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

Current and historical p/e ratio for Och-Ziff Capital Management Group LLC (OZM) from 2008 to 2019. The price to earnings ratio is calculated by taking the latest closing price and dividing it by the most recent earnings per share (EPS) number. The PE ratio is a simple way to assess whether a stock is over or under valued and is the most widely used valuation measure. Och-Ziff Capital Management Group LLC PE ratio as of July 19, 2019 is 26.74.
Och-Ziff Capital Management Group LLC PE Ratio Historical Data
Date Stock Price TTM Net EPS PE Ratio
2019-07-19 22.81 81.46
2019-03-31 16.41 $0.28 58.61
2018-12-31 9.20 $-1.25 0.00
2018-09-30 14.53 $-0.90 0.00
2018-06-30 18.76 $0.20 93.79
2018-03-31 25.69 $1.50 17.13
2017-12-31 23.44 $0.90 26.04
2017-09-30 30.00 $0.80 37.50
2017-06-30 23.69 $1.00 23.69
2017-03-31 20.75 $-4.10 0.00
2016-12-31 30.28 $-7.50 0.00
2016-09-30 39.71 $-8.90 0.00
2016-06-30 34.77 $-8.80 0.00
2016-03-31 39.80 $-4.10 0.00
2015-12-31 57.00 $1.10 51.82
2015-09-30 79.35 $2.30 34.50
2015-06-30 109.67 $2.60 42.18
2015-03-31 111.46 $2.80 39.81
2014-12-31 99.13 $2.80 35.40
2014-09-30 89.37 $14.00 6.38
2014-06-30 113.91 $14.50 7.86
2014-03-31 111.23 $14.30 7.78
2013-12-31 110.78 $14.60 7.59
2013-09-30 80.70 $6.80 11.87
2013-06-30 75.69 $-3.50 0.00
2013-03-31 66.13 $-12.00 0.00
2012-12-31 62.31 $-22.40 0.00
2012-09-30 62.55 $-37.50 0.00
2012-06-30 48.28 $-38.20 0.00
2012-03-31 58.39 $-39.60 0.00
2011-12-31 52.70 $-40.80 0.00
2011-09-30 56.57 $-31.50 0.00
2011-06-30 84.89 $-32.40 0.00
2011-03-31 99.04 $-33.30 0.00
2010-12-31 90.70 $-34.10 0.00
2010-09-30 86.19 $-37.50 0.00
2010-06-30 72.28 $-37.60 0.00
2010-03-31 91.38 $-38.60 0.00
2009-12-31 75.16 $-38.60 0.00
2009-09-30 66.20 $-47.70 0.00
2009-06-30 48.38 $-47.80 0.00
2009-03-31 32.78 $-46.80 0.00
2008-12-31 27.56 $-72.30 0.00
2008-09-30 62.24 $-168.90 0.00
Sector Industry Market Cap Revenue
Finance Finance - Investment Management $1.145B $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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