0001567619-22-002686.txt : 20220207 0001567619-22-002686.hdr.sgml : 20220207 20220207170236 ACCESSION NUMBER: 0001567619-22-002686 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 17 CONFORMED PERIOD OF REPORT: 20220203 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20220207 DATE AS OF CHANGE: 20220207 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Associated Capital Group, Inc. CENTRAL INDEX KEY: 0001642122 STANDARD INDUSTRIAL CLASSIFICATION: SECURITY BROKERS, DEALERS & FLOTATION COMPANIES [6211] IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-37387 FILM NUMBER: 22598363 BUSINESS ADDRESS: STREET 1: 191 MASON STREET CITY: GREENWICH STATE: CT ZIP: 06830 BUSINESS PHONE: 914-921-5135 MAIL ADDRESS: STREET 1: 191 MASON STREET CITY: GREENWICH STATE: CT ZIP: 06830 FORMER COMPANY: FORMER CONFORMED NAME: Gabelli Securities Group, Inc. DATE OF NAME CHANGE: 20150512 8-K 1 brhc10033508_8k.htm 8-K

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 8-K

CURRENT REPORT

Pursuant to Section 13 or 15(d) of The
Securities Exchange Act of 1934

Date of Report (Date of earliest event reported) February 3, 2022

ASSOCIATED CAPITAL GROUP, INC.
(Exact name of registrant as specified in its charter)

Delaware
1-37387
47-3965991
(State or other jurisdiction of incorporation)
(Commission File Number)
(IRS Employer Identification No.)

191 Mason Street, Greenwich, CT
 
06830
     
(Address of principal executive offices)
 
(Zip Code)

Registrant’s telephone number, including area code (203) 629-9595

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2 below):


Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)


Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)


Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))


Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (240.12b-2 of this chapter).

Emerging growth company

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. ☐

Securities registered pursuant to Section 12(b) of the Act:
Title of each class
Trading Symbol(s)
Name of each exchange on which registered
Class A Common Stock, par value $0.001 per share
AC
New York Stock Exchange



Item 2.02
Results of Operations and Financial Condition.
 
The following information is furnished pursuant to Item 2.02, “Results of Operations and Financial Condition.”

On February 3, 2022, Associated Capital Group, Inc. (NYSE: AC) (“Associated Capital”) announced its results of operations for the quarter and year ended December 31, 2021.  A copy of the related press release is being filed as Exhibit 99.1 to this Form 8-K and is incorporated herein by reference in its entirety.

The information furnished under Item 2.02, including the exhibit attached hereto, is not deemed “filed” for purposes of Section 18 of the Securities Exchange Act of 1934 and shall not be incorporated by reference into any registration statement or other document pursuant to the Securities Act of 1933, except otherwise as expressly stated in such filing.
 
Item 9.01
Financial Statements and Exhibits.
 
 
(d)
Exhibits
 
 
Associated Capital Group’s Press Release, dated February 3, 2022.


SIGNATURE
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 
Associated Capital Group, Inc.
 
   
By: /s/ Timothy H. Schott
 
Timothy H. Schott
 
Chief Financial Officer
 
   
Date: February 7, 2022
 
 


EX-99.1 2 brhc10033508_ex99-1.htm EXHIBIT 99.1
Exhibit 99.1

For Immediate Release:
 
Timothy H. Schott


 Chief Financial Officer


 (203) 629-9595


Associated-Capital-Group.com

ASSOCIATED CAPITAL GROUP, INC.
Reports Fourth Quarter and Record1 Full Year Results

-
2021 Year-end Book Value reaches a record $42.48 per share vs. $40.36 a year ago
 
-
Record level of AUM: $1.78 billion at December 31, 2021 vs. $1.35 billion at December 31, 2020
 
-
2021 Net AUM inflows were a record $356 million for the year
 
-
2021 Full year diluted EPS reaches a record $2.68 per share
 
-
Company eyes launch of Private Equity Fund
 
Greenwich, CT, February 3, 2022 – Associated Capital Group, Inc. (“AC” or the “Company”), a diversified financial services company, today reported its financial results for the fourth quarter and full year ended December 31, 2021.

Financial Highlights – GAAP basis
           
($’s in 000’s except AUM and per share data)
           
             
   
Fourth Quarter
   
Full Year
 
 (Unaudited)
 
2021
   
2020
   
2021
   
2020
 
 AUM – end of period (in millions)
 
$
1,781
   
$
1,351
   
$
1,781
   
$
1,351
 
 AUM – average (in millions)
   
1,735
     
1,286
     
1,595
     
1,399
 
                                 
 Revenues
   
13,998
     
12,009
     
20,924
     
18,983
 
 Operating Loss
   
(2,131
)
   
(4,616
)
   
(19,076
)
   
(12,469
)
 Investment and other non-operating income, net
   
14,961
     
75,599
     
100,415
     
42,352
 
 Income/(loss) before income taxes
   
12,830
     
70,983
     
81,339
     
29,883
 
                                 
 Net income/(loss) to shareholders:
                               
Continuing operations, net of NCI
   
9,429
     
51,119
     
59,203
     
19,448
 
Discontinued operations, net of NCI
   
-
     
-
     
-
     
(632
)
 Net income/(loss)
   
9,429
     
51,119
     
59,203
     
18,816
 
 Net income/(loss) per share-diluted
 
$
0.43
   
$
2.29
   
$
2.68
   
$
0.84
 
                                 
 Class A shares outstanding (thousands)
   
3,095
     
3,311
     
3,095
     
3,311
 
 Class B shares outstanding (thousands)
   
18,963
     
18,963
     
18,963
     
18,963
 
 Total shares outstanding (thousands)
   
22,058
     
22,274
     
22,058
     
22,274
 
 Book Value Per Share
 
$
42.48
   
$
40.36
   
$
42.48
   
$
40.36
 


1 References to financial performance records relate to the Company’s operations as a public company beginning in 2015, unless otherwise stated.

1

Giving Back to Society – (Y)our “S” in ESG

On November 5, the Board of Directors of Associated Capital approved a $0.30 per share shareholder designated charitable contribution (“SDCC”) for registered shareholders. This is an increase from last year’s $0.20 per share contribution. AC’s total contribution, based on the shares registered as of December 1, 2021, is approximately $6.0 million, of which approximately $1.2 million is funded by the GBL SDCC program through AC’s holdings in GBL. Since November 2015, Associated Capital’s SDCC program of corporate giving has resulted in nearly $31 million in donations to over 160 501(c)(3) institutions across the United States.

 Fourth Quarter Financial Data


-
At December 31, 2021 the book value was $42.48 per share versus $42.24 at September 30, 2021, and $40.36 per share at December 31, 2020.


-
Assets under management ended the quarter at $1.78 billion compared to $1.68 billion at September 30, 2021 and $1.35 billion at December 31, 2020. The increase in AUM for the 4th quarter 2021 is driven by net investor inflows of $88 million and market appreciation of $13 million. For the full year, the increase in AUM is driven by net investor inflows of $356 million coupled with market appreciation of $74 million.

Fourth Quarter Results
 
Fourth quarter revenues of $14.0 million were $2.0 million higher than the $12.0 million in revenues for the fourth quarter of 2020, largely due to higher AUM. Total operating expenses, excluding management fee, were $14.9 million in the fourth quarter 2021 compared to $13.5 million in the comparable 2020 period primarily due to payouts on higher performance fees in 2021.
 
Net investment and other non-operating income was $15.0 million for the quarter, $60.6 million lower than the $75.6 million generated in the prior year period, driven mainly by significant market performance in Q4 2020 as a result of the market recovery from the pandemic.
 
Fourth quarter Management fee expense of $1.2 million was $1.9 million lower than the $3.1 million management fee for the fourth quarter of 2020 primarily driven by lower investment income in the fourth quarter of 2021.
 
Our provision for income taxes was $2.6 million for the quarter compared to $18.2 million in the comparable period of 2020.
 
The increase in book value per share is driven by income during the period, partially offset by the impact of accretion of the discount on the redeemable non-controlling interest issued by our consolidated subsidiary, PMV Consumer Acquisition Corporation (“PMV SPAC”). Accumulated accretion is expected to reverse upon the consummation of a business combination, which is expected to result in the deconsolidation of PMV SPAC.
 
2

Full Year Results
 
Revenues for the year ended 2021 reached $20.9 million compared to $19.0 million in 2020 due to the record levels of both net inflows as well as total AUM for the year combined with the positive investment performance.
 
For 2021, operating loss before management fee was $10.7 million compared to $9.4 million in 2020, primarily driven by increased Compensation expense, which was driven by better performance of our funds in 2021 when compared to the prior year as well as higher share-based compensation expense due to an increase in our share price. These items were offset by increases in revenues, and a one-time credit recorded to Other operating expenses.
 
Non-operating income increased to $100.4 million compared to $42.4 million in 2020, primarily driven by a $28.5 million increase related to our holdings of GBL (including a special $2 per share dividend declared in 2021) and other portfolio performance increases.
 
Management fee expense increased to $8.4 million compared to $3.1 million in 2020 primarily driven by higher investment income in 2021.
 
Our income tax rate for the year was 21.8% and was lower than the 31.4% rate for the prior year primarily due to foreign investments impacting the prior year rate.
 
For the year ended 2021 the Company recorded Net Income of $59.2 million, compared to $18.8 million for 2020. Diluted EPS was $2.68 compared to $0.84 for the prior year.
 
Book value was a record $42.48 per share at December 31, 2021 versus $40.36 per share at December 31, 2020. The increase in Book value per share reflects higher net income aided in part by modest buybacks during the year, partially offset by the accretion of redeemable noncontrolling interest.
 
3

Assets Under Management (AUM)
Assets under management at December 31, 2021 reached a record of $1.8 billion, up $430 million from year-end 2020 due to record annual net inflows of $356 million as well as $74 million in market appreciation.
 
($ in millions)
 
December 31,
2021
   
December 31,
2020
 
Merger Arbitrage
 
$
1,542
   
$
1,126
 
Event-Driven Value(a)
   
195
     
180
 
Other
   
44
     
45
 
Total AUM
 
$
1,781
   
$
1,351
 

(a)
Assets under management represent the assets invested in this strategy that are attributable to Associated Capital Group, Inc.

Alternative Investment Management

The alternative investment strategies focus on the merger arbitrage strategy which has an absolute return focus of generating returns in excess of short term Treasury Bills, as well as strategies using fundamental, active, event-driven special situations factors.

Merger Arbitrage

For the fourth quarter 2021, merger arbitrage generated gross returns of 2.39% (1.73% net of fees), for the year to date period, gross returns were 10.81% (7.78% net of fees), adding to its historical record of positive net returns in 35 of the last 37 years. A summary of our performance by strategy is as follows:

Performance(a)
   
4Q ‘21
     
2021
     
2020
     
2019
     
2018
   
5 Year(b)
   
Since
Inception
 
(b)(c)
Merger Arb
                                                   
Gross
   
2.39
     
10.81
     
9.45
     
8.55
     
4.35
     
7.54
     
10.38
 
Net
   
1.73
     
7.78
     
6.70
     
5.98
     
2.65
     
5.19
     
7.36
 

(a)
All performance is net of fees and expenses, unless otherwise noted. Performance shown for actual fund in this strategy. Other fund performance in this strategy may vary. Past performance is no guarantee of future results.
 
(b)
Represents annualized returns through December 31, 2021
 
(c)
Inception Date: Merger Arb - Feb-85
 
4

 
Merger Arbitrage Flagship Fund
 
Percent Return (%)
Year
Gross
Return
Net Return
90 Day
T-Bills
T-Bills +
400bps
Gross
Excess
Return
2021
10.81
7.78
0.05
4.05
6.76
2020
9.45
6.70
0.58
4.58
4.87
2019
8.55
5.98
2.25
6.25
2.30
2018
4.35
2.65
1.86
5.86
-1.52
2017
4.69
2.92
0.84
4.84
-0.15
2016
9.13
6.44
0.27
4.27
4.86
2015
5.33
3.43
0.03
4.03
1.30
2014
3.89
2.29
0.03
4.03
-0.15
2013
5.33
3.43
0.05
4.05
1.28
2012
4.32
2.63
0.07
4.07
0.25
2011
4.89
3.07
0.08
4.08
0.82
2010
9.07
6.35
0.13
4.13
4.94
2009
12.40
9.15
0.16
4.16
8.24
2008
0.06
-0.94
1.80
5.80
-5.74
2007
6.39
4.26
4.74
8.74
-2.35
2006
12.39
8.96
4.76
8.76
3.63
2005
9.40
6.63
3.00
7.00
2.40
2004
5.49
3.69
1.24
5.24
0.25
2003
8.90
6.26
1.07
5.07
3.83
2002
4.56
2.45
1.70
5.70
-1.14
2001
7.11
4.56
4.09
8.09
-0.98
2000
18.10
13.57
5.96
9.96
8.14
1999
16.61
12.31
4.74
8.74
7.87
1998
10.10
7.21
5.06
9.06
1.04
1997
12.69
9.21
5.25
9.25
3.44
1996
12.14
8.84
5.25
9.25
2.89
1995
14.06
10.27
5.75
9.75
4.31
1994
7.90
5.53
4.24
8.24
-0.34
1993
12.29
8.91
3.09
7.09
5.20
1992
7.05
4.78
3.62
7.62
-0.57
1991
12.00
8.76
5.75
9.75
2.25
1990
9.43
6.67
7.92
11.92
-2.49
1989
23.00
17.55
8.63
12.63
10.37
1988
45.84
35.66
6.76
10.76
35.08
1987
-13.67
-14.54
5.90
9.90
-23.57
1986
33.40
26.14
6.24
10.24
23.16
1985
30.47
22.64
7.82
11.82
18.65
           
       
Average
3.49

The performance above refers to our merger arbitrage flagship fund. Both net and gross returns are shown. Net returns are net of management and incentive fees. Gross returns are gross of management and incentive fees. Individual investment returns may differ due to timing of investment and other factors. Past performance is not indicative of future results.



 

 
 

 



5

M&A activity remained vibrant in the fourth quarter of 2021, totaling $1.5 trillion, the sixth consecutive quarter that M&A exceeded $1 trillion and the second largest quarter ever. The strong fourth quarter brought full year M&A activity to $5.9 trillion, the strongest year on record and an increase of 64% compared to 2020 levels. Excluding SPAC acquisitions of $600 billion, 2021 was still a record year for (traditional) M&A.

Deal activity was propelled by mid-size deals, those valued between $1-$5 billion, which totaled $1.9 trillion, an increase of 115% compared to 2020 and a new record. Mega-deals valued over $10 billion totaled $1.1 trillion, a 30% increase year over year. In terms of geography, the U.S. remained the most active venue for targets, totaling $2.6 trillion in deals and accounting for 44% of all deals (up from 39% in 2020). We have said for years that a key tenet of the current M&A wave is global growth and this was evidenced by cross-border deal activity which surpassed $2 trillion for the first time in history, reaching $2.1 trillion, an increase of 68% compared to 2020.

Following years of record fundraising, private equity acquirers more than doubled their activity from 2020 with $1.2 trillion in announced deals, which accounted for 20% of M&A activity in 2021. The most active sectors were Technology ($1.7 trillion in new deals, an increase of 71% year over year) which accounted for 20% of deal value, Financials (13% of M&A volume), and Industrials (11% of M&A volume.)


The drivers remain in place for robust deal activity in 2022 and beyond. We continue to find attractive investment opportunities in newly announced and pipeline deals. We remain focused on investing in highly strategic, well-financed deals with an added focus on near-term catalysts, and are upbeat about our prospect to generate absolute returns in 2022.

The Merger Arbitrage strategy is offered domestically through partnerships as well as to institutional investors.  Internationally, the strategy is offered through a number of vehicles, including EU regulated UCITS structures and the London Stock Exchange listed investment company, Gabelli Merger Plus + Trust Plc (GMP-LN).

Shareholder Dividends and Buybacks
 
At its meeting on November 5, 2021, the Board of Directors declared a semi-annual dividend of $0.10 per share which was paid on December 15, 2021 to shareholders of record on December 1, 2021.

During the fourth quarter, AC repurchased 4,302 Class A shares, for $0.2 million, at an average investment of $36.49 per share.
 
Since our spin-off from GBL on November 30, 2015, AC has returned $153.7 million to shareholders through share repurchases, and exchange offers, in addition to paying dividends of $27.7 million, including the $4.4 million tax-free distribution of Morgan Group Holdings (MGHL) on August 5, 2020.
 
At December 31, 2021, there were 3.1 million Class A shares and 19.0 million Class B shares outstanding.
 
6

About Associated Capital Group, Inc.
 
Associated Capital Group, Inc. (NYSE:AC), based in Greenwich Connecticut, is a diversified global financial services company that provides alternative investment management through Gabelli & Company Investment Advisers, Inc. (“GCIA” f/k/a Gabelli Securities, Inc.). The proprietary capital is earmarked for our direct investment business that invests in new and existing businesses. The direct investment business long term plan has three core pillars; Gabelli Private Equity Partners, LLC (“GPEP”), formed in August 2017 with $150 million of authorized capital as a “fund-less” sponsor; the SPAC business (Gabelli special purpose acquisition vehicles), launched in April 2018; and, Gabelli Principal Strategies Group, LLC (“GPS”), created to pursue strategic operating initiatives.
 
7

Operating Loss Before Management Fee

Operating loss before management fee expense represents a non-GAAP financial measure used by management to evaluate its business operations.  We believe this measure is useful in illustrating the operating results of the Company as management fee expense is based on pre-tax income before management fee expense, which includes non-operating items including investment gains and losses from the Company’s proprietary investment portfolio and interest expense.

   
Year-to-date
 
($ in 000’s)
 
2021
   
2020
 
Operating loss – GAAP
 
$
(19,076
)
 
$
(12,469
)
Add: management fee expense
   
8,426
     
3,101
 
Operating loss before management fee – Non-GAAP
 
$
(10,650
)
 
$
(9,368
)

8

Table I
ASSOCIATED CAPITAL GROUP, INC.
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF FINANCIAL CONDITION
(Amounts in thousands)

   
December 31, 2021
   
December 31, 2020
 
ASSETS
           
             
Cash, cash equivalents and US Treasury Bills (a)
 
$
380,044
   
$
383,962
 
Investments in securities and partnerships (a)
   
501,706
     
495,579
 
Investment in GAMCO stock (b)
   
60,389
     
48,907
 
Receivable from brokers (a)
   
42,478
     
24,677
 
Deferred tax assets
   
-
     
2,207
 
Other receivables (a)
   
18,409
     
15,273
 
Other assets (a)
   
25,201
     
28,900
 
Investments in marketable securities held in trust (a)
   
175,109
     
175,040
 
                 
Total assets
 
$
1,203,336
   
$
1,174,545
 
                 
LIABILITIES AND EQUITY
               
                 
Payable to brokers (a)
 
$
9,339
   
$
6,496
 
Income taxes payable, including deferred tax liabilities, net
   
8,575
     
9,746
 
Compensation payable
   
19,730
     
18,567
 
Securities sold short, not yet purchased (a)
   
12,905
     
17,571
 
Accrued expenses and other liabilities (a)
   
3,580
     
7,823
 
Deferred underwriting fee payable (a)
   
6,125
     
6,125
 
PMV warrant liability (a)
   
5,280
     
-
 
Sub-total
 
$
65,534
   
$
66,328
 
                 
Redeemable noncontrolling interests (a)
   
202,456
     
206,828
 
                 
Total equity
   
935,346
     
901,389
 
                 
Total liabilities and equity
 
$
1,203,336
   
$
1,174,545
 

(a)
Includes amounts related to consolidated variable interest entities (“VIEs”) and voting interest entities (“VOEs”), refer to footnote E of the Condensed Consolidated Financial Statements included in the 10-K report to be filed for the year ended December 31, 2021 for more details on the impact of consolidating these entities.

(b)
2,417,500, and 2,756,876 shares, respectively.

9

Table II
ASSOCIATED CAPITAL GROUP, INC.
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF INCOME
(Amounts in thousands, except per share data)

   
Three Months Ended
December 31,
   
Year Ended
December 31,
 
   
2021
   
2020
   
2021
   
2020
 
Revenues
                       
Investment advisory and incentive fees
 
$
13,903
   
$
11,864
   
$
20,530
   
$
18,288
 
Other
   
95
     
145
     
394
     
695
 
Total revenues
   
13,998
     
12,009
     
20,924
     
18,983
 
                                 
Compensation costs
   
12,747
     
11,031
     
24,457
     
19,436
 
Other operating expenses
   
2,165
     
2,493
     
7,117
     
8,915
 
Total expenses
   
14,912
     
13,524
     
31,574
     
28,351
 
                                 
Operating income/(loss) before management fee
   
(914
)
   
(1,515
)
   
(10,650
)
   
(9,368
)
                                 
Investment gain/(loss)
   
14,102
     
71,635
     
93,405
     
36,864
 
Interest and dividend income from GAMCO
   
154
     
2,635
     
5,442
     
2,812
 
Interest and dividend income, net
   
2,777
     
1,329
     
6,357
     
5,683
 
Shareholder-designated contribution
   
(2,072
)
   
-
     
(4,789
)
   
(3,007
)
Investment and other non-operating income/(expense), net
   
14,961
     
75,599
     
100,415
     
42,352
 
                                 
Income/(loss) before management fee and income taxes
   
14,047
     
74,084
     
89,765
     
32,984
 
Management fee
   
1,217
     
3,101
     
8,426
     
3,101
 
Income/(loss) before income taxes
   
12,830
     
70,983
     
81,339
     
29,883
 
Income tax expense/(benefit)
   
2,611
     
18,231
     
17,705
     
9,374
 
Income/(loss) from continuing operations, net of taxes
   
10,219
     
52,752
     
63,634
     
20,509
 
Income/(loss) from discontinued operations, net of taxes
   
-
     
-
     
-
     
(632
)
Income/(loss) before noncontrolling interests
   
10,219
     
52,752
     
63,634
     
19,877
 
Income/(loss) attributable to noncontrolling interests
   
790
     
1,633
     
4,431
     
1,061
 
Net income/(loss) attributable to Associated Capital Group, Inc.’s shareholders
 
$
9,429
   
$
51,119
   
$
59,203
   
$
18,816
 
                                 
Net income/(loss) per share attributable to Associated Capital Group, Inc.’s shareholders:
                               
Basic - Continuing operations
 
$
0.43
   
$
2.29
   
$
2.68
   
$
0.87
 
Basic - Discontinued operations
   
-
     
-
     
-
     
(0.03
)
Basic – Total
 
$
0.43
   
$
2.29
   
$
2.68
   
$
0.84
 
                                 
Diluted - Continuing operations
 
$
0.43
   
$
2.29
   
$
2.68
   
$
0.87
 
Diluted - Discontinued operations
   
-
     
-
     
-
     
(0.03
)
Diluted - Total
 
$
0.43
   
$
2.29
   
$
2.68
   
$
0.84
 
                                 
Weighted average shares outstanding:
                               
Basic
   
22,059
     
22,304
     
22,120
     
22,369
 
Diluted
   
22,059
     
22,304
     
22,120
     
22,369
 
                                 
Actual shares outstanding – end of period
   
22,058
     
22,274
     
22,058
     
22,274
 

10

SPECIAL NOTE REGARDING FORWARD-LOOKING INFORMATION
 
The financial results set forth in this press release are preliminary. Our disclosure and analysis in this press release, which do not present historical information, contain “forward-looking statements” within the meaning of the U.S. Private Securities Litigation Reform Act of 1995. Forward-looking statements convey our current expectations or forecasts of future events. You can identify these statements because they do not relate strictly to historical or current facts. They use words such as “anticipate,” “estimate,” “expect,” “project,” “intend,” “plan,” “believe,” and other words and terms of similar meaning. They also appear in any discussion of future operating or financial performance. In particular, these include statements relating to future actions, future performance of our products, expenses, the outcome of any legal proceedings, and financial results. Although we believe that we are basing our expectations and beliefs on reasonable assumptions within the bounds of what we currently know about our business and operations, the economy and other conditions, there can be no assurance that our actual results will not differ materially from what we expect or believe. Therefore, you should proceed with caution in relying on any of these forward-looking statements. They are neither statements of historical fact nor guarantees or assurances of future performance.
 
Forward-looking statements involve a number of known and unknown risks, uncertainties and other important factors, some of which are listed below, that are difficult to predict and could cause actual results and outcomes to differ materially from any future results or outcomes expressed or implied by such forward-looking statements.  Some of the factors that could cause our actual results to differ from our expectations or beliefs include a decline in the securities markets that adversely affect our assets under management, negative performance of our products, the failure to perform as required under our investment management agreements, and a general downturn in the economy that negatively impacts our operations. We also direct your attention to the more specific discussions of these and other risks, uncertainties and other important factors contained in our Form 10 and other public filings. Other factors that could cause our actual results to differ may emerge from time to time, and it is not possible for us to predict all of them. We do not undertake to update publicly any forward-looking statements if we subsequently learn that we are unlikely to achieve our expectations whether as a result of new information, future developments or otherwise, except as may be required by law.
 

11

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Document and Entity Information
Feb. 03, 2022
Cover [Abstract]  
Document Type 8-K
Amendment Flag false
Document Period End Date Feb. 03, 2022
Entity Registrant Name ASSOCIATED CAPITAL GROUP, INC.
Entity Incorporation, State or Country Code DE
Entity File Number 1-37387
Entity Tax Identification Number 47-3965991
Entity Address, Address Line One 191 Mason Street
Entity Address, City or Town Greenwich
Entity Address, State or Province NY
Entity Address, Postal Zip Code 06830
City Area Code 203
Local Phone Number 629-9595
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Entity Emerging Growth Company false
Entity Central Index Key 0001642122
Title of 12(b) Security Class A Common Stock, par value $0.001 per share
Trading Symbol AC
Security Exchange Name NYSE
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