Cogint, Inc. (COGT) Reaches $3.13 After 9.00% Down Move; Lombard Odier Asset Management Europe LTD Has Boosted Visa (Call) (V) Stake By $4.73 Million

February 15, 2018 - By Stephen Andrade

The stock of Cogint, Inc. (NASDAQ:COGT) is a huge mover today! The stock decreased 6.46% or $0.2165 during the last trading session, reaching $3.1335. About 266,623 shares traded. Cogint, Inc. (NASDAQ:COGT) has risen 5.58% since February 15, 2017 and is uptrending. It has underperformed by 11.12% the S&P500.The move comes after 8 months negative chart setup for the $205.33 million company. It was reported on Feb, 15 by Barchart.com. We have $2.85 PT which if reached, will make NASDAQ:COGT worth $18.48M less.

Lombard Odier Asset Management Europe Ltd increased Visa Inc (Call) (V) stake by 9900% reported in 2017Q3 SEC filing. Lombard Odier Asset Management Europe Ltd acquired 45,045 shares as Visa Inc (Call) (V)’s stock rose 5.74%. The Lombard Odier Asset Management Europe Ltd holds 45,500 shares with $4.79M value, up from 455 last quarter. Visa Inc (Call) now has $273.19 billion valuation. The stock increased 0.35% or $0.42 during the last trading session, reaching $121.04. About 3.90M shares traded. Visa Inc. (NYSE:V) has risen 20.29% since February 15, 2017 and is uptrending. It has outperformed by 3.59% the S&P500.

Investors sentiment decreased to 1 in 2017 Q3. Its down 0.13, from 1.13 in 2017Q2. It turned negative, as 48 investors sold V shares while 617 reduced holdings. 142 funds opened positions while 524 raised stakes. 1.64 billion shares or 1.45% less from 1.66 billion shares in 2017Q2 were reported. Highstreet Asset invested in 1,811 shares. Quantitative Systematic Strategies Ltd Liability holds 19,762 shares. Davis R M owns 323,987 shares or 1.41% of their US portfolio. Moreover, Fairfield Bush & has 0.07% invested in Visa Inc. (NYSE:V). Callahan Advsrs Limited Liability Company invested in 0.18% or 7,977 shares. Mercer Cap Advisers invested in 0.1% or 1,257 shares. Spinnaker Tru holds 33,025 shares. Banque Pictet Cie Sa holds 690,920 shares or 1.65% of its portfolio. Bell National Bank holds 0.09% or 2,787 shares. United States Steel And Carnegie Pension Fund has invested 1.97% in Visa Inc. (NYSE:V). Glovista Invs Limited Liability invested in 0.2% or 9,840 shares. The Massachusetts-based Family Capital Tru Company has invested 2.93% in Visa Inc. (NYSE:V). Moreover, Violich has 5.39% invested in Visa Inc. (NYSE:V) for 187,527 shares. Beaumont Fin Prns Ltd invested in 1.87% or 142,433 shares. State Street has 0.72% invested in Visa Inc. (NYSE:V) for 78.96 million shares.

Since August 17, 2017, it had 0 buys, and 2 selling transactions for $6.36 million activity. 10,400 shares valued at $1.07M were sold by CRANSTON MARY B on Thursday, August 17. Another trade for 6,220 shares valued at $707,561 was made by MATSCHULLAT ROBERT W on Wednesday, December 13. MAHON TULLIER KELLY had sold 49,702 shares worth $5.65M on Friday, December 15.

Among 42 analysts covering Visa Inc. (NYSE:V), 34 have Buy rating, 0 Sell and 8 Hold. Therefore 81% are positive. Visa Inc. had 125 analyst reports since July 21, 2015 according to SRatingsIntel. The stock has “Overweight” rating by Barclays Capital on Thursday, October 26. BMO Capital Markets maintained it with “Buy” rating and $148.0 target in Friday, February 2 report. Keefe Bruyette & Woods maintained it with “Buy” rating and $111.0 target in Tuesday, September 12 report. As per Tuesday, September 1, the company rating was upgraded by Vetr. The stock has “Buy” rating by Cowen & Co on Friday, July 14. The rating was upgraded by Wells Fargo to “Buy” on Tuesday, October 10. The firm has “Buy” rating given on Friday, July 21 by Cowen & Co. Cantor Fitzgerald initiated it with “Buy” rating and $120.0 target in Thursday, September 28 report. UBS initiated Visa Inc. (NYSE:V) rating on Wednesday, December 16. UBS has “Buy” rating and $90 target. Oppenheimer maintained Visa Inc. (NYSE:V) rating on Thursday, February 1. Oppenheimer has “Buy” rating and $143.0 target.

Cogint, Inc., a data and analytics company, provides cloud information and performance marketing solutions to enterprises in various industries in the United States. The company has market cap of $205.33 million. It operates in two divisions, Information Services and Performance Marketing. It currently has negative earnings. The Information Services segment provides solutions to organizations in the risk management and consumer marketing industries.

Receive News & Ratings Via Email - Enter your email address below to receive a concise daily summary of the latest news and analysts' ratings with our FREE daily email newsletter.

Free Email Newsletter

Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: