Fintel reports that on January 14, 2025, Morgan Stanley downgraded their outlook for Las Vegas Sands (LSE:0QY4) from Overweight to Equal-Weight.
Analyst Price Forecast Suggests 25.46% Upside
As of December 23, 2024, the average one-year price target for Las Vegas Sands is 59.66 GBX/share. The forecasts range from a low of 50.82 GBX to a high of 68.37 GBX. The average price target represents an increase of 25.46% from its latest reported closing price of 47.55 GBX / share.
See our leaderboard of companies with the largest price target upside.
The projected annual revenue for Las Vegas Sands is 12,429MM, an increase of 9.83%. The projected annual non-GAAP EPS is 3.48.
What is the Fund Sentiment?
There are 1,321 funds or institutions reporting positions in Las Vegas Sands. This is an decrease of 19 owner(s) or 1.42% in the last quarter. Average portfolio weight of all funds dedicated to 0QY4 is 0.22%, an increase of 6.76%. Total shares owned by institutions increased in the last three months by 7.77% to 437,169K shares.
What are Other Shareholders Doing?
Capital Research Global Investors holds 46,520K shares representing 6.42% ownership of the company. In its prior filing, the firm reported owning 14,084K shares , representing an increase of 69.73%. The firm increased its portfolio allocation in 0QY4 by 255.93% over the last quarter.
AGTHX - GROWTH FUND OF AMERICA holds 16,429K shares representing 2.27% ownership of the company. In its prior filing, the firm reported owning 2,990K shares , representing an increase of 81.80%. The firm increased its portfolio allocation in 0QY4 by 287.49% over the last quarter.
AIVSX - INVESTMENT CO OF AMERICA holds 15,745K shares representing 2.17% ownership of the company. In its prior filing, the firm reported owning 5,029K shares , representing an increase of 68.06%. The firm increased its portfolio allocation in 0QY4 by 236.67% over the last quarter.
Price T Rowe Associates holds 15,431K shares representing 2.13% ownership of the company. In its prior filing, the firm reported owning 17,280K shares , representing a decrease of 11.99%. The firm decreased its portfolio allocation in 0QY4 by 2.26% over the last quarter.
Fisher Asset Management holds 13,650K shares representing 1.88% ownership of the company. In its prior filing, the firm reported owning 16,339K shares , representing a decrease of 19.71%. The firm decreased its portfolio allocation in 0QY4 by 10.48% over the last quarter.
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