Financhill
Buy
56

BGC Quote, Financials, Valuation and Earnings

Last price:
$9.22
Seasonality move :
-1.96%
Day range:
$9.06 - $9.60
52-week range:
$7.24 - $10.96
Dividend yield:
0.87%
P/E ratio:
27.99x
P/S ratio:
1.61x
P/B ratio:
4.51x
Volume:
2.4M
Avg. volume:
2.3M
1-year change:
-2.95%
Market cap:
$4.4B
Revenue:
$2.3B
EPS (TTM):
$0.33

Price Performance History

Performance vs. Valuation Benchmarks

SEE THE 1% OF STOCKS YOU NEED TO OWN FOR MASSIVE RETURNS

GET BETTER TRADE IDEAS

Competitors

Company Revenue Forecast Earnings Forecast Revenue Growth Forecast Earnings Growth Forecast Analyst Price Target Median
BGC
BGC Group, Inc.
$750.9M $0.29 26.36% 221.69% $14.50
JEF
Jefferies Financial Group, Inc.
$2B $0.80 1.26% 72.32% $73.67
MS
Morgan Stanley
$17.8B $2.42 -33.89% 12.48% $195.52
PIPR
Piper Sandler Cos.
$518.2M $4.76 24.63% 6.21% $422.67
SCHW
The Charles Schwab Corp.
$6.4B $1.39 -3.8% 36.07% $120.89
VIRT
Virtu Financial, Inc.
$516M $1.29 -31.01% 22.77% $45.29
Company Price Analyst Target Market Cap P/E Ratio Dividend per Share Dividend Yield Price / LTM Sales
BGC
BGC Group, Inc.
$9.21 $14.50 $4.4B 27.99x $0.02 0.87% 1.61x
JEF
Jefferies Financial Group, Inc.
$53.72 $73.67 $11.1B 18.97x $0.40 2.98% 1.34x
MS
Morgan Stanley
$171.15 $195.52 $270.9B 16.77x $1.00 2.29% 2.28x
PIPR
Piper Sandler Cos.
$322.71 $422.67 $5.5B 20.41x $0.70 0.84% 3.01x
SCHW
The Charles Schwab Corp.
$93.72 $120.89 $166.5B 20.12x $0.32 1.21% 6.12x
VIRT
Virtu Financial, Inc.
$38.34 $45.29 $3.3B 7.32x $0.24 2.5% 0.97x
Company Total Debt / Total Capital Beta Debt to Equity Quick Ratio
BGC
BGC Group, Inc.
68.25% 0.734 44.39% 0.31x
JEF
Jefferies Financial Group, Inc.
77.22% 2.215 300.11% 0.33x
MS
Morgan Stanley
78.31% 1.861 126.53% 0.00x
PIPR
Piper Sandler Cos.
-- 1.781 -- 0.19x
SCHW
The Charles Schwab Corp.
38.56% 0.596 17.46% 0.36x
VIRT
Virtu Financial, Inc.
65.33% 0.108 131.44% 0.27x
Company Gross Profit Operating Income Return on Invested Capital Return on Common Equity EBIT Margin Free Cash Flow
BGC
BGC Group, Inc.
$682.3M $64.8M 5.42% 14.41% 8.8% $133.3M
JEF
Jefferies Financial Group, Inc.
$2.5B $1.1B 1.36% 5.83% 39.96% $4.2B
MS
Morgan Stanley
-- $5.8B 3.31% 15.9% 59.55% $5.2B
PIPR
Piper Sandler Cos.
$635.2M $189.8M 15.79% 16.79% 28.46% -$5.3M
SCHW
The Charles Schwab Corp.
$6.2B $3.7B 10.34% 17.98% 51.65% $1.7B
VIRT
Virtu Financial, Inc.
$522.7M $382.8M 16.67% 53.3% 39.47% -$794.9M

BGC Group, Inc. vs. Competitors

  • Which has Higher Returns BGC or JEF?

    Jefferies Financial Group, Inc. has a net margin of 3.54% compared to BGC Group, Inc.'s net margin of 6.83%. BGC Group, Inc.'s return on equity of 14.41% beat Jefferies Financial Group, Inc.'s return on equity of 5.83%.

    Company Gross Margin Earnings Per Share Invested Capital
    BGC
    BGC Group, Inc.
    92.65% $0.06 $3.2B
    JEF
    Jefferies Financial Group, Inc.
    89.61% $0.85 $46.5B
  • What do Analysts Say About BGC or JEF?

    BGC Group, Inc. has a consensus price target of $14.50, signalling upside risk potential of 57.44%. On the other hand Jefferies Financial Group, Inc. has an analysts' consensus of $73.67 which suggests that it could grow by 37.13%. Given that BGC Group, Inc. has higher upside potential than Jefferies Financial Group, Inc., analysts believe BGC Group, Inc. is more attractive than Jefferies Financial Group, Inc..

    Company Buy Ratings Hold Ratings Sell Ratings
    BGC
    BGC Group, Inc.
    1 0 0
    JEF
    Jefferies Financial Group, Inc.
    3 2 0
  • Is BGC or JEF More Risky?

    BGC Group, Inc. has a beta of 1.050, which suggesting that the stock is 4.975% more volatile than S&P 500. In comparison Jefferies Financial Group, Inc. has a beta of 1.509, suggesting its more volatile than the S&P 500 by 50.878%.

  • Which is a Better Dividend Stock BGC or JEF?

    BGC Group, Inc. has a quarterly dividend of $0.02 per share corresponding to a yield of 0.87%. Jefferies Financial Group, Inc. offers a yield of 2.98% to investors and pays a quarterly dividend of $0.40 per share. BGC Group, Inc. pays 27.66% of its earnings as a dividend. Jefferies Financial Group, Inc. pays out 56.5% of its earnings as a dividend. Both of these payout ratios are sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios BGC or JEF?

    BGC Group, Inc. quarterly revenues are $736.4M, which are smaller than Jefferies Financial Group, Inc. quarterly revenues of $2.8B. BGC Group, Inc.'s net income of $26.1M is lower than Jefferies Financial Group, Inc.'s net income of $191.5M. Notably, BGC Group, Inc.'s price-to-earnings ratio is 27.99x while Jefferies Financial Group, Inc.'s PE ratio is 18.97x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for BGC Group, Inc. is 1.61x versus 1.34x for Jefferies Financial Group, Inc.. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    BGC
    BGC Group, Inc.
    1.61x 27.99x $736.4M $26.1M
    JEF
    Jefferies Financial Group, Inc.
    1.34x 18.97x $2.8B $191.5M
  • Which has Higher Returns BGC or MS?

    Morgan Stanley has a net margin of 3.54% compared to BGC Group, Inc.'s net margin of 14.75%. BGC Group, Inc.'s return on equity of 14.41% beat Morgan Stanley's return on equity of 15.9%.

    Company Gross Margin Earnings Per Share Invested Capital
    BGC
    BGC Group, Inc.
    92.65% $0.06 $3.2B
    MS
    Morgan Stanley
    -- $2.68 $469.8B
  • What do Analysts Say About BGC or MS?

    BGC Group, Inc. has a consensus price target of $14.50, signalling upside risk potential of 57.44%. On the other hand Morgan Stanley has an analysts' consensus of $195.52 which suggests that it could grow by 14.24%. Given that BGC Group, Inc. has higher upside potential than Morgan Stanley, analysts believe BGC Group, Inc. is more attractive than Morgan Stanley.

    Company Buy Ratings Hold Ratings Sell Ratings
    BGC
    BGC Group, Inc.
    1 0 0
    MS
    Morgan Stanley
    7 15 0
  • Is BGC or MS More Risky?

    BGC Group, Inc. has a beta of 1.050, which suggesting that the stock is 4.975% more volatile than S&P 500. In comparison Morgan Stanley has a beta of 1.198, suggesting its more volatile than the S&P 500 by 19.832%.

  • Which is a Better Dividend Stock BGC or MS?

    BGC Group, Inc. has a quarterly dividend of $0.02 per share corresponding to a yield of 0.87%. Morgan Stanley offers a yield of 2.29% to investors and pays a quarterly dividend of $1.00 per share. BGC Group, Inc. pays 27.66% of its earnings as a dividend. Morgan Stanley pays out 37.71% of its earnings as a dividend. Both of these payout ratios are sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios BGC or MS?

    BGC Group, Inc. quarterly revenues are $736.4M, which are smaller than Morgan Stanley quarterly revenues of $30B. BGC Group, Inc.'s net income of $26.1M is lower than Morgan Stanley's net income of $4.4B. Notably, BGC Group, Inc.'s price-to-earnings ratio is 27.99x while Morgan Stanley's PE ratio is 16.77x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for BGC Group, Inc. is 1.61x versus 2.28x for Morgan Stanley. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    BGC
    BGC Group, Inc.
    1.61x 27.99x $736.4M $26.1M
    MS
    Morgan Stanley
    2.28x 16.77x $30B $4.4B
  • Which has Higher Returns BGC or PIPR?

    Piper Sandler Cos. has a net margin of 3.54% compared to BGC Group, Inc.'s net margin of 12.74%. BGC Group, Inc.'s return on equity of 14.41% beat Piper Sandler Cos.'s return on equity of 16.79%.

    Company Gross Margin Earnings Per Share Invested Capital
    BGC
    BGC Group, Inc.
    92.65% $0.06 $3.2B
    PIPR
    Piper Sandler Cos.
    95.23% $6.40 $1.4B
  • What do Analysts Say About BGC or PIPR?

    BGC Group, Inc. has a consensus price target of $14.50, signalling upside risk potential of 57.44%. On the other hand Piper Sandler Cos. has an analysts' consensus of $422.67 which suggests that it could grow by 30.97%. Given that BGC Group, Inc. has higher upside potential than Piper Sandler Cos., analysts believe BGC Group, Inc. is more attractive than Piper Sandler Cos..

    Company Buy Ratings Hold Ratings Sell Ratings
    BGC
    BGC Group, Inc.
    1 0 0
    PIPR
    Piper Sandler Cos.
    2 2 0
  • Is BGC or PIPR More Risky?

    BGC Group, Inc. has a beta of 1.050, which suggesting that the stock is 4.975% more volatile than S&P 500. In comparison Piper Sandler Cos. has a beta of 1.527, suggesting its more volatile than the S&P 500 by 52.696%.

  • Which is a Better Dividend Stock BGC or PIPR?

    BGC Group, Inc. has a quarterly dividend of $0.02 per share corresponding to a yield of 0.87%. Piper Sandler Cos. offers a yield of 0.84% to investors and pays a quarterly dividend of $0.70 per share. BGC Group, Inc. pays 27.66% of its earnings as a dividend. Piper Sandler Cos. pays out 17.07% of its earnings as a dividend. Both of these payout ratios are sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios BGC or PIPR?

    BGC Group, Inc. quarterly revenues are $736.4M, which are larger than Piper Sandler Cos. quarterly revenues of $667M. BGC Group, Inc.'s net income of $26.1M is lower than Piper Sandler Cos.'s net income of $85M. Notably, BGC Group, Inc.'s price-to-earnings ratio is 27.99x while Piper Sandler Cos.'s PE ratio is 20.41x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for BGC Group, Inc. is 1.61x versus 3.01x for Piper Sandler Cos.. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    BGC
    BGC Group, Inc.
    1.61x 27.99x $736.4M $26.1M
    PIPR
    Piper Sandler Cos.
    3.01x 20.41x $667M $85M
  • Which has Higher Returns BGC or SCHW?

    The Charles Schwab Corp. has a net margin of 3.54% compared to BGC Group, Inc.'s net margin of 34.31%. BGC Group, Inc.'s return on equity of 14.41% beat The Charles Schwab Corp.'s return on equity of 17.98%.

    Company Gross Margin Earnings Per Share Invested Capital
    BGC
    BGC Group, Inc.
    92.65% $0.06 $3.2B
    SCHW
    The Charles Schwab Corp.
    86.23% $1.33 $80.4B
  • What do Analysts Say About BGC or SCHW?

    BGC Group, Inc. has a consensus price target of $14.50, signalling upside risk potential of 57.44%. On the other hand The Charles Schwab Corp. has an analysts' consensus of $120.89 which suggests that it could grow by 29%. Given that BGC Group, Inc. has higher upside potential than The Charles Schwab Corp., analysts believe BGC Group, Inc. is more attractive than The Charles Schwab Corp..

    Company Buy Ratings Hold Ratings Sell Ratings
    BGC
    BGC Group, Inc.
    1 0 0
    SCHW
    The Charles Schwab Corp.
    11 3 0
  • Is BGC or SCHW More Risky?

    BGC Group, Inc. has a beta of 1.050, which suggesting that the stock is 4.975% more volatile than S&P 500. In comparison The Charles Schwab Corp. has a beta of 0.937, suggesting its less volatile than the S&P 500 by 6.333%.

  • Which is a Better Dividend Stock BGC or SCHW?

    BGC Group, Inc. has a quarterly dividend of $0.02 per share corresponding to a yield of 0.87%. The Charles Schwab Corp. offers a yield of 1.21% to investors and pays a quarterly dividend of $0.32 per share. BGC Group, Inc. pays 27.66% of its earnings as a dividend. The Charles Schwab Corp. pays out 23.23% of its earnings as a dividend. Both of these payout ratios are sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios BGC or SCHW?

    BGC Group, Inc. quarterly revenues are $736.4M, which are smaller than The Charles Schwab Corp. quarterly revenues of $7.2B. BGC Group, Inc.'s net income of $26.1M is lower than The Charles Schwab Corp.'s net income of $2.5B. Notably, BGC Group, Inc.'s price-to-earnings ratio is 27.99x while The Charles Schwab Corp.'s PE ratio is 20.12x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for BGC Group, Inc. is 1.61x versus 6.12x for The Charles Schwab Corp.. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    BGC
    BGC Group, Inc.
    1.61x 27.99x $736.4M $26.1M
    SCHW
    The Charles Schwab Corp.
    6.12x 20.12x $7.2B $2.5B
  • Which has Higher Returns BGC or VIRT?

    Virtu Financial, Inc. has a net margin of 3.54% compared to BGC Group, Inc.'s net margin of 28.93%. BGC Group, Inc.'s return on equity of 14.41% beat Virtu Financial, Inc.'s return on equity of 53.3%.

    Company Gross Margin Earnings Per Share Invested Capital
    BGC
    BGC Group, Inc.
    92.65% $0.06 $3.2B
    VIRT
    Virtu Financial, Inc.
    53.89% $1.65 $5.7B
  • What do Analysts Say About BGC or VIRT?

    BGC Group, Inc. has a consensus price target of $14.50, signalling upside risk potential of 57.44%. On the other hand Virtu Financial, Inc. has an analysts' consensus of $45.29 which suggests that it could grow by 18.12%. Given that BGC Group, Inc. has higher upside potential than Virtu Financial, Inc., analysts believe BGC Group, Inc. is more attractive than Virtu Financial, Inc..

    Company Buy Ratings Hold Ratings Sell Ratings
    BGC
    BGC Group, Inc.
    1 0 0
    VIRT
    Virtu Financial, Inc.
    2 3 1
  • Is BGC or VIRT More Risky?

    BGC Group, Inc. has a beta of 1.050, which suggesting that the stock is 4.975% more volatile than S&P 500. In comparison Virtu Financial, Inc. has a beta of 0.613, suggesting its less volatile than the S&P 500 by 38.694%.

  • Which is a Better Dividend Stock BGC or VIRT?

    BGC Group, Inc. has a quarterly dividend of $0.02 per share corresponding to a yield of 0.87%. Virtu Financial, Inc. offers a yield of 2.5% to investors and pays a quarterly dividend of $0.24 per share. BGC Group, Inc. pays 27.66% of its earnings as a dividend. Virtu Financial, Inc. pays out 18.71% of its earnings as a dividend. Both of these payout ratios are sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios BGC or VIRT?

    BGC Group, Inc. quarterly revenues are $736.4M, which are smaller than Virtu Financial, Inc. quarterly revenues of $969.9M. BGC Group, Inc.'s net income of $26.1M is lower than Virtu Financial, Inc.'s net income of $280.6M. Notably, BGC Group, Inc.'s price-to-earnings ratio is 27.99x while Virtu Financial, Inc.'s PE ratio is 7.32x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for BGC Group, Inc. is 1.61x versus 0.97x for Virtu Financial, Inc.. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    BGC
    BGC Group, Inc.
    1.61x 27.99x $736.4M $26.1M
    VIRT
    Virtu Financial, Inc.
    0.97x 7.32x $969.9M $280.6M

SEE THE 1% OF STOCKS YOU NEED TO OWN FOR MASSIVE RETURNS

GET BETTER TRADE IDEAS

Popular

Will AI Disrupt SaaS Software Stocks?
Will AI Disrupt SaaS Software Stocks?

Since January 28th, software stocks in the United States have…

Why Is Meta Stock Going Higher?
Why Is Meta Stock Going Higher?

Over the last five days, shares of Instagram and Facebook…

Is Sandisk The Next Big Memory Stock?
Is Sandisk The Next Big Memory Stock?

Computer memory manufacturer Sandisk (NASDAQ:SNDK) has quietly been one of…

Stock Ideas

Buy
51
Is NVDA Stock a Buy?

Market Cap: $4.4T
P/E Ratio: 62x

Sell
43
Is AAPL Stock a Buy?

Market Cap: $3.8T
P/E Ratio: 34x

Sell
44
Is GOOG Stock a Buy?

Market Cap: $3.7T
P/E Ratio: 28x

Alerts

Buy
77
CPS alert for Feb 14

Cooper-Standard Holdings, Inc. [CPS] is up 32.06% over the past day.

Buy
58
TPH alert for Feb 14

Tri Pointe Homes, Inc. [TPH] is up 26.83% over the past day.

Sell
20
IRON alert for Feb 14

Disc Medicine, Inc. [IRON] is down 21.88% over the past day.

THE #1 STOCK ANALYSIS TOOL
TO MAKE SMARTER BUY AND SELL DECISIONS

Show me the best stock