Financials [ 6/12 ] | Capital Markets [ 37/74 ]
NASDAQ | Common Stock
Silvercrest Asset Management Group Inc., a wealth management firm, provides financial advisory and related family office services in the United States.
The company serves ultra-high net worth individuals and families, as well as their trusts; endowments; foundations; and other institutional investors.
It also manages funds of funds and other investment funds.
The company was founded in 2002 and is headquartered in New York, New York.
Reported date | EPSChange YoY | EstimateSurprise |
---|---|---|
Mar 5, 25 | 0.20 Increased by +185.71% | 0.28 Decreased by -27.27% |
Oct 31, 24 | 0.26 Decreased by -27.78% | 0.33 Decreased by -21.21% |
Aug 1, 24 | 0.30 Decreased by -11.76% | 0.37 Decreased by -18.92% |
May 2, 24 | 0.33 Decreased by -5.71% | 0.40 Decreased by -17.50% |
Mar 7, 24 | 0.07 Decreased by -53.33% | 0.36 Decreased by -80.56% |
Nov 2, 23 | 0.36 Increased by +5.88% | 0.38 Decreased by -5.26% |
Jul 27, 23 | 0.34 Decreased by -12.82% | 0.38 Decreased by -10.53% |
May 4, 23 | 0.35 Decreased by -22.22% | 0.37 Decreased by -5.41% |
Fiscal ending date | RevenueChange YoY | IncomeChange YoY | ProfitChange YoY |
---|---|---|---|
Dec 31, 24 | 31.96 M Increased by +11.83% | 1.62 M Increased by +493.67% | Increased by +5.06% Increased by +452.03% |
Sep 30, 24 | 30.42 M Increased by +2.42% | 2.25 M Decreased by -29.98% | Increased by +7.40% Decreased by -31.63% |
Jun 30, 24 | 31.02 M Increased by +4.34% | 2.67 M Decreased by -13.61% | Increased by +8.59% Decreased by -17.20% |
Mar 31, 24 | 30.31 M Increased by +2.98% | 3.00 M Decreased by -43.50% | Increased by +9.90% Decreased by -45.14% |
Dec 31, 23 | 28.58 M Increased by +0.31% | -411.00 K Decreased by -112.53% | Decreased by -1.44% Decreased by -112.49% |
Sep 30, 23 | 29.70 M Increased by +2.28% | 3.22 M Decreased by -43.01% | Increased by +10.83% Decreased by -44.28% |
Jun 30, 23 | 29.73 M Decreased by -7.58% | 3.08 M Decreased by -46.53% | Increased by +10.38% Decreased by -42.15% |
Mar 31, 23 | 29.43 M Decreased by -12.18% | 5.31 M Decreased by -57.16% | Increased by +18.04% Decreased by -51.23% |