For Q1 FY2026 ended March 31, 2026, Pershing Square Inc. reported revenue of $57.5 million, up 9.9% year-over-year. Operating income was $5.1 million, down 51.2% from the prior year. Net income was a loss of $147.6 million, a significant decrease from the prior year. The company had $46.8 million in cash and $34.8 million in long-term debt.
•Revenue increased 9.9% to $57.5 million.
•Operating income fell 51.2% to $5.1 million.
•Net loss of $147.6 million, compared to a loss of $15.6 million in the prior year.
•Cash and cash equivalents totaled $46.8 million; long-term debt was $34.8 million.
Informational summary based on SEC XBRL figures · generated by deepseek-v4-flash. Not investment advice.
Pershing Square is an alternative asset manager. The company was formerly known as Pershing Square Holdco, L.P. The company was incorporated in 2024 and is based in New York, New York. Pershing Square Inc. operates as a subsidiary of Pershing Square Partner Group, LLC.
Pershing Square Inc. is an alternative asset manager based in New York, New York. The company focuses on managing investment funds and portfolios, typically employing a concentrated, long-term investment strategy. It operates as a subsidiary of Pershing Square Partner Group, LLC. The firm was incorporated in 2024 and was formerly known as Pershing Square Holdco, L.P. As an alternative asset manager, Pershing Square Inc. primarily serves institutional and high-net-worth clients, seeking to generate returns through active management and significant stakes in publicly traded companies.
Where is Pershing Square Inc. listed and in which currency?
Pershing Square Inc. is listed on the New York Stock Exchange (NYSE) under the ticker symbol PS. The company trades in US Dollars (USD), which is the official currency of the United States. Being listed on the NYSE, one of the largest stock exchanges in the world, provides the company with broad access to global investors and liquidity. The use of USD facilitates transactions for investors based in the United States and internationally, as the dollar is a widely accepted reserve currency.
What sector and industry does Pershing Square Inc. belong to?
Pershing Square Inc. operates in the Financial Services sector, specifically within the Asset Management industry. As an asset manager, the company is involved in managing investments on behalf of clients, including pension funds, endowments, and wealthy individuals. The Financial Services sector encompasses a wide range of businesses that manage money, including banks, investment firms, and insurance companies. Within this sector, the Asset Management industry focuses on the professional management of various securities and assets to meet specified investment goals for the benefit of investors.
Where is Pershing Square Inc. headquartered and what is its background?
Pershing Square Inc. is headquartered in New York, New York, United States. The company was incorporated in 2024 and was formerly known as Pershing Square Holdco, L.P. It operates as a subsidiary of Pershing Square Partner Group, LLC. Being based in New York, a major global financial hub, allows the firm to be at the center of capital markets and access top talent. The company's background as an alternative asset manager indicates a focus on non-traditional investment strategies, such as hedge funds or private equity, to generate returns for its investors.
What is the business model of Pershing Square Inc.?
Pershing Square Inc. operates as an alternative asset manager, meaning it generates revenue primarily through management fees and performance fees from the investment funds it manages. The firm likely employs a concentrated investment approach, taking significant positions in a limited number of publicly traded companies. As a subsidiary of Pershing Square Partner Group, LLC, it benefits from the broader organization's resources and expertise. The company's business model focuses on delivering above-market returns through active, long-term investment strategies, often engaging with portfolio companies to enhance value. This model is typical of alternative asset managers that cater to institutional and accredited investors seeking higher returns.