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Oaktree Specialty Lending: A 13.2% Yield You Need To Avoid (Rating Downgrade)
Seeking Alpha· 2025-05-09 11:12
Core Insights - The article emphasizes the importance of dividend investing in quality blue-chip stocks, BDCs, and REITs for building a sustainable retirement income [1][2]. Group 1: Investment Strategy - The company focuses on a buy-and-hold investment strategy, prioritizing quality over quantity in its portfolio [1]. - The goal is to help lower and middle-class workers build investment portfolios that consist of high-quality, dividend-paying companies [1]. Group 2: Personal Investment Philosophy - The company aims to achieve financial independence through dividend income within the next 5-7 years [1]. - There is a strong emphasis on educating investors to conduct their own due diligence before making investment decisions [1].
Wall Street Remains Overwhelmingly Bullish About This 9.2%-Yielding Dividend Stock Despite Economic Uncertainty and Volatility
The Motley Fool· 2025-05-09 08:51
Core Viewpoint - Financial services stocks, including Ares Capital, are facing challenges in 2025 due to tariffs and inflation concerns, despite initial expectations for a favorable environment [1][2] Company Overview - Ares Capital is the largest publicly traded business development company (BDC) with a market cap of approximately $14 billion, focusing on direct lending to middle-market businesses [3] - The direct lending market presents a significant opportunity, valued at $5.4 trillion, with increasing demand for BDCs as companies prefer quicker deal closures [4] Analyst Sentiment - Among 13 analysts surveyed, four rated Ares Capital as a "strong buy," while seven recommended it as a "buy," indicating overall positive sentiment despite some economic concerns [5] - RBC Capital recently reduced its price target for Ares Capital but maintained an "outperform" rating, predicting a potential double-digit percentage increase in share price over the next year [5] Market Position and Strategy - Ares Capital's new CEO, Kort Schnabel, noted a decline in transaction activity in the liquid loan market but emphasized the stability of the direct lending market as businesses seek private financing [7] - The company is well-positioned to capture market share during economic uncertainty, with a conservative balance sheet and financial flexibility to pursue deals [8] Portfolio Health - Ares Capital's portfolio companies exhibit strong EBITDA growth, with debt-to-EBITDA multiples below the five-year average, and are primarily focused on services, which are less affected by high tariffs [9] Dividend Performance - Ares Capital boasts a forward dividend yield exceeding 9.2% and has maintained stable or increasing dividends for 63 consecutive quarters, positioning it as an attractive option for income investors [10] - The management expresses confidence in sustaining the current dividend levels for the foreseeable future [10]
Logan Ridge Finance Corporation Announces First Quarter 2025 Financial Results
Globenewswire· 2025-05-08 21:06
Reports Solid First Quarter Results with Net Investment Income of $0.35 Per Share and a Net Asset Value of $29.66 Per Share Declared a Distribution of $0.36 Per Share for the Second Quarter of 2025 Successfully Exited its Equity Investment in GA Communications, Inc., Further Reducing the Company’s Non-Yielding Equity Portfolio Investors are Encouraged to Vote FOR the Merger with Portman Ridge Finance Corporation (“PTMN”) NEW YORK, May 08, 2025 (GLOBE NEWSWIRE) -- Logan Ridge Finance Corporation (“Logan Ri ...
Prospect Capital Announces Financial Results for Fiscal March 2025 Quarter
Globenewswire· 2025-05-08 20:03
NEW YORK, May 08, 2025 (GLOBE NEWSWIRE) -- Prospect Capital Corporation (NASDAQ: PSEC) (“Prospect”, “our”, or “we”) today announced financial results for our fiscal quarter ended March 31, 2025. FINANCIAL RESULTS All amounts in $000’s except per share amounts (on weighted average basis for period numbers)Quarter EndedMarch 31, 2025Quarter EndedDecember 31, 2024Quarter EndedMarch 31, 2024 Net Investment Income (“NII”)$83,489$86,431<td style="border-top: solid black 1pt ; border-right: solid black 1pt ; bo ...
SLR Investment (SLRC) - 2025 Q1 - Earnings Call Transcript
2025-05-08 15:00
SLR Investment (SLRC) Q1 2025 Earnings Call May 08, 2025 10:00 AM ET Speaker0 Good day, everyone, and welcome to today's Q1 twenty twenty five SLR Investment Corp. Earnings Call. At this time, all participants are in a listen only mode. Later, you will have the opportunity to ask a question during the question and answer session. Please note this call is being recorded and I will be standing by if you should need any assistance. It is now my pleasure to turn the conference over to Michael Gross, Chairman an ...
Owl Rock(OBDC) - 2025 Q1 - Earnings Call Transcript
2025-05-08 15:00
Blue Owl Capital Corporation (OBDC) Q1 2025 Earnings Call May 08, 2025 10:00 AM ET Speaker0 Good morning, everyone, and welcome to Blue Owl Capital Corporation's First Quarter twenty twenty five Earnings Call. As a reminder, this call is being recorded. At this time, I'd like to turn the call over to Mike Mestizio, Head of BDC Investor Relations. Speaker1 Thank you, operator, and welcome to Blue Owl Capital Corporation's First Quarter twenty twenty five Earnings Conference Call. Yesterday, Blue Owl Capital ...
Blue Owl Capital: Buy This BDC For 10%+ Yield And A Discount To NAV
Seeking Alpha· 2025-05-08 14:15
The market has been rebounding during earnings season as tariff and trade pressure seem to be less concerning than they once were. The Fed kept rates unchanged but is expected to start cutting this summer. I am looking for opportunities to front-runI am focused on growth and dividend income. My personal strategy revolves around setting myself up for an easy retirement by creating a portfolio which focuses on compounding dividend income and growth. Dividends are an intricate part of my strategy as I have str ...
BlackRock TCP Capital (TCPC) - 2025 Q1 - Earnings Call Presentation
2025-05-08 12:09
BlackRock TCP Capital Corp. Investor presentation March 31, 2025 Notable Financial Developments First Quarter 2025 Financial Highlights and Portfolio Overview Diversified portfolio with an emphasis on less-cyclical businesses Flexible capital with available liquidity 1 Amount excludes the impact of amortization of purchase discount recorded in connection the closing of the merger ("Merger") with BlackRock Capital Investment Corporation ("BCIC") on March 18, 2024. See slide 20 for further description of non- ...
Blue Owl Capital Corporation: Fairly Valued, Ahead Of Q1
Seeking Alpha· 2025-05-08 06:45
Group 1 - Blue Owl Capital Corporation (NYSE: OBDC) is the second-largest publicly traded Business Development Company (BDC) [1] - The company is expected to release its first quarter results soon, amidst recent market volatility [1] - Investments known for their dividends and income are highlighted as a strategy for strong total returns in the current market environment [1] Group 2 - The analysis approach focuses on value investing, an owner's mindset, and a long-term investment horizon [1] - The author does not engage in writing sell articles or recommending shorting stocks [1]
FS KKR Capital Corp. Announces First Quarter 2025 Results
Prnewswire· 2025-05-07 20:15
Core Viewpoint - FS KKR Capital Corp. reported strong financial results for the quarter ended March 31, 2025, with a declared distribution of $0.70 per share, reflecting stability amid market volatility [1][4][3]. Financial and Operating Highlights - Adjusted Net Investment Income was $0.65 per share, with net investment income of $0.67 per share, compared to $0.61 per share for the previous quarter [8][28]. - The company originated approximately $2.0 billion in new investments during the quarter [3]. - Total investment income for the quarter was $400 million, down from $434 million in the same quarter of the previous year [24]. Portfolio Highlights - The total fair value of investments increased to $14.1 billion from $13.5 billion at the end of 2024 [6][9]. - Senior secured loans represented 58.1% of the portfolio, with 67.2% of debt investments being variable rate [6][9]. - Investments on non-accrual status were 2.1% of the total investment portfolio at fair value [9]. Leverage and Liquidity - The net debt to equity ratio was 114%, with total debt outstanding of $8.0 billion and stockholders' equity of $6.5 billion [10][8]. - Cash and cash equivalents stood at $472 million, with an additional $2.6 billion available under financing arrangements [10]. Earnings and Distributions - Earnings per share for the quarter were $0.43, down from $0.52 in the previous quarter [8][25]. - The company paid distributions totaling $0.70 per share to stockholders [8][4]. Additional Information - FS KKR Capital Corp. focuses on providing customized credit solutions to private middle-market U.S. companies, primarily investing in senior secured debt [14].