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Stifel Financial Corp. (SF)

79.76 +0.07 (+0.09%)
At close: 11 September at 4:00:02 pm GMT-4
79.76 0.00 (0.00%)
After hours: 11 September at 5:05:00 pm GMT-4
Chart Range Bar
Loading chart for SF
  • Previous close 79.69
  • Open 79.21
  • Bid 75.85 x 20000
  • Ask 82.97 x 20000
  • Day's range 78.85 - 80.22
  • 52-week range 67.81 - 89.83
  • Volume 724,834
  • Avg. Volume 1,211,758
  • Market cap (intra-day) 12.044B
  • Beta (5Y monthly) 0.98
  • PE ratio (TTM) 14.27
  • EPS (TTM) 5.59
  • Earnings date (est.) 21 Oct 2026
  • Forward dividend & yield 1.36 (1.71%)
  • Ex-dividend date 1 Sept 2026
  • 1y target est 89.00

Stifel Financial Corp. operates as the bank holding company for Stifel, Nicolaus & Company, Incorporated that provides retail and institutional wealth management, and investment banking services to individual, corporations, municipalities, and institutions in the United States, the United Kingdom, Canada, and internationally. It operates in three segments: Global Wealth Management, Institutional Group, and Other. The company provides private client services, including securities transaction and financial planning services; securities brokerage services, such as the sale of equities, mutual funds, fixed income products, and insurance; institutional equity and fixed income sales, trading and research, and municipal finance services; investment banking services, such as mergers and acquisitions, public offerings, and private placements; and retail and commercial banking services comprising personal and commercial lending programs, as well as deposit accounts. It participates in and manages underwritings for corporate and public finance; and offers financial advisory and securities brokerage services. The company was founded in 1890 and is headquartered in Saint Louis, Missouri.

www.stifel.com

8,900

Full-time employees

31 December

Fiscal year ends

Financial Services

Sector

Capital Markets

Industry

Recent news

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Performance overview

Trailing total returns as of 11/09/2026, which may include dividends or other distributions. Benchmark is S&P 500 (^GSPC) .

YTD return

SF
3.14%
S&P 500 (^GSPC)
11.85%

1-year return

SF
5.57%
S&P 500 (^GSPC)
16.24%

3-year return

SF
96.73%
S&P 500 (^GSPC)
70.63%

5-year return

SF
96.71%
S&P 500 (^GSPC)
71.74%

Earnings trends

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Earnings per share

GAAP
Normalised
GAAP
Normalised
 

Revenue vs. Earnings

Annual
Quarterly
Annual
Quarterly
Q2 FY26
Revenue 1.45B
Earnings 217.16M
Profit margin 14.94%

Q3

FY25

Q4

FY25

Q1

FY26

Q2

FY26

0
500M
1B
2B
14.5%
15.0%
15.5%
16.0%
 

Analyst insights

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Analysts' price targets

81.00
89.00 Average
79.76 Current
103.00 High
 

Analyst recommendations

  • Strong buy
  • Buy
  • Hold
  • Underperform
  • Sell
 

Latest rating

Date 23/07/2026
Analyst JP Morgan
Rating action Maintains
Rating Neutral
Price action Raises
Price target 80 -> 86
 

Statistics

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Valuation measures

  • Market cap

  • Enterprise value

  • Trailing P/E

  • Forward P/E

  • PEG ratio (5-yr expected)

  • Price/sales (ttm)

  • Price/book (mrq)

  • Enterprise value/revenue

  • Enterprise value/EBITDA

Financial highlights

Profitability and income statement

  • Profit margin

    16.34%

  • Return on assets (ttm)

    2.25%

  • Return on equity (ttm)

    16.43%

  • Revenue (ttm)

    5.83B

  • Net income avi to common (ttm)

    916.35M

  • Diluted EPS (ttm)

    5.59

Balance sheet and cash flow

  • Total cash (mrq)

    5.22B

  • Total debt/equity (mrq)

    52.00%

  • Levered free cash flow (ttm)

    --

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