Westwood Holdings Group, Inc. (WHG)
NYSEFinancialsAsset ManagementSnapshot 2026-09-04
NYSEFinancialsAsset ManagementSnapshot 2026-09-04
QuarterlyIQ Insights · WHG
Price, fair value, and the multiples that frame it on the same time axis. Scroll over the price chart to zoom.
Daily closes. Earnings/event dots inline.
A consensus fair price across 9 valuation methods, at three horizons. As of 2026-09-04. Estimates are diagnostics, not price targets. Short-horizon estimates are close to coin-flips, so confidence is a method-agreement read, not a prediction.
Today's peer multiple on trailing earnings, with no growth credited. This is the headline read.
Adds projected growth, so it leans optimistic by design. Read it as upside context, not a base case.
We take the 12-month fair value above and grade our own number — how the market prices this name versus what we'd justify, and where the two diverge.
At $19 WHG trades at 21× p/e — 1.3× the 16× p/e peer median. The market is re-rating it beyond its own range; our $18 fair value is medium-confidence here. Not investment advice.
One valuation read at a 12-month horizon, plus how price compares to peers and the company's own history.
Score 100 = cheapest in the cohort, 0 = richest. Bars are filled left-to-right based on the peer-relative score (or PEG/self-history where shown).
Each method's implied share price per horizon. Provisional rows use a projected (historical-CAGR) growth input rather than analyst or management guidance.
| Method | Horizon | Est. price | Multiple | Per-share input | EPS source | Confidence |
|---|---|---|---|---|---|---|
| dcf fcfe | 12M | $8.85 | — | — | Hist. CAGR | high |
| dcf fcff | 12M | $11.34 | — | — | Hist. CAGR | high |
| graham number | 12M | $16.86 | — | — | TTM | high |
| Peer P/B | 12M | $27.11 | 1.9 | 14.04 | TTM | high |
| Peer P/FCF | 12M |
A “consensus-then vs. actual-now” overlay is on the way — what our valuation estimate said on a past date versus where the price actually landed.
Not investment advice. Scores describe historical and current data; they are not forecasts of future returns. Consult a licensed advisor before making investment decisions.
A long-thesis check that carries the widest uncertainty of the three horizons.
Above average on quality vs scored peers
Direction of the business behind the multiple. Bands are backend reads; trailing-12-month basis.
No fragility gates fired. Regime (Mania) does not concentrate fragility.
For similar setups historically (n=20,154): about 33% saw a 20%+ drawdown, and roughly 76% of those did not recover within the year. These are historical base rates for the cohort, not a forecast of this stock.
Looks more expensive than peers.
Self-history needs ~20 months of data.
Trailing four: 2025-Q2, 2025-Q3, 2026-Q1, 2026-Q2
Direction of the business behind the multiple. Bands are backend reads; trailing-12-month basis.
| $23.36 |
| 13.5 |
| 1.73 |
| TTM |
| high |
| Peer P/E | 12M | $14.72 | 16.3 | 0.90 | TTM | high |
| Peer P/S | 12M | $36.36 | 3.2 | 11.20 | TTM | high |
| residual income | 12M | $13.08 | — | — | TTM | high |
| triangulated | 12M | $15.58 | 16.3 | 0.95 | Triangulated | high |
| Peer P/B | 3Y | $30.02 | 1.9 | 15.54 | Hist. CAGR(prov.) | medium |
| Peer P/FCF | 3Y | $10.33 | 13.5 | 0.76 | Hist. CAGR(prov.) | medium |
| Peer P/E | 3Y | $26.56 | 16.3 | 1.63 | Hist. CAGR(prov.) | medium |
| Peer P/S | 3Y | $50.62 | 3.2 | 15.59 | Hist. CAGR(prov.) | medium |
| Peer P/B | 5Y | $32.13 | 1.9 | 16.64 | Hist. CAGR(prov.) | medium |
| Peer P/FCF | 5Y | $5.99 | 13.5 | 0.44 | Hist. CAGR(prov.) | medium |
| Peer P/E | 5Y | $33.12 | 16.3 | 2.03 | Hist. CAGR(prov.) | medium |
| Peer P/S | 5Y | $63.11 | 3.2 | 19.44 | Hist. CAGR(prov.) | medium |