OXLCM

Oxford Lane Capital Corp. Preferred Stock Shares, 8.25% Series 2031
NASDAQFINANCIAL SERVICESASSET MANAGEMENT

Key Statistics

Market Cap
$466.23M
P/E Ratio
EPS
$0.87
Beta
1.14
52W High
$25.31
52W Low
$23.84
50-Day MA
$25.15
200-Day MA
$25.01
Dividend Yield
0.98%
Profit Margin
76.60%
Forward P/E
PEG Ratio
0.00

About Oxford Lane Capital Corp. Preferred Stock Shares, 8.25% Series 2031

Oxford Lane Capital Corp.

Official WebsiteUSAFY End: March

Fundamentals

Revenue (TTM)$306.79M
Gross Profit (TTM)$199.30M
EBITDA
Operating Margin71.70%
Return on Equity23.90%
Return on Assets8.88%
Revenue/Share (TTM)$1.28
Book Value$4.90
Price-to-Book
Price-to-Sales (TTM)1.52
EV/Revenue-
EV/EBITDA
Quarterly Earnings Growth (YoY)509.00%
Quarterly Revenue Growth (YoY)20.70%
Shares Outstanding$36.36M
Float0
% Insiders0.00%
% Institutions0.02%

Historical Volatility

HV 10-Day
7.62%
HV 20-Day
7.37%
HV 30-Day
6.46%
HV 60-Day
5.33%
HV Rank
98.4%

Volatility is currently expanding

Latest News

Oxford Lane Capital Corp. Provides May 2026 Net Asset Value Update

GREENWICH, Conn., June 15, 2026 (GLOBE NEWSWIRE) -- Oxford Lane Capital Corp. (NasdaqGS: OXLC) (NasdaqGS: OXLCL) (NasdaqGS: OXLCO) (NasdaqGS: OXLCZ) (NasdaqGS: OXLCN) (NasdaqGS: OXLCI) (NasdaqGS: OXLCG) (NasdaqGS: OXLCM) (the “Company,” “we,” or “our”) today announced the following net asset value (“NAV”) estimate as of May 31, 2026.

GlobeNewsWire6/15/2026Neutral
Oxford Lane Capital Corp. Announces April Net Asset Value and Selected Financial Results for the Fourth Fiscal Quarter, and Declaration of Common Stock Distributions for the Months Ending July, August, and September 2026

GREENWICH, Conn., May 19, 2026 (GLOBE NEWSWIRE) -- Oxford Lane Capital Corp. (NasdaqGS: OXLC) (NasdaqGS: OXLCP) (NasdaqGS: OXLCL) (NasdaqGS: OXLCO) (NasdaqGS: OXLCZ) (NasdaqGS: OXLCN) (NasdaqGS: OXLCI) (NasdaqGS: OXLCG) (NasdaqGS: OXLCM) (“Oxford Lane,” the “Company,” “we,” “us” or “our”) announced today the following financial results and related information:  On May 14, 2026, our Board of Directors (the “Board of Directors” or the “Board”) declared the following distributions on our common stock: Month Ending Record Date Payment Date Amount Per Share July 31, 2026 July 17, 2026 July 31, 2026 $0.20 August 31, 2026 August 17, 2026 August 31, 2026 $0.20 September 30, 2026 September 16, 2026 September 30, 2026 $0.20 Net asset value (“NAV”) per share as of March 31, 2026 stood at $10.56, compared with a NAV per share on December 31, 2025 of $15.51.

GlobeNewsWire5/19/2026Neutral
Oxford Lane Capital Corp. Announces Full Redemption of 6.25% Series 2027 Term Preferred Stock

GREENWICH, Conn., April 27, 2026 (GLOBE NEWSWIRE) -- Oxford Lane Capital Corp. (NasdaqGS: OXLC, OXLCP, OXLCL, OXLCO, OXLCZ, OXLCN, OXLCI, OXLCG and OXLCM) (the “Company,” “we,” “us” or “our”) announced today that it has called for redemption and will redeem all of the issued and outstanding shares of the Company's 6.25% Series 2027 Term Preferred Stock (the “Shares”), which are traded on the Nasdaq Global Select Market under the ticker OXLCP. The Company will redeem all 724,806 Shares on June 1, 2026 (the “Redemption Date”), following which the Shares will be delisted from the Nasdaq Global Select Market. The Shares will be redeemed for a redemption price of $25 per Share (the “Redemption Price”) or an aggregate redemption price of approximately $18.1 million.

GlobeNewsWire4/27/2026Neutral

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Data last updated: 7/9/2026