BC

Binah Capital Group, Inc.

BCGFinancial ServicesNASDAQ

Asset Management · Last scanned Sep 9, 2026

PriceMA150MA200
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Financials · Annual
Revenue
$182.0M
+10.7% YoY
Net Income
$2.3M
+143.6% YoY
EBITDA
$5.4M
+185.9% YoY

Scan Results

Daily timeframe
5 recent days hidden. Fresh signals are a Premium featureUpgrade →
DateIndicatorDetails
Sep 3 RSI OversoldRSI 25.0, below 30, stock may be oversold
Sep 2 MACD Negative CrossoverHistogram -0.0054, negative momentum
About Binah Capital Group, Inc.

Headquartered within the financial services sector, Binah Capital Group, Inc. focuses on Asset Management services and products. Binah Capital Group, Inc., together with its subsidiaries, operates in the wealth management industry. Valued at $20.5M, BCG is a micro-cap name in its sector. The company offers access to stocks, bonds, exchange-traded funds, and options execution services; and research, compliance, supervision, and accounting and related services for financial advisors.

Where BCG stands vs its 150-day and 200-day moving averages

As of the September 3, 2026 close, BCG finished 25.97% below its 150-day moving average ($1.81) and 31.63% below its 200-day moving average ($1.96). This snapshot is end-of-day data shown with a five-trading-day delay on the free plan; Premium members see readings from the latest close.

Is BCG overbought or oversold?

At the September 3, 2026 close, BCG's RSI(14) was 25.0, in oversold territory (below 30). The MACD histogram was negative, so short-term momentum leaned bearish at that close. These readings are historical, refresh daily after market close, and are not investment advice.

Key stats
Market Cap$20.5M
P/E (TTM)12.00
EPS$0.10
Beta0.26
52W Change-27.0%
ROE22.4%
Analysis

Binah Capital Group, Inc. carries $25.5M in total debt against $10.4M in cash reserves — debt is roughly 2.4x the cash position. Managing this leverage effectively will be important for long-term financial stability. ROE of 22.4% points to strong capital efficiency, indicating how much profit the company produces per dollar of shareholder equity. An ROA of 6.0% suggests reasonable efficiency in deploying the company's asset base. Revenue has been relatively flat, moving from $172.4M (2022) to $182.0M (2025).

BCG's low beta indicates it tends to be less volatile than the broader market, which may suit investors seeking more stable price behavior. It is important to consider these factors alongside broader market conditions and individual financial goals when reviewing BCG.

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