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Portman Ridge(PTMN) - 2025 Q2 - Earnings Call Presentation
2025-08-08 14:00
Financial Performance - Total investment income for Q2 2025 was $12.63 million, compared to $12.1 million in Q1 2025 and $16.337 million in Q2 2024[11] - Core investment income for Q2 2025 was $12.63 million, compared to $12.102 million in Q1 2025 and $16.225 million in Q2 2024[11] - Net investment income (NII) for Q2 2025 was $4.6 million ($0.50 per share), compared to $4.34 million ($0.47 per share) for Q1 2025 and $6.477 million ($0.70 per share) for Q2 2024[11] - Net asset value (NAV) as of June 30, 2025, was $164.7 million ($17.89 per share), compared to $173.5 million ($18.85 per share) for Q1 2025[11] Portfolio Composition and Activity - Investment portfolio at fair value as of June 30, 2025, was $395.109 million, comprised of 96 different portfolio companies[11] - Deployments of approximately $10.9 million and repayments and sales of approximately $17.0 million, resulting in net repayments and sales of approximately $6.1 million[11] - Debt investments on non-accrual, as of June 30, 2025, were six, representing 2.1% of the Company's investment portfolio at fair value and 4.8% at amortized cost[11] - Weighted average annualized yield, excluding income from non-accruals and collateralized loan obligations, was approximately 10.7% as of June 30, 2025[11] Capital Structure and Distributions - Par value of outstanding borrowings, as of June 30, 2025, was $255.4 million, with an asset coverage ratio of total assets to total borrowings of 165%[11] - Declared a regular quarterly base distribution of $0.47 per share of common stock, and a supplemental cash distribution of $0.02 per share of common stock[11] Recent Developments - The company announced the closing of the merger with Logan Ridge Finance Corporation on July 15, 2025, with the combined company having total assets in excess of $600 million based on July 11, 2025, financial data[9]
Portman Ridge(PTMN) - 2025 Q1 - Earnings Call Presentation
2025-05-09 12:27
Financial Performance - Total investment income for Q1 2025 was $12.118 million, compared to $16.526 million in Q1 2024[35] - Core investment income for Q1 2025 was $12.102 million, compared to $16.453 million in Q1 2024[18] - Net investment income (NII) for Q1 2025 was $4.340 million ($0.47 per share), compared to $6.226 million ($0.67 per share) in Q1 2024[35] - Net asset value (NAV) as of March 31, 2025, was $173.511 million ($18.85 per share), compared to $178.493 million ($19.41 per share) as of December 31, 2024[33] Portfolio Composition and Trends - Investment portfolio at fair value as of March 31, 2025, was $406.423 million, comprised of 93 different portfolio companies[33] - The debt investment portfolio, excluding CLO Funds, equities, and Joint Ventures, totaled $324.8 million at fair value as of March 31, 2025[9] - Non-accruals on debt investments, as of March 31, 2025, were six debt investments representing 2.6% of the Company's investment portfolio at fair value[9] - Weighted average annualized yield (excluding income from non-accruals and collateralized loan obligations) was approximately 11.0% as of March 31, 2025[9] Capital Structure and Liquidity - Par value of outstanding borrowings, as of March 31, 2025, was $255.4 million, compared to $267.5 million as of December 31, 2024[9] - Asset coverage ratio of total assets to total borrowings was 168% as of March 31, 2025[9]