Press Releases July 30, 2026 04:15 PM

Cohen & Company Sets Release Date for Second Quarter 2026 Financial Results

Cohen & Company Announces Q2 2026 Financial Results Release and Conference Call Date

By Hana Yamamoto
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COHN

Cohen & Company Inc. plans to release its second quarter 2026 financial results on August 3, 2026, followed by a conference call to discuss the results. The company specializes in capital markets, asset management, and principal investing, managing approximately $1.3 billion in assets primarily in fixed income.

Cohen & Company Sets Release Date for Second Quarter 2026 Financial Results
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Key Points

  • Q2 2026 financial results to be released August 3, 2026, with a conference call for investors and stakeholders.
  • Cohen & Company operates in three segments: Capital Markets, Asset Management, and Principal Investing.
  • Manages around $1.3 billion in assets under management, focusing on fixed income securities and investments in insurance, reinsurance, and commercial real estate loans.

PHILADELPHIA and NEW YORK, July 30, 2026 (GLOBE NEWSWIRE) -- Cohen & Company Inc. (NYSE American: COHN) will release its financial results for the second quarter ended June 30, 2026 on Monday, August 3, 2026. The Company will host a conference call at 10:00 a.m. Eastern Time (ET) that day to discuss these results.

The conference call will be available via webcast. Interested parties can access the webcast by clicking the webcast link on the Company’s homepage at www.cohenandcompany.com. Those wishing to listen to the conference call with operator assistance can dial (877) 524-8416 (domestic) or +1 (412) 902-1028 (international). A replay of the call will be available for three days following the call by dialing (877) 660-6853 or (201) 612-7415, with participant passcode 13761821.

About Cohen & Company

Cohen & Company is a financial services company specializing in an expanding range of capital markets and asset management services. Cohen & Company’s operating segments are Capital Markets, Asset Management, and Principal Investing. The Capital Markets segment consists of sales, trading, gestation repo financing, new issue placements in corporate and securitized products, underwriting, and advisory services, operating primarily through Cohen & Company’s subsidiaries, Cohen & Company Securities, LLC (“Cohen Securities”) in the United States and Cohen & Company Financial (Europe) S.A. in Europe. A division of Cohen Securities, Cohen & Company Capital Markets (“CCM”) is the Company’s full-service boutique investment bank providing capital markets and SPAC advisory services to corporations, financial sponsors, investors, and institutions. The Capital Markets business segment also includes investment returns on financial instruments that the Company has received as consideration for investment banking and new issue services provided by CCM. The Asset Management segment manages and services assets through investment funds, managed accounts, joint ventures, and collateralized debt obligations. As of June 30, 2026, the Company had approximately $1.3 billion of assets under management in primarily fixed income assets in a variety of asset classes including European bank and insurance trust preferred securities, debt issued by small and medium sized European, U.S., and Bermudian insurance and reinsurance companies, and servicing commercial real estate loans. The Principal Investing segment is comprised primarily of investments the Company has made for the purpose of earning an investment return rather than investments made to support its trading or other capital markets business activity. For more information, please visit www.cohenandcompany.com.

Contact:   Investors -Media - Cohen & Company Inc.Joele Frank, Wilkinson Brimmer KatcherJoseph W. Pooler, Jr. Joseph Sala or Zach GenirsExecutive Vice President and212-355-4449 Chief Financial Officer  215-701-8952 investorrelations@cohenandcompany.com 


Risks

  • Financial performance risk as the results may not meet market or investor expectations, impacting share price.
  • Market and credit risks inherent in fixed income and capital markets investing that could affect asset values and revenues.
  • Economic uncertainties in sectors like insurance, reinsurance, and commercial real estate that could impact asset management and investment returns.

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