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Prospect Capital Corporation Stock Price

NasdaqGS:PSEC Community·US$1.2b Market Cap
  • 0 Narratives written by author
  • 0 Comments on narratives written by author
  • 43 Fair Values set on narratives written by author

PSEC Share Price Performance

US$2.67
-2.44 (-47.75%)
US$2.67
-2.44 (-47.75%)
Price US$2.67

PSEC Community Narratives

There are no narratives available yet.

Recent PSEC News & Updates

Prospect Capital: Huge Discount And 20% Yield Are Signs To Avoid At All Costs

Sep 23

Prospect Capital: PIK Drop A Problem, But Dividend Should Be Safe

Mar 08

Prospect Capital: Deteriorating NAV And Vulnerable To Higher Rates (Rating Downgrade)

Feb 12

Prospect Capital: 8.9% On Bonds With Heavy Insider Buys

Jan 28

Prospect Capital: Still Steering Clear For Now (Rating Upgrade)

Dec 14

Prospect Capital: Why I Am Buying The 25% Dividend Cut

Nov 12

PSEC: Trades At A Discount For A Reason

Nov 03

Prospect Capital Corporation Key Details

US$719.4m

Revenue

US$0

Cost of Revenue

US$719.4m

Gross Profit

US$1.3b

Other Expenses

-US$593.8m

Earnings

Last Reported Earnings
Jun 30, 2025
Next Reporting Earnings
n/a
Earnings per share (EPS)
-1.28
Gross Margin
100.00%
Net Profit Margin
-82.53%
Debt/Equity Ratio
45.2%

Prospect Capital Corporation Competitors

 
 
 
 
 
 
 
 
 
 
 
 

Snowflake Analysis

Adequate balance sheet with moderate growth potential.

2 Risks
1 Reward

About PSEC

Founded
2004
Employees
n/a
CEO
John Barry
WebsiteView website
www.prospectstreet.com/corporate-profile/

Prospect Capital Corporation is a business development company. It specializes in middle market, mature, mezzanine finance, later stage, emerging growth, leveraged buyouts, refinancing, acquisitions, recapitalizations, turnaround, growth capital, development, capital expenditures and subordinated debt tranches of collateralized loan obligations, cash flow term loans, market place lending and bridge transactions. It also makes real estate investments particularly in multi-family residential real estate asset class. The fund makes secured debt, senior debt, senior and secured term loans, unitranche debt, first-lien and second lien, private debt, private equity, mezzanine debt, and equity investments in private and microcap public businesses. It focuses on both primary origination and secondary loans/portfolios and invests in situations like debt financings for private equity sponsors, acquisitions, dividend recapitalizations, growth financings, bridge loans, cash flow term loans, real estate financings/investments. It also focuses on investing in small-sized and medium-sized private companies rather than large public companies. The fund typically invests across all industry sectors, with a particular expertise in the energy and industrial sectors. It invests in aerospace and defense, chemicals, conglomerate services, consumer services, ecological, electronics, financial services, machinery, manufacturing, media, pharmaceuticals, retail, software, specialty minerals, textiles and leather, transportation, oil and gas production, coal production, materials, industrials, consumer discretionary, information technology, utilities, pipeline, storage, power generation and distribution, renewable and clean energy, oilfield services, healthcare, food and beverage, education, business services, and other select sectors. It prefers to invest in the United States and Canada. The fund seeks to invest between $10 million to $500 million per transaction in companies with EBITDA between $5 million and $150 million, sales value between $25 million and $500 million, and enterprise value between $5 million and $1000 million. It fund also co-invests for larger deals. The fund seeks control acquisitions by providing multiple levels of the capital structure. The fund focuses on sole, agented, club, or syndicated deals.

Market Insight

Q4 2025 is off to a flying start with record highs being printed left, right, and center. US and Japanese stocks made fresh new highs, while the gold price powered through $4,000 for the first time, and Bitcoin crossed the $126k level. Is this all a case of USD weakness, irrational exuberance, or solid fundamentals? This week, we are reviewing Q3 market performance, Q2 earnings season, and the outlook heading into the end of 2025…
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U.S. Market Performance

  • 7 Days: -2.7%
  • 3 Months: 5.1%
  • 1 Year: 13.4%
  • Year to Date: 11.7%
Over the last 7 days, the market has dropped 2.7%, driven by a pullback of 2.5% in the Information Technology sector. As for the longer term, the market has actually risen by 13% in the last year. Earnings are forecast to grow by 15% annually. Market details ›