ナイキは、一部の企業が売り、他の企業が買い入れ、好調な収益を計上しているため、投資活動はまちまちであると見ています。
Nike sees mixed investment activity as some firms sell off, others buy in, post strong earnings.
機関投資家はナイキ株式を積極的に取引しており,一部の投資家はポジションを減少し,他の投資家は増やしています.
Institutional investors have been actively trading shares of Nike Inc., with some reducing and others increasing their positions.
Savvy Advisors Inc.は保有額を7.2%削減し,SageView Advisory Group LLCとAdvisors Capital Management LLCは保有額を増加した.
Savvy Advisors Inc. reduced its holdings by 7.2%, while SageView Advisory Group LLC and Advisors Capital Management LLC increased their stakes.
ナイキは 予想を上回る 株当たり0.54ドルの 強い利益を報告した.
Nike reported strong earnings of $0.54 per share, beating expectations.
会社の株の性能と金融メトリックスは,810億円の市場キャップと,p/eの比が16.92ドルであるとともに,まだ安定したままである.
The company's stock performance and financial metrics remain robust, with a market cap of $81.11 billion and a P/E ratio of 16.92.
加えて,ニケの議長は最近,彼の株の相当の部分を売却した.
Additionally, Nike's chairman sold a significant portion of his shares recently.