Out of 8 analysts covering TD Ameritrade Holdings (NASDAQ:AMTD), 5 rate it a “Buy”, 0 “Sell”, while 3 “Hold”. This means 63% are positive. $41.0 is the highest target while $32 is the lowest. The $36.22 average target is 11.62% above today’s ($32.45) stock price. TD Ameritrade Holdings has been the topic of 16 analyst reports since September 18, 2015 according to StockzIntelligence Inc. UBS maintained the stock on January 21 with “Buy” rating. Citigroup upgraded the shares of AMTD in a report on January 12 to “Neutral” rating. Lastly, Wood maintained the stock with “Outperform” rating in an October 7 report. Below is a list of TD Ameritrade Holding Corp. (NASDAQ:AMTD) latest ratings and price target changes.
About 1.45 million shares traded hands. TD Ameritrade Holding Corp. (NASDAQ:AMTD) has risen 24.21% since February 8, 2016 and is uptrending. It has outperformed by 7.73% the S&P500.
TD Ameritrade Holding Corporation is a well-known provider of securities brokerage services and related technology financial services. The company has a market cap of $17.46 billion. The Firm provides its services to retail investors, traders and independent registered investment advisors . It has a 20 P/E ratio. The Firm provides its services through the Internet, a national branch network and relationships with RIAs.
The institutional sentiment increased to 1.09 in 2016 Q2. Its up 0.21, from 0.88 in 2016Q1. The ratio improved, as 29 funds sold all TD Ameritrade Holding Corp. shares owned while 80 reduced positions. 32 funds bought stakes while 87 increased positions. They now own 471.08 million shares or 86.79% more from 252.20 million shares in 2016Q1.
Toronto Dominion Bank holds 26.4% of its portfolio in TD Ameritrade Holding Corp. for 222.92 million shares. Crescent Park Management L.P. owns 835,470 shares or 5.22% of their US portfolio. Moreover, Riverpark Capital Management Llc has 2.92% invested in the company for 211,664 shares. The Denmark-based Cam Group Holding A S has invested 2.63% in the stock. Riverpark Advisors Llc, a New York-based fund reported 188,643 shares.
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