Stifel Financial Has Lifted Bofi Hldg (BOFI) Stake By $624,428; Bronson Point Management Has Boosted Its Colgate Palmolive Co (CL) Stake

February 17, 2018 - By Clifton Ray

Stifel Financial Corp increased Bofi Hldg Inc (BOFI) stake by 9.95% reported in 2017Q3 SEC filing. Stifel Financial Corp acquired 22,301 shares as Bofi Hldg Inc (BOFI)’s stock declined 24.36%. The Stifel Financial Corp holds 246,488 shares with $7.00 million value, up from 224,187 last quarter. Bofi Hldg Inc now has $2.40B valuation. The stock increased 2.32% or $0.87 during the last trading session, reaching $38.38. About 898,753 shares traded or 28.39% up from the average. BofI Holding, Inc. (NASDAQ:BOFI) has risen 28.16% since February 17, 2017 and is uptrending. It has outperformed by 11.46% the S&P500.

Bronson Point Management Llc increased Colgate Palmolive Co (CL) stake by 222.22% reported in 2017Q3 SEC filing. Bronson Point Management Llc acquired 50,000 shares as Colgate Palmolive Co (CL)’s stock rose 3.95%. The Bronson Point Management Llc holds 72,500 shares with $5.28 million value, up from 22,500 last quarter. Colgate Palmolive Co now has $62.75B valuation. The stock increased 0.34% or $0.24 during the last trading session, reaching $71.46. About 4.42 million shares traded or 17.45% up from the average. Colgate-Palmolive Company (NYSE:CL) has risen 6.23% since February 17, 2017 and is uptrending. It has underperformed by 10.47% the S&P500.




Investors sentiment decreased to 0.98 in 2017 Q3. Its down 0.10, from 1.08 in 2017Q2. It is negative, as 12 investors sold BOFI shares while 72 reduced holdings. 34 funds opened positions while 48 raised stakes. 51.41 million shares or 4.88% less from 54.04 million shares in 2017Q2 were reported. Dreman Value Management L L C reported 12,534 shares. Voya Inv Management Limited Liability Corp invested in 0.01% or 111,481 shares. Stevens Capital Management Ltd Partnership reported 50,655 shares or 0.05% of all its holdings. Barclays Public Limited Liability Co holds 0% in BofI Holding, Inc. (NASDAQ:BOFI) or 42,522 shares. Oppenheimer Asset Mngmt owns 1,330 shares. Tiverton Asset Mngmt Lc has 0.38% invested in BofI Holding, Inc. (NASDAQ:BOFI) for 236,421 shares. Texas Permanent School Fund stated it has 40,862 shares or 0.01% of all its holdings. Moreover, Louisiana State Employees Retirement has 0.03% invested in BofI Holding, Inc. (NASDAQ:BOFI) for 22,700 shares. Thrivent For Lutherans invested in 0% or 34,030 shares. Natixis owns 8,391 shares. Fred Alger Management Incorporated holds 0.16% or 1.17 million shares in its portfolio. Creative Planning reported 100,040 shares. Parallax Volatility Advisers Lp invested 0% in BofI Holding, Inc. (NASDAQ:BOFI). Prudential Public Ltd Liability Corporation reported 810,000 shares stake. Principal Gru owns 422,108 shares.

Among 8 analysts covering Bofl Holding Inc (NASDAQ:BOFI), 6 have Buy rating, 0 Sell and 2 Hold. Therefore 75% are positive. Bofl Holding Inc had 21 analyst reports since August 5, 2015 according to SRatingsIntel. Sandler O’Neill maintained the shares of BOFI in report on Tuesday, January 9 with “Buy” rating. Raymond James upgraded it to “Strong Buy” rating and $145 target in Friday, September 4 report. The stock has “Hold” rating by Keefe Bruyette & Woods on Thursday, December 21. The rating was downgraded by Wood on Monday, October 9 to “Market Perform”. FBR Capital maintained BofI Holding, Inc. (NASDAQ:BOFI) on Wednesday, January 31 with “Buy” rating. The stock of BofI Holding, Inc. (NASDAQ:BOFI) earned “Buy” rating by Sandler O’Neill on Thursday, October 15. DA Davidson downgraded the shares of BOFI in report on Thursday, August 6 to “Neutral” rating. The firm has “Buy” rating given on Thursday, February 1 by Stephens. As per Monday, October 9, the company rating was downgraded by Keefe Bruyette & Woods. The firm has “Buy” rating given on Thursday, October 15 by DA Davidson.

Stifel Financial Corp decreased Regions Finl Corp New (NYSE:RF) stake by 103,735 shares to 1.75M valued at $26.61 million in 2017Q3. It also reduced Annaly Cap Mgmt Inc (NYSE:NLY) stake by 99,524 shares and now owns 1.53 million shares. Archer Daniels Midland Co (NYSE:ADM) was reduced too.

Bronson Point Management Llc decreased Bank Amer Corp (NYSE:BAC) stake by 50,000 shares to 100,000 valued at $2.53 million in 2017Q3. It also reduced Mondelez Intl Inc (NASDAQ:MDLZ) stake by 10,000 shares and now owns 50,000 shares. Alcoa Corp was reduced too.

Since August 15, 2017, it had 0 insider buys, and 7 insider sales for $23.58 million activity. The insider HANCOCK ELLEN M sold $346,581. Daniels Jennifer sold $539,694 worth of stock or 7,375 shares. MOISON FRANCK J sold $10.02 million worth of Colgate-Palmolive Company (NYSE:CL) on Monday, February 5. 36,215 shares were sold by JAKOBSEN HENNING I, worth $2.58 million. $9.32 million worth of Colgate-Palmolive Company (NYSE:CL) was sold by Wallace Noel R.. $273,868 worth of Colgate-Palmolive Company (NYSE:CL) was sold by Verduin Patricia. 14,000 shares were sold by Marsili Daniel B, worth $1.00 million.

Among 25 analysts covering Colgate-Palmolive (NYSE:CL), 6 have Buy rating, 1 Sell and 18 Hold. Therefore 24% are positive. Colgate-Palmolive had 65 analyst reports since July 21, 2015 according to SRatingsIntel. Goldman Sachs upgraded the shares of CL in report on Monday, May 2 to “Neutral” rating. The rating was downgraded by Sterne Agee CRT on Friday, February 26 to “Neutral”. The rating was upgraded by BNP Paribas to “Outperform” on Tuesday, February 21. The rating was maintained by Jefferies with “Hold” on Thursday, July 6. The rating was downgraded by Societe Generale to “Sell” on Wednesday, November 29. RBC Capital Markets maintained the stock with “Hold” rating in Friday, November 10 report. The rating was initiated by Atlantic Securities on Wednesday, January 6 with “Overweight”. The company was downgraded on Monday, January 4 by RBC Capital Markets. The company was downgraded on Monday, January 30 by Citigroup. The firm has “Hold” rating by RBC Capital Markets given on Friday, May 26.

Investors sentiment is 0.9 in 2017 Q3. Its the same as in 2017Q2. It has no change, as 52 investors sold CL shares while 437 reduced holdings. only 92 funds opened positions while 350 raised stakes. 617.24 million shares or 0.04% less from 617.46 million shares in 2017Q2 were reported. Joel Isaacson And Com Lc holds 0.16% of its portfolio in Colgate-Palmolive Company (NYSE:CL) for 12,092 shares. Tower Bridge Advsr owns 95,760 shares. Tompkins Financial Corporation has 1,642 shares for 0.03% of their portfolio. Pettyjohn Wood & White invested in 3,086 shares or 0.08% of the stock. Barclays Public Ltd Limited Liability Company, United Kingdom-based fund reported 677,024 shares. Whittier Co Of Nevada invested 0.18% in Colgate-Palmolive Company (NYSE:CL). Fox Point Management Lc, New York-based fund reported 30,000 shares. First Allied Advisory Ser stated it has 0.21% of its portfolio in Colgate-Palmolive Company (NYSE:CL). Bsw Wealth Prtn owns 3,773 shares for 0.12% of their portfolio. Prudential Public Limited Company owns 663,238 shares for 0.15% of their portfolio. 7,032 are owned by Pax Mngmt Limited Co. South Dakota Invest Council holds 0.02% or 13,700 shares in its portfolio. Braun Stacey Assoc stated it has 0.34% in Colgate-Palmolive Company (NYSE:CL). Private Asset holds 1.72% of its portfolio in Colgate-Palmolive Company (NYSE:CL) for 10,647 shares. Coldstream Cap Management Inc accumulated 3,297 shares.

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