Och-Ziff Capital Management Group LLC (OZM) reported quarterly earnings results on Tuesday, May-3-2016. The company reported $0.11 earnings per share for the quarter, missing the analyst consensus estimate by $-0.02. Analysts had a consensus of $0.13. The company posted revenue of $188.44 million in the period, compared to analysts expectations of $175.42 million. The company’s revenue was down -43.4% compared to the same quarter last year. During the same quarter in the previous year, the company posted $0.15 EPS.
Many Wall Street Analysts have commented on Och-Ziff Capital Management Group LLC. Shares were Downgraded by Compass Point on Feb 12, 2016 to ” Neutral” and Lowered the Price Target to $ 5.50 from a previous price target of $7.50 .
Och-Ziff Capital Management Group LLC (OZM) witnessed a volatile trading activity on Monday , and eventually ended flat at 0.00% or 0 points without letting the bulls or bears take much advantage. The trading began at $4.07 and reached the intraday high at $4.09. The bulls started the profit booking and pushed the shares to intraday low of $3.95. The trading session was marked by a volume range of 13,45,182 shares exchanging hands. The 52-week high of the shares is $13.49 and the 52-week low is $2.89. The market cap of the company stands at $1,914 M and there are 47,85,06,490 shares in public circulation.
Och-Ziff Capital Management Group LLC (Och-Ziff) is a global institutional alternative asset manager. The Company provides asset management services through its funds which pursue a range of global investment opportunities. The Company offers customized solutions within and across its product platforms to help its fund investors meet their investment objectives. The Company operates through two segments: the Och-Ziff Funds segment and real estate business. The Och-Ziff Funds segment provides asset management services to its multi-strategy funds dedicated credit funds and other alternative investment vehicles. The Companys real estate business provides asset management services to its real estate funds. As of December 31 2014 the Company managed approximately $34.1 billion of assets under management in its multi-strategy funds or 72% of its total assets under management.