth of 0.80% over the past 10 years.

1 Guru Increased Positions: NWQ Managers (Trades, Portfolio) owns 173,629 shares as of 06/30/2014, an increase of 10.26% from the previous quarter.

Go here for the complete list of 3-year lows.


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