Cohen & Steers Inc - Company Profile
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Business Description
Cohen & Steers Inc (Cohen & Steers) is a global investment management company. It along with its subsidiaries manages portfolios specializing in the US and international real estate securities, large-cap value stocks, commodities, resource equities, listed infrastructure and utilities, preferred securities, and multi-strategy solutions. The company serves various clients by acting as an investment adviser or subadvisor, managing portfolios of securities in accordance with specific investment objectives and guidelines. The company operates through its offices in New York, London, Dublin, Tokyo, Singapore, and Hong Kong. As of December 31, 2024, it reported assets under management (AuM) of US$85,814 million, assets of US$812.4 million, and equity of US$521.4 million.
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Product Categories
Overview
Serves as the investment adviser for closed-end funds, which are registered investment companies that issue a fixed number of shares through public offerings. These shares are listed on the New York Stock Exchange and are not redeemable by shareholders. The trading price of the shares is influenced by market supply and demand, which may result in the shares trading at a premium or discount to the fund's net asset value (NAV). Closed-end funds typically employ strategies that utilize leverage to enhance potential returns.
Performance
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Overview
Acts as the investment adviser or subadviser for institutional accounts, which consist of portfolios of securities managed for institutional clients. Each account is managed in accordance with the specific investment objectives and guidelines outlined in the client’s investment management agreement. Advisory accounts include various accounts and certain commingled vehicles where the organization serves as the investment manager. In this capacity, it oversees daily activities and manages assets while adhering to the established investment objectives. Subadvisory accounts typically involve commingled investment vehicles for which the organization is appointed as a subadvisor by the primary investment manager. As a subadvisor, it manages all or part of the vehicle's investments and oversees daily operations, while the primary investment manager evaluates its performance. The vehicle sponsor retains responsibility for decisions regarding distributions to beneficial owners. Additionally, subadvisory assets encompass third-party investment vehicles for which the organization provides model portfolios, ensuring alignment with the investment objectives and guidelines specified in each client’s advisory agreement.
Performance
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Overview
It serves as the investment adviser for both U.S. and non-U.S. open-end funds, which continuously offer and issue new shares. Investors can subscribe for or redeem shares at any time, with the share price determined by the fund's net asset value (NAV), calculated daily. The NAV reflects the current value of the fund's assets minus liabilities, divided by the total shares outstanding. Additionally, the company manages assets from third-party investment vehicles by providing model portfolios tailored to their specific investment objectives and guidelines, as stipulated in their investment advisory agreements. This includes regularly supplying the investment managers of these vehicles with model portfolios of securities to ensure alignment with their investment strategies.
Performance
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Other Break-up
Key Stats
As of December 31, 2024: Reported AuM of US$11,289 million
Geographical Segments
Performance
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Performance
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Performance
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Performance
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