JPM

308.64

-1.06%↓

BAC

51.99

-0.95%↓

MS

188.1

-0.31%↓

GS

928.02

-0.36%↓

WFC

79.46

-1.27%↓

JPM

308.64

-1.06%↓

BAC

51.99

-0.95%↓

MS

188.1

-0.31%↓

GS

928.02

-0.36%↓

WFC

79.46

-1.27%↓

JPM

308.64

-1.06%↓

BAC

51.99

-0.95%↓

MS

188.1

-0.31%↓

GS

928.02

-0.36%↓

WFC

79.46

-1.27%↓

JPM

308.64

-1.06%↓

BAC

51.99

-0.95%↓

MS

188.1

-0.31%↓

GS

928.02

-0.36%↓

WFC

79.46

-1.27%↓

JPM

308.64

-1.06%↓

BAC

51.99

-0.95%↓

MS

188.1

-0.31%↓

GS

928.02

-0.36%↓

WFC

79.46

-1.27%↓

Search

PennantPark Investment Corp

Geschlossen

4.55 0.44

Übersicht

Veränderung der Aktienkurses

24h

Aktuell

Min

4.54

Max

4.57

Schlüsselkennzahlen

By Trading Economics

Einkommen

9.9M

9M

Verkäufe

21M

27M

KGV

Branchendurchschnitt

12.29

39.62

Dividendenrendite

20.17

Gewinnspanne

32.859

EBITDA

-34M

7.7M

Empfehlungen

By TipRanks

Empfehlungen

Neutral

12-Monats-Prognose

+15.38% upside

Dividenden

By Dow Jones

Dividendenrendite

Branchendurchschnitt

20.17%

4.52%

Nächstes Ergebnis

7. Mai 2026

Marktstatistiken

By TradingEconomics

Marktkapitalisierung

-67M

305M

Vorheriger Eröffnungskurs

4.11

Vorheriger Schlusskurs

4.55

PennantPark Investment Corp Chart

Vergangene Performances sind kein verlässlicher Indikator für zukünftige Ergebnisse.

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Peer-Vergleich

Kursveränderung

PennantPark Investment Corp Prognose

Kursziel

By TipRanks

15.38% Vorteil

12-Monats-Prognose

Durchschnitt 5.25 USD  15.38%

Hoch 6 USD

Tief 4.5 USD

Basierend auf 4 Wall-Street-Analysten, die in den letzten 3 Monaten 12-Monats-Kursziele für PennantPark Investment Corp – Dist angeboten haben.

Rating-Konsens

By TipRanks

Neutral

4 ratings

1

Buy

2

Halten

1

Sell

Finanzen

Vertriebs- und Verwaltungskosten

Betriebsaufwand

Gewinn vor Steuern

Verkäufe

Umsatzkosten

Bruttogewinn aus dem Verkauf

Zinsaufwand für Schulden

EBITDA

Betriebsergebnis

$

Über PennantPark Investment Corp

PennantPark Investment Corporation, a business development company is a private equity fund specializes in direct and mezzanine investments in middle market companies. It invests in the form of mezzanine debt, senior secured loans, and equity investments. The fund typically invests in buildings and real estate, hotels, gaming and leisure, technology, telecommunications, transportation, information technology services, electronics, healthcare & pharmaceuticals, education and childcare, financial services, printing and publishing, consumer products, business services, energy & Related Services and utilities, distribution, oil and gas, media, environmental services, aerospace and defense, building materials, capital equipment, chemicals, plastics, & rubber, food & beverage, wholesale, manufacturing and basic industries and retail. It invests in equity securities and debt transactions through preferred stock, common stock, warrants, options, senior secured debt, subordinated debt, subordinated loans, first lien debt, mezzanine loans, and distressed debt securities and private equity co-investments. It seeks to invest in companies based in the United States. The fund seeks to invest between $10 million and $100 million cross the capital structure (senior secured loans, subordinated debt, and other investments) in its portfolio companies with EBITDA between $10 to $50 million. Its mezzanine loans, senior secured loans, and other investments in its portfolio companies are between $15 million and $50 million. The fund may also make non-control equity and debt investments.
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