
Lazard Ltd.
Lazard is a financial and asset management services provider with businesses in asset management, capital markets, and merchant banking.
Stock Performance Snapshot
Analyst Rating
Analysts suggest holding Lazard's stock, which has a potential price increase ahead.
Financial Health
Lazard is performing well with strong revenue and profit margins, indicating solid financial stability.
Dividend
Lazard Ltd.'s dividend yield of 4.63% makes it a reasonable choice for dividend-seeking investors. If you invested $1000 you would be paid $46.30 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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Blackstone Inc
Blackstone Inc. is an alternative asset manager. Its asset management includes global investment strategies focused on real estate, private equity, infrastructure, life sciences, growth equity, credit, real assets, secondaries, and hedge funds. Its Real Estate segment comprises its management of opportunistic real estate funds, Core+ real estate funds, and real estate debt strategies. Its Private Equity segment includes its management of flagship Corporate Private Equity funds, sector and geographically focused Corporate Private Equity funds, core private equity funds, an investment platform, and others. Its Credit & Insurance segment consists of Blackstone Credit & Insurance, which is organized into three overarching strategies: private corporate credit, liquid corporate credit and infrastructure and asset-based credit. Its Multi-Asset Investing segment is organized into four investment platforms: Absolute Return, Multi-Strategy, Total Portfolio Management, and Public Real Assets.