Active Stocks to Watch : Corning Inc. (NYSE:GLW), KeyCorp. (NYSE:KEY), Yingli Green Energy Holding Co. Ltd. (NYSE:YGE), Nomura Holdings, Inc. (NYSE:NMR), AGCO

Technology Stocks News 6

Corning Inc. (NYSE:GLW) has received an “A-” credit rating from analysts at Morningstar. The firm’s “A-” rating suggests that the company is a low default risk. They also gave their stock a three star rating. Corning Inc. (NYSE:GLW) belongs to Technology sector. Its net profit margin is 14.30% and weekly performance is 4.84%. On last trading day company shares ended up $18.41. Corning Inc. (NYSE:GLW) distance from 50-day simple moving average (SMA50) is -7.17%.

KeyCorp (NYSE:KEY) CEO Beth E. Mooney purchased 20,000 shares of the company’s stock in a transaction that occurred on Friday, October 17th. The stock was purchased at an average cost of $12.32 per share, with a total value of $246,400.00. Following the transaction, the chief executive officer now directly owns 423,748 shares of the company’s stock, valued at approximately $5,220,575. KeyCorp. (NYSE:KEY) shares moved down -0.40% in last trading session and ended the day at $12.58. KEY return on assets is 1.00%. KeyCorp. (NYSE:KEY) quarterly performance is -8.04%.

Yingli Green Energy Holding Co. Ltd. (NYSE:YGE) announced that the Company has successfully completed its fifth annual global investor day in Las Vegas, Nevada, USA, on Tuesday, October 21st, 2014. Yingli Green Energy Holding Co. Ltd. (NYSE:YGE) belongs to Technology sector. Its net profit margin is -12.20% and weekly performance is 5.99%. On last trading day company shares ended up $2.83. Yingli Green Energy Holding Co. Ltd. (NYSE:YGE) distance from 50-day simple moving average (SMA50) is -15.29%.

On Oct 16, UBS AG (UBSN) and Nomura Holdings, Inc. (NYSE:NMR) were sued by a Japanese school operator for 8.8 billion yen ($83 million) in compensation for losses on derivative transactions. Nomura Holdings, Inc. (NYSE:NMR) ended the last trading day at $5.55. Company weekly volatility is calculated as 1.72% and price to cash ratio as 1.07. Nomura Holdings, Inc. (NYSE:NMR) showed a weekly performance of 2.02%.

On Oct 14, AGCO Corporation (NYSE:AGCO), announced its 2014 Third Quarter Earnings Release Conference Call is scheduled for Tuesday, October 28th at 10:00 a.m. EDT. AGCO Corporation (NYSE:AGCO) shares moved down -1.61% in last trading session and ended the day at $43.98. AGCO Gross Margin is 22.00% and its return on assets is 6.40%. AGCO Corporation (NYSE:AGCO) quarterly performance is -16.83%.

Signup for free to be the first to receive exclusive free links. Now in your mailbox!
Join over 15,000 subscribers
Send me links

Your information will not be shared to anyone