Follow the Cohen & Co Inc. stock price and the full directors' dealings record of the company, a publicly traded company based in United States. Shares are listed on US US, under the authority of SEC (Form 4). Operating in the Finance & Banking sector, Cohen & Co Inc. has published 40 insider filings. Market capitalisation: €31.2m. The latest transaction was disclosed on 5 February 2025 (Retenue fiscale). Among the most active insiders: Listman Douglas. Every trade is free.
Informational score on this market. Our backtest validates the signal only on 8 EU venues; elsewhere (notably US markets) insider buys historically invert or do not hold. Not a recommendation.
Transparent value + quality ranking, distinct from the insider signal.
Fundamental view, insider signal, bull and bear case, synthesis.
AI-generated analysis. Opinion, not investment advice. Not backtested. Built from public filings and financials. No price target, no buy or sell recommendation.
25 of 40 declarations
Cohen & Company Inc. (NYSE American: COHN) is a U.S.-based financial services company focused on fixed income markets, asset management, and principal investing. Founded in 1999 as a private investment firm with an initial emphasis on small financial institutions, the company has steadily evolved toward debt financing, securitization, and specialized capital-markets activities. Its headquarters are in Philadelphia, Pennsylvania, United States, and it also maintains a meaningful European footprint, including offices and operations linked to Paris and London. The business is organized into three operating segments. Capital Markets covers fixed income sales and trading, gestation repo financing, new-issue placements in corporate and securitized products, and advisory and investment-banking services through Cohen & Company Securities, LLC and Cohen & Company Capital Markets. Asset Management is built around managed accounts, funds, collateralized debt obligations, and other structured vehicles, with a niche reputation in financing and managing assets related to insurance and reinsurance companies across the U.S., Europe, and Bermuda. Principal Investing consists of balance-sheet investments, including positions associated with the firm’s SPAC franchise and other proprietary investments intended to generate investment returns. From a competitive standpoint, Cohen & Company is best viewed as a boutique specialist rather than a scale-driven universal franchise. Its edge lies in technical expertise across rates, structured products, MBS/ABS, municipal securities, and selected specialty financing niches, combined with long-standing relationships with issuers, investors, and mid-market financial institutions. That positioning gives it exposure to less crowded segments of the market, but also makes earnings more sensitive to capital-markets conditions, liquidity, and issuance cycles. Key offerings include bond sales and trading, structured-product placement, repo financing, new-issue origination, M&A and SPAC advisory, debt portfolio management, and financing solutions for financial institutions and insurers. Geographically, the firm combines a U.S. base with a selective but important European presence, which supports transatlantic activity and cross-border specialty transactions. Recent highlights include the release of fourth-quarter and full-year 2025 results on March 6, 2026, followed by first-quarter 2026 results on May 1, 2026. In February 2026, the company also announced a new leadership appointment to expand coverage of space technology, aerospace, and communications infrastructure. For investors, COHN remains a niche micro/small-cap financial name with a specialized platform, international reach, and earnings leverage to the fixed-income cycle rather than to broad retail banking or mass-market financial services.