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Oxford Lane Capital Corp. Announces Net Asset Value and Selected Financial Results for the Fourth Fiscal Quarter and Provides April Net Asset Value Update
Globenewswireยท 2025-05-19 12:00
Core Insights - Oxford Lane Capital Corp. reported a net asset value (NAV) per share of $4.32 as of March 31, 2025, down from $4.82 on December 31, 2024 [1] - The estimated NAV per share as of April 30, 2025, is between $3.98 and $4.08, which is subject to change and not finalized [1][4] - The company declared monthly distributions of $0.09 per share for July, August, and September 2025 [1] Financial Performance - Net investment income (NII) for the quarter ended March 31, 2025, was approximately $75.4 million, or $0.18 per share [1] - Core net investment income (Core NII) for the same quarter was approximately $95.8 million, or $0.23 per share, reflecting cash distributions from CLO equity investments [1][5] - Total investment income for the quarter was approximately $121.2 million, an increase of $6.7 million from the previous quarter [1] Investment Metrics - The weighted average yield of CLO debt investments was 15.9%, down from 16.6% as of December 31, 2024 [1] - The weighted average effective yield of CLO equity investments was also 15.9%, down from 16.1% [1] - The weighted average cash distribution yield of CLO equity investments decreased to 20.5% from 23.9% [4] Shareholder Actions - The company issued approximately 60.7 million shares of common stock during the quarter, resulting in net proceeds of approximately $300.5 million [4] - As of March 31, 2025, there were approximately 453.2 million shares outstanding, increasing to approximately 467.3 million by April 30, 2025 [4] Preferred Shares Information - The company declared dividends for its preferred shares, including $0.13020833 for the 6.25% Series 2027, $0.12500000 for the 6.00% Series 2029, and $0.14843750 for the 7.125% Series 2029 [2]