
BlackRock Capital Investment Corporation BKCC
Land |
|
IPO-Jahr |
2007 |
Branche |
Diversifizierte Finanzwerte |
Börse |
NASDAQ GLOBAL |
Anteile |
69.8 M |
Marktkapitalisierung |
$ 257 M |
EBITDA (LTM) |
$ 495 M |
P/E (LTM) |
- |
P/S (LTM) |
- |
EPS (LTM) |
- |
Andere Aktien der Branche "Diversifizierte Finanzwerte"
| Name | Preis | % 24h | Marktkapitalisierung | Börse | Land | |
|---|---|---|---|---|---|---|
|
Бест Эффортс Банк
ALBK
|
- | - | - | MOEX | ||
|
BrightSphere Investment Group
BSIG
|
- | -0.11 % | $ 1.09 B | NYSE | ||
|
Арсагера
ARSA
|
- | - | - | MOEX | ||
|
Blucora
BCOR
|
- | -0.29 % | $ 1.31 B | Nasdaq Global Select Market | ||
|
Jupai Holdings Limited
JP
|
- | 0.98 % | $ 12.7 M | NYSE | - | |
|
Altisource Asset Management Corporation
AAMC
|
- | -1.53 % | $ 3.77 M | NYSE American | ||
|
Ares Capital Corporation
ARCC
|
$ 18.19 | - | $ 7.69 B | Nasdaq Global Select Market,SPB | ||
|
Ashford
AINC
|
- | 0.2 % | $ 15.3 M | NYSE American | ||
|
Diamond Hill Investment Group
DHIL
|
$ 171.98 | 0.05 % | $ 474 M | Nasdaq Global Select Market | ||
|
Capital Southwest Corporation
CSWC
|
$ 23.13 | - | $ 1.1 B | Nasdaq Global Select Market | ||
|
Equus Total Return, Inc.
EQS
|
$ 1.41 | - | $ 19.1 M | NYSE | ||
|
Tekla Life Sciences Investors
HQL
|
$ 17.49 | - | $ 405 M | NYSE | ||
|
Investcorp Credit Management BDC, Inc.
ICMB
|
$ 1.79 | - | $ 24.6 M | Nasdaq Global Select Market | ||
|
Oaktree Strategic Income Corporation
OCSI
|
- | - | $ 251 M | Nasdaq Global Select Market | ||
|
AssetMark Financial Holdings
AMK
|
- | - | $ 2.61 B | NYSE | ||
|
Golub Capital BDC, Inc.
GBDC
|
$ 12.74 | - | $ 1.9 B | Nasdaq Global Select Market | ||
|
KKR & Co.
KKR
|
$ 98.14 | - | $ 87.5 B | NYSE,SPB | ||
|
AllianceBernstein Holding L.P.
AB
|
$ 38.67 | - | $ 3.57 B | NYSE | ||
|
МЕРИДИАН
MERF
|
- | - | - | MOEX | ||
|
Русс-Инвест
RUSI
|
- | - | - | MOEX | ||
|
Сафмар
SFIN
|
- | - | - | MOEX | ||
|
Объединенные Кредитные Системы
UCSS
|
- | - | - | MOEX | ||
|
Atlas Corp.
ATCO
|
- | -0.1 % | $ 4.45 B | NYSE | ||
|
Tekla Healthcare Investors
HQH
|
$ 19.38 | - | $ 830 M | NYSE | ||
|
New Mountain Finance Corporation
NMFC
|
$ 8.13 | - | $ 787 M | Nasdaq Global Select Market | ||
|
Noah Holdings Limited
NOAH
|
$ 10.11 | - | $ 3.55 B | NYSE | ||
|
Oxford Square Capital Corp.
OXSQ
|
$ 1.87 | - | $ 92.7 M | Nasdaq Global Select Market | ||
|
Patria Investments Limited
PAX
|
$ 12.47 | - | $ 2.12 B | Nasdaq Global Select Market | ||
|
PennantPark Investment Corporation
PNNT
|
$ 4.52 | - | $ 303 M | Nasdaq Global Select Market | ||
|
Saratoga Investment Corp.
SAR
|
$ 22.45 | - | $ 209 M | NYSE | ||
|
Stellus Capital Investment Corporation
SCM
|
$ 9.36 | - | $ 182 M | NYSE | ||
|
SEI Investments Company
SEIC
|
$ 78.8 | - | $ 9.63 B | Nasdaq Global Select Market,SPB | ||
|
Prospect Capital Corporation
PSEC
|
$ 2.65 | - | $ 1.07 B | Nasdaq Global Select Market | ||
|
Sprott
SII
|
$ 146.66 | - | $ 5.22 B | NYSE | ||
|
Apollo Investment Corporation
AINV
|
- | 0.52 % | $ 730 M | Nasdaq Global Select Market | ||
|
SLR Investment Corp.
SLRC
|
$ 15.4 | - | $ 651 M | Nasdaq Global Select Market | ||
|
Ares Management Corporation
ARES
|
$ 106.68 | - | $ 33.4 B | NYSE | ||
|
Central Securities Corp.
CET
|
- | 1.35 % | $ 930 M | NYSE | ||
|
CI Financial Corp
CIXX
|
- | -0.7 % | $ 2.9 B | NYSE | - | |
|
Capitala Finance Corp.
CPTA
|
- | 2.17 % | $ 68.9 M | Nasdaq Global Select Market | ||
|
Source Capital, Inc.
SOR
|
$ 46.16 | - | $ 392 M | NYSE | ||
|
BNY Mellon Municipal Income, Inc.
DMF
|
- | -0.29 % | $ 144 M | NYSE | ||
|
Brookfield Asset Management
BAM
|
$ 46.33 | - | $ 51.5 B | NYSE | ||
|
Eaton Vance Corp.
EV
|
- | -0.98 % | $ 8.58 B | NYSE | ||
|
First Eagle Alternative Capital BDC, Inc.
FCRD
|
- | -3.61 % | $ 141 M | Nasdaq Global Select Market | ||
|
StepStone Group
STEP
|
$ 49.45 | - | $ 3.52 B | Nasdaq Global Select Market | ||
|
Harvest Capital Credit Corporation
HCAP
|
- | - | $ 57.7 M | Nasdaq Global Select Market | ||
|
State Street Corporation
STT
|
$ 141.62 | - | $ 40.3 B | NYSE,SPB | ||
|
Kayne Anderson NextGen Energy & Infrastructure, Inc.
KMF
|
- | - | $ 317 M | NYSE |