Cohen & Steers, Inc.

Cohen & Steers, Inc.

Cohen & Steers, Inc. (NYSE: CNS) is a specialist investment manager focused on real estate securities, real assets and preferred securities. It operates a suite of mutual funds, closed‑end funds, ETFs and institutional strategies that generate fee income tied to assets under management (AUM). With a market capitalisation around $3.61 billion, the company’s revenue is sensitive to market valuations and investor flows — rising markets and net inflows tend to boost fees, while outflows and falling asset prices can reduce them. Strengths include niche expertise in property-related markets and a diversified product range that serves both retail and institutional clients. Key risks include interest‑rate sensitivity, property market cycles, fee compression and competition from passive products. This summary is educational and not personalised advice; investors should be aware that share prices can fall as well as rise and consider their own risk tolerance or seek regulated financial advice.

Stock Performance Snapshot

Hold

Analyst Rating

Analysts suggest holding Cohen & Steers' stock, with a target price of $94 indicating potential growth.

Above Average

Financial Health

Cohen & Steers is successfully generating substantial revenue and profits, indicating strong financial performance.

Average

Dividend

Cohen & Steers, Inc.'s dividend yield of 3.52% offers a reasonable return for dividend-seeking investors. If you invested $1000 you would be paid $34.50 a year in dividends (based on the last 12 months).

Source: Analyst sentiment is provided by Refinitiv Ltd, a global leader in financial market data with over 40k business clients. Refinitiv Ltd is an independent third party to Nemo. This is not advice.

Baskets Featuring CNS

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Published: September 28, 2025

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Inflation Resilience Portfolio Explained

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The Fed's key inflation gauge remains stubbornly high, signaling that elevated price levels may persist for longer than expected. This creates an investment opportunity in companies that can thrive in an inflationary environment, such as those with the ability to raise prices or benefit from higher interest rates.

Published: September 27, 2025

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Fed Rate Policy 2025: Inflation-Resistant Stocks

Fed Rate Policy 2025: Inflation-Resistant Stocks

The Federal Reserve is holding interest rates steady, prioritizing the fight against tariff-driven inflation over employment risks. This creates an investment opportunity in companies that are well-equipped to handle a high-interest-rate environment and persistent inflation.

Published: August 22, 2025

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Why You’ll Want to Watch This Stock

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Real Assets Focus

Specialist exposure to property and preferred securities may appeal to income-seeking investors, though returns vary with market cycles and rates.

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ETF & Fund Range

A broad product suite supports distribution to retail and institutional clients, but fee competition and flows can affect AUM and revenues.

Rate Sensitivity

Earnings and share performance often move with interest rates and property valuations, so investors should be comfortable with potential volatility.

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