Silvercrest Asset Management Group Inc. (SAMG)

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CIK 0001549966 · Nasdaq · Investment Advice

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

In fiscal 2025, Silvercrest Asset Management Group Inc. reported revenue of $125.32M, up 1.3% from the prior year. The company was profitable, with a net margin of 3.9%. It held $166.61M in total assets against $81.72M in total liabilities.

Key ratios (FY2025)

7.4%
Operating margin
3.9%
Net margin
9.7%
Return on equity
+1.3%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$125.32M$123.65M$117.41M$123.22M$131.60M$107.98M$102.15M$98.67M$91.36M$80.26M
Operating Income$9.32M$17.63M$18.82M$38.56M$30.52M$22.28M$18.87M$21.15M$20.37M$14.64M
Net Income$4.88M$9.54M$9.09M$18.83M$14.69M$9.96M$8.65M$9.63M$5.34M$5.01M
EPS (Diluted)$0.56$1.00$0.96$1.92$1.52$1.05$0.98$1.16$0.66$0.62
Total Assets$166.61M$194.43M$199.57M$212.68M$229.32M$213.80M$214.25M$133.36M$117.36M$112.28M
Total Liabilities$81.72M$74.74M$77.76M$86.84M$112.51M$110.41M$116.44M$50.96M$45.24M$46.20M
Shareholders' Equity$50.27M$80.70M$82.74M$84.59M$80.35M$70.68M$65.04M$56.05M$49.09M$47.30M
Cash & Equivalents$44.07M$68.61M$70.30M$77.43M$85.74M$62.50M$52.83M$69.28M$53.82M$37.52M
Operating Cash Flow$18.61M$21.59M$20.98M$23.38M$44.28M$26.85M$18.77M$28.86M$29.59M$17.98M
Capital Expenditures$3.63M$1.70M$3.88M$956.0K$908.0K$626.0K$3.81M$1.76M$804.0K$723.0K
Shares Outstanding8.79M9.53M9.46M9.82M9.69M9.51M8.80M8.30M8.12M8.04M