Oppenheimer Holdings Inc. (OPY): Company Profile and SWOT Analysis

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Oppenheimer Holdings Inc. (OPY): Company Profile and SWOT Analysis Powered By Docstoc
					Oppenheimer Holdings Inc.

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Oppenheimer Holdings Inc.                                                             Financial Snapshot

                                                                                      Operating Performance
Fast Facts
                                           125 Broad Street, New York, 10004,United   The company reported revenue of US$958.99 million
Headquarters Address
                                           States of America                          during the fiscal year 2011 (2011). The company's
                                                                                      revenue grew at a CAGR of 1.20% during 2007–
Telephone                                  + 1 212 6688000
                                                                                      2011, with an annual decline of 7.46% over 2010. In
                                                                                      2011, the company recorded an operating margin of
Fax                                        N/A                                        1.86%, as against 6.56% in 2010.

Website                                    www.opco.com
                                                                                      Revenue and Margins
Ticker Symbol, Stock Exchange              OPY, New York Stock Exchange

Number of Employees                        3,576

Fiscal Year End                            December

Revenue (in US$ million)                   958.99




SWOT Analysis

Strengths                                  Weaknesses                                 Return on Equity

Broad product and service portfolio        High concentration on the US market        The company recorded a return on equity (ROE) of
                                                                                      2.03% for 2011, as compared to its peers, Raymond
                                                                                      James Financial, Inc. (Ticker: RJF), Stifel Financial
Strong research department                                                            Corp. (Ticker: SF) and National Holdings Corporation
                                                                                      (Ticker: NHLD), which recorded ROEs of 10.76%,
Opportunities                              Threats                                    6.46% and 0.00% respectively. The company
                                                                                      reported an operating margin of 1.86% in 2011.
                                           Effects of governmental policy and
Positive outlook for retirement products
                                           regulations
                                                                                      Return on Equity
Recovering US economy                      Fluctuations in interest rates




                                                                                      Financial Leverage

                                                                                      The company reported a debt to equity ratio of 0.54 in
                                                                                      2011, as compared to its peers, Raymond James
                                                                                      Financial, Inc., Stifel Financial Corp. and National
                                                                                      Holdings Corporation, which recorded debt to equity
                                                                                      ratios     of      0.35,      0.22       and       -3.91
                                                                                      respectively.Furthermore, in 2011,       the company
                                                                                      recorded a debt to capital ratio of 0.08, as compared
                                                                                      to its peers, Raymond James Financial, Inc., Stifel
                                                                                      Financial Corp. and National Holdings Corporation,
                                                                                      which recorded debt to capital ratios of 0.05, 0.06 and
                                                                                      -20.39 respectively.




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Oppenheimer Holdings Inc. - SWOT Profile                                                                                       Page 1
Oppenheimer Holdings Inc.

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TABLE OF CONTENTS

1     Business Analysis ................................................................................................................................... 5
    1.1       Company Overview ................................................................................................................................................5
    1.2       Business Description ..............................................................................................................................................6
    1.3       Major Products and Services ................
				
DOCUMENT INFO
Description: This SWOT analysis and company profile is a crucial resource for industry executives and anyone looking to gain a better understanding of the company's business. WMI's 'Oppenheimer Holdings Inc. (OPY):Company Profile and SWOT Analysis' report utilizes a wide range of primary and secondary sources, which are analyzed and presented in a consistent and easily accessible format. WMI strictly follows a standardized research methodology to ensure high levels of data quality and these characteristics guarantee a unique report.
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