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Oppenheimer Holdings Inc. (OPY) Stock Falls on Q1 2026 Earnings

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Oppenheimer Holdings Inc. (OPY) reported results for the first quarter of 2026. Total revenues rose to $445.1 million, up 28.5% year-over-year.

Key income statement highlights:

  • Gross profit of $438.7 million, up 293.2% year-over-year.
  • Cost of sales of $6.4 million, down 97.3% year-over-year.
  • Operating loss of -$27.0 million, a decline of 85.5% year-over-year.
  • Net loss attributable to common shareholders of -$20.6 million, down 167.1% year-over-year; diluted earnings per share of -1.93, down 171.0% year-over-year.
  • Cash flow and balance sheet items:

  • Cash used in operating activities: -$190.0 million, a 2,278.0% year-over-year change.
  • Purchases of property, plant and equipment: -$60.0 million, up 7,975.4% year-over-year.
  • Cash and cash equivalents of $34.6 million, down 5.7% year-over-year.
  • Total liabilities of $2.85 billion, up 5.6% year-over-year.
  • Market reaction: shares of OPY were down 2.61% since market open this morning.

    Note: This financials data is sourced from a third-party provider and has not been independently verified by Quiver.

    Oppenheimer Holdings Inc. Insider Trading Activity

    OPY Insider Trades

    Oppenheimer Holdings Inc. insiders have traded $OPY stock on the open market 1 times in the past 6 months. Of those trades, 0 have been purchases and 1 have been sales.

    Here’s a breakdown of recent trading of $OPY stock by insiders over the last 6 months:

    • DENNIS P MCNAMARA (Secretary) sold 4,673 shares for an estimated $423,700

    To track insider transactions, check out Quiver Quantitative's insider trading dashboard. You can access data on insider stock transactions through the Quiver Quantitative API.

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    Oppenheimer Holdings Inc. Hedge Fund Activity

    We have seen 55 institutional investors add shares of Oppenheimer Holdings Inc. stock to their portfolio, and 51 decrease their positions in their most recent quarter.

    Here are some of the largest recent moves:

    • MILLENNIUM MANAGEMENT LLC added 41,485 shares (+56.6%) to their portfolio in Q4 2025, for an estimated $2,998,950
    • STATE STREET CORP added 35,250 shares (+109.6%) to their portfolio in Q4 2025, for an estimated $2,548,222
    • PROFIT INVESTMENT MANAGEMENT, LLC removed 33,778 shares (-100.0%) from their portfolio in Q4 2025, for an estimated $2,441,811
    • INVESCO LTD. removed 31,271 shares (-83.0%) from their portfolio in Q4 2025, for an estimated $2,260,580
    • MARSHALL WACE, LLP removed 29,574 shares (-63.8%) from their portfolio in Q4 2025, for an estimated $2,137,904
    • NORGES BANK removed 24,100 shares (-100.0%) from their portfolio in Q4 2025, for an estimated $1,742,189
    • AMERICAN CENTURY COMPANIES INC added 20,779 shares (+6.9%) to their portfolio in Q4 2025, for an estimated $1,502,113

    To track hedge funds' stock portfolios, check out Quiver Quantitative's institutional holdings dashboard. You can access data on hedge funds moves and 13F filings through the Quiver Quantitative API.

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