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COG Cabot Oil and Gas Corp

22.25
0.00 (0.00%)
Pre Market
Last Updated: 01:00:00
Delayed by 15 minutes
Share Name Share Symbol Market Type
Cabot Oil and Gas Corp NYSE:COG NYSE Common Stock
  Price Change % Change Share Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 22.25 0 01:00:00

Fidelity Management & Research Co. 3Q 13F: -2-

15/11/2013 1:12pm

Dow Jones News


Cabot Oil and Gas (NYSE:COG)
Historical Stock Chart


From Apr 2019 to Apr 2024

Click Here for more Cabot Oil and Gas Charts.
CONTINENTAL RESOURCES INC/OK      $952,690,935     8,882,071        933,134 
MICHAEL KORS HOLDINGS LTD  COM    $950,293,795    12,752,198        615,867 
ACCENTURE PLC  CL A               $948,638,065    12,882,103   (13,018,233) 
HSBC HOLDINGS PLC  ADR            $941,502,808    17,351,692      (211,730) 
TARGET CORP  COM                  $932,641,131    14,577,073       (81,869) 
3M CO  COM                        $929,269,159     7,782,172    (3,447,329) 
EASTMAN CHEMICAL CO  COM          $928,371,458    11,917,477      (786,564) 
TRAVELERS COS INC  CL A           $926,212,448    10,926,182      (112,110) 
ROCK TENN CO  CL A                $916,008,721     9,045,213        919,927 
WILLIAMS COMPANIES INC  COM       $913,208,961    25,115,758    (4,727,309) 
CONCUR TECHNOLOGIES INC  COM      $905,598,883     8,195,465      1,718,958 
ECOLAB INC  COM                   $897,797,137     9,090,696    (2,202,963) 
PERRIGO CO  COM                   $889,314,033     7,207,927      3,084,546 
HERBALIFE LTD  COM                $885,679,288    12,694,271    (2,620,002) 
VERISK ANALYTICS INC  CL A        $882,420,343    13,584,057      4,627,601 
EMC CORP/MA  COM                  $868,626,260    33,983,813        757,549 
M&T BANK CORP  COM                $861,399,779     7,696,567      (723,442) 
W W GRAINGER INC  COM             $858,669,463     3,280,996      (111,879) 
PEPSICO INC  COM                  $839,342,636    10,557,769    (2,743,588) 
WORKDAY INC  CL A                 $838,256,026    10,357,791      2,212,706 
THERMO FISHER SC (ELECTRON) IN    $837,804,763     9,091,750      1,454,029 
AMERIPRISE FINANCIAL INC  COM     $836,970,006     9,189,394      (135,802) 
BOEING CO  COM                    $833,923,468     7,097,221        337,789 
PUBLIC STORAGE INC  COM           $830,716,847     5,174,194    (2,982,090) 
SPDR S&P 500 ETF TRUST  UNIT S    $819,364,441     4,876,879         98,005 
VENTAS INC  COM                   $795,406,560    12,933,440    (6,686,470) 
INGERSOLL RAND PLC  ORD           $789,744,561    12,161,142        786,963 
WELLPOINT INC  COM                $786,493,184     9,406,688    (3,171,418) 
DELPHI AUTOMOTIVE PLC  COM        $781,137,208    13,371,058      (137,396) 
APACHE CORP  COM                  $778,614,495     9,145,108      1,493,437 
BUNGE LTD  COM                    $776,126,006    10,224,292         73,868 
CHARLES SCHWAB CORP  COM          $775,271,173    36,673,187      5,272,550 
AETNA INC  COM                    $772,162,633    12,061,272    (1,748,167) 
CIGNA CORP  COM                   $772,007,281    10,044,331    (2,266,105) 
METTLER TOLEDO INTERNATIONAL      $768,821,480     3,202,222       (36,349) 
COOPER COMPANIES INC  COM         $763,572,960     5,887,678      (422,083) 
LIBERTY INTERACTIVE CORP  INT     $760,952,343    32,422,341      1,294,534 
FORD MOTOR CO  COM                $759,452,209    45,017,914    (4,686,198) 
GILDAN ACTIVEWEAR INC  COM        $758,402,120    16,330,795        632,100 
ELECTRONIC ARTS INC  COM          $754,638,004    29,535,734      2,221,992 
NXP SEMICONDUCTORS NV  COM        $750,615,153    20,172,404      2,274,762 
DUNKIN BRANDS GROUP INC  COM      $744,505,637    16,449,528              0 
AT&T INC  COM                     $739,351,973    21,861,383      1,785,277 
CANADIAN NATURAL RESOURCES LTD    $734,776,569    23,370,756      1,229,222 
ACTIVISION BLIZZARD INC  COM      $734,483,634    44,033,791      2,850,652 
PROLOGIS INC  COM                 $715,821,359    19,027,681    (4,466,208) 
LAS VEGAS SANDS CORP  COM         $713,998,063    10,749,745      1,881,149 
CBS CORP  CL B                    $712,812,602    12,922,636        659,038 
STAPLES INC  COM                  $710,920,872    48,527,022      (711,241) 
MCKESSON CORP  COM                $708,762,173     5,524,257    (3,608,416) 
NCR CORP  COM                     $707,464,585    17,860,757      3,580,881 
RED HAT INC  COM                  $703,248,670    15,241,627    (2,262,074) 
JUNIPER NETWORKS INC  COM         $703,190,666    35,407,385   (13,463,769) 
SEATTLE GENETICS INC  COM         $702,530,514    16,028,531    (2,161,310) 
BROADCOM CORP  CL A               $698,218,338    26,833,910   (12,524,569) 
NETSUITE INC  COM                 $698,054,133     6,467,057      1,044,745 
CREE INC  COM                     $696,335,522    11,568,957      (735,856) 
CELGENE CORP  COM                 $692,484,364     4,492,655    (4,031,235) 
BLACKSTONE GROUP LP  UNIT         $691,011,960    27,762,634    (2,101,290) 
H&R BLOCK INC  COM                $682,267,071    25,591,413      4,947,465 
MARSH & MCLENNAN COS INC  COM     $679,469,931    15,602,065      1,060,573 
MARATHON OIL CORP  COM            $674,573,863    19,339,847    (2,096,766) 
LIBERTY GLOBAL PLC  CL A          $668,325,137     8,422,497      3,423,341 
ILLINOIS TOOL WORKS INC  COM      $665,076,536     8,720,028    (1,994,521) 
PVH CORP  COM                     $660,009,572     5,560,785    (2,071,759) 
MEAD JOHNSON NUTRITION CO  COM    $653,848,087     8,804,849    (1,297,604) 
HENRY SCHEIN INC  COM             $646,163,644     6,227,183        486,473 
SPLUNK INC  COM                   $645,095,937    10,744,436      2,135,683 
UNITED CONTINENTAL HOLDINGS IN    $644,517,188    20,987,209      2,726,797 
ROPER INDUSTRIES INC  COM         $641,703,504     4,829,559        520,633 
COMCAST CORP  CL A SPECIAL NVT    $638,622,966    14,731,787    (3,224,924) 
RACKSPACE HOSTING INC  COM        $636,088,647    12,056,267      1,215,543 
CONCHO RESOURCES INC  COM         $634,943,345     5,835,340       (73,486) 
DELTA AIR LINES INC  COM          $628,917,232    26,660,332    (4,298,391) 
ENSCO PLC  CL A                   $628,362,440    11,690,464    (4,976,821) 
FLEETCOR TECHNOLOGIES INC  COM    $628,186,409     5,702,491      (319,026) 

* New holding 13F data provided by: FactSet Research Systems Inc.; Please send questions to lionsharesinfo@factset.com. Copyright, FactSet Research Systems, 2013. All Rights Reserved.

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