- TickerUFS
- ISINUS2575592033
- ExchangeNew York Stock Exchange
- SectorForestry & Paper
- CountryUnited States
The independent financial analyst theScreener just lowered the general evaluation of DOMTAR (US), active in the Paper industry. As regards its fundamental valuation, the title now shows 2 out of 4 stars while market behaviour can be considered risky. theScreener believes that the title remains under pressure due to the loss of a star(s) and downgrades its general evaluation to Slightly Negative. As of the analysis date January 15, 2021, the closing price was USD 31.39 and its target price was estimated at USD 20.53.
Announcement: Moody's says Domtar's sale of its personal care business improves leverage and liquidity. Global Credit Research- 08 Jan 2021. Toronto, January 08, 2021-- Moody's Investors Service commented that Domtar Corporation's agreement to sell its personal care business to American Industrial Partners is credit positive, but has no impact on the company's Baa3 senior unsecured rating and stable outlook.
Summary Gould Paper Corporation, Inc. - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Gould Paper Corporation, Inc. (JP Gould or 'the company') a subsidiary of Japan Pulp & Paper (USA), distributes and markets paper products across multiple markets including commercial printing, office papers, packaging, publishing, catalogs, envelopes, fine papers, and direct m...
Short Shots is a collection of technically vulnerable charts culled from the Negative Inflecting and Toppy columns within our Weekly Compass report or from various technical screening processes. The charts contained in this report have developed concerning technical patterns that suggest further price deterioration is likely. For these reasons Short Shots can also be a great source of ideas for investors interested in short-selling candidates.
Key Points: • The Staples Sector continues to develop positive price and RS reversals. • A number of Insurance related names are breaking to new price and RS highs. • Semis and Semi-Suppliers continue to weaken. We highlighted Semi-Suppliers in March as showing top patterns; many are breaking to 52-week lows. • Many Energy E&P stocks are developing top patterns.
Key Points: • The Staples Sector is leadership and many names are staging price and RS reversals. • REIT's are breaking above bases and are showing RS leadership. • Paper & Forest products are strengthening and many are reversing price and RS downtrend or breaking above bases. • Large-Cap Pharma stocks are showing leadership. Many have broken topside of multi-year consolidations or have reversed multi-year price and RS downtrends.
Three Directors at Domtar Corp sold after exercising options/sold 21,048 shares at between 52.170USD and 53.420USD. The significance rating of the trade was 72/100. Is that information sufficient for you to make an investment decision? This report gives details of those trades and adds context and analysis to them such that you can judge whether these trading decisions are ones worth following. Included in the report is a detailed share price chart which plots discretionary trades by all the company's directors over the last two years clearly showing Close periods where trading activity is r...
Summary Gould Paper Corporation, Inc. - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Gould Paper Corporation, Inc. (JP Gould or 'the company') a subsidiary of Japan Pulp & Paper (USA), distributes and markets paper products across multiple markets including commercial printing, office papers, packaging, publishing, catalogs, envelopes, fine papers, and direct m...
Summary Evergreen Packaging LLC - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Evergreen Packaging LLC (Evergreen), a subsidiary of Reynolds Group Holdings Limited, is a provider of paper board packaging solutions in the US. The company's product portfolio includes cartons, liquid paperboard, publishing papers, printing papers, bleached board, coated papers, en...
Summary Clearwater Paper Corp - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Clearwater Paper Corp (Clearwater Paper) is a provider of tissue paper and packaging solutions. It offers private label tissue products and bleached paperboard products. Its product portfolio comprises of paper towels, facial tissues, napkins, washroom hand towels, dispenser napkins, k...
In this product we rank the most positive and negative domestic stocks, filter the symbols by market-cap and trading volume, and then divide the companies into sectors and groups. We then manually look through charts leadership/changes, bottoms-up/top-down ideas, short-term patterns that may have long-term significance, etc. We believe you will find this product valuable as significant price and relative moves begin in the daily charts.
Summary Marketline's International Paper Company Mergers & Acquisitions (M&A), Partnerships & Alliances and Investments report includes business description, detailed reports on mergers and acquisitions (M&A), divestments, capital raisings, venture capital investments, ownership and partnership transactions undertaken by International Paper Company since January2007. Marketline's Company Mergers & Acquisitions (M&A), Partnerships & Alliances and Investments reports offer a comprehensive breakdown of the organic and inorganic growth activity undertaken by an organization to sustain its compet...
Announcement: Moody's says Domtar's sale of its personal care business improves leverage and liquidity. Global Credit Research- 08 Jan 2021. Toronto, January 08, 2021-- Moody's Investors Service commented that Domtar Corporation's agreement to sell its personal care business to American Industrial Partners is credit positive, but has no impact on the company's Baa3 senior unsecured rating and stable outlook.
Announcement of Periodic Review: Moody's announces completion of a periodic review of ratings of Domtar Corporation. Global Credit Research- 22 Sep 2020. Toronto, September 22, 2020-- Moody's Investors Service has completed a periodic review of the ratings of Domtar Corporation and other ratings that are associated with the same analytical unit.
The independent financial analyst theScreener just lowered the general evaluation of DOMTAR (US), active in the Paper industry. As regards its fundamental valuation, the title now shows 2 out of 4 stars while market behaviour can be considered risky. theScreener believes that the title remains under pressure due to the loss of a star(s) and downgrades its general evaluation to Slightly Negative. As of the analysis date January 15, 2021, the closing price was USD 31.39 and its target price was estimated at USD 20.53.
Ford Equity International Research Reports cover 60 countries with over 30,000 stocks traded on international exchanges. A proprietary quantitative system compares each company to its peers on proven measures of business value, growth characteristics, and investor behavior. Ford's three recommendation ratings buy, hold and sell, represent each stock’s return potential relative to its own country market.. The rating reports which are generated each week, include the fundamental details behind each recommendation and reflect the fundamental and price data as of the last trading day of the we...
Ford Equity Research covers more than 4,000 stocks using a proprietary quantitative model that evaluates a company’s earnings strength, its relative valuation and recent price movement. Ford’s five recommendation ratings include strong buy, buy, hold, sell, strong sell. For all stocks in our coverage universe, ratings are generated each week and reflect the fundamental and price data as of the last trading day of the week.