OCSL
Financial ServicesOaktree Specialty Lending Corporation
$12.91
+$0.19 (+1.49%)
Jan 5, 2026
Price History (1Y)
Analysis
Oaktree Specialty Lending Corporation is a financial services company in the asset management industry. The company has a significant market presence with a market capitalization of $1.14B and annual revenue of $316.80M. However, employee information is not available. The company's financial health appears to be stable, with profitability margins including a gross margin of 100.0%, operating margin of 80.0%, and profit margin of 10.7%. The returns on equity and assets are 2.3% and 5.4%, respectively. The balance sheet shows debt exceeding cash by $1.49B to $79.63M, resulting in a debt-to-equity ratio of 101.94. The company's valuation is characterized by a price-to-earnings (TTM) ratio of 32.27 and forward P/E of 8.51. Revenue has declined at an annual rate of -18.3%, while earnings have decreased by -38.0% year-over-year. The dividend yield stands at an unusually high 1258.0%.
This analysis is AI-generated for informational purposes only and should not be considered financial advice. Data may be delayed or inaccurate. Always do your own research and consult a qualified financial advisor before making investment decisions.
About Oaktree Specialty Lending Corporation
Oaktree Specialty Lending Corporation is a business development company. The fund specializing in investments in middle market, bridge financing, first and second lien debt financing, unsecured and mezzanine loan, mezzanine debt, senior and junior secured debt, expansions, sponsor-led acquisitions, preferred equity, and management buyouts in small and mid-sized companies. It seeks to invest in education services, business services, retail and consumer, healthcare, manufacturing, food and restaurants, construction and engineering. The firm also seeks investment in media, advertising sectors, software, IT services, pharmaceuticals, biotechnology, real estate management and development, chemicals, machinery, and internet and direct marketing retail sectors. It invests between $5 million to $75 million principally in the form of one-stop, first lien, and second lien debt investments, which may include an equity co-investment component in companies. The firm invest in companies having enterprise value between $20 million and $150 million and EBITDA between $3 million and $50 million. The fund has a hold size of up to $75 million and may underwrite transactions up to $100 million. It primarily invests in North America. The fund seeks to be a lead investor in its portfolio companies.
Visit website →Key Statistics
- Market Cap
- $1.14B
- P/E Ratio
- 32.27
- 52-Week High
- $16.29
- 52-Week Low
- $12.44
- Avg Volume
- 809.59K
- Beta
- 0.58
- Dividend Yield
- 1258.00%
Company Info
- Industry
- Asset Management
- Exchange
- NMS
- Country
- United States