Cowen EBITDA 2006-2021 | COWN

Cowen ebitda from 2006 to 2021. Ebitda can be defined as earnings before interest, taxes, depreciation and amortization.
Cowen Annual EBITDA
(Millions of US $)
2020 $362
2019 $135
2018 $102
2017 $-6
2016 $-19
2015 $4
2014 $-1
2013 $5
2012 $-64
2011 $-97
2010 $-83
2009 $-45
2008 $-11
2007 $-1
2006 $19
2005 $16
Cowen Quarterly EBITDA
(Millions of US $)
2021-06-30 $137
2021-03-31 $258
2020-12-31 $-1
2020-09-30 $146
2020-06-30 $243
2020-03-31 $-26
2019-12-31 $30
2019-09-30 $40
2019-06-30 $56
2019-03-31 $9
2018-12-31 $36
2018-09-30 $15
2018-06-30 $19
2018-03-31 $33
2017-12-31 $3
2017-09-30 $7
2017-06-30 $-10
2017-03-31 $-6
2016-12-31 $-18
2016-09-30 $-13
2016-06-30 $13
2016-03-31 $-1
2015-12-31 $-24
2015-09-30 $24
2015-06-30 $12
2015-03-31 $-8
2014-12-31 $-22
2014-09-30 $11
2014-06-30 $-1
2014-03-31 $11
2013-12-31 $8
2013-09-30 $-1
2013-06-30 $5
2013-03-31 $-7
2012-12-31 $-19
2012-09-30 $-17
2012-06-30 $-12
2012-03-31 $-15
2011-12-31 $-53
2011-09-30 $-14
2011-06-30 $-17
2011-03-31 $-13
2010-12-31 $-24
2010-09-30 $-24
2010-06-30 $-14
2010-03-31 $-20
2009-12-31 $-10
2009-09-30 $-19
2009-06-30 $-12
2009-03-31 $-4
2008-12-31 $-46
2008-09-30 $-5
2008-06-30 $-2
2008-03-31 $3
2007-12-31 $14
2007-09-30 $-5
2007-06-30 $2
2007-03-31 $4
2006-12-31 $10
2006-09-30 $-11
2006-06-30 $7
2006-03-31 $14
2005-09-30 $10
2005-06-30 $-1
Sector Industry Market Cap Revenue
Finance Finance - Investment Banks $1.005B $1.436B
COWEN GROUP, INC., through its operating subsidiaries, provides investment banking, equity research, sales and trading, asset management and alternative asset management services to companies and institutional investor clients in the healthcare, technology, telecommunications, aerospace and defense, consumer and alternative energy sectors. Cowen's asset management business includes teams based in the U.S. and the U.K. Cowen's U.S. team focuses on a growth-oriented investment style centered on small and mid-sized companies based primarily in North America. Cowen's U.K. team provides traditional asset management products, focusing on a global equity strategy. Cowen's alternative asset management business consists of Cowen Healthcare Royalty Partners, which invests principally in commercial-stage biopharmaceutical products and companies, and Cowen Capital Partners, which manages a portfolio of middle market private equity investments for third party investors.
Stock Name Country Market Cap PE Ratio
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Goldman Sachs (GS) United States $131.960B 7.07
Charles Schwab (SCHW) United States $127.271B 25.24
Robinhood Markets (HOOD) United States $36.254B 0.00
Interactive Brokers (IBKR) United States $25.727B 20.38
Tradeweb Markets (TW) United States $19.602B 59.72
Raymond James Financial (RJF) United States $18.344B 14.42
Nomura Holdings Inc ADR (NMR) Japan $15.687B 30.18
LPL Financial Holdings (LPLA) United States $11.781B 22.28
Stifel Financial (SF) United States $7.082B 11.40
SBI Holdings (SBHGF) Japan $5.871B 8.11
Evercore Inc (EVR) United States $5.479B 10.43
Moelis (MC) United States $4.077B 13.85
Piper Sandler (PIPR) United States $2.439B 8.42
UP Fintech Holding (TIGR) China $2.082B 64.50
BGC Partners (BGCP) United States $1.959B 8.76
WisdomTree Investments (WETF) United States $0.890B 19.19
Diamond Hill Investment (DHIL) United States $0.574B 12.72
Oppenheimer Holdings (OPY) United States $0.561B 3.52
Foxtons Group (FXTGY) United Kingdom $0.294B 0.00
Greenhill (GHL) United States $0.266B 7.47
JMP Group LLC (JMP) United States $0.149B 7.56
Siebert Financial (SIEB) United States $0.111B 20.88
Takung Art (TKAT) Hong Kong, SAR China $0.102B 0.00