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Asset logo for symbol COHN
Cohen & Co
COHN62
$10.54arrow_drop_up3.23%$0.32
Asset logo for symbol COHN
COHN62

$10.54

arrow_drop_up3.23%

Performance History

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Key Stats
Open$10.33
Prev. Close$10.21
EPS4.14
Next Earnings DateMar 6, 2025
Market Cap$20.55M
LOWHIGH
Day Range10.13
10.58
52 Week Range5.62
12.82
Ratios
Revenue-
EBITDA Margin %-
EPS4.14

Score Breakdown

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Analyst Forecast

Period: Next 12 Months

Analyst Ratings

About Cohen & Co (COHN)

Cohen & Co Inc (COHN) is a financial services company that operates in the investment banking and capital markets sectors. The company provides a wide range of services including underwriting, M&A advisory, restructuring, and asset management. With a strong focus on middle-market companies, COHN has established itself as a leading player in the industry. As of the latest stock price history available, COHN has shown significant volatility and fluctuation in its share price. Investors should carefully monitor the stock's performance before making any investment decisions.
COHN is currently trading at a market cap of [INSERT MARKET CAP]. This reflects the company's overall market value and investor sentiment towards the stock. When comparing COHN to its industry peers, it is essential to analyze its PEG ratio. The PEG ratio is a useful metric that takes into account a company's growth rate and valuation. Given the current state of the market, COHN's PEG ratio serves as an indicator of the stock's relative value compared to its industry. A low PEG ratio suggests potential undervaluation, while a high ratio indicates overvaluation. It is crucial to monitor this ratio to assess investment opportunities.
Sector
Financial Services
Industry
Capital Markets
CEO
Headquarters
Philadelphia
Employees
117
Exchange
NYSE
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Frequently Asked Questions

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What is Cohen & Co 's (COHN) price per share?

The current price per share for Cohen & Co (COHN) is $10.54. The stock has seen a price change of $0.33 recently, indicating a 3.23% change. This reflects the stock's recent market performance and investor sentiment.
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What is the 52-week high and low for Cohen & Co (COHN)?

For Cohen & Co (COHN), the 52-week high is $12.82, which is 21.63% from the current price. The 52-week low is $5.62, the current price is 87.54% above the 52-week low. This gives investors an insight into the stock's volatility and price range over the past year.
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Is Cohen & Co (COHN) a growth stock?

Cohen & Co (COHN) has shown an average price growth of -4.38% over the past three years. It has received a score of 42 out of 100 based on the Stocklytics formula. The interpretation of this score in terms of classifying Cohen & Co as a growth stock may vary, considering it is one of many factors investors might evaluate, including market trends, financial performance, and future prospects of the company.
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What is Cohen & Co (COHN) stock price performance year to date (YTD)?

As of the latest data, Cohen & Co (COHN) has a year-to-date price change of 57.32%. Over the past month, the stock has experienced a price change of 8.54%. Over the last three months, the change has been 25.18%. Over the past six months, the figure is 19.77%. Looking at a longer horizon, the five-year price change stands at 199.7%.
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Is Cohen & Co (COHN) a profitable company?

Cohen & Co (COHN) has a net income of -$5.11M, which represents the company's total earnings after all expenses have been deducted from revenues. The gross margin of 19.75% indicates the percentage of revenue that exceeds the cost of goods sold, and the operating margin of 19.6% reflects the percentage of revenue remaining after covering variable production costs, highlighting the efficiency of the company's core operations. Total revenue stands at , with a revenue growth rate of 86.95%, providing insight into the company's sales performance and growth. The gross profit is $16.39M. Operating income is noted at $6.86M. Furthermore, the EBITDA is $23.03M.
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What is the market capitalization of Cohen & Co (COHN)?

Cohen & Co (COHN) has a market capitalization of $20.55M. The average daily trading volume is 10.41, indicating the stock's liquidity and investor engagement.

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