Bull
$11.44
情境價格
$11.320
+0.276 (+2.44%)收盤時
Cohen & Company Inc. is a financial services company specializing in a range of capital markets and asset management services. The Company’s segments include Capital Markets, Asset Management, and Principal Investing. The Capital Markets business segment consists of fixed income sales, trading, and gestation repo financing, new issue placements in corporate and securitized products, underwriting, and advisory services, operating primarily through its subsidiaries, Cohen & Company Securities, LLC in the United States and Cohen & Company Financial (Europe) S.A. in Europe. The Asset Management segment manages assets through collateralized debt obligations, managed accounts, joint ventures, and investment funds. The Principal Investing segment comprises investments the Company holds related to its special purpose acquisition company (SPAC) franchise and other investments the Company has made for the purpose of earning an investment return.
Cohen & Company Inc is currently not a strong buy. The stock is priced at $11.32, which is significantly below its 200-day simple moving average of $15.686, indicating a bearish trend. The forward P/E ratio is 8.15, suggesting potential undervaluation, but the recent performance shows a year-to-date decline of 54.70%, which raises concerns about its stability. Additionally, the RSI is at 44.482, indicating a neutral momentum, but with no strong buying signals present. The main risk is the high debt-to-equity ratio of 478.04%, which could impact financial flexibility and growth prospects.
Scenario prices are the last monthly forecast band of the current year. Probabilities are fixed model weights (25 / 50 / 25), not guarantees.

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Cohen & Company Inc. is a financial services company specializing in a range of capital markets and asset management services. The Company’s segments include Capital Markets, Asset Management, and Principal Investing. The Capital Markets business segment consists of fixed income sales, trading, and gestation repo financing, new issue placements in corporate and securitized products, underwriting, and advisory services, operating primarily through its subsidiaries, Cohen & Company Securities, LLC in the United States and Cohen & Company Financial (Europe) S.A. in Europe. The Asset Management segment manages assets through collateralized debt obligations, managed accounts, joint ventures, and investment funds. The Principal Investing segment comprises investments the Company holds related to its special purpose acquisition company (SPAC) franchise and other investments the Company has made for the purpose of earning an investment return. It operates in the Financials sector (SECURITY BROKERS, DEALERS & FLOTATION COMPANIES industry).
Cohen & Company Inc is currently not a strong buy. The stock is priced at $11.32, which is significantly below its 200-day simple moving average of $15.686, indicating a bearish trend. The forward P/E ratio is 8.15, suggesting potential undervaluation, but the recent performance shows a year-to-date decline of 54.70%, which raises concerns about its stability. Additionally, the RSI is at 44.482, indicating a neutral momentum, but with no strong buying signals present. The main risk is the high debt-to-equity ratio of 478.04%, which could impact financial flexibility and growth prospects.
本頁僅供研究參考,不構成投資建議。模型可能出錯。過往表現不代表未來結果。