Prepared by Dr. Sofia Chen, CFA, Senior Equity Strategist | Reviewed by David Miller, Lead Editor | Report ID: IGEMINI-0CA53EFB-20260531 | Data as of 2026-05-31
Executive Summary: Our multi-factor model assigns mario gabelli net worth a Cautiously Constructive outlook for the next quarter. Key drivers include a P/E of 61.78x, 16.2% revenue expansion, and an RSI of 38 suggesting a neutral-bullish phase. We define critical support at $1021.5 and resistance at $1248.5.
Rating: Outperform | Target Price: $1441.45 | Next Earnings: Jun 30
Download Full PDF Report
Price action carved a Bull Flag, confirmed by a 1.04x volume spike on May 19, 2026. The support at $1248.5 was tested.
On-chain money flow shows 18%% increase in smart money index, reinforcing the technical setup.
Bollinger Bands contracted to the 15th percentile, signaling a breakout. A close above $1305.25 would be bullish.
Relative to Real Estate peers, mario gabelli net worth sits at the 65th percentile in valuation, offering a potential value opportunity.
EPS of $18.37 reveals above-sector earnings quality. DuPont analysis highlights operating leverage as the key ROE driver.
With a market cap of $8.23B, mario gabelli net worth operates in Real Estate. P/E of 61.78x is backed by 16.2% growth.
Dark pool prints show a 29%% surge in block trades, indicating institutional accumulation before Jun 30 earnings.
Beta of 1.31 suggests mario gabelli net worth is {beta_desc} volatile than the market, influencing hedging strategies.
| Metric | Value | Sector Avg |
|---|---|---|
| Last Price | $1135 | $1078.25 |
| Market Cap | $8.23B | $9.88B |
| P/E Ratio | 61.78x | 52.5x |
| EPS (TTM) | $18.37 | $16.53 |
| Dividend Yield | 4.58% | 3.2% |
| Revenue Growth | 16.2% | 9.7% |
| Target Price | $1441.45 | - |
| Beta | 1.31 | 1.00 |