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BCG vs CFND Comparison

Compare BCG & CFND Stocks: Price Trends, ML Decisions, Charts, Trends, Technical Analysis and more.

BCG

Binah Capital Group Inc.

HOLD

Current Price

$1.15

Market Cap

21.6M

Sector

N/A

ML Signal

HOLD

Logo C1 Fund Inc.

CFND

C1 Fund Inc.

HOLD

Current Price

$3.10

Market Cap

20.4M

Sector

N/A

ML Signal

HOLD

Company Overview

Basic Information
Metric
BCG
CFND
Founded
2016
N/A
Country
United States
Employees
N/A
N/A
Industry
Sector
Exchange
Nasdaq
Nasdaq
Market Cap
21.6M
20.4M
IPO Year
2025
2024

Fundamental Metrics

Financial Performance
Metric
BCG
CFND
Price
$1.15
$3.10
Analyst Decision
Analyst Count
0
0
Target Price
N/A
N/A
AVG Volume (30 Days)
24.4K
★ 95.8K
Earning Date
05-14-2026
N/A
Dividend Yield
N/A
N/A
EPS Growth
★ 112.50
N/A
EPS
★ 0.08
N/A
Revenue
★ $187,144,000.00
N/A
Revenue This Year
N/A
N/A
Revenue Next Year
N/A
N/A
P/E Ratio
$14.56
★ N/A
Revenue Growth
★ 10.80
N/A
52 Week Low
$1.11
$2.04
52 Week High
$3.44
$8.64

Technical Indicators

Market Signals
Indicator
BCG
CFND
Relative Strength Index (RSI) 31.86 52.11
Support Level N/A $2.81
Resistance Level $1.58 $3.53
Average True Range (ATR) 0.07 0.17
MACD -0.01 0.00
Stochastic Oscillator 14.00 50.79

Price Performance

Historical Comparison
BCG
CFND

About BCG Binah Capital Group Inc.

Binah Capital Group Inc formerly Wentworth Management Services LLC is a holding company that acquires and manages businesses in the wealth management industry. The company specializes in consolidating independent broker-dealers to capture economies of scale needed to service financial advisors in today's technology-enabled regulatory environment. Wentworth's core philosophy focuses on building long-term, productive relationships with its advisor base.

About CFND C1 Fund Inc.

C1 Fund Inc is a non-diversified, closed-end management investment company. The Adviser provides day-to-day investment management services to the Company, which is classified as non-diversified under the Investment Company Act. The Company's investment objective is to maximize its portfolio's total return by principally investing in privately held equity and equity-linked securities of digital asset services and technology companies. Its investments in equity securities include common and preferred shares, securities convertible into common shares, warrants and rights to subscribe to or purchase common shares, and common shares carrying a warrant or right.

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