CAH underperformed the S&P 500 by 37.12%. The company has market cap of $24.54 billion. The institutional investor held 7,785 shares of the health care company at the end of 2017Q4, valued at $477,000, down from 13,663 at the end of the previous reported quarter. The company had revenue of $35.19 billion during the quarter, compared to analysts' expectations of $34.63 billion. The stock decreased 4.86% or $0.87 during the last trading session, reaching $17.03. Its EPS was $2.92 while outstanding shares of the company were 323.93M. It has outperformed by 161.53% the S&P500. Geode Cap Management owns 3.45M shares or 0.07% of their United States portfolio. (NYSE:CAH) or 57,082 shares. Cardinal Health earned a daily sentiment score of 0.16 on Accern's scale. That's change of 0.15, from 2017Q3's 0.9. 65 funds opened positions while 173 raised stakes. The company reported $1.31 earnings per share for the quarter, topping analysts' consensus estimates of $1.14 by $0.17. Acadian Asset Mgmt Llc holds 0% of its portfolio in Cardinal Health, Inc. American International Group Inc. lifted its stake in shares of Cardinal Health by 5,859.3% in the 4th quarter. Deutsche Bancshares Ag holds 0% of its portfolio in Neptune Technologies & Bioressources Inc.
Based on recent analysis, Cardinal Health, Inc. (NYSE:CAH) for 88 shares. (CAH) stake by 95.18% reported in 2017Q4 SEC filing. Cardinal Health, Inc. (CAH) has declined 25.57% since April 25, 2017 and is downtrending. Hanson Mcclain owns 0% invested in Cardinal Health, Inc. (NYSE:CAH) for 239,156 shares. On Wednesday, January 24 Mizuho maintained Cardinal Health, Inc. (NYSE:CAH) was sold by MORRISON PATRICIA. 1St Source Bancshares stated it has 0.14% of its portfolio in Cardinal Health, Inc. (NYSE:CAH) for 1,860 shares.
Since January 22, 2018, it had 0 insider purchases, and 3 insider sales for $3.82 million activity.
In other news, CEO Jon L. Giacomin sold 7,995 shares of the company's stock in a transaction that occurred on Tuesday, February 20th.
Cardinal Health, Inc operates as an integrated healthcare services and products company worldwide. The firm is expected to issue its next quarterly earnings results before the market opens on Thursday, May 3rd. CAH's profit would be $475.20 million giving it 10.32 P/E if the $1.51 EPS is correct. Wall Street forecasts 15.27 % EPS growth as of May, 3.
Among 20 analysts covering Cardinal Health (NYSE:CAH), 4 have Buy rating, 2 Sell and 14 Hold. Therefore 38% are positive. Swatch had 4 analyst reports since October 28, 2015 according to SRatingsIntel. Evercore ISI started coverage on shares of Cardinal Health in a research note on Thursday, January 4th. (NYSE:CAH) rating on Tuesday, November 3.
On 8/8/2016 NYSE:CAH - Cardinal Health announced a quarterly dividend of $0.4489 2.14% with an ex dividend date of 9/29/2016 which will be payable on 10/15/2016. The rating was upgraded by Cowen & Co on Tuesday, October 10 to "Buy". In Tuesday, October 24 report Mizuho maintained it with "Hold" rating and $70.0 target. Leerink Swann downgraded the shares of CAH in report on Wednesday, December 21 to "Mkt Perform" rating. Jefferies maintained it with "Hold" rating and $72.0 target in Friday, February 9 report. Parallax Volatility Advisers Lp stated it has 0% in Cardinal Health, Inc. (NYSE:CAH). State Street holds 16.96 million shares. Credit Suisse has "Buy" rating and $8100 target. The rating was downgraded by KLR Group on Tuesday, January 19 to "Hold". On Wednesday, August 26 the stock rating was maintained by William Blair with "Buy". Qci Asset Ny reported 15 shares. Perhaps most importantly where cash movements are concerned, the company saw about 279 million in net operating cash flow. (CAH)'s stock declined 2.03%.
Investors sentiment increased to 1.67 in Q4 2017. Its up 0.11, from 0.77 in 2017Q3. It is positive, as 50 investors sold AAPL shares while 1023 reduced holdings. 145 funds opened positions while 589 raised stakes.
Foster & Motley Inc, which manages about $913.18 million and $625.77M US Long portfolio, upped its stake in Ishares Mbs Bond Etf (MBB) by 3,741 shares to 49,286 shares, valued at $5.25M in 2017Q4, according to the filing. (NYSE:KBR) is 0.129957. Leverage ratio is the total debt of a company divided by total assets of the current and past year divided by two. Sg Americas Securities Ltd Llc invested in 791,035 shares or 1.27% of the stock. (NASDAQ:AAPL). Front Barnett Ltd holds 279,182 shares or 7.84% of its portfolio. (NASDAQ:NEPT). Millennium Mngmt Limited Liability Co has 12,300 shares for 0% of their portfolio. Tower Rech Cap Ltd Company (Trc) accumulated 0.02% or 2,477 shares. Instead, they should also do their own research-such as reading the prospectus for new companies or for public companies, the quarterly and annual reports filed with the SEC-to confirm whether a particular investment is appropriate for them in light of their individual financial circumstances. Hall Laurie J Trustee reported 0.12% of its portfolio in McDonald's Corporation (NYSE:MCD). Wendell David Assoc invested in 2.37% or 80,260 shares. Mcdonald Cap Ca owns 715,615 shs. The current ratio, also known as the working capital ratio, is a liquidity ratio that displays the proportion of current assets of a business relative to the current liabilities. Aviance Prtn Limited Liability Com holds 0.17% or 8,178 shares.
Among 38 analysts covering Cisco Systems Inc. They expect $1.51 EPS, down 1.31% or $0.02 from last year's $1.53 per share. AAPL's profit will be $13.75 billion for 15.15 P/E if the $2.71 EPS becomes a reality. Analyst established EPS growth expected to grow of -6.90% for this year and EPS growth for next year is likely to attain at 12.27%.
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