Cohen & Steers, Inc.

NYQ: CNS
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📈 ZcoreAI Score

Our AI model analyzes Cohen & Steers, Inc.'s price action across multiple timeframes using regression channels and statistical scoring.

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About Cohen & Steers, Inc.

Financial Services Asset Management
Cohen & Steers, Inc. is a publicly owned asset management holding company. Through its subsidiaries, the firm provides its services to institutional investors, including pension funds, endowments, and foundations. It manages separate client-focused equity, fixed income, multi-asset, and commodity portfolios through its subsidiaries. The firm launches and manages equity, fixed income, balanced, and multi-asset mutual funds through its subsidiaries. Through its subsidiaries, it also launches and manages hedge funds. The firm invests in public equity, fixed income, and commodity markets across the globe through its subsidiaries. Through its subsidiaries, it invests in companies operating in the real estate sector, including real estate investment trusts, infrastructure sector, and natural energy resources sector for its equity and fixed income investments. The firm also invests in preferred securities for its fixed income investments through its subsidiaries. The firm is a leading global investment manager specializing in real assets and alternative income, including real estate, preferred securities, infrastructure, resource equities, commodities, as well as multi-strategy solutions. Cohen & Steers, Inc. was founded in 1986 and is based in New York.

📊 Fundamental Analysis

Cohen & Steers, Inc. demonstrates a healthy profit margin of 27.6%.

The company recently reported 2.9% revenue growth, which is modest compared to its industry peers.

Return on Equity (ROE) is 26.0%, which exceeds the Financial Services sector average, reflecting efficient capital allocation.

At a current price of $63.16, CNS currently trades near the bottom of its 52-week range (19%), indicating potential value or weakness (Range: $58.39 - $83.99).

💰 Valuation Insight

CNS trades at a 77.2% premium to the sector average PE of 12.00. Analysts expect earnings growth, as indicated by a lower forward PE.

🏥 Financial Health

⚠️ Profit Margin Moderate
Debt/Equity Excellent
🔴 Revenue Growth Weak
Return on Equity Excellent
⚠️ Beta (Risk) Moderate Volatility

Key Financials

Market Cap
$3.25B
Trailing P/E
21.27
Forward P/E
16.84
Beta (5Y)
1.25
52W High
$83.99
52W Low
$58.39
Avg Volume
362K
Day High
Day Low
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