There is a low diversification of 12 months returns within the oil & gas sector. The sector is around 10 percent lower since January. Among the winners we find Maha Energy AB, Panoro Energy ASA and Serica Energy. Relatively big losses are for Cloud Peak Energy, Alta Mesa Resources and Chariot Oil and Gas.
The megacaps in this sector are the winners. Among the less performing are mostly the microcaps.
Regarding the price/earnings-ratios we see a diversified palette. The megacaps are with the price/earnings-ratio of 17 the most expensive. The microcaps are the cheapest and trade at -3 times the earnings per share. PDC Energy, Euronav NV and Enviva Partners LP are the stocks with the highest ratios. Stocks with the lowest ratios are Chesapeake Energy, Denbury Resources and Laredo Petroleum.
The sector's average dividend yield is with 2,6 percent relatively high. Stocks now high dividend yields now are Capital Product Partners LP, PermRock Royalty and Buckeye Partners LP.
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