Stablepoint Partners LLC Trims Stock Holdings in Microsoft Co. (NASDAQ:MSFT)

Stablepoint Partners LLC Trims Stock Holdings in Microsoft Co. (NASDAQ:MSFT)

  • 17.03.2025 07:29
  • etfdailynews.com
  • Keywords: AI, Startup

Stablepoint Partners LLC reduced its Microsoft holdings by 1.7% in Q4, selling 390 shares. The fund now holds 22,729 shares worth $9.58 million, which makes up 1.8% of its portfolio.

Microsoft ServicesMSFTsentiment_neutral

Estimated market influence

Stablepoint Partners LLC

Negativesentiment_dissatisfied
Analyst rating: N/A

Reduced holdings in Microsoft by 1.7%

Geode Capital Management LLC

Positivesentiment_satisfied
Analyst rating: N/A

Increased holdings by 2.0%

UBS AM a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC

Positivesentiment_satisfied
Analyst rating: N/A

Increased holdings by 4.1%

Charles Schwab Investment Management Inc.

Positivesentiment_satisfied
Analyst rating: N/A

Increased holdings by 1.4%

International Assets Investment Management LLC

Positivesentiment_satisfied
Analyst rating: N/A

Massive increase in holdings by 48,526.1%

Franklin Resources Inc.

Positivesentiment_satisfied
Analyst rating: N/A

Increased holdings by 1.1%

Microsoft Co.

Microsoft Co.

Neutralsentiment_neutral
Analyst rating: Strong buy

No direct influence mentioned

Context

Analysis of Microsoft Co. (NASDAQ:MSFT) Stock Holdings and Market Implications

Stablepoint Partners LLC

  • Trimmed holdings: Reduced by 1.7% during Q4
  • Total shares held: 22,729 shares
  • Value of holdings: $9,580,000
  • Portfolio percentage: ~1.8%, ranking as the 7th largest holding

Institutional Investment Trends

Increased Positions:

  • Geode Capital Management LLC

    • Shares: 165,024,812
    • Value: $70,790,682,000
    • Q3 increase: +3,264,648 shares
  • UBS AM (a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC)

    • Shares: 54,590,791
    • Value: $23,490,417,000
    • Q3 increase: +2,125,030 shares
  • Charles Schwab Investment Management Inc.

    • Shares: 47,229,125
    • Value: $20,322,513,000
    • Q3 increase: +652,493 shares
  • International Assets Investment Management LLC

    • Shares: 38,501,645
    • Value: $16,567,258,000
    • Q3 increase: +38,422,466 shares (48,526.1% growth)
  • Franklin Resources Inc.

    • Shares: 38,420,657
    • Value: $16,104,959,000
    • Q3 increase: +406,940 shares

Institutional Ownership:

  • Total institutional ownership: 71.13%

Microsoft Financial and Market Metrics

  • Stock Performance:

    • Open price: $388.56
    • 50-day moving average: $412.43
    • 200-day moving average: $420.64
  • Financial Health:

    • Debt-to-equity ratio: 0.13
    • Current ratio: 1.35
    • Quick ratio: 1.34
    • Market cap: $2.89 trillion
  • Earnings and Valuation:

    • Q4 EPS: $3.23 (vs. estimate of $3.15)
    • Return on equity: 33.36%
    • Net margin: 35.43%
    • PE ratio: 31.29
    • PEG ratio: 2.21
    • Beta: 0.92
  • Dividend Information:

    • Quarterly dividend: $0.83 (paid on June 12, 2024)
    • Annualized dividend: $3.32
    • Dividend yield: 0.85%
    • Dividend payout ratio: 26.73%

Analyst Sentiment and Target Prices

  • Consensus Rating: "Moderate Buy" (MarketBeat data)
  • Average target price: $510.43
  • Recent analyst updates:
    • Wedbush: Outperform, $550 target
    • Piper Sandler: Overweight, $520 target
    • Royal Bank of Canada: Outperform, $500 target
    • Cantor Fitzgerald: Overweight, $509 target
    • UBS Group: Reduced target from $525 to $510

Competitive Landscape and Business Overview

  • Market Position: Microsoft remains a dominant player in software, services, devices, and solutions.
  • Productivity Segment: Strong performance in Office Suite, Microsoft Teams, SharePoint, and Azure (via Microsoft 365 Copilot).
  • Growth Opportunities: Focus on AI-driven products like Microsoft Viva and continued expansion of cloud services.

Market Implications

  • Institutional Shifts: While Stablepoint trimmed its position, other major investors increased their stakes, indicating mixed sentiment but overall confidence in Microsoft's long-term growth.
  • Analyst Confidence: The "Moderate Buy" consensus reflects balanced expectations for future performance and stock appreciation.
  • Dividend Appeal: The consistent dividend payments provide income stability for investors while maintaining a competitive yield.
  • Competitive Dynamics: Microsoft faces competition from tech peers but continues to lead in key segments like cloud computing and productivity tools.

Long-Term Considerations

  • Strategic Focus: Microsoft's emphasis on AI and cloud innovation positions it well for future growth.
  • Regulatory Environment: Potential regulatory scrutiny in antitrust matters could impact market dynamics, though no significant issues have been reported yet.
  • Market Trends: The broader tech sector's performance will influence Microsoft's stock, with investor sentiment tied to macroeconomic trends and earnings reports.

This analysis highlights the nuanced dynamics of Microsoft's stock positioning among institutional investors, alongside its financial health, competitive strengths, and market outlook.