Amalgamated Financial/$AMAL
About Amalgamated Financial
Ticker
Industry
Employees
AMAL Metrics
$1.1B
10.56
$3.44
0.92
$0.46
1.54%
Price and volume
Market cap
$1.1B
Beta
0.92
52-week high
$37.05
52-week low
$21.33
Average daily volume
208K
Dividend rate
$0.46
Financial strength
Management effectiveness
Return on assets (TTM)
1.31%
Return on equity (TTM)
16.46%
Valuation
Price to earnings (TTM)
10.561
Price to revenue (TTM)
3.652
Price to book
1.57
Price to tangible book (TTM)
1.61
Dividend yield (TTM)
1.27%
Forward dividend yield
1.54%
Growth
Revenue change (TTM)
10.82%
Earnings per share change (TTM)
20.28%
3-year revenue growth (CAGR)
14.45%
3-year earnings per share growth (CAGR)
26.98%
3-year dividend per share growth (CAGR)
14.47%
What the Analysts think about AMAL
Analyst Ratings
AMAL Financial Performance
Income Statement
Q3 24
QoQ growth
$37B
-39.75%
$45B
107.52%
37.65%
6.78%
AMAL Earnings Performance
Earnings per share (EPS)
Q4 23
Q1 24
Q2 24
Q3 24
Q4 24
$3.69
$2.85
$2.45
$2.42
-
$3.55
$2.61
$2.05
$2.31
$3.94
3.94%
9.20%
19.51%
4.63%
-
AMAL News

Bank stocks pop after Fed releases 'easier' 2025 stress test, plans to make exam more predictable

Amalgamated Financial Corp. (AMAL) Q4 2024 Earnings Call Transcript

Amalgamated Financial Corp. Reports Fourth Quarter 2024 Financial Results: Solid Loan Growth; Net Interest Margin Rises to 3.59%
Upcoming events
Amalgamated Financial
$0.14
What’s the current market cap for Amalgamated Financial stock?
What is the P/E ratio for Amalgamated Financial stock?
Does Amalgamated Financial stock pay dividends?
Yes, the Amalgamated Financial (AMAL) stock pays dividends to shareholders. As of February 15, 2025, the dividend rate is $0.46 and the yield is 1.54%. Amalgamated Financial has a payout ratio of 0% on a trailing twelve-month basis.
When is the next Amalgamated Financial dividend payment date?
The next Amalgamated Financial (AMAL) dividend payment is scheduled for February 27, 2025.
What is the beta indicator for Amalgamated Financial?
Amalgamated Financial (AMAL) has a beta rating of 0.92. This means that it is less volatile than the market, on average. A beta of 1 would indicate the stock moves in-line with the market, while a beta of 0.5 would mean it moves half as much as the market.