Ingalls & Snyder Decreased General Mtrs Co (Call) (GM) Stake By $20.84 Million; SHIN-ETSU CHEMICAL C (SHECF) SI Decreased By 60.15%

February 15, 2018 - By Nellie Frank

SHIN-ETSU CHEMICAL C (OTCMKTS:SHECF) had a decrease of 60.15% in short interest. SHECF’s SI was 124,600 shares in February as released by FINRA. Its down 60.15% from 312,700 shares previously. With 100 avg volume, 1246 days are for SHIN-ETSU CHEMICAL C (OTCMKTS:SHECF)’s short sellers to cover SHECF’s short positions. It closed at $106.61 lastly. It is down 0.00% since February 15, 2017 and is . It has underperformed by 16.70% the S&P500.

Ingalls & Snyder Llc decreased General Mtrs Co (Call) (GM) stake by 99.69% reported in 2017Q3 SEC filing. Ingalls & Snyder Llc sold 521,012 shares as General Mtrs Co (Call) (GM)’s stock declined 12.09%. The Ingalls & Snyder Llc holds 1,600 shares with $65,000 value, down from 522,612 last quarter. General Mtrs Co (Call) now has $58.64 billion valuation. The stock increased 0.99% or $0.41 during the last trading session, reaching $41.81. About 10.27M shares traded. General Motors Company (NYSE:GM) has risen 7.92% since February 15, 2017 and is uptrending. It has underperformed by 8.78% the S&P500.

Shin-Etsu Chemical Co., Ltd. manufactures and sells polyvinyl chloride , semiconductor silicon wafers, silicones, and rare earth magnets worldwide. The company has market cap of $43.16 billion. It offers PVC for use in window profiles, plastic greenhouses, siding materials, and electric lines coating materials, as well as PVC pipes and conduits; caustic soda for use in paper and pulp, soap and detergents, waste water treatment, and alumina; methanol; and chloromethane. It has a 23.1 P/E ratio. The firm also provides semiconductor silicon wafers that are used as substrate materials in personal computers, smartphones, and televisions, as well as automobiles; and compound semiconductor products for use in outdoor displays, traffic lights, in-vehicle stop lamps, sensor light sources, etc.

Investors sentiment decreased to 0.87 in 2017 Q3. Its down 0.15, from 1.02 in 2017Q2. It is negative, as 66 investors sold GM shares while 322 reduced holdings. 96 funds opened positions while 242 raised stakes. 1.01 billion shares or 1.95% less from 1.03 billion shares in 2017Q2 were reported. Psagot Invest House Limited accumulated 0.13% or 74,715 shares. Kentucky Retirement System invested in 84,319 shares or 0.26% of the stock. First Personal Fincl Svcs accumulated 788 shares. Snow Cap Management Ltd Partnership reported 48,582 shares. Valley National Advisers, Pennsylvania-based fund reported 202 shares. Strs Ohio holds 0.32% or 1.86M shares in its portfolio. Utah Retirement owns 242,837 shares or 0.22% of their US portfolio. Horizon Kinetics Ltd Co owns 30,150 shares for 0.04% of their portfolio. Meeder Asset Mgmt stated it has 0.67% in General Motors Company (NYSE:GM). Twin Tree Lp has invested 0% in General Motors Company (NYSE:GM). Paragon Cap Ltd reported 6,987 shares. Palladium Prns Limited Liability invested 0.03% in General Motors Company (NYSE:GM). Johnson Invest Counsel, Ohio-based fund reported 19,711 shares. Arrow owns 1,200 shares for 0.01% of their portfolio. Susquehanna Gp Limited Liability Partnership holds 1.28 million shares.

Ingalls & Snyder Llc increased Oneok Inc New (NYSE:OKE) stake by 18,380 shares to 171,134 valued at $9.48M in 2017Q3. It also upped Hewlett Packard Enterprise C (Call) stake by 30,000 shares and now owns 80,000 shares. Wells Fargo Co New (NYSE:WFC) was raised too.

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By1 Nellie Frank

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