Cohen & Company Inc.

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ESG risk
ESG risk is a measure of how well a company manages material ESG risks. Sustainalytics’ ESG risk category is designed to help investors identify and understand financially material ESG risks at the company level and how they might affect the long-term performance for equity investments. The scale is from 0-100. The lower the risk, the better (0 is equivalent to no risk and 100 the most severe).
Download ESG risk methodology (PDF)Financials
About Cohen & Company Inc.
Cohen & Co Inc is a United States company that delivers financial services in fixed-income markets. It is focused on small-cap banking institutions and has grown to provide an expanding range of capital markets and asset management services. It has three business segments. The Capital Markets segment, which is the key revenue driver, consists of fixed-income sales, trading, matched book repo financing, new issue placements in corporate and securitized products, and advisory services. The Asset Management segment manages assets within collateralized debt obligations, managed accounts, joint ventures, and investment funds. The Principal Investing segment is comprised of investments to earn return rather than to support trading, matched book repo, or other Capital Markets segment activities.
Frequently asked questions
You need to open and fund a Saxo account to buy Cohen & Company Inc. stock. Once the account is approved, you can login to the platform (SaxoInvestor or SaxoTrader), search for Cohen & Company Inc. (by name) or ‘COHN’ (by ticker), choose the number of shares you wish to buy, and place your order.
The ticker symbol for Cohen & Company Inc. is COHN. You can use this code to find the stock in our platforms and track its price and performance.
Cohen & Company Inc. has its primary listing on NYSE American. You can trade Cohen & Company Inc. with a Saxo account, alongside thousands of other stocks worldwide.
Yes, Cohen & Company Inc. is available to trade on SaxoInvestor and SaxoTrader. You can buy Cohen & Company Inc. stock directly and include it as part of a broader investment portfolio.
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