$44.50
+0 (+0%)
At Close: Dec 08, 2021
Firsthand Technology Value Fund Announces First Quarter Financial Results, NAV of $0.12 Per Share
04:15pm, Thursday, 15'th May 2025
SAN JOSE, Calif., May 15, 2025 (GLOBE NEWSWIRE) -- Firsthand Technology Value Fund, Inc. (OTCQB: SVVC) (the “Fund”), a publicly traded venture capital fund that invests in technology and cleantech
Prospect Capital: Largest Discount In A Decade Still Doesn't Justify A Buy
12:32pm, Sunday, 11'th May 2025
Prospect Capital (PSEC) has been a poor performer, trading at its largest discount to NAV in a decade due to earnings decline and poor financials. PSEC's heavy reliance on real estate makes it vulnera
NAV Dip, PIK Interest, And Perpetual Discount Sees Prospect Capital Downgraded To Junk
08:57am, Saturday, 10'th May 2025
Prospect Capital's market cap has plummeted 31% over the last year, driven by a sustained decline in net asset value (NAV) and dividend cuts. The BDC's fiscal 2025 third-quarter NAV per share fell to
My Income Portfolio: In The Garden Of Eden
01:27pm, Monday, 05'th May 2025
Total Return can be misleading if not supported by NAV growth, as it may include unsustainable distributions and Return of Capital. Behavioral finance shows markets are irrational, making it crucial t
Strategy: Why You Should Pay The NAV Premium
10:04am, Monday, 05'th May 2025
Michael Saylor's strategy involves using debt to accumulate Bitcoin, leveraging traditional financial tools to maximize returns on Bitcoin investments. MSTR trades at a premium to Bitcoin NAV due to i
Pebblebrook Hotel Trust: Deep Discount To NAV But Not Recommended
07:56pm, Friday, 02'nd May 2025
Pebblebrook Hotel Trust is a hospitality REIT, which has repositioned itself towards leisure-oriented properties in recent years. Despite a healthy financial position, the dividend remains at a nomina
Tetragon Financial Group Limited March 2025 Monthly Factsheet
03:06pm, Wednesday, 30'th Apr 2025
LONDON , April 30, 2025 /PRNewswire/ -- Tetragon has released its Monthly Factsheet for March 2025. Net Asset Value: $3,191m Fully Diluted NAV per Share: $35.38 Share Price (TFG NA): $14.25 Monthly N
NBPE Announces Audited 2024 Results and 31 March 2025 Est. NAV
02:00am, Monday, 28'th Apr 2025
THE INFORMATION CONTAINED HEREIN IS NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION IN OR INTO AUSTRALIA, CANADA, ITALY, DENMARK, JAPAN, THE UNITED STATES, OR TO ANY NATIONAL OF SUCH JURISDICTIONS
Major Market Disconnect: 5%+ Yields Trading For Pennies On The Dollar
12:00pm, Saturday, 26'th Apr 2025
One opportunity yields 5.7% and trades at a 31% discount to NAV. The other yields 5% and trades at a 42% discount to NAV. Both are proven inflation hedges and have strong insider-aligned management in
Trinity Capital: A 13% Venture-Backed Dividend Yield
10:58am, Saturday, 26'th Apr 2025
Trinity Capital maintains a stable 13.8% dividend yield with a 3-year CAGR of 8.4%, supported by strong NAV growth and earnings spillover. TRIN's NAV per share increased sequentially, driven by net in
Bullish On Mexico Fund Though NAV Discount Is Likely To Persist
03:57pm, Thursday, 17'th Apr 2025
I'm bullish on Mexico due to its strategic positioning, USMCA trade agreement, and nearshoring trends, despite recent political uncertainties. Mexican stocks have been outperforming over the past thre
Gabelli Multimedia Trust Board Approves at the Market Common Stock Offerings With Prices Trading Above NAV
05:00pm, Wednesday, 09'th Apr 2025
RYE, N.Y., April 09, 2025 (GLOBE NEWSWIRE) -- The Board of Directors of The Gabelli Multimedia Trust Inc. (NYSE:GGT) (the “Fund”) has authorized the Fund to conduct offerings of common stock in �
Palmer Square Capital: Dividend Cut And Falling NAV (Rating Downgrade)
11:00am, Wednesday, 09'th Apr 2025
I am downgrading Palmer Square Capital to a hold due to declining NAV, reduced dividend, and high debt levels amidst elevated interest rates. Despite a diverse portfolio and low non-accruals, PSBD's h
SLR Investment: 9.6% Yield And NAV Growth Make It A Buy
01:30pm, Monday, 31'st Mar 2025
SLR Investment Corp. is a resilient BDC with a strong portfolio of first-lien, asset-based, and equipment-backed loans, offering downside protection. Despite rate cuts, SLRC maintained stable NII and
Tetragon Financial Group Limited February 2025 Monthly Factsheet
01:55am, Monday, 31'st Mar 2025
LONDON , March 31, 2025 /PRNewswire/ -- Tetragon has released its Monthly Factsheet for February 2025. Net Asset Value: $3,172m Fully Diluted NAV per Share: $35.32 Share Price (TFG NA): $15.45 Monthl
Sign In
Buy NAV