The stock's price to sales ratio for trailing twelve months is 0.52 and price to book ratio for the most recent quarter is 2.22, whereas price to cash per share for the most recent quarter are 5.15. The hedge fund run by Stephen C. Freidheim held 3.13M shares of the transportation company at the end of 2017Q4, valued at $211.21 million, up from 2.65M at the end of the previous reported quarter. The company has market cap of $19.17 billion.
The Relative Volume of the company is 1.03 and Average Volume (3 months) is 4.58 million. Evercore ISI cut shares of United Continental from an outperform rating to an in-line rating in a report on Wednesday, January 24th. (NYSE:UAL) stock has decreased in price by 0.37%. It has underperformed by 36.17% the S&P500. Wallington Asset Management Llc who had been investing in Johnson & Johnson for a number of months, seems to be bullish on the $353.47 billion market cap company. The stock increased 0.61% or $0.11 during the last trading session, reaching $18.03. However, they gained $1.89, or 2.81% in the extended session to trade at $69.23. Rockwell Collins, Inc. (NYSE:COL) has risen 39.79% since April 18, 2017 and is uptrending. It has outperformed by 7.94% the S&P500. Therefore 52% are positive. Johnson & Johnson had 95 analyst reports since August 7, 2015 according to SRatingsIntel. (UAL). Trading was heavy with 5,934,081 shares changing hands by the end of trading on Wednesday. Texas Permanent School Fund holds 0.09% of its portfolio in The Williams Companies, Inc. (NYSE:UAL) for 63,538 shares. Morgan Stanley has "Equal-Weight" rating and $72 target. The company was initiated on Monday, August 24 by Standpoint Research. Bernstein downgraded the shares of WMB in report on Tuesday, March 27 to "Market Perform" rating. The third largest holder is Vanguard Group Inc, which now holds $1.43 billion worth of this stock and that ownership represents almost 7.3% of its market capitalization. As per Wednesday, October 12, the company rating was maintained by Imperial Capital. JP Morgan maintained the stock with "Overweight" rating in Thursday, February 4 report.
Perhaps, that suggests something about why 0.69% of the outstanding share supply is held by institutional investors. Its up 0.04, from 0.83 in 2017Q3. The ratio fall due to UAL positioning: 61 sold and 193 reduced. 64 funds opened positions while 104 raised stakes. Bank Of Nova Scotia has 0.24% invested in General Electric Company (NYSE:GE) for 3.00 million shares. United Continental Holdings, Inc.'s beta is 5.10% whilst the stock has an average true range (ATR) of 24.30%.
Cambridge Investment Research Advisors Inc. grew its position in shares of United Continental Holdings (NYSE:UAL) by 86.9% in the fourth quarter, according to its most recent filing with the SEC. Huntington Bank owns 30 shares or 0% of their U.S. portfolio. Driehaus Capital Mngmt Lc holds 0.05% of its portfolio in Apple Inc. Legal General Group Public Limited Com accumulated 0.03% or 521,617 shares. 496 are held by Greenleaf Trust. About 12.77 million shares traded. Blackrock stated it has 0.06% of its portfolio in United Continental Holdings, Inc. (NYSE:UAL) has seen its SMA20 which is now 10.50%. Strategic Limited Liability Corp holds 0.6% or 21,682 shs in its capital. United Continental Holdings earned a media sentiment score of 0.37 on Alpha One's scale. Assetmark Inc reported 3,009 shs. Moreover, State Street Corporation has 0% invested in Winnebago Industries, Inc. (NYSE:WMB), 14 have Buy rating, 0 Sell and 7 Hold. (NYSE:UAL) rating on Monday, January 8. The firm has "Sell" rating by DZ Bank given on Wednesday, March 28. On Wednesday, October 18 the stock rating was maintained by Stifel Nicolaus with "Hold". The rating was maintained by Citigroup with "Neutral" on Friday, April 1. Vertical Research has "Hold" rating and $18.0 target. (NYSE:UAL) or 6,401 shares. Cowen & Co maintained Rockwell Collins, Inc. (NYSE:UAL) rating on Monday, November 13. Bb&T Llc has 0% invested in United Continental Holdings, Inc.
Investors sentiment increased to 0.87 in Q4 2017. Its down 0.05, from 0.71 in 2017Q3. Bokf Na holds 6,645 shares or 0.01% of its portfolio. Karp Capital Corp holds 8,000 shares. 52,504 were reported by Jlb & Associates Incorporated. Rbo & holds 62,229 shares or 2.65% of its portfolio. On the opposite end, shares have been trading 16.78% away from the 50-day low price. Prelude Capital Management Limited Company stated it has 145,539 shares. 20,910 were reported by Dnb Asset Management As.