
SARATOGA INVESTMENT CORP
Saratoga Investment Corp (ticker SAR) is a publicly traded investment company that provides capital to small and mid-sized businesses, typically through a mix of debt and selective equity investments. With a market capitalisation of about $363.14m, the company aims to generate income and potential capital appreciation from its portfolio, which can include senior and subordinated loans and occasional equity stakes. Performance is driven by portfolio credit quality, interest-rate movements, manager decisions and broader market liquidity; net asset value (NAV) and market price can move independently, creating discounts or premiums. Income-seeking investors may be attracted by regular distributions, but dividend levels can vary and are not guaranteed. The stock may suit investors comfortable with credit and liquidity risks inherent to private-market lending. This is general educational information only, not personalised advice. Values can rise and fall, and past performance is not a reliable guide to future returns; consult a financial professional about suitability for your circumstances.
Stock Performance Snapshot
Analyst Rating
Analysts suggest holding Saratoga Investment Corp's stock, expecting a slight increase in value.
Financial Health
Saratoga Investment Corp is performing well with strong revenue and cash flow generation.
Dividend
Saratoga Investment Corp's high dividend yield of 12.26% makes it very attractive for dividend-seeking investors. If you invested $1000 you would be paid $122.60 a year in dividends (based on the last 12 months).
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Explore BasketWhy You’ll Want to Watch This Stock
Income-focused portfolio
The company aims to generate regular income from loan interest and fees, but dividend levels can fluctuate and are not guaranteed.
Private-market exposure
Provides access to smaller-company credit and equity opportunities that can diversify a portfolio, though such assets may be less liquid and harder to value.
Risk–return balance
Potentially higher yields come with credit, interest-rate and liquidity risks; investors should weigh yield attraction against possible NAV and share-price volatility.
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