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GAMCO Expects to Report Diluted EPS for the Third Quarter 2025 of $0.66 to $0.72 Per Share

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GAMCO Investors (OTCQX: GAMI) has announced preliminary financial results for Q3 2025. The company expects to report diluted earnings of $0.66 to $0.72 per share, compared to $0.69 per share in Q3 2024. Assets under management (AUM) reached $35.0 billion as of September 30, 2025, up from $32.2 billion year-over-year.

Founded in 1977, GAMCO manages assets for 27 open-end funds, 13 U.S. closed-end funds, 5 actively managed ETFs, and approximately 1,900 institutional and private wealth management investors. The company offers diverse investment solutions across various asset classes, regions, and investment styles. Detailed financial results will be reviewed in early November.

GAMCO Investors (OTCQX: GAMI) ha annunciato i risultati finanziari preliminari del trimestre Q3 2025. L’azienda prevede di registrare un utile diluito per azione tra $0.66 e $0.72, rispetto a $0.69 per azione nel Q3 2024. Gli asset in gestione (AUM) hanno raggiunto $35,0 miliardi al 30 settembre 2025, in aumento rispetto a $32,2 miliardi nell’anno precedente.

Fondata nel 1977, GAMCO gestisce asset per 27 fondi comuni aperti, 13 fondi chiusi statunitensi, 5 ETF gestiti attivamente e circa 1.900 investitori istituzionali e di gestione patrimoniale privata. L’azienda offre soluzioni di investimento diversificate su diverse classi di attività, regioni e stili di investimento. Risultati finanziari dettagliati saranno esaminati all’inizio di novembre.

GAMCO Investors (OTCQX: GAMI) ha anunciado resultados financieros preliminares para el tercer trimestre de 2025. La empresa espera reportar ganancias diluidas por acción de $0.66 a $0.72, en comparación con $0.69 por acción en el T3 de 2024. Los activos bajo gestión (AUM) alcanzaron $35.0 mil millones al 30 de septiembre de 2025, frente a $32.2 mil millones un año antes.

Fundada en 1977, GAMCO gestiona activos para 27 fondos abiertos, 13 fondos cerrados estadounidenses, 5 ETF gestionados activamente y aproximadamente 1,900 inversores institucionales y de gestión de patrimonios privados. La empresa ofrece soluciones de inversión diversificadas en diversas clases de activo, regiones y estilos de inversión. Los resultados financieros detallados se revisarán a principios de noviembre.

GAMCO Investors(OTCQX: GAMI)가 2025년 3분기 예비 실적을 발표했습니다. 회사는 희석 주당순이익이 $0.66 ~ $0.72로 보고될 것으로 예상하며, 이는 2024년 3분기의 $0.69와 비교됩니다. 2025년 9월 30일 기준 운용자산(AUM)은 $350억으로 연간 대비 증가했습니다.

1977년 설립된 GAMCO는 27개의 오픈 엔드 펀드, 13개의 미국 폐쇄형 펀드, 5개의 적극적으로 운용되는 ETF, 그리고 약 1,900명의 기관 및 개인 자산 관리 투자자들을 대상으로 자산을 관리합니다. 회사는 다양한 자산 클래스, 지역 및 투자 스타일에 걸쳐 다양한 투자 솔루션을 제공합니다. 상세한 재무 결과는 11월 초에 검토될 예정입니다.

GAMCO Investors (OTCQX : GAMI) a publié des résultats financiers préliminaires pour le T3 2025. L’entreprise prévoit d’annoncer un bénéfice dilué par action compris entre $0.66 et $0.72, contre $0.69 par action au T3 2024. Les actifs sous gestion (AUM) ont atteint $35,0 milliards au 30 septembre 2025, en hausse par rapport à $32,2 milliards il y a un an.

Fondée en 1977, GAMCO gère des actifs pour 27 fonds ouverts, 13 fonds américains fermés, 5 ETF gérés activement et environ 1 900 investisseurs institutionnels et de gestion de patrimoine privé. L’entreprise propose des solutions d’investissement diversifiées sur diverses classes d’actifs, régions et styles d’investissement. Les résultats financiers détaillés seront examinés au début du mois de novembre.

GAMCO Investors (OTCQX: GAMI) hat vorläufige Finanzergebnisse für das Dritteljahr 2025 angekündigt. Das Unternehmen erwartet, verwässerte Gewinne je Aktie von $0.66 bis $0.72 zu melden, verglichen mit $0.69 je Aktie im Q3 2024. Vermögenswerte unter Verwaltung (AUM) erreichten $35,0 Milliarden zum 30. September 2025, gegenüber $32,2 Milliarden vor einem Jahr.

Gegründet im Jahr 1977 verwaltet GAMCO Vermögenswerte für 27 Publikumsfonds, 13 US-Closed-End-Fonds, 5 aktiv verwaltete ETFs und ca. 1.900 institutionelle und private Vermögensverwaltungsinvestoren. Das Unternehmen bietet vielfältige Anlagelösungen über verschiedene Anlageklassen, Regionen und Anlagestile. Detaillierte Finanzergebnisse werden Anfang November geprüft.

GAMCO Investors (OTCQX: GAMI) أعلنت عن نتائج مالية أولية للربع الثالث من عام 2025. وتتوقع الشركة أن تبلغ الأرباح المخفضة للسهم الواحد ما بين $0.66 إلى $0.72، مقارنة بـ $0.69 للسهم في الربع الثالث من عام 2024. كما وصلت الأصول تحت الإدارة (AUM) إلى $35.0 مليار حتى 30 سبتمبر 2025، مرتفعة من 32.2 مليار دولار قبل عام.

تأسست عام 1977، تدير GAMCO أصولاً لـ 27 صندوقاً مفتوحاً، و13 صندوقاً مغلقاً في الولايات المتحدة، و5 ETFs مُدارة بنشاط، وما يقرب من 1,900 مستثمر مؤسسي وتوجيه ثروة خاصة. تقدم الشركة حلول استثمارية متنوعة عبر فئات أصول مختلفة ومناطق وأنماط استثمارية. ستتم مراجعة النتائج المالية المفصلة في أوائل نوفمبر.

GAMCO Investors(OTCQX: GAMI)宣布了2025年第三季度的初步财务业绩。公司预计每股摊薄收益为 $0.66 至 $0.72,较2024年第三季度的 $0.69 每股有所上升。截止2025年9月30日,管理资产规模(AUM)达到 $350亿,较上年同期的 $322亿有所增长。

公司成立于1977年,为27只开放式基金、13只美国封闭式基金、5只积极管理型ETF以及约1,900名机构与私人财富管理投资者管理资产。公司提供覆盖多种资产类别、地区和投资风格的多样化投资解决方案。详细财务业绩将于11月初公布。

Positive
  • AUM increased to $35.0 billion, up 8.7% from $32.2 billion year-over-year
  • Expected Q3 2025 earnings range ($0.66-$0.72) maintains strong profitability
  • Diverse product portfolio across multiple investment vehicles and asset classes
Negative
  • Lower end of expected Q3 2025 EPS range ($0.66) falls below Q3 2024 result ($0.69)

GREENWICH, Conn., Oct. 01, 2025 (GLOBE NEWSWIRE) -- GAMCO Investors, Inc. (“Gabelli”) (OTCQX: GAMI) announced today that assets under management (“AUM”) were $35.0 billion at September 30, 2025 as compared to $32.2 billion at September 30, 2024.

Gabelli expects to report third quarter 2025 diluted earnings in the range of $0.66 to $0.72 per share versus $0.69 per share for the third quarter of 2024.

Gabelli plans to review further details with its financial results in early November.

About GAMCO Investors, Inc.

Gabelli (OTCQX: GAMI), established in 1977, is a widely-recognized provider of investment advisory services to 27 open-end funds, 13 United States closed-end funds and one United Kingdom limited investment company, 5 actively managed exchange traded funds, one société d’investissement à capital variable, and approximately 1,900 institutional and private wealth management investors principally in the U.S. The Company’s revenues are based primarily on the levels of assets under management and fees associated with the various investment products.

In 1977, Gabelli launched its well-known All Cap Value equity strategy, Gabelli Value, in a separate account format and in 1986 entered the mutual fund business. Today, Gabelli offers a diverse set of client solutions across asset classes (e.g. Equities, Debt Instruments, Convertibles, non-market correlated Merger Arbitrage), regions, market capitalizations, sectors (e.g. Gold, Utilities) and investment styles (e.g. Value, Growth). Gabelli serves a broad client base, including institutions, intermediaries, offshore investors, private wealth, and direct retail investors.

CAUTIONARY STATEMENT REGARDING FORWARD-LOOKING STATEMENTS

The financial results set forth in this press release are preliminary. Our disclosure and analysis in this press release, which do not present historical information, contain “forward-looking statements” within the meaning of the U.S. Private Securities Litigation Reform Act of 1995. Forward-looking statements convey our current expectations or forecasts of future events. You can identify these statements because they do not relate strictly to historical or current facts. They use words such as “anticipate,” “estimate,” “expect,” “project,” “intend,” “plan,” “believe,” and other words and terms of similar meaning. They also appear in any discussion of future operating or financial performance. In particular, these include statements relating to future actions, future performance of our products, expenses, the outcome of any legal proceedings, and financial results. Although we believe that we are basing our expectations and beliefs on reasonable assumptions within the bounds of what we currently know about our business and operations, the economy, and other conditions, there can be no assurance that our actual results will not differ materially from what we expect or believe. Therefore, you should proceed with caution in relying on any of these forward-looking statements. They are neither statements of historical fact nor guarantees or assurances of future performance.

Forward-looking statements involve a number of known and unknown risks, uncertainties and other important factors, some of which are listed below, that are difficult to predict and could cause actual results and outcomes to differ materially from any future results or outcomes expressed or implied by such forward-looking statements. Some of the factors that may cause our actual results to differ from our expectations include risks associated with a decline in the securities markets that adversely affect our assets under management, negative performance of our products, the failure to perform as required under our investment management agreements, and a general downturn in the economy that negatively impacts our operations. We also direct your attention to the more specific discussions of these and other risks, uncertainties and other important factors contained in our Annual Report and other public filings. Other factors that could cause our actual results to differ may emerge from time to time, and it is not possible for us to predict all of them. We do not undertake to update publicly any forward-looking statements if we subsequently learn that we are unlikely to achieve our expectations whether as a result of new information, future developments or otherwise, except as may be required by law.

Contact:Kieran Caterina
 SVP, Chief Accounting Officer
 (914) 921-5149
  
 For further information please visit
 www.gabelli.com

FAQ

What is GAMCO's expected earnings per share for Q3 2025?

GAMCO expects to report Q3 2025 diluted earnings between $0.66 and $0.72 per share, compared to $0.69 per share in Q3 2024.

How much are GAMCO's assets under management as of September 2025?

GAMCO's assets under management (AUM) reached $35.0 billion as of September 30, 2025, an increase from $32.2 billion in September 2024.

What investment products does GAMCO Investors manage?

GAMCO manages 27 open-end funds, 13 U.S. closed-end funds, 5 actively managed ETFs, one UK limited investment company, and serves approximately 1,900 institutional and private wealth management investors.

When will GAMCO release its full Q3 2025 financial results?

GAMCO plans to review detailed financial results in early November 2025.

When was GAMCO Investors established?

GAMCO Investors was established in 1977, launching its All Cap Value equity strategy (Gabelli Value) that same year and entering the mutual fund business in 1986.
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