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If You Invested in Cohen Company (COHN)

Security Brokers, Dealers & Flotation Companies · Capital Markets · NYSE
Looking for the live price? See the COHN quote & overview
$1,000 invested 1 Year Ago
$1,302
+30.2% total 30.7% CAGR
Bought on Jul 7, 2025 at $10.08
$1,000 invested 5 Years Ago
$664
-33.6% total -7.9% CAGR
Bought on Jul 6, 2021 at $19.77

What $1,000 or $10,000 in COHN Would Be Worth Today

Real historical value by amount invested and how long ago
If you invested 1 year ago 5 years ago 10 years ago Since Jul 6, 2015
$1,000 $1,302 +30% $664 -34% $1,600 +60% $944 -6%
$10,000 $13,016 +30% $6,636 -34% $16,000 +60% $9,439 -6%

Based on real historical closing prices through the latest market close. Past performance does not guarantee future results.

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$1,000 Investment Over Time

COHN vs S&P 500

Year-by-Year Returns

COHN annual performance
Year Start Price End Price Annual Return Cumulative
2017 $12.10 $8.02 -33.7% -33.7%
2018 $8.20 $8.43 +2.8% -30.3%
2019 $9.47 $3.95 -58.3% -67.4%
2020 $3.77 $16.34 +333.3% +35.0%
2021 $15.88 $14.81 -6.7% +22.4%
2022 $15.21 $8.34 -45.2% -31.1%
2023 $8.15 $6.65 -18.4% -45.0%
2024 $6.70 $10.35 +54.5% -14.5%
2025 $10.30 $23.57 +128.8% +94.8%
2026 $24.99 $13.12 -47.5% +8.4%

About Cohen Company

Security Brokers, Dealers & Flotation Companies · NYSE

Cohen & Company Inc (NYSE American: COHN) is a financial services company that focuses on capital markets, asset management, and principal investing activities. The firm specializes in fixed income markets and provides an expanding range of capital markets and asset management services through a set of defined operating segments. According to company disclosures, these segments are Capital Markets, Asset Management, and Principal Investing, each contributing different revenue sources and risk profiles.

Capital Markets Segment

The Capital Markets segment is a core part of Cohen & Company’s business. It consists of fixed income sales and trading, gestation repo financing, new issue placements in corporate and securitized products, underwriting, and advisory services. These activities operate primarily through subsidiaries, including Cohen & Company Securities, LLC in the United States and Cohen & Company Financial (Europe) S.A. in Europe. The segment also includes investment returns on financial instruments that the company receives as consideration for advisory, underwriting, and new issue placement services provided by Cohen & Company Capital Markets.

A division of Cohen & Company Securities, Cohen & Company Capital Markets (CCM) operates as a full-service boutique investment bank. CCM focuses on mergers and acquisitions (M&A), capital markets transactions, and SPAC advisory services. Company releases describe CCM as providing strategic counsel and execution capabilities for middle-market and growth companies that are navigating complex transactions. In recent periods, CCM has generated substantial new issue and advisory revenue across multiple clients and has been a significant contributor to the firm’s overall results.

SPAC and Frontier-Technology Focus

Cohen & Company has developed a notable presence in the SPAC ecosystem through both advisory and principal investing activities. CCM has advised on numerous de-SPAC transactions and has underwritten SPAC IPOs, and has been described in company communications as a leading SPAC advisor on Wall Street based on announced or closed de-SPAC transactions. The firm also sponsors and invests in SPAC-related vehicles through its Principal Investing segment and equity method affiliates.

The company has highlighted its work with digital asset, quantum, and rare earth SPAC IPOs, and has characterized Cohen & Company Capital Markets as the leading SPAC bank globally in a recent year based on its activity. In addition, J.V.B. Financial Group, LLC (now renamed Cohen & Company Securities, LLC) launched a SPAC-focused equity trading platform, designed to complement CCM’s SPAC advisory and underwriting work by adding dedicated trading capability in SPAC equities.

Asset Management Segment

The Asset Management segment manages assets through collateralized debt obligations (CDOs), managed accounts, joint ventures, and investment funds. Company disclosures state that assets under management are primarily in fixed income asset classes. These include European and U.S. bank and insurance trust preferred securities, debt issued by small and medium sized European, U.S., and Bermudian insurance and reinsurance companies, equity interests of SPACs and their sponsor entities, and commercial real estate loans. Over time, Cohen & Company has sold certain legacy Alesco CDO management contracts, and related transactions have been reflected in asset management revenue and gains on sale of management contracts.

Principal Investing Segment

The Principal Investing segment is comprised primarily of investments that Cohen & Company holds for the purpose of earning an investment return, rather than to support trading, matched book repo, or other Capital Markets activities. Disclosures emphasize that this segment includes investments related to the company’s SPAC franchise and other positions taken for investment purposes. Results from principal investing can be volatile, as they reflect mark-to-market changes in the value of these holdings, including founder shares and other interests in post-business combination companies and SPAC-related funds.

Geographic Footprint and Subsidiaries

Cohen & Company’s public communications identify activity in the United States and Europe. In the U.S., operations run primarily through Cohen & Company Securities, LLC (formerly J.V.B. Financial Group, LLC), a broker-dealer that specializes in securities financing and the sales and trading of fixed income securities. In Europe, the firm operates through Cohen & Company Financial (Europe) S.A. The company has also announced the opening of a Houston office as a hub for energy and energy transition advisory services within Cohen & Company Capital Markets.

Energy and Energy Transition Advisory

Recent announcements describe an expansion of Cohen & Company Capital Markets into energy, power, and infrastructure advisory. The firm has appointed senior leadership to its Energy and Energy Transition team and launched a Houston office to serve as the center for these activities. The Houston office focuses on four verticals: firm and scalable energy systems (including nuclear and geothermal platforms), critical energy supply chains (covering critical minerals, processing, and technology sectors), energy transition fuels and technologies (such as sustainable fuels and decarbonization solutions), and traditional energy and portfolio evolution for conventional energy operators.

Business Model Characteristics

Across its segments, Cohen & Company participates in fixed income trading and financing, advisory and underwriting, asset management, and principal investing. The Capital Markets segment generates revenue from net trading, new issue and advisory activities, and related principal transactions. The Asset Management segment earns management and performance fees from managed vehicles and accounts. The Principal Investing segment reflects gains and losses from positions held for investment, including SPAC-related holdings and other financial instruments.

Company filings and earnings releases show that results can be influenced by market conditions, deal activity, and mark-to-market movements in investment portfolios. Variable compensation expenses are tied to revenue performance, and the firm’s equity and assets under management figures are disclosed periodically in its financial reports.

Stock and Regulatory Context

Cohen & Company Inc. is incorporated in Maryland and files reports with the U.S. Securities and Exchange Commission under Commission File Number 1-32026. The company’s common stock trades on the NYSE American under the ticker symbol COHN. It has filed multiple Current Reports on Form 8-K to disclose quarterly financial results, special dividends, SPAC-related transactions, loan agreement amendments, and the sale of certain asset management contracts.

Role in Securities and Commodity Exchanges Industry

Within the broader finance and insurance sector, Cohen & Company is classified in the securities and commodity exchanges and related financial services space. Its activities span broker-dealer operations, investment banking, securities financing, asset management, and principal investment in structured and SPAC-related assets. For investors and market participants, COHN stock represents exposure to a firm whose performance is linked to capital markets activity, fixed income trading, advisory deal flow, and the value of its investment positions.

FAQs about Cohen & Company Inc (COHN)

Market Cap
$0.0B
Current Price
$13.12
EPS
$4.35
Revenue
$0.3B
Net Margin
5.2%
View full COHN overview

Frequently Asked Questions

Cohen Company investment returns

How much would $1,000 invested in Cohen Company be worth today?

If you invested $1,000 in Cohen Company (COHN) 10 years ago on 2016-07-05, your investment would be worth $1,600 today, representing a +60.0% total return, growing at a compounded rate of 4.8% per year (CAGR).

Has Cohen Company outperformed the S&P 500?

Over the past 10 years, COHN returned +60.0% compared to +257.4% for the S&P 500, underperforming the benchmark by 197.4 percentage points.

What is Cohen Company's average annual return?

The compound annual growth rate (CAGR) of COHN over the past 10 years is 4.8%, growing at a compounded rate each year. Individual years vary significantly — COHN's best recent year was 2020 (+333.3%) and worst was 2019 (-58.3%).

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