NYSE:LM - Legg Mason, Inc.
$32.83
 $-0.15
-0.45%
4:00PM EDT
2019-04-18
Legg Mason, Inc., incorporated on January 13, 1981, is a holding company. The Company and its subsidiaries are principally engaged in providing asset management and related financial services to individuals, institutions, corporations and municipalities. The Company operates through Global Asset Management segment. Global Asset Management provides investment advisory services to institutional and individual clients and to the Company-sponsored investment funds. The Company, through its subsidiaries, provides investment management and related services to institutional and individual clients, Company-sponsored investment funds and retail separately managed account programs. The Company offers its products and services directly and through various financial intermediaries. The Company has operations principally in the United States and the United Kingdom and also have offices in Australia, Bahamas, Brazil, Canada, Chile, China, Dubai, France, Germany, Italy, Japan, Luxembourg, Poland, Singapore, Spain, Switzerland and Taiwan.The Company has investments across fixed income and equities in markets around the world. The Company's assets under management (AUM) are managed across the asset classes, such as equity, fixed income and liquidity. Read more at  reuters.com
sector:  finance
industry:  asset management custody banks
the data below are updated and published after 9pm EDT each trading day
  LM     avg for
industry  
  avg for
sector  
42 stocks weight:  209. 15   302. 32   256. 37  
42 stocks rank:  1. 17 K 973. 83   972. 78  
# analyst opinions:  11. 00   10. 92   11. 54  
mean recommendation:  2. 60   1. 48   1. 93  

quick ratio:  1. 48   1. 25   0. 92  
current ratio:  1. 77   1. 41   1. 16  

ex-dividend date:     2019-03-24
dividend rate:  1. 36   1. 83   1. 89  
dividend yield:  4. 81 % 5. 60 % 3. 37 %
target price low:  25. 00   35. 52   66. 56  
target price avg:  31. 91   43. 49   77. 31  
target price high:  36. 00   50. 14   88. 30  
1-yr high:  39. 70   44. 96   83. 36  
last close:  32. 83   39. 96   74. 37  
50-day avg:  29. 50   37. 84   71. 99  
200-day avg:  29. 74   38. 25   71. 02  
1-yr low:  23. 51   30. 60   59. 43  
volume:  1. 23 M 1. 61 M 9. 91 M
50-day avg volume:  1. 05 M 1. 84 M 5. 89 M
200-day avg volume:  949. 14 K 2. 36 M 6. 28 M

1-day return:  -0. 45 % 3. 20 % 0. 05 %
this week return:  0. 12 % 3. 89 % 0. 28 %
12-wk return:  13. 76 % 13. 64 % 6. 53 %
52-wk return:  -15. 70 % 4. 55 % -0. 83 %

enterprise value (EV):  4. 58 B 23. 77 B 1. 96 T
market cap:  2. 81 B 20. 63 B 79. 38 B
EBITDA:  565. 86 M 79. 24 M 753. 55 M
enterprise multiple (EV/EBITDA):  8. 10   6. 84   6. 10  
enterprise/revenue (EV/R):  1. 53   7. 16   5. 59  
total revenue:  3. 00 B 3. 72 B 19. 46 B
total debt:  2. 22 B 9. 05 B 99. 72 B
debt/equity:  51. 31   94. 40   68. 85  
net income (common):  -72. 41 M 822. 08 M 4. 80 B

shares outstanding:  85. 54 M 335. 64 M 4. 88 B
shares:  84. 30 M 312. 90 M 544. 65 B
shares short:  3. 01 M 12. 41 M 11. 40 M
shares short prior month:  2. 86 M 11. 97 M 11. 22 M
short ratio:  3. 34   6. 05   3. 52  
short % of float:  3. 57 % 2. 87 % 1. 52 %
total cash/share:  12. 91   10. 83   62. 16  
total cash:  1. 10 B 2. 64 B 132. 76 B
free cash flow:  464. 25 M 46. 62 M 340. 54 M
operating cash flow:  645. 11 M -754. 26 M 6. 20 B

book value:  42. 38   15. 60   38. 57  
price/book:  0. 77   3. 77   3. 32  
gross profits:  1. 15 B 3. 22 B 734. 13 B
operating margins:  16. 47 % 41. 15 % 24. 61 %
EBITDA margins:  18. 89 % 6. 40 % 14. 54 %
profit margins:  -2. 29 % 22. 31 % 24. 40 %
gross margins:  37. 97 % 69. 07 % 27. 78 %

1-yr max volatility:  5. 44 % --- ---
1-yr mean volatility:  -0. 05 % 0. 04 % 0. 01 %

1-yr EPS:  -0. 86   2. 36   4. 15  
forward EPS:  2. 81   3. 31   5. 07  
P/E:  -38. 22   6. 34   32. 84  
forward P/E:  11. 67   11. 59   17. 04  
PE/G:  3. 41   27. 41   -65. 00  
growth:  -11. 20 % -15. 44 % 50. 58 %
earnings high:  0. 65   0. 72   1. 12  
earnings avg:  0. 54   0. 63   1. 04  
earnings low:  0. 48   0. 56   0. 95  
revenue high:  700. 00 M 1. 11 B 5. 50 B
revenue avg:  690. 91 M 952. 95 M 5. 34 B
revenue low:  668. 50 M 783. 79 M 5. 18 B
return on assets:  3. 91 % 6. 28 % 2. 28 %
return on equity:  -0. 68 % 16. 61 % 16. 18 %
revenue growth:  -11. 20 % -20. 45 % 13. 00 %
revenue/share:  35. 16   12. 55   21. 11  

beta (1yr vs S&P500):  0. 93   1. 01   0. 76  
sharpe (1yr):  -0. 49   0. 58   0. 14  

held % insiders:  2. 17 % 5. 62 % 6. 03 %
held % institutions:  85. 87 % 62. 68 % 56. 97 %

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the data below are updated and published after 9pm EDT each trading day

2019-04-19 : LM
.    + 4.871 =         4.871 :: INITIAL WEIGHT
.   + 45.005 =        49.876 :: inverse volume-to-price addition
.     + 20.9 =        70.776 :: spline projection addition
.    x 6.414 =       453.927 :: 13 weeks' performance factor
.    x 0.962 =       436.876 :: one-year gains+dividend factor
.     x 1.63 =       712.225 :: industry recommendation factor
.    x 1.131 =       805.403 :: symbol recommendation factor
.    x 1.214 =       977.477 :: EV/R factor
.    x 1.576 =      1540.184 :: return on assets factor
.      x 1.0 =      1540.079 :: return on equity factor
.    x 0.999 =      1538.354 :: revenue growth factor
.    x 2.744 =      4221.361 :: current ratio factor
.    x 1.564 =      6602.609 :: quick ratio factor
.     x 1.14 =      7526.398 :: short ratio factor
.    x 2.008 =     15111.096 :: price-to-book factor
.    x 1.242 =     18774.375 :: debt-to-equity factor
.    x 1.348 =     25301.625 :: EBITDA multiple vs industry factor
.    x 2.678 =     67754.016 :: EBITDA multiple factor
.    x 1.103 =     74745.301 :: 5-day avg > 200-day avg
.    x 1.112 =     83141.548 :: 5-day avg > 50-day avg
.    x 1.793 =    149109.182 :: P/E weight
.    x 0.736 =    109708.294 :: PE/G factor
.    x 1.697 =    186178.691 :: beta factor
.    x 0.493 =     91714.482 :: sharpe factor
.    x 0.951 =     87235.458 :: target low factor
.     x 0.97 =     84647.088 :: target mean factor
.    x 1.031 =     87277.393 :: target high factor
.    x 1.457 =    127147.674 :: industry 2-weeks return factor
.    x 0.997 =    126707.822 :: "drift" penalty 1 days ago
.    x 0.999 =    126597.466 :: overall "drift" factor
.    x 0.946 =    119704.874 :: largest single-day jump factor
.     x 1.01 =     120901.34 :: mean volatility factor
.    x 1.099 =    132837.217 :: 42-day mean volatility factor
.    x 1.001 =    133012.369 :: factor hist industry gain for week 15
.   cubeRoot =        51.046 :: reduced to standardize
.  + 158.103 =       209.149 :: add/subtract for performance
.                    209.149 :: FINAL WEIGHT for NYSE:LM


 


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