Cohen & Company Sets Release Date for Fourth Quarter and Full Year 2021 Financial Results
04 Mars 2022 - 10:45PM
Cohen & Company Inc. (NYSE American: COHN) will release its
financial results for the fourth quarter and full year 2021 on
Tuesday, March 8, 2022. The Company will host a conference call at
10:00 a.m. Eastern Time (ET) that morning to discuss these results.
The conference call will be available via
webcast. Interested parties can access the webcast by clicking the
webcast link on the Company’s homepage at www.cohenandcompany.com.
Those wishing to listen to the conference call with operator
assistance can dial (800) 459-5346 (domestic) or (203) 518-9544
(international), with participant pass code COHQ421, or request the
Cohen & Company earnings call. A replay of the call will be
available for three days following the call by dialing (800)
925-9539 or (402) 220-5389.
About Cohen & Company
Cohen & Company is a financial services
company specializing in fixed income markets and, more recently, in
SPAC markets. It was founded in 1999 as an investment firm focused
on small-cap banking institutions but has grown to provide an
expanding range of capital markets and asset management services.
Cohen & Company’s operating segments are Capital Markets, Asset
Management, and Principal Investing. The Capital Markets segment
consists of fixed income sales, trading, and matched book repo
financing as well as new issue placements in corporate and
securitized products, and advisory services, operating primarily
through Cohen & Company’s subsidiaries, J.V.B. Financial Group,
LLC in the United States and Cohen & Company Financial Europe
Limited S.A. in Europe. A division of JVB, Cohen & Company
Capital Markets is the Company’s full-service boutique investment
banking platform focusing on SPAC advisory, capital markets
advisory, and M&A advisory, with clients primarily in the
financial technology (commonly referred to as "fintech") and SPAC
spaces. The Asset Management segment manages assets through
collateralized debt obligations, managed accounts, and investment
funds. As of December 31, 2021, the Company managed approximately
$2.4 billion in primarily fixed income assets in a variety of asset
classes including US and European trust preferred securities,
subordinated debt, and corporate loans. As of December 31, 2021,
52.6% of the Company’s assets under management were in
collateralized debt obligations that Cohen & Company manages,
which were all securitized prior to 2008. The Principal Investing
segment is comprised primarily of investments the Company holds
related to its SPAC franchise and other investments the Company has
made for the purpose of earning an investment return rather than
investments made to support its trading, matched book repo, or
other capital markets business activity. For more information,
please visit www.cohenandcompany.com.
Contact:
Investors -
Cohen & Company
Inc.
Joseph W. Pooler,
Jr.
Executive Vice President
and
Chief Financial
Officer
215-701-8952
investorrelations@cohenandcompany.com |
|
Media
-
Joele Frank, Wilkinson Brimmer KatcherJim Golden or Andrew Squire
212-355-4449
jgolden@joelefrank.com or
asquire@joelefrank.com |
|
|
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