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This represents a $0.04 annualized dividend and a yield of 0.91%. BGC Partners’ stock was trading at $3.77 at the start of the year. Since then, BGCP shares have increased by 16.2% and is now trading at $4.38. The company’s average rating score is 3.00, and is based on 1 buy rating, no hold ratings, and no sell ratings.

BGC Partners’ Earnings Declined Over Five Years, Contributing To Shareholders’ 45% Loss – Simply Wall St

BGC Partners’ Earnings Declined Over Five Years, Contributing To Shareholders’ 45% Loss.

Posted: Thu, 12 Jan 2023 08:00:00 GMT [source]

2,632,960P/E RatioThe price/earnings ratio also referred to as the P/E ratio, tells investors how much a corporation is worth. The P/E ratio is the stock price divided by the corporation’s earnings per share for a chosen period, like the past 12 months. The price/earnings ratio conveys how much investors will pay per share. The average rating score is and is based on 2 buy ratings, 0 hold ratings, and 0 sell ratings.

We see that BGCP’s technical picture suggests that short-term indicators denote the stock is a 50% Buy on average. However, medium term indicators have put the stock in the category of 100% Buy while long term indicators on average have been pointing out that it is a 100% Buy. Actively observing the price movement in the last trading, the stock closed the session at $5.03, falling within a range of $4.83 and $5.04. The value of beta (5-year monthly) was 1.87 whereas the PE ratio was 40.00 over 12-month period.

BGC Partners Inc. (BGCP): Technical Analysis

On the other hand, the price of Intercontinental Exchange Inc. has risen 0.99% on the day. The stock, however, is off -27.73% from where it was a year ago. The PE ratio stands at 40.00 for BGC Partners Inc., compared to 23.46 for Nasdaq Inc., and 37.92 for Intercontinental Exchange Inc. Other than that, the overall performance of the S&P 500 during the last trading session shows that it gained 0.56%. Revisions could be a useful indicator to get insight on short-term price movement; so for the company, there were no upward and no downward review in last seven days.

Presently, BGC Partners Inc. shares are logging -3.45% during the 52-week period from high price, and 77.33% higher than the lowest price point for the same timeframe. The stock’s price range for the 52-week period managed to maintain the performance between $3.00 and $5.51. Volatility was left at 4.54%, however, over the last 30 days, the volatility rate increased by 5.73%, as shares sank -11.34% for the moving average over the last 20 days. Over the last 50 days, in opposition, the stock is trading -0.23% lower at present. According a new report published by BloombergNEF on investment in the energy transition, annual spending on passenger EVs hit $388 billion in 2022, up 53% from the year before. Like we said, the boom is accelerating – and the time to buy EV-related tech stocks is now.

  • Data indicates that the EPS growth is expected to be 4.60% in 2023, while the next year’s EPS growth is forecast to be 25.00%.
  • Information is provided ‘as-is’ and solely for informational purposes, not for trading purposes or advice, and is delayed.
  • NEW YORK — Nasdaq OMX Group Inc. stock fell nearly 9% on Tuesday, after the announcement of its acquisition of eSpeed, an electronic Treasury trading platform, from BGC Partners, .
  • News Corp is a global, diversified media and information services company focused on creating and distributing authoritative and engaging content and other products and services.
  • LONDON, Jan Britain’s FTSE 100 .FTSE index is seen opening down 38 to 63 points, or as much as 1 percent lower on Wednesday, according to financial bookmakers.

BGC Partners Inc – Ordinary Shares – Class A’s P/E ratio is 35.18. According to 8 analysts, the average rating for BGCP stock is “Buy.” The 12-month stock price forecast is $8.42, which is an increase of 96.73% from the latest price. BGC Partners issued an update on its first quarter 2023 earnings guidance on Monday, February, 27th.

38.7692PEG RatioThe PEG ratio is a corporation’s price/earnings ratio divided by its earnings growth rate over a time frame (commonly the next 1-3 years). The PEG ratio adjusts the traditional P/E ratio through considering the growth rate in earnings per share that are anticipated in the future. Moody’s Daily Credit Risk Score is a 1-10 score of a company’s credit risk, based on an analysis of the firm’s balance sheet and inputs from the stock market.

Screen for heightened risk individual and entities globally to help uncover hidden risks in business relationships and human networks. LONDON, Jan Britain’s FTSE 100 .FTSE index is seen opening down 38 to 63 points, or as much as 1 percent lower on Wednesday, according to financial bookmakers. Take your analysis to the next level with our full suite of features, known and used by millions throughout the trading world. BGC Partners doesn’t possess the right combination of the two key ingredients for a likely earnings beat in its upcoming report. This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply. Bear market expert makes new predictionNobody believed Larry Benedict’s prediction in February 2020.


4.676 Dividend Per ShareDividend per share is the sum of declared dividends issued by a corporation for every regular share outstanding. 6.04%EBITDAEarnings before interest, taxes, depreciation and amortization are abbreviated as EBITDA. It is one of the most popular indicators of a company’s financial stability and capacity for cash flow. $1,545,340,000Operating Margin TTMThis value measures the percentage of revenues remaining after the company paid all the operating expenses.


They are distinguished from treasury shares, which are shares held by the corporation itself, thus not representing any exercised rights. Reuters, the news and media division of Thomson Reuters, is the world’s largest multimedia news provider, reaching billions of people worldwide every day. Reuters provides business, financial, national and international news to professionals via desktop terminals, the world’s media organizations, industry events and directly to consumers.

Earnings Transcripts

On average, they anticipate the company’s share price to reach $8.00 in the next twelve months. This suggests a possible upside of 82.6% from the stock’s current price. View analysts price targets for BGCP or view top-rated stocks among Wall Street analysts. Built upon the foundation of cutting edge technology and exceptional talent, BGC Partners is a pioneering global brokerage and financial technology company servicing the financial markets. We are agile and dynamic in our approach, delivering world-class products to our diverse customer base on a daily basis. BGC Partners, Inc. is a financial brokerage and technology company.

list of nobel laureates by country PARTNERS, INC. is a leading global full-service inter-dealer broker, specializing in the trading of financial instruments and related derivatives products. BGC Partners provides integrated voice, hybrid, and fully electronic execution and other brokerage services to some of the world’s largest and… A comparison of BGC Partners Inc. with its peers suggests the former has fared considerably weaker in the market. BGCP showed an intraday change of 0.20% in last session, and over the past year, it grew by 12.75%%. In comparison, Nasdaq Inc. has moved higher at 1.10% on the day and was down -8.57% over the past 12 months.

Why Heska Shares Are Trading Higher By 20%? Here Are Other … – UK

Why Heska Shares Are Trading Higher By 20%? Here Are Other ….

Posted: Mon, 03 Apr 2023 18:40:00 GMT [source]

0.04 Dividend YieldThe financial term dividend yield measures the percentage of a company’s shares that is paid out in dividends each year. 327,949,000Shares FloatA company’s float refers to the number of shares regularly issued to the public. Any restricted stock is subtracted from this number to get the actual number of publicly available shares. N/aShares OutstandingShares outstanding are all shares of a corporation that have been authorized, issued, and purchased by investors and are owned by them.

Bgc Partners, Inc. Provides Revenue Guidance for Third Quarter 202

According to the current price, BGC Partners is 142.43% away from the 52-week low. According to the current price, BGC Partners is 77.75% away from the 52-week high. The 2 analysts offering price forecasts for BGC Partners have a median target of 7.50, with a high estimate of 8.00 and a low estimate of 7.00.

Here at Zacks, our focus is on the proven Zacks Rank system, which emphasizes earnings estimates and estimate revisions to find great stocks. Nevertheless, we are always paying attention to the latest value, growth, and mo… BGC Partners declared a quarterly dividend on Monday, February 27th. Shareholders of record on Friday, March 17th will be paid a dividend of $0.01 per share on Friday, March 31st.


Held in commemoration of the 658 Cantor employees and 61 Eurobrokers employees lost in the 9/11 World Trade Center attacks, Charity Day is our way of turning a tragic day into one that is positive and uplifting by helping others. BGC’s exeptional team of professionals are key drivers to our business strategy. Recruiting and retaining top tier talent is vital to our success and elevating our brand reputation. For more information on the positions we are currently recruiting for please visit our Careers page.

Newmark serves clients from more than 100 offices in North America and through our partnership with London-based Knight Frank. For more information on our Real Estate Services business please visit here. BGC has invested more than $1.7 billion in technology since 1998 initially with our legacy products through eSpeed. These investments support the growing and complex needs of our clients, strengthen the effectiveness of our Financial Services and Real Estate businesses, and sets us apart from our competition. BGC Partners shares soared 6.5% in the last trading session to close at $5.40.

Information is provided ‘as-is’ and solely for informational purposes, not for trading purposes or advice, and is delayed. To see all exchange delays and terms of use please see Barchart’s disclaimer. 136 employees have rated BGC Partners Chief Executive Officer Howard W. Lutnick on Howard W. Lutnick has an approval rating of 45% among the company’s employees. This puts Howard W. Lutnick in the bottom 10% of approval ratings compared to other CEOs of publicly-traded companies.

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MarketRank is calculated as an average of available category scores, with extra weight given to analysis and valuation. Upgrade to MarketBeat All Access to add more stocks to your watchlist. Measures how much net income or profit is generated as a percentage of revenue.

The company issued revenue guidance of $515.00 million-$565.00 million, compared to the consensus revenue estimate of $509.89 million. The BGC Partners 52-week low stock price is 3.00, which is 31.5% below the current share price. The BGC Partners 52-week high stock price is 5.51, which is 25.8% above the current share price.

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