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Oxford Lane Capital Corp.

OXLC
Financial ServicesAsset Management Website
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Alpha Score BreakdownHow it works →

Alpha Score of 57 reflects moderate overall profile with poor momentum, strong value, moderate quality. Based on 3 of 4 signals – score is capped at 90 until remaining data ingests.

Momentum
27
Poor
Value
100
Strong
Quality
69
Moderate
Sentiment
–
no data
Key StatisticsUpdated Apr 15
P/E Ratio
3.48
Forward P/E
–
PEG Ratio
–
EPS (TTM)
2.92
Dividend Yield
19.59%
Beta
0.64
Revenue (TTM)
–
Net Margin
77.00%
ROE
20.00%
Debt / Equity
0.36
52W High
$24.80
52W Low
$8.15
Top Institutional HoldersFrom 13F filings
FundShares HeldPosition ValueAction (latest Q)
Citadel
Ken Griffin
186K$2.72MNEW
About Oxford Lane Capital Corp.

Oxford Lane Capital Corp is a publicly-traded closed-end management investment company focused on structured finance investments. The fund seeks to maximize portfolio risk-adjusted total returns by investing primarily in debt and equity tranches of collateralized loan obligations, or CLOs, which are securitization vehicles backed by diversified portfolios of senior secured loans made to below-investment-grade or unrated corporate borrowers. These leveraged loans, typically first lien and secured by specific collateral, provide structural protections including overcollateralization and interest coverage tests. The fund's investment strategy emphasizes U.S. CLO vehicles with minimal exposure to real estate, mortgage, or consumer-based debt. Oxford Lane Capital Corp operates as a registered investment company under the Investment Company Act of 1940 and distributes monthly income to shareholders. The fund manages a diversified portfolio of structured finance instruments designed to generate attractive risk-adjusted returns from the CLO equity and junior debt tranches.

CEO
Mr. Jonathan H. Cohen
Quick Facts
Exchange–
SectorFinancial Services
IndustryAsset Management
Market Cap–
Avg Volume1.07M
Key Dates

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