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Oppenheimer Holdings Inc conducts activities in the securities industry. The company is involved in retail securities brokerage, investment banking (both corporate and public finance), institutional sales and trading, market-making, research, trust services, and investment advisory and asset management services. The company has two segments: Wealth Management, and Capital Markets. IT generates maximum revenue from Wealth Management Segment which includes commissions and fee income earned on assets under management (AUM), net interest earnings on client margin loans and cash balances, fees from money market funds, custodian fees and other activities. The company generates the majority of its revenue from the Americas, with the rest from Europe, the Middle East, and Asia.
Oppenheimer Hldgs trades on the NYSE stock market under the symbol OPY.
As of July 16, 2026, OPY stock price declined to $112.30 with 128,427 million shares trading.
OPY has a beta of 0.83, meaning it tends to be less sensitive to market movements. OPY has a correlation of 0.07 to the broad based SPY ETF.
OPY has a market cap of $1.20 billion. This is considered a Small Cap stock.
In the last 3 years, OPY traded as high as $123.24 and as low as $32.82.
The top ETF exchange traded funds that OPY belongs to (by Net Assets): AVUV, VTI, VXF, BSVO, FNDA.
OPY has outperformed the market in the last year with a return of +72.7%, while the SPY ETF gained +21.9%. However, in the most recent history, OPY shares have underperformed the stock market with its stock returning -1.4% in the last 3 month period and +0.4% for the last 2 week period, while SPY has returned +7.5% and +0.7%, respectively.
OPY support price is $115.36 and resistance is $122.70 (based on 1 day standard deviation move). This means that using the most recent 20 day stock volatility and applying a one standard deviation move around the stock's closing price, stastically there is a 67% probability that OPY shares will trade within this expected range on the day.