Here we discussed analysts opinions what they said about Coca-Cola Company (KO) One Month Ago. (NYSE:CAG) is projected at -22.8 percent in the Current Quarter and -25 percent in the Next Quarter, according to analysts.
In related news, VP Kathy N. Waller sold 36,342 shares of the company's stock in a transaction on Thursday, November 3rd. Callahan Advisors LLC raised its position in shares of Coca-Cola Company (The) by 5.1% in the second quarter. Northern Trust Corp boosted its position in Coca-Cola Company (The) by 3.5% in the third quarter. Relative Strength Index (RSI) was 44.47. Total debt to equity ratio of the company for most recent quarter is 1.81 while Long term debt to equity ratio for same time period is 1.21. The Coca-Cola Co (NYSE:KO)'s price to free cash flow for trailing twelve months is 90.42. MSI Financial Services Inc now owns 191,467 shares of the company's stock worth $8,679,000 after buying an additional 11,988 shares during the period. Following the completion of the sale, the vice president now owns 104,345 shares in the company, valued at approximately $4,388,750.70.
Shares of Coca-Cola European Partners Plc (NYSE:CCE) surged 0.60% to $35.33. The corporation has a market cap of US$177.31 Billion. The stock's current distance from 20-Day Simple Moving Average (SMA20) is -0.51% where SMA50 and SMA200 are -0.35% and -3.11% respectively.
Coca-Cola Co. has a 1-year low of $39.88 and a 1-year high of $47.13.
The Coca-Cola Company (NYSE:KO) will report its next earnings on 9-Feb-17. In last quarter ended 2016-12-31, The Coca-Cola Co earnings came at $0.37 suggesting a deviation of 0.01. The business had revenue of $9.40 billion for the quarter, compared to analysts' expectations of $9.21 billion.
ConAgra Foods, Inc. (NYSE:CAG) shows its Return on Assets (ROA) value of 4.9 percent, while the Return on Equity (ROE) value is 16.1 percent and Return on Investment (ROI) value stands at 7.3 percent.
Meanwhile, a move to smaller pack sizes for sparkling beverages has also seen returns, with sales in the final quarter of previous year up 10% in the US, Quincey said.
The Coca-Cola Company (NYSE:KO) reported its previous quarter on 10/26/2016 where it reported the Actual Earnings of $0.49.
"WARNING: "[[title]]" was first published by [[site]] and is the sole property of of [[site]]. If you are reading this story on another site, it was illegally copied and reposted in violation of USA & worldwide copyright & trademark law. The correct version of this piece can be viewed at https://www.thecerbatgem.com/2017/02/12/usca-ria-llc-has-2702000-stake-in-coca-cola-company-the-ko.html.
A number of other institutional investors have also recently modified their holdings of the stock. BMO Capital Markets restated a "buy" rating and set a $45.00 price objective on shares of Coca-Cola Company (The) in a research note on Friday.
On Thursday, Shares of The Coca-Cola Co (NYSE:KO) lost -1.83% to $41.25. The stock has an operating margin of 20.70% and a net profit margin of 17.00% This appreciation has taken its price 3.44% above the 52-week low. Finally, Goldman Sachs Group, Inc. Finally, Morningstar, Inc. reiterated a "buy" rating on shares of Coca-Cola Company (The) in a report on Friday, December 9th. Rating Scale; where 1.0 rating means Strong Buy, 2.0 rating signify Buy, 3.0 recommendation reveals Hold, 4.0 rating score shows Sell and 5.0 displays Strong Sell signal.
Coca-Cola has been offloading much of its low-margin bottling business to cope with falling demand for carbonated beverages in North America.
Global sales volume dipped 1 percent, with a 4 percent drop in Latin America and 1 percent increases in both North America and Europe. It markets, manufactures and sells beverage concentrates referred to as beverage bases, and syrups, including fountain syrups (concentrate business or concentrate operations), and finished sparkling and still beverages (finished product business or finished product operations).