COHEN & STEERS, INC. (CNS)

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CIK 0001284812 · NYSE · Investment Advice

  • Sector Finance & Real Estate
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, COHEN & STEERS, INC. reported revenue of $556.12M, up 7.5% from the prior year. The company was profitable, with a net margin of 27.6%. It held $876.69M in total assets against $242.85M in total liabilities.

Key ratios (FY2025)

32.0%
Operating margin
27.6%
Net margin
27.3%
Return on equity
+7.5%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$556.12M$517.42M$489.64M$566.91M$583.83M$427.54M$410.83M$381.11M$378.70M$351.50M
Operating Income$177.74M$172.88M$164.48M$215.94M$260.37M$95.06M$160.13M$147.04M$154.75M$135.51M
Net Income$153.22M$151.26M$129.05M$171.04M$211.40M$76.58M$134.62M$113.90M$91.94M$92.94M
EPS (Diluted)$2.97$2.97$2.60$3.47$4.31$1.57$2.79$2.40$1.96$2.00
Total Assets$876.69M$812.37M$736.55M$673.38M$492.69M$348.45M$402.42M$481.04M$410.12M$333.73M
Total Liabilities$242.85M$237.46M$243.91M$246.44M$148.36M$123.55M$135.30M$144.20M$86.79M$67.06M
Shareholders' Equity$561.95M$511.71M$381.23M$337.55M$255.18M$174.24M$213.70M$222.65M$275.54M$265.81M
Cash & Equivalents$145.45M$182.97M$187.44M$247.42M$184.37M$41.23M$101.35M$92.73M$193.45M$183.23M
Operating Cash Flow-$120.44M$96.69M$171.96M$61.68M$242.90M$89.19M$141.44M$72.60M$64.25M$114.96M
Capital Expenditures$5.98M$11.65M$56.99M$4.22M$2.69M$2.50M$2.75M$3.47M$3.24M$10.18M
Shares Outstanding51.53M50.94M49.55M49.30M49.09M48.68M48.30M47.38M46.98M46.43M
Dividends Per Share$2.48$2.36$2.28$2.20$3.05$2.56$3.44$3.82$2.12$1.54