Colony Capital Inc (NYSE:CLNY) target raised to $26.00, released a report earlier today by Wedbush
- Updated: October 5, 2016
Stating a potential upside of 0.43%, Wedbush increased the stock price target of Colony Capital Inc (NYSE:CLNY) to $26.00
Yesterday Colony Capital Inc (NYSE:CLNY) traded 0.77% higher at $18.21. The company’s 50-day moving average is $18.21 and its 200-day moving average is $17.50. The last stock close price is up 4.08% from the 200-day moving average, compared to the S&P 500 which has decreased -0.01% over the same time. 1,799,394 shares of the stock traded hands, up from an avg. volume of 1,223,780
Recent Performance Chart
Colony Capital Inc has PE ratio of 17.65 with a one year low of $14.73 and a one year high of $22.18 and has a market capitalization of $0.
A total of 4 brokerages have issued a ratings update on Colony Capital Inc. zero brokerages rating the company a strong buy, three brokerages rating the company a buy, one brokerage rating the company a hold, zero brokerages rating the company a underperform, and finally zero brokerages rating the company a sell with a 12-month price target of $24.00.
General Company Details For Colony Capital Inc (NYSE:CLNY)
Colony Capital, Inc., formerly Colony Financial, Inc., is a global real estate and investment management company. The Company operates through five segments: Real Estate Equity, including Light industrial real estate assets and operating platform; Single-family residential rentals through an investment in Colony Starwood Homes and Other real estate equity investments; Real Estate Debt, which includes loan originations and acquisitions, and Investment Management, which includes investment management of the Company-sponsored funds and other investment vehicles. Through its global investment management business, it has over $18.8 billion of assets under management. Its business objective is to provide risk-adjusted returns to its investors through a diversified portfolio of direct and indirect real estate-related equity and real estate debt investments, and fee bearing management contracts on investment funds that it manages.
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