Displaying a price of $18.40, Gluskin Sheff Associates (TSE:GS) traded -0.24% lower on the day. The last stock close price is up -3.10% from the 200-day moving average, compared to the S&P 500 which has increased 0.05% over the same time period. Gluskin Sheff Associates has recorded a 50-day average of $16.98 and a two hundred day average of $17.18. Trade Volume was down over the average, with 33,682 shares of GS changing hands under the typical 65,143
Gluskin Sheff Associates (TSE:GS) had its target raised to $21.50 by CIBC World Markets in a report released 7/07/2017. The new target price suggests a potential upside of 0.17% from the company's most recent stock price close.
Gluskin Sheff Associates has one year low of $14.39 and a one year high of $19.93 with a PE ratio of 12.81 and has a market cap of $0.
Also covering Gluskin Sheff Associates's target, a total of 8 equity analysts have released a ratings update on GS. The one year target is $14.36 with zero analysts rating the company a strong buy, four brokers rating the stock a buy, 3 brokers rating the stock a hold, 0 brokerages rating the stock a underperform, and finally 0 firms rating the stock a sell.
About Gluskin Sheff Associates (TSE:GS)
Gluskin Sheff + Associates Inc. is a wealth management company serving high net worth private clients and institutional investors. The Company provides discretionary investment management services. It provides private client services to high net worth investors, including entrepreneurs, family trusts, private charitable foundations and estates. The Company separates the management of its portfolio models from the provision of advice to clients on their individual asset mix needs. Its portfolio models encompass a range of investment strategies and include long-only equity, credit alternative and fixed income. It offers various portfolio models that invest in equities and equity-related securities. These include models and funds focused on Canadian, the United States and international investments using a range of investment methodologies and strategies. Its fixed income and credit alternative strategies provide access to fixed income opportunities in a non-equity correlated asset class.
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