
Lazard Ltd.
Lazard Ltd (LAZ) is a specialist global financial advisory and asset management firm offering M&A and restructuring advice, capital structure guidance, and investment management for institutions and private clients. With a market capitalisation around $4.8 billion, Lazardβs revenues are closely tied to deal flow, market valuations and assets under management, which makes results cyclical and sensitive to economic conditions. Investors should note its fee-based and performance-related income mix, a broad international footprint across the Americas, Europe and Asia, and competition from larger banks and boutiques. Key risks include variability in transaction volumes, retention of senior advisory talent, regulatory oversight and market-driven asset performance. Assessing Lazard typically involves watching announced mandates, assets under management trends, margin progress and management commentary. This summary is for educational purposes only and not personalised advice; values can rise or fall and past performance is not a reliable guide to the future. Consider your risk tolerance or consult a qualified adviser before investing.
Stock Performance Snapshot
Analyst Rating
Analysts recommend holding Lazard's stock with a target price of $55.29, indicating possible growth.
Financial Health
Lazard is performing well with strong revenue and cash flow, indicating effective financial management.
Dividend
Lazard Ltd.'s average dividend yield of 3.95% offers a decent return for dividend-seeking investors. If you invested $1000, you would be paid $39.50 a year in dividends (based on the last 12 months).
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Explore BasketWhy Youβll Want to Watch This Stock
Deal-driven revenue
Advisory fees rise with M&A and restructuring activity, which can boost results β though revenues can also swing sharply with market cycles.
Global footprint matters
A presence across regions helps diversify mandates and client types, but geopolitical and regulatory changes can affect business in specific markets.
People-driven value
Senior bankers and investment teams generate mandates and client relationships, so talent retention is a core operational risk and opportunity.
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