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Zais Group Holdings, Inc.  (ZAIS)
Other Ticker:  
    Sector  Financial    Industry Investment Services
   Industry Investment Services
   Sector  Financial
Price: $4.0900 $0.00 0.000%
Day's High: $ 4.1 Week Perf: 0.74 %
Day's Low: $ 4.09 30 Day Perf: 0.99 %
Volume (M): 10 52 Wk High: $ 4.12
Volume (M$): $ 39 52 Wk Avg: $ 3.98
Open: 4.10 52 Wk Low: 3.65
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 Market Capitalization (Millions $) 88
 Shares Outstanding (Millions) 22
 Employees 77
 Revenues (TTM) (Millions $) 31
 Net Income (TTM) (Millions $) -1
 Cash Flow (TTM) (Millions $) 3
 Capital Exp. (TTM) (Millions $) 0
Zais Group Holdings, Inc.
ZAIS Group was formed in 1997 and is an investment adviser registered with the Securities and Exchange Commission (“SEC”) under the Investment Advisers Act of 1940, as amended (the “1940 Act”) and is also registered with the Commodity Futures Trading Commission (“CFTC”) as a Commodity Pool Operator (“CPO”) and Commodity Trading Advisor (“CTA”). ZAIS Group provides investment advisory and asset management services to private funds, separately managed accounts, structured vehicles and ZAIS Financial Corp. (“ZFC REIT”), a publicly traded mortgage real estate investment trust (collectively, the “ZAIS Managed Entities”). The ZAIS Managed Entities predominantly invest in a variety of specialized credit instruments including mortgage loans, bank loans, corporate credit instruments such as collateralized debt obligations (“CDOs”) and collateralized loan obligations (together with CDOs referred to as “CLOs”) and various securities and instruments backed by these asset classes. ZAIS Group also serves as the general partner to certain ZAIS Managed Entities, which are generally organized as pass-through entities for U.S. federal income tax purposes. ZAIS Group’s AUM is primarily comprised of (i) total assets for mark-to-market funds and separately managed accounts; (ii) uncalled capital commitments, if any, for funds that are not in liquidation; and (iii) for issued structured vehicles, all assets being managed calculated per the management fee basis methodology defined in the respective vehicles’ indenture, although in certain circumstances some or all of the referenced management fees may be waived. AUM also includes assets in the warehouse phase for new structured credit vehicles and is based on actual assets managed without reductions for leverage and most other liabilities and includes all assets regardless of whether management fees are being earned.

ZAIS is expected to report next financial results on February 15, 2019.

Zais Group Holdings's Segments
  Company Estimates  
  Revenue Outlook
Zais Group Holdings does not provide revenue guidance.

Earnings Outlook
Zais Group Holdings, Inc. does not provide earnings estimates.

Geographic Revenue Dispersion

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