Och-Ziff Capital Management Group LLC Current Ratio 2008-2019 | OZM

Och-Ziff Capital Management Group LLC current ratio from 2008 to 2019. Current ratio can be defined as a liquidity ratio that measures a company's ability to pay short-term obligations.
Och-Ziff Capital Management Group LLC Current Ratio Historical Data
Date Current Assets Current Liabilities Current Ratio
2019-03-31 $0.68B $0.35B 1.93
2018-12-31 $0.87B $0.45B 1.92
2018-09-30 $0.71B $0.42B 1.68
2018-06-30 $0.72B $0.40B 1.84
2018-03-31 $1.17B $0.37B 3.18
2017-12-31 $1.58B $0.57B 2.80
2017-09-30 $1.19B $0.76B 1.57
2017-06-30 $1.20B $0.76B 1.57
2017-03-31 $1.25B $0.72B 1.73
2016-12-31 $1.43B $0.81B 1.77
2016-09-30 $1.35B $1.08B 1.25
2016-06-30 $1.34B $1.17B 1.14
2016-03-31 $1.22B $1.00B 1.23
2015-12-31 $1.27B $7.93B 0.16
2015-09-30 $1.30B $7.48B 0.17
2015-06-30 $1.28B $7.10B 0.18
2015-03-31 $1.39B $6.58B 0.21
2014-12-31 $1.74B $6.27B 0.28
2014-09-30 $1.45B $5.67B 0.26
2014-06-30 $1.42B $5.09B 0.28
2014-03-31 $1.42B $3.65B 0.39
2013-12-31 $2.16B $4.17B 0.52
2013-09-30 $1.38B $0.98B 1.41
2013-06-30 $1.26B $0.92B 1.38
2013-03-31 $1.32B $0.89B 1.48
2012-12-31 $1.75B $2.05B 0.85
2012-09-30 $1.23B $0.88B 1.40
2012-06-30 $1.23B $0.85B 1.46
2012-03-31 $1.20B $0.83B 1.44
2011-12-31 $1.27B $0.93B 1.37
2011-09-30 $1.25B $0.84B 1.49
2011-06-30 $1.26B $0.86B 1.46
2011-03-31 $1.25B $0.87B 1.45
2010-12-31 $1.65B $1.00B 1.65
2010-09-30 $1.23B $0.85B 1.44
2010-06-30 $1.22B $0.84B 1.45
2010-03-31 $1.18B $0.84B 1.40
2009-12-31 $1.50B $1.36B 1.10
2009-09-30 $1.32B $1.31B 1.01
2009-06-30 $1.26B $1.26B 1.00
2009-03-31 $1.25B $1.24B 1.01
2008-12-31 $1.23B $1.46B 0.85
2008-09-30 $1.99B $1.63B 1.22
2008-06-30 $1.92B $1.57B 1.22
2008-03-31 $1.91B $1.59B 1.20
2007-12-31 $2.31B $2.49B 0.93
2007-09-30 $0.00B $0.00B 0.00
2007-06-30 $0.00B $0.00B 0.00
2007-03-31 $0.00B $0.00B 0.00
Sector Industry Market Cap Revenue
Finance Finance - Investment Management $1.105B $0.507B
Och-Ziff Capital Management Group LLC is a leading, global institutional alternative asset management firm. It seeks to deliver consistent positive risk-adjusted returns throughout market cycles, with a strong focus on risk management and capital preservation. Portfolio composition is determined by market opportunities rather than any predetermined commitment to investment discipline or geography. Our diversified, multi-strategy approach is based on global investment strategies, including merger arbitrage, convertible arbitrage, equity restructuring, credit and distressed investments, private investments and real estate.
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Puyi Sponsored ADR (PUYI) $0.447B 0.00
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