Baytex Energy Corp. (NYSE:BTE) Generated production of 81,110 boe/d (81% oil and NGL) during Q4/2015 and 84,648 boe/d for the full-year 2015, in line with guidance; Delivered funds from operations (“FFO”) of $93.1 million ($0.44 per share) in Q4/2015 and $516.4 million ($2.61 per share) for the full-year 2015.
Baytex Energy Corp. (NYSE:BTE) belongs to Basic Materials sector. Its net profit margin is -98.80% and weekly performance is 55.66%. On last trading day company shares ended up at $3.30. Baytex Energy Corp. (NYSE:BTE) distance from 50-day simple moving average (SMA50) is 47.36%.
Semtech Corporation (NASDAQ:SMTC) reported Net sales for the fourth quarter of fiscal year 2016 were $118.6 million, up 2 percent from the third quarter of fiscal year 2016 and down 9 percent from the fourth quarter of fiscal year 2015. Net sales for the full fiscal year 2016 were $490.2 million, down 12 percent from $557.9 million for the full fiscal year 2015.
Semtech Corporation (NASDAQ:SMTC) shares advanced 8.64% in last trading session and ended the day at $21.00. SMTC Gross Margin is 59.70% and its return on assets is -0.50%. Semtech Corporation (NASDAQ:SMTC) quarterly performance is 4.27%.
Citigroup Inc. (NYSE:C) has reached a deal to sell its $3 billion stake in China Guangfa Bank to China Life Insurance Co., according to people familiar with the matter. The New York-based bank is offloading the 20% stake to China’s biggest life insurance company by premiums. Citigroup purchased its holding in 2006 as part of a consortium of investors brought in to clean up the Chinese lender. Citigroup is exiting its stake because it no longer fits with the bank’s strategic plans for China, where it operates its own branch network, according to a person familiar with the situation.
On 03 March, Citigroup Inc. (NYSE:C) shares advanced 1.44% and was closed at $42.83. C EPS growth in last 5 year was 8.80%. Citigroup Inc. (NYSE:C) year to date (YTD) performance is -17.13%.
Exxon Mobil Corp., (NYSE:XOM) the oil giant that still has pristine triple-A ratings, is selling $12 billion of new bonds on Monday, one of the biggest corporate-debt deals of the year and a sign that investors are still willing to lend to higher-quality companies despite concerns about global economic weakness.
Exxon Mobil Corporation (NYSE:XOM) ended the last trading day at $82.40. Company weekly volatility is calculated as 2.18% and price to cash ratio as 79.65. Exxon Mobil Corporation (NYSE:XOM) showed a weekly performance of 0.48%.
Hewlett Packard Enterprise (NYSE: HPE) reported Q1 EPS of $0.41, $0.01 better than the analyst estimate of $0.40. Revenue for the quarter came in at $12.7 billion versus the consensus estimate of $12.68 billion. GUIDANCE: Hewlett Packard Enterprise sees Q2 2016 EPS of $0.39-$0.43, versus the consensus of $0.42. Hewlett Packard Enterprise sees FY2016 EPS of $1.85-$1.95, versus the consensus of $1.87.
Hewlett Packard Enterprise Company (NYSE:HPE) shares fell -2.16% in last trading session and ended the day at $13.60. HPE Gross Margin is 28.70% and its return on assets is 3.50%. Hewlett Packard Enterprise Company (NYSE:HPE) quarterly performance is -12.56%.