Guru Stocks at 52-Week Lows: XOM, WMT, PG, CVX, GSK

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Jun 14, 2015

According to GuruFocus list of 52-week lows, these Guru stocks have reached their 52-week lows.

Exxon Mobil Corporation (XOM, Financial) Reached the 52-Week Low of $84.02

The prices of Exxon Mobil Corporation (XOM, Financial) shares have declined to close to the 52-week low of $84.02, which is 21.1% off the 52-week high of $104.76. Exxon Mobil Corporation is owned by 39 Gurus we are tracking. Among them, 14 have added to their positions during the past quarter. 19 reduced their positions.

Exxon Mobil Corporation, a New Jersey corporation was incorporated in 1882. Exxon Mobil Corporation has a market cap of $351.3 billion; its shares were traded at around $84.02 with a P/E ratio of 12.90 and P/S ratio of 0.96. The dividend yield of Exxon Mobil Corporation stocks is 3.33%. Exxon Mobil Corporation had an annual average earnings growth of 6.20% over the past 10 years. GuruFocus rated Exxon Mobil Corporation the business predictability rank of 4-star.

Exxon Mobil Corporation recently reported its first quarter 2015 financial results. The company announced estimated first quarter 2015 earnings of $4.9 billion, or $1.17 per diluted share, compared with $9.1 billion a year earlier, demonstrating the value of the company’s integrated businesses in a lower commodity price environment.

Joel Greenblatt (Trades, Portfolio) bought 40,248 shares in the quarter that ended on 12/31/2014, which is 0.03% of the $13.11 billion portfolio of Gotham Asset Management, LLC. Robert Olstein (Trades, Portfolio) owns 63,000 shares as of 12/31/2014, an increase of 103.23% from the previous quarter. This position accounts for 0.71% of the $926 million portfolio of Olstein Capital Management, L.P..

Senior Vice President Darren W Woods sold 5,000 shares of XOM stock on 05/05/2015 at the average price of 90. Darren W Woods owns at least 167,768 shares after this. The price of the stock has decreased by 6.64% since.

Wal-Mart Stores Inc (WMT, Financial) Reached the 52-Week Low of $72.43

The prices of Wal-Mart Stores Inc (WMT, Financial) shares have declined to close to the 52-week low of $72.43, which is 20.5% off the 52-week high of $90.97. Wal-Mart Stores Inc is owned by 32 Gurus we are tracking. Among them, 14 have added to their positions during the past quarter. 15 reduced their positions.

Wal-Mart Stores Inc is a Delaware corporation was incorporated in October 1969. Wal-mart Stores Inc has a market cap of $233.26 billion; its shares were traded at around $72.43 with a P/E ratio of 14.60 and P/S ratio of 0.48. The dividend yield of Wal-mart Stores Inc stocks is 2.68%. Wal-mart Stores Inc had an annual average earnings growth of 8.60% over the past 10 years. GuruFocus rated Wal-mart Stores Inc the business predictability rank of 4.5-star.

Walmart recently reported its first quarter fiscal year 2016 financial results. The company announced diluted EPS for the quarter of $1.03, within guidance of $0.95 to $1.10. Currency negatively impacted EPS by approximately $0.03. Ecommerce sales globally increased roughly 17% year over year.

Joel Greenblatt (Trades, Portfolio) owns 434,643 shares as of 12/31/2014, an increase of 36% from the previous quarter. This position accounts for 0.3% of the $13.11 billion portfolio of Gotham Asset Management, LLC. David Dreman (Trades, Portfolio) sold out his holdings in the quarter that ended on 12/31/2014. George Soros (Trades, Portfolio) sold out his holdings in the quarter that ended on 12/31/2014.

Senior Vice President Steven P Whaley sold 2,400 shares of WMT stock on 03/05/2015 at the average price of 83.28. Steven P Whaley owns at least 28,189 shares after this. The price of the stock has decreased by 13.03% since.

Procter & Gamble Co (PG, Financial) Reached the 52-Week Low of $78.87

The prices of Procter & Gamble Co (PG, Financial) shares have declined to close to the 52-week low of $78.87, which is 17.9% off the 52-week high of $93.89. Procter & Gamble Co is owned by 28 Gurus we are tracking. Among them, 8 have added to their positions during the past quarter. 18 reduced their positions.

Procter & Gamble Co was incorporated in Ohio in 1905. Procter & Gamble Co has a market cap of $213.97 billion; its shares were traded at around $78.87 with a P/E ratio of 25.80 and P/S ratio of 2.82. The dividend yield of Procter & Gamble Co stocks is 3.29%. Procter & Gamble Co had an annual average earnings growth of 3.80% over the past 10 years. GuruFocus rated Procter & Gamble Co the business predictability rank of 2.5-star.

Yacktman Fund (Trades, Portfolio) owns 11,745,000 shares as of 12/31/2014, which accounts for 9.1% of the $10.78 billion portfolio of Yacktman Fund (Trades, Portfolio). Ken Fisher (Trades, Portfolio) owns 7,628,811 shares as of 12/31/2014, which accounts for 1.4% of the $48.83 billion portfolio of Fisher Asset Management, LLC. NWQ Managers (Trades, Portfolio) owns 23,526 shares as of 12/31/2014, which accounts for 0.026% of the $8.02 billion portfolio of NWQ Investment Management Co.

Joel Greenblatt (Trades, Portfolio) owns 13,152 shares as of 12/31/2014, a decrease of 54.52% of from the previous quarter. This position accounts for 0.0097% of the $13.11 billion portfolio of Gotham Asset Management, LLC. Brian Rogers (Trades, Portfolio) sold out his holdings in the quarter that ended on 12/31/2014.

COB, Pres. & CEO Alan G Lafley sold 20,883 shares of PG stock on 02/27/2015 at the average price of 85.24. Alan G Lafley owns at least 760,464 shares after this. The price of the stock has decreased by 7.47% since.

Chevron Corp (CVX, Financial) Reached the 52-Week Low of $99.87

The prices of Chevron Corp (CVX, Financial) shares have declined to close to the 52-week low of $99.87, which is 26.8% off the 52-week high of $135.10. Chevron Corp is owned by 28 Gurus we are tracking. Among them, 11 have added to their positions during the past quarter. 11 reduced their positions.

Chevron Corp was incorporated in Delaware in 1926 as Standard Oil Company of California, and it adopted the name Chevron Corporation in 1984 and ChevronTexaco Corporation in 2001. Chevron Corp has a market cap of $187.8 billion; its shares were traded at around $99.87 with a P/E ratio of 11.20 and P/S ratio of 0.98. The dividend yield of Chevron Corp stocks is 4.29%. Chevron Corp had an annual average earnings growth of 7.80% over the past 10 years. GuruFocus rated Chevron Corp the business predictability rank of 4-star.

Dodge & Cox owns 12,662,230 shares as of 12/31/2014, an increase of 16.68% from the previous quarter. This position accounts for 1.3% of the $108.5 billion portfolio of Dodge & Cox. Charles Brandes (Trades, Portfolio) owns 144,247 shares as of 12/31/2014, an increase of 12.03% from the previous quarter. This position accounts for 0.23% of the $7.26 billion portfolio of Brandes Investment. Ruane Cunniff (Trades, Portfolio) owns 4,716 shares as of 12/31/2014, a decrease of 21.37% of from the previous quarter. This position accounts for 0.0027% of the $21.12 billion portfolio of Ruane, Cunniff & Goldfarb Inc.

Director John G Stumpf bought 180,000 shares of CVX stock on 05/11/2015 at the average price of 108.1. John G Stumpf owns at least 200,093 shares after this. The price of the stock has decreased by 7.61% since.

GlaxoSmithKline PLC (GSK, Financial) Reached the 52-Week Low of $42.71

The prices of GlaxoSmithKline PLC (GSK, Financial) shares have declined to close to the 52-week low of $42.71, which is 24.7% off the 52-week high of $54.78. GlaxoSmithKline PLC is owned by 27 Gurus we are tracking. Among them, 10 have added to their positions during the past quarter. 13 reduced their positions.

GlaxoSmithKline PLC incorporated in United Kingdom. GlaxoSmithKline Plc has a market cap of $103.14 billion; its shares were traded at around $42.71 with a P/E ratio of 6.50 and P/S ratio of 2.91. The dividend yield of Glaxosmithkline Plc stocks is 5.93%. Glaxosmithkline Plc had an annual average earnings growth of 0.50% over the past 10 years.

GlaxoSmithKline recently reported its first quarter 2015 financial results. The company announced first quarter sales of EUR5.6 billion. Core EPS was 17.3p (-16%) CER.

HOTCHKIS & WILEY owns 12,213,885 shares as of 12/31/2014, an increase of 13.04% from the previous quarter. This position accounts for 1.8% of the $28.73 billion portfolio of Hotchkis & Wiley Capital Management LLC. Dodge & Cox owns 23,959,301 shares as of 12/31/2014, a decrease of 37.91% of from the previous quarter. This position accounts for 0.95% of the $108.5 billion portfolio of Dodge & Cox. David Dreman (Trades, Portfolio) sold out his holdings in the quarter that ended on 12/31/2014.