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Gladstone Investment Corp - PREF

Abierto

16.08 -2.19

Resumen

Variación precio

24h

Actual

Mínimo

16.15

Máximo

16.47

Métricas clave

By Trading Economics

Ingresos

118M

82M

Ventas

293K

25M

P/B

Media del Sector

3.413

18.576

BPA

2.069

Rentabilidad por dividendo

6.02

Margen de beneficios

324.883

EBITDA

99M

93M

Recomendaciones

By TipRanks

Recomendaciones

Comprar

Estimación a 12 Meses

+1.76% upside

Dividendos

By Acuity

Rentabilidad por dividendo

Media del Sector

6.02%

4.62%

Próximas Ganancias

6 ago 2026

Estadísticas de Mercado

By TradingEconomics

Capitalización Mercado

-15M

648M

Apertura anterior

18.27

Cierre anterior

16.08

Gladstone Investment Corp - PREF Gráfico

Resultados pasados no son un indicador fiable de resultados futuros.

Noticias Relacionadas

28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

News

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:56 UTC

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28 jul 2026, 23:52 UTC

News
Correlated Moves
Social Media

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28 jul 2026, 23:52 UTC

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28 jul 2026, 23:52 UTC

Mexican Consumer Confidence Index Set for Release Amid Global Mixed Signals and Local Pessimism, Anticipated to Reflect Economic Sentiment on August 4, 2026.

28 jul 2026, 23:52 UTC

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28 jul 2026, 23:52 UTC

Brazil's Central Bank Faces Mixed Market Sentiment Ahead of August 2026 Interest Rate Decision Amid Inflation and Economic Concerns.

28 jul 2026, 23:52 UTC

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28 jul 2026, 23:52 UTC

South Korea's S&P Global Manufacturing PMI set for August 3, with expectations of declining activity amid rising costs and significant stock market drops.

28 jul 2026, 23:52 UTC

China's Non-Manufacturing PMI set for July 31 release, forecasted at neutral 50.0 amid mixed economic sentiment and geopolitical tensions.

28 jul 2026, 23:52 UTC

China's NBS Manufacturing PMI forecasted to hold steady at 50.0, signaling stagnation amid mixed global manufacturing signals ahead of July 31st release.

28 jul 2026, 23:52 UTC

Social Media
News

Avis Budget Group shares lower in after-market trading following second-quarter results that missed expectations, with EPS of $0.98 against estimates of $1.91.

Comparación entre iguales

Cambio de precio

Gladstone Investment Corp - PREF previsión

Precio Objetivo

By TipRanks

1.76% repunte

Estimación a 12 Meses

Media 16.75 USD  1.76%

Máximo 17 USD

Mínimo 16.5 USD

De acuerdo con 2 analistas de Wall Street que ofrecen objetivos de precios a 12 meses para Gladstone Investment Corp - PREF Dist en los últimos 3 meses.

Consenso

By TipRanks

Comprar

2 ratings

2

Comprar

0

Mantener

0

Vender

Finanzas

Gastos de venta y administración

Gastos operativos

Beneficio antes de impuestos

Ventas

Coste de ventas

Beneficio bruto de ventas

Gasto por intereses de deuda

EBITDA

Beneficio operativo

$

Acerca de Gladstone Investment Corp - PREF

Gladstone Investment Corporation is business development company, specializes in lower middle market, mature stage, buyouts; refinancing existing debt; senior debt securities such as senior loans, senior term loans, lines of credit, and senior notes; senior subordinated debt securities such as senior subordinated loans and senior subordinated notes; junior subordinated debt securities such as subordinated notes and mezzanine loans; limited liability company interests, and warrants or options. The fund does not invest in start-ups. The fund seeks to invest in manufacturing, consumer products and business/consumer services sector. It seeks to invest in small and mid-sized companies based in the United States. The fund prefers to make debt investments between $5 million and $30 million and equity investments between $10 million and $40 million in companies. The fund invests in companies with EBITDA from $4 million to $15 million. It seeks minority equity ownership and prefers to hold a board seat in its portfolio companies. It also prefers to take majority stake in its portfolio companies. The fund typically holds the investments for seven years and exits via sale or recapitalization, initial public offering, or sale to third party.
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