Stock Price
71.45
Daily Change
-1.05 -1.45%
Monthly
10.54%
Yearly
-13.75%
Q2 Forecast
70.01

EPS Reference Time Actual Consensus Previous
2026-04-16 FY2026Q1 PM 0.79 0.79 0.75
2026-01-22 FY2025Q4 PM 0.81 0.81 0.78
2025-10-16 FY2025Q3 PM 0.81 0.77 0.77
2025-07-17 FY2025Q2 PM 0.73 0.73 0.68
2025-04-16 FY2025Q1 PM 0.75 0.75 0.70



Peers Price Chg Day Year Date
Matsui Securities 910.00 -18.00 -1.94% 26.74% May/18
AGF Management 16.95 0 0% 49.08% May/15
Affiliated Managers 293.91 -8.19 -2.71% 60.23% May/15
Artisan Partners Asset Management 36.43 -0.83 -2.23% -16.31% May/15
Apollo Global Management 135.38 -0.14 -0.10% -5.88% May/15
Franklin Resources 31.83 -0.52 -1.61% 42.23% May/15
BlackRock 1,081.90 -22.13 -2.00% 9.31% May/15
Blackstone 117.89 -4.57 -3.73% -19.64% May/15
Carlyle 48.02 -2.02 -4.04% 1.27% May/15
Cohen 71.45 -1.05 -1.45% -13.75% May/15

Indexes Price Day Year Date
US2000 2793 -69.79 -2.44% 32.18% May/15

Cohen & Steers traded at $71.45 this Friday May 15th, decreasing $1.05 or 1.45 percent since the previous trading session. Looking back, over the last four weeks, Cohen lost 10.54 percent. Over the last 12 months, its price fell by 13.75 percent. Looking ahead, we forecast Cohen & Steers to be priced at 70.01 by the end of this quarter and at 65.88 in one year, according to Trading Economics global macro models projections and analysts expectations.

Cohen & Steers, Inc. (CNS) is the holding company for its subsidiaries, including Cohen & Steers Capital Management, Inc. (CSCM), Cohen & Steers Securities, LLC (CSS), Cohen & Steers Asia Limited (CSAL), Cohen & Steers UK Limited (CSUK), Cohen & Steers Japan Limited (CSJL) and Cohen & Steers Ireland Limited (CSIL). The Company is an investment manager specialized in real assets and alternative income, including real estate, preferred securities, infrastructure, resource equities, commodities, as well as multi-strategy solutions. It manages three types of investment vehicles: institutional accounts, open-end funds and closed-end funds. The Company's primary investment strategies include the United States real estate securities, preferred securities and low duration preferred securities, global/international real estate securities, global listed infrastructure, real assets multi-strategy, midstream energy and master limited partnership (MLPs), and global natural resource equities.