RY

164.34

+0.55%↑

TD

95.53

+0.32%↑

BMO

137.02

+0.51%↑

CM

96.66

+0.45%↑

BNS

70.19

+0.09%↑

RY

164.34

+0.55%↑

TD

95.53

+0.32%↑

BMO

137.02

+0.51%↑

CM

96.66

+0.45%↑

BNS

70.19

+0.09%↑

RY

164.34

+0.55%↑

TD

95.53

+0.32%↑

BMO

137.02

+0.51%↑

CM

96.66

+0.45%↑

BNS

70.19

+0.09%↑

RY

164.34

+0.55%↑

TD

95.53

+0.32%↑

BMO

137.02

+0.51%↑

CM

96.66

+0.45%↑

BNS

70.19

+0.09%↑

RY

164.34

+0.55%↑

TD

95.53

+0.32%↑

BMO

137.02

+0.51%↑

CM

96.66

+0.45%↑

BNS

70.19

+0.09%↑

Search

PennantPark Floating Rate Capital Ltd

Open

8.38 2.2

Overzicht

Wijziging aandelenprijs

24u

Huidig

Min

8.15

Max

8.41

Belangrijke statistieken

By Trading Economics

Inkomsten

-21M

-3.6M

Verkoop

-21M

26M

K/W

Sectorgemiddelde

23.636

55.155

Dividendrendement

15.91

Winstmarge

-13.888

EBITDA

-23M

-4M

Aanbevelingen

By TipRanks

Aanbevelingen

Strong Buy

12 Maanden Prognose

+24.85% upside

Dividenden

By Dow Jones

Dividendrendement

Sectorgemiddelde

15.91%

4.95%

Volgende Winsten

11 mei 2026

Marktinformatie

By TradingEconomics

Marktkapitalisatie

-155M

774M

Vorige openingsprijs

6.18

Vorige sluitingsprijs

8.38

PennantPark Floating Rate Capital Ltd Grafiek

Eerdere prestaties zijn geen betrouwbare indicator voor toekomstige resultaten.

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Peer Vergelijking

Prijswijziging

PennantPark Floating Rate Capital Ltd Prognose

Koersdoel

By TipRanks

24.85% opwaarts potentieel

12 Maanden Prognose

Gemiddelde 10.25 USD  24.85%

Hoogste 10.5 USD

Laagste 10 USD

Gebaseerd op 3 Wall Street-analisten die 12-maands prijsdoelen bieden voor PennantPark Floating Rate Capital Ltd - Dist. in de afgelopen 3 maanden.

Beoordelingsconsensus

By TipRanks

Strong Buy

3 ratings

3

Buy

0

Hold

0

Sell

Financieel

Verkoop- en administratiekosten

Bedrijfskosten

Winst voor belastingen

Verkoop

Kosten van verkopen

Brutowinst op verkopen

Rente-uitgaven op schulden

EBITDA

Operationele winst

$

Over PennantPark Floating Rate Capital Ltd

PennantPark Floating Rate Capital Ltd. is a business development company. It seeks to make secondary direct, debt, equity, and loan investments. The fund seeks to invest through floating rate loans in private or thinly traded or small market-cap, public middle market companies. It primarily invests in the United States and to a limited extent non-U.S. companies. The fund typically invests between $2 million and $20 million. The fund also invests in equity securities, such as preferred stock, common stock, warrants or options received in connection with debt investments or through direct investments. It primarily invests between $10 million and $50 million in investments in senior secured loans and mezzanine debt. It seeks to invest in companies not rated by national rating agencies. The companies if rated would be between BB and CCC under the Standard & Poor's system. The fund invests 30% is invested in non-qualifying assets like investments in public companies whose securities are not thinly traded or do not have a market capitalization of less than $250 million, securities of middle-market companies located outside of the United States, high-yield bonds, distressed debt, private equity, securities of public companies that are not thinly traded, and investment companies as defined in the 1940 Act. Under normal conditions, the fund expects atleast 80 percent of its net assets plus any borrowings for investment purposes to be invested in Floating Rate Loans and investments with similar economic characteristics, including cash equivalents invested in money market funds. It expects to represent 65 percent of its portfolio through senior secured loans. In case of floating rate loans, it holds investments for a period of three to ten years.
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