Last week’s top five stocks that reached their 52-week lows were Exxon Mobil Corp, China Mobile Ltd, AT&T Inc, BP p.l.c, and Toyota Motor Corp. According to GuruFocus updates, these Guru stocks have reached their 52-week lows.
Exxon Mobil Corp. (XOM, Financial) Reached the 52-Week Low of $60.46
The prices of Exxon Mobil Corp. (XOM) shares have declined to close to the 52-week low of $60.46, which is 22.4% off the 52-week high of $76.47. Exxon Mobil Corp. is owned by 35 Gurus we are tracking. Among them, 20 have added to their positions during the past quarter. 8 reduced their positions.
Exxon Mobil Corporation's principal business is energy, involving exploration for, and production of, crude oil and natural gas, manufacturing of petroleum products and transportation and sale of crudeoil, natural gas and petroleum products. Exxon Mobil Corp. has a market cap of $285.45 billion; its shares were traded at around $60.46 with a P/E ratio of 13.7 and P/S ratio of 0.9. The dividend yield of Exxon Mobil Corp. stocks is 2.8%. Exxon Mobil Corp. had an annual average earning growth of 11.2% over the past 10 years. GuruFocus rated Exxon Mobil Corp. the business predictability rank of 3.5-star.
Exxon Mobil recently reported estimated results for the first quarter of 2010. The company reported earnings of $6.3 billion, compared to earnings of $4.55 billion a year ago. “ExxonMobil achieved solid results from its worldwide operations with first quarter earnings of $6.3 billion, up 38% from first quarter of last year. Our results reflect higher crude oil realizations and stronger chemical margins while the downstream industry margins remained weak.
HOTCHKIS & WILEY owns 868,995 shares as of 03/31/2010, an increase of 445.72% from the previous quarter. This position accounts for 0.38% of the $15.3 billion portfolio of HOTCHKIS & WILEY Capital Management LLC. John Rogers owns 63,470 shares as of 03/31/2010, a decrease of 70.19% of from the previous quarter. This position accounts for 0.08% of the $5.24 billion portfolio of ARIEL CAPITAL MANAGEMENT LLC. Jean-Marie Eveillard sold out his holdings in the quarter that ended on 03/31/2010. Ronald Muhlenkamp sold out his holdings in the quarter that ended on 03/31/2010.
Sell:: Vice President Alan J Kelly sold 18,359 shares of XOM stock on 03/15/2010 at the average price of 66.26, the price of the stock has decreased by 8.75% since.
China Mobile Ltd. (CHL, Financial) Reached the 52-Week Low of $46.57
The prices of China Mobile Ltd. (CHL) shares have declined to close to the 52-week low of $46.57, which is 23.3% off the 52-week high of $58.54. China Mobile Ltd. is owned by 8 Gurus we are tracking. Among them, 2 have added to their positions during the past quarter. 5 reduced their positions.
China Mobile offers mobile communications services principally using Global System for Mobile Communications, or GSM, which is a pan-European mobile telephone system based on digital transmission and mobile communications network architecture with roaming capabilities. China Mobile Ltd. has a market cap of $186.82 billion; its shares were traded at around $46.57 with and P/S ratio of 2.8. The dividend yield of China Mobile Ltd. stocks is 3.6%.
CHE recently reported its first quarter results. The company announced that its operating revenue was 109.087 billion RMB, compared to 101.269 billion RMB a year ago. EBITDA was 55.154 billion RMB, compared to 53.379 billion RMB a year ago.
Kenneth Fisher owns 5,700,873 shares as of 03/31/2010, which accounts for 0.83% of the $33.01 billion portfolio of Fisher Asset Management, LLC.
AT&T Inc. (T, Financial) Reached the 52-Week Low of $24.3
The prices of AT&T Inc. (T) shares have declined to close to the 52-week low of $24.3, which is 18.2% off the 52-week high of $28.58. AT&T Inc. is owned by 23 Gurus we are tracking. Among them, 6 have added to their positions during the past quarter. 15 reduced their positions.
AT&T Inc. is a premier communications holding company. At&t Inc. has a market cap of $143.42 billion; its shares were traded at around $24.3 with a P/E ratio of 11.1 and P/S ratio of 1.2. The dividend yield of At&t Inc. stocks is 7%. At&t Inc. had an annual average earning growth of 2.8% over the past 10 years.
AT&T recently reported strong first-quarter results highlighted by rapid growth in mobile broadband, further expansion of AT&T U-verse services and continued solid gains in IP-based and strategic business services for the first quarter of 2010. The company annoucned earnings per share of 42 cents and $30.6 billion in consolidated revenues.
Mark Hillman owns 815,964 shares as of 03/31/2010, which accounts for 3.92% of the $538 million portfolio of Hillman Capital Management. Kenneth Fisher owns 22,168 shares as of 03/31/2010, a decrease of 29.18% of from the previous quarter. This position accounts for less than 0.01% of the $33.01 billion portfolio of Fisher Asset Management, LLC. Jean-Marie Eveillard sold out his holdings in the quarter that ended on 03/31/2010. Ruane Cunniff sold out his holdings in the quarter that ended on 03/31/2010.
Sell:: Pres. and CEO, AT&T Oprs. John T Stankey sold 30,000 shares of T stock on 02/02/2010 at the average price of 25.74, the price of the stock has decreased by 5.59% since.
BP p.l.c. (BP, Financial) Reached the 52-Week Low of $42.95
The prices of BP p.l.c. (BP) shares have declined to close to the 52-week low of $42.95, which is 32.8% off the 52-week high of $62.32. BP p.l.c. is owned by 17 Gurus we are tracking. Among them, 8 have added to their positions during the past quarter. 6 reduced their positions.
BP p.l.c. is the holding company of one of the world's largest petroleum and petrochemicals groups. Bp P.l.c. has a market cap of $134.18 billion; its shares were traded at around $42.95 with a P/E ratio of 7.5 and P/S ratio of 0.5. The dividend yield of Bp P.l.c. stocks is 7.8%. Bp P.l.c. had an annual average earning growth of 20.3% over the past 10 years. GuruFocus rated Bp P.l.c. the business predictability rank of 3-star.
BP recently reported its first quarter 2010 results. The company announced that its net profit for the first quarter of 2010 was $6.1 billion. Frst-quarter replacement cost profit was $5,598 million, compared with $2,387 million a year ago, an increase of 135%.
John Keeley bought 11,058 shares in the quarter that ended on 03/31/2010, which is 0.01% of the $6.62 billion portfolio of Keeley Fund Management. John Hussman bought 1,200 shares in the quarter that ended on 03/31/2010, which is less than 0.01% of the $5.67 billion portfolio of Hussman Economtrics Advisors, Inc.. David Dreman sold out his holdings in the quarter that ended on 03/31/2010.
Toyota Motor Corp. (TM, Financial) Reached the 52-Week Low of $72.34
The prices of Toyota Motor Corp. (TM) shares have declined to close to the 52-week low of $72.34, which is 22.0% off the 52-week high of $91.78. Toyota Motor Corp. is owned by 7 Gurus we are tracking. Among them, 3 have added to their positions during the past quarter. 3 reduced their positions.
Toyota Motor Corporation produces, sells, leases, and repairs passenger cars, trucks, buses, boats, airplanes and other products in Japan and most foreign countries. Toyota Motor Corp. has a market cap of $113.43 billion; its shares were traded at around $72.34 with and P/S ratio of 0.6. The dividend yield of Toyota Motor Corp. stocks is 1.2%.
Toyota recently reported its first quarter 2010 results. On a consolidated basis, net revenues for the fiscal year ended March 31, 2010 totaled 18.95 trillion yen, a decrease of 7.7 percent compared to the last fiscal year. Operating income increased from a loss of 461 billion yen to 147.5 billion yen, and income before income taxes, minority interest and equity in earnings of affiliated companies was 291.4 billion yen. Net income increased from a loss of 437 billion yen to 209.4 billion yen.
Daniel Loeb bought 400,000 shares in the quarter that ended on 03/31/2010, which is 2.29% of the $1.41 billion portfolio of Third Point, LLC. Charles Brandes owns 1,689,501 shares as of 03/31/2010, which accounts for 0.73% of the $18.64 billion portfolio of Brandes Investment.
John Rogers owns 37,500 shares as of 03/31/2010, a decrease of 63.14% of from the previous quarter. This position accounts for 0.06% of the $5.24 billion portfolio of ARIEL CAPITAL MANAGEMENT LLC.
Exxon Mobil Corp. (XOM, Financial) Reached the 52-Week Low of $60.46
The prices of Exxon Mobil Corp. (XOM) shares have declined to close to the 52-week low of $60.46, which is 22.4% off the 52-week high of $76.47. Exxon Mobil Corp. is owned by 35 Gurus we are tracking. Among them, 20 have added to their positions during the past quarter. 8 reduced their positions.
Exxon Mobil Corporation's principal business is energy, involving exploration for, and production of, crude oil and natural gas, manufacturing of petroleum products and transportation and sale of crudeoil, natural gas and petroleum products. Exxon Mobil Corp. has a market cap of $285.45 billion; its shares were traded at around $60.46 with a P/E ratio of 13.7 and P/S ratio of 0.9. The dividend yield of Exxon Mobil Corp. stocks is 2.8%. Exxon Mobil Corp. had an annual average earning growth of 11.2% over the past 10 years. GuruFocus rated Exxon Mobil Corp. the business predictability rank of 3.5-star.
Exxon Mobil recently reported estimated results for the first quarter of 2010. The company reported earnings of $6.3 billion, compared to earnings of $4.55 billion a year ago. “ExxonMobil achieved solid results from its worldwide operations with first quarter earnings of $6.3 billion, up 38% from first quarter of last year. Our results reflect higher crude oil realizations and stronger chemical margins while the downstream industry margins remained weak.
HOTCHKIS & WILEY owns 868,995 shares as of 03/31/2010, an increase of 445.72% from the previous quarter. This position accounts for 0.38% of the $15.3 billion portfolio of HOTCHKIS & WILEY Capital Management LLC. John Rogers owns 63,470 shares as of 03/31/2010, a decrease of 70.19% of from the previous quarter. This position accounts for 0.08% of the $5.24 billion portfolio of ARIEL CAPITAL MANAGEMENT LLC. Jean-Marie Eveillard sold out his holdings in the quarter that ended on 03/31/2010. Ronald Muhlenkamp sold out his holdings in the quarter that ended on 03/31/2010.
Sell:: Vice President Alan J Kelly sold 18,359 shares of XOM stock on 03/15/2010 at the average price of 66.26, the price of the stock has decreased by 8.75% since.
China Mobile Ltd. (CHL, Financial) Reached the 52-Week Low of $46.57
The prices of China Mobile Ltd. (CHL) shares have declined to close to the 52-week low of $46.57, which is 23.3% off the 52-week high of $58.54. China Mobile Ltd. is owned by 8 Gurus we are tracking. Among them, 2 have added to their positions during the past quarter. 5 reduced their positions.
China Mobile offers mobile communications services principally using Global System for Mobile Communications, or GSM, which is a pan-European mobile telephone system based on digital transmission and mobile communications network architecture with roaming capabilities. China Mobile Ltd. has a market cap of $186.82 billion; its shares were traded at around $46.57 with and P/S ratio of 2.8. The dividend yield of China Mobile Ltd. stocks is 3.6%.
CHE recently reported its first quarter results. The company announced that its operating revenue was 109.087 billion RMB, compared to 101.269 billion RMB a year ago. EBITDA was 55.154 billion RMB, compared to 53.379 billion RMB a year ago.
Kenneth Fisher owns 5,700,873 shares as of 03/31/2010, which accounts for 0.83% of the $33.01 billion portfolio of Fisher Asset Management, LLC.
AT&T Inc. (T, Financial) Reached the 52-Week Low of $24.3
The prices of AT&T Inc. (T) shares have declined to close to the 52-week low of $24.3, which is 18.2% off the 52-week high of $28.58. AT&T Inc. is owned by 23 Gurus we are tracking. Among them, 6 have added to their positions during the past quarter. 15 reduced their positions.
AT&T Inc. is a premier communications holding company. At&t Inc. has a market cap of $143.42 billion; its shares were traded at around $24.3 with a P/E ratio of 11.1 and P/S ratio of 1.2. The dividend yield of At&t Inc. stocks is 7%. At&t Inc. had an annual average earning growth of 2.8% over the past 10 years.
AT&T recently reported strong first-quarter results highlighted by rapid growth in mobile broadband, further expansion of AT&T U-verse services and continued solid gains in IP-based and strategic business services for the first quarter of 2010. The company annoucned earnings per share of 42 cents and $30.6 billion in consolidated revenues.
Mark Hillman owns 815,964 shares as of 03/31/2010, which accounts for 3.92% of the $538 million portfolio of Hillman Capital Management. Kenneth Fisher owns 22,168 shares as of 03/31/2010, a decrease of 29.18% of from the previous quarter. This position accounts for less than 0.01% of the $33.01 billion portfolio of Fisher Asset Management, LLC. Jean-Marie Eveillard sold out his holdings in the quarter that ended on 03/31/2010. Ruane Cunniff sold out his holdings in the quarter that ended on 03/31/2010.
Sell:: Pres. and CEO, AT&T Oprs. John T Stankey sold 30,000 shares of T stock on 02/02/2010 at the average price of 25.74, the price of the stock has decreased by 5.59% since.
BP p.l.c. (BP, Financial) Reached the 52-Week Low of $42.95
The prices of BP p.l.c. (BP) shares have declined to close to the 52-week low of $42.95, which is 32.8% off the 52-week high of $62.32. BP p.l.c. is owned by 17 Gurus we are tracking. Among them, 8 have added to their positions during the past quarter. 6 reduced their positions.
BP p.l.c. is the holding company of one of the world's largest petroleum and petrochemicals groups. Bp P.l.c. has a market cap of $134.18 billion; its shares were traded at around $42.95 with a P/E ratio of 7.5 and P/S ratio of 0.5. The dividend yield of Bp P.l.c. stocks is 7.8%. Bp P.l.c. had an annual average earning growth of 20.3% over the past 10 years. GuruFocus rated Bp P.l.c. the business predictability rank of 3-star.
BP recently reported its first quarter 2010 results. The company announced that its net profit for the first quarter of 2010 was $6.1 billion. Frst-quarter replacement cost profit was $5,598 million, compared with $2,387 million a year ago, an increase of 135%.
John Keeley bought 11,058 shares in the quarter that ended on 03/31/2010, which is 0.01% of the $6.62 billion portfolio of Keeley Fund Management. John Hussman bought 1,200 shares in the quarter that ended on 03/31/2010, which is less than 0.01% of the $5.67 billion portfolio of Hussman Economtrics Advisors, Inc.. David Dreman sold out his holdings in the quarter that ended on 03/31/2010.
Toyota Motor Corp. (TM, Financial) Reached the 52-Week Low of $72.34
The prices of Toyota Motor Corp. (TM) shares have declined to close to the 52-week low of $72.34, which is 22.0% off the 52-week high of $91.78. Toyota Motor Corp. is owned by 7 Gurus we are tracking. Among them, 3 have added to their positions during the past quarter. 3 reduced their positions.
Toyota Motor Corporation produces, sells, leases, and repairs passenger cars, trucks, buses, boats, airplanes and other products in Japan and most foreign countries. Toyota Motor Corp. has a market cap of $113.43 billion; its shares were traded at around $72.34 with and P/S ratio of 0.6. The dividend yield of Toyota Motor Corp. stocks is 1.2%.
Toyota recently reported its first quarter 2010 results. On a consolidated basis, net revenues for the fiscal year ended March 31, 2010 totaled 18.95 trillion yen, a decrease of 7.7 percent compared to the last fiscal year. Operating income increased from a loss of 461 billion yen to 147.5 billion yen, and income before income taxes, minority interest and equity in earnings of affiliated companies was 291.4 billion yen. Net income increased from a loss of 437 billion yen to 209.4 billion yen.
Daniel Loeb bought 400,000 shares in the quarter that ended on 03/31/2010, which is 2.29% of the $1.41 billion portfolio of Third Point, LLC. Charles Brandes owns 1,689,501 shares as of 03/31/2010, which accounts for 0.73% of the $18.64 billion portfolio of Brandes Investment.
John Rogers owns 37,500 shares as of 03/31/2010, a decrease of 63.14% of from the previous quarter. This position accounts for 0.06% of the $5.24 billion portfolio of ARIEL CAPITAL MANAGEMENT LLC.