International Paper Co. (IP)

42.77
NYSE : Process Industries
Prev Close 42.87
Day Low/High 42.70 / 43.84
52 Wk Low/High 37.55 / 59.57
Avg Volume 2.92M
Exchange NYSE
Shares Outstanding 397.33M
Market Cap 17.23B
EPS 4.90
P/E Ratio 10.30
Div & Yield 2.00 (4.44%)
The Real Story Is Not Tax Reform; It Is Global Demand: Market Recon

The Real Story Is Not Tax Reform; It Is Global Demand: Market Recon

It looks like China is building again.

There Is Too Much Bullishness Still

The new lows for the NYSE continue to climb and new highs contract. Some day, that might matter!

If Bonds Drop, They'll Probably Be Bought Back Up

If bonds don't go back down hard, how far will this rally in banks go?

International Paper Could Be Nearing a Breakout

International Paper Could Be Nearing a Breakout

Stock has been in a sideways-to-higher trend since December.

International Paper, Inogen, Teva Pharmaceuticals: 'Mad Money' Lightning Round

International Paper, Inogen, Teva Pharmaceuticals: 'Mad Money' Lightning Round

Jim Cramer likes International Paper and Inogen, but he's bearish on Teva Pharmaceuticals.

Fantasy Football and Picking Stocks: Cramer's 'Mad Money' Recap (Tues 8/15/17)

Fantasy Football and Picking Stocks: Cramer's 'Mad Money' Recap (Tues 8/15/17)

Jim Cramer says a well-diversified portfolio is a lot like a well-balanced and winning football team.

International Paper Stock Upgraded on Potential Gains Due to E-Commerce

International Paper Stock Upgraded on Potential Gains Due to E-Commerce

Goldman has a $64 price target on the company.

WestRock, International Paper, No Scissors

WestRock, International Paper, No Scissors

These 2 paper companies are breaking out and are buys at current levels.

International Paper Becomes #228 Most Shorted S&P 500 Component, Replacing Boston Properties

The most recent short interest data has been released for the 05/15/2017 settlement date, and we here at Dividend Channel like to sift through this fresh data and order the underlying components of the S&P 500 by "days to cover." There are a number of ways to look at short data, for example the total number of shares short; but one metric that we find particularly useful is the "days to cover" metric because it considers both the total shares short and the average daily volume of shares typically traded. The number of shares short is then compared to the average daily volume, in order to calculate the total number of trading days it would take to close out all of the open short positions if every share traded represented a short position being closed.

American Forest Foundation, International Paper, Procter & Gamble And 3M Announce Carolinas Working Forest Conservation Collaborative

American Forest Foundation (AFF), International Paper, The Procter & Gamble Company (P&G) and 3M Company announced today the formation of the Carolinas Working Forest Conservation Collaborative a joint initiative in...

Today's Rally Was Unimpressive

Breadth was good, but new highs were weak.

Nasdaq Nearing Overbought Status

Optical equipment maker Acacia isn't making higher highs; Juno Therapeutics is facing resistance.

Market Recon: The Tax Reform Is Just Ordinary Negotiation on Steroids

Market Recon: The Tax Reform Is Just Ordinary Negotiation on Steroids

Nobody shows their hand in negotiations. Why should government? This new tax plan must go to Congress.

International Paper Becomes #161 Most Shorted S&P 500 Component, Replacing PulteGroup

The most recent short interest data has been released for the 04/13/2017 settlement date, and we here at Dividend Channel like to sift through this fresh data and order the underlying components of the S&P 500 by "days to cover." There are a number of ways to look at short data, for example the total number of shares short; but one metric that we find particularly useful is the "days to cover" metric because it considers both the total shares short and the average daily volume of shares typically traded. The number of shares short is then compared to the average daily volume, in order to calculate the total number of trading days it would take to close out all of the open short positions if every share traded represented a short position being closed.

Cramer: Earnings Season Is Better Than Many Believe

Cramer: Earnings Season Is Better Than Many Believe

If you piece things together from what companies tell you, the picture is pretty positive.

Analysts' Actions -- Bank of America, Goldman Sachs, Comcast, HP, Verizon and More

Analysts' Actions -- Bank of America, Goldman Sachs, Comcast, HP, Verizon and More

Here are Wednesday's top research calls, including upgrades for Bank of America, Goldman Sachs and HP, along with new coverage of Comcast, Verizon, AT&T, Sprint and T-Mobile.

WestRock Is a Hot Stock to Buy Now

WestRock Is a Hot Stock to Buy Now

The U.S.-based company stands to benefit from Trump's trade reforms in a big way.

There Is a Lot of Selling Underneath

The flip side of this is that we are not yet overbought.

Sorry, the Correction Isn't Over

Why aren't people more concerned?

We May Be Back to Maximum Overbought by Thursday

Breadth has a small window to improve from the poor and lagging action we saw last week.

Dividend Hikes and Must-Own Dates

Interpublic and United Parcel raise dividends, and a recap of notable dates.

Bonds Call the Tune Today, Not Stocks: Cramer's 'Mad Money' Recap (Thursday 2/9/17)

Bonds Call the Tune Today, Not Stocks: Cramer's 'Mad Money' Recap (Thursday 2/9/17)

When bond yields rise, the economy roars and it's game on for industrials, banks and retailers, says Jim Cramer.

Bullish and Bearish Reversals for the Week

Bullish and Bearish Reversals for the Week

These stocks are indicating a change in direction.

Analysts' Actions -- Cabot, International Paper, Range Resources and More

Analysts' Actions -- Cabot, International Paper, Range Resources and More

Here are Monday's top research calls, including upgrades for Cabot Oil & Gas and Range Resources, and a downgrade for International Paper.

Analysts' Actions -- Eaton, Ford, Altria, Ralph Lauren and More

Analysts' Actions -- Eaton, Ford, Altria, Ralph Lauren and More

Here are Friday's top research calls, including an upgrade for Ford and downgrades for Eaton, Altria and Ralph Lauren.

International Paper: Cramer's Top Takeaways

International Paper: Cramer's Top Takeaways

Jim Cramer says this weakness in International Paper is an opportunity for investors.

Embrace the Risks of Picking a Winner: Cramer's 'Mad Money' Recap (Thursday 2/2/17)

Embrace the Risks of Picking a Winner: Cramer's 'Mad Money' Recap (Thursday 2/2/17)

Semiconductors? Dog food? Jim Cramer talks about how to manage your portfolio profitably despite White House-inspired turbulence.

Market Recon: The Market Has Run as Far as It Could on Hope

Market Recon: The Market Has Run as Far as It Could on Hope

Washington is not used to a leader that tries to accomplish every idea so quickly.

International Paper Becomes #143 Most Shorted S&P 500 Component, Replacing Fifth Third Bancorp

International Paper Becomes #143 Most Shorted S&P 500 Component, Replacing Fifth Third Bancorp

The most recent short interest data has been released for the 01/13/2017 settlement date, and we here at Dividend Channel like to sift through this fresh data and order the underlying components of the S&P 500 by "days to cover." There are a number of ways to look at short data, for example the total number of shares short; but one metric that we find particularly useful is the "days to cover" metric because it considers both the total shares short and the average daily volume of shares typically traded. The number of shares short is then compared to the average daily volume, in order to calculate the total number of trading days it would take to close out all of the open short positions if every share traded represented a short position being closed.

Analysts' Actions -- Alcoa, CenturyLink, JetBlue, Verizon and More

Analysts' Actions -- Alcoa, CenturyLink, JetBlue, Verizon and More

Here are Wednesday's top research calls, including upgrades for Alcoa, CenturyLink and JetBlue, and a pair of downgrades for Verizon.

TheStreet Quant Rating: B- (Buy)