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MVC Capital is an asset management business based in the US. MVC Capital stocks (MVC.US) are listed on the NYSE and all prices are listed in US Dollars. MVC Capital employs 0 staff and has a trailing 12-month revenue of around $29.3 million.
|52-week range||$0.00 - $0.00|
|50-day moving average||$8.98|
|200-day moving average||$7.74|
|Wall St. target price||$9.00|
|Dividend yield||$0.68 (7.65%)|
|Earnings per share (TTM)||$1.34|
Note: The dollar amounts in the table below are in Canadian dollars.
The technical analysis gauge below displays real-time ratings for the timeframes you select. This is not a recommendation, however. It represents a technical analysis based on the most popular technical indicators: Moving Averages, Oscillators and Pivots. Finder might not concur and takes no responsibility.
Valuing MVC Capital stock is incredibly difficult, and any metric has to be viewed as part of a bigger picture of MVC Capital's overall performance. However, analysts commonly use some key metrics to help gauge the value of a stock.
MVC Capital's current share price divided by its per-share earnings (EPS) over a 12-month period gives a "trailing price/earnings ratio" of roughly 5x. In other words, MVC Capital shares trade at around 5x recent earnings.
That's relatively low compared to, say, the trailing 12-month P/E ratio for the NASDAQ 100 at the end of 2019 (27.29). The low P/E ratio could mean that investors are pessimistic about the outlook for the shares or simply that they're under-valued.
|Revenue TTM||$29.3 million|
|Operating margin TTM||70.2%|
|Gross profit TTM||$30.5 million|
|Return on assets TTM||3.95%|
|Return on equity TTM||-17.33%|
|Market capitalisation||$161.7 million|
TTM: trailing 12 months
We're not expecting MVC Capital to pay a dividend over the next 12 months.
Over the last 12 months, MVC Capital's shares have ranged in value from as little as $0 up to $0. A popular way to gauge a stock's volatility is its "beta".
Beta is a measure of a share's volatility in relation to the market. The market (NYSE average) beta is 1, while MVC Capital's is 1.8451. This would suggest that MVC Capital's shares are more volatile than the average for this exchange and represent, relatively-speaking, a higher risk (but potentially also market-beating returns).
MVC Capital, Inc. is a business development company specializing in equity, acquisition financing, mezzanine financing, management buyouts, leveraged buildups, corporate partnerships, PIPE transactions, going private transactions, private company recapitalizations, operational turnarounds, and growth and expansion capital transaction financing. The company seeks to invest in mature, small, and middle-market companies. It seeks to invest in companies in the consumer products, business services, industrial manufacturing and services, automotive retailing, energy, food and food service, financial services, insurance, industrial distribution and value-added distribution, medical devices and equipment, specialty chemicals, and security sectors. The company prefers to invest in companies based in the United States. The firm typically invests between $3 million and $25 million for control and non-control stakes in companies with revenues between $10 million and $150 million and EBITDA between $3 million and $25 million. It prefers to be the lead investor in transactions and also co-invests in companies with other private equity sponsors.
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