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FS KKR Capital Corp is currently in a long term uptrend where the price is trading 13.8% above its 200 day moving average.
From a valuation standpoint, the stock is 76.6% cheaper than other stocks from the Financial Services sector with a price to sales ratio of 10.4.
FS KKR Capital Corp's total revenue rose by 1242.9% to $160M since the same quarter in the previous year.
Its net income has increased by 629.6% to $143M since the same quarter in the previous year.
Finally, its free cash flow grew by 122.1% to $116M since the same quarter in the previous year.
Based on the above factors, FS KKR Capital Corp gets an overall score of 5/5.
ISIN | US3026352068 |
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Sector | Financial Services |
Industry | Asset Management |
Exchange | F |
CurrencyCode | EUR |
Beta | 1.04 |
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Dividend Yield | 15.% |
Market Cap | 5B |
PE Ratio | 9.37 |
Target Price | 23.06 |
FS KKR Capital Corp. is a business development company specializing in investments in debt securities. It provides customized credit solutions to private middle market U.S. companies. It invest primarily in the senior secured debt and, to a lesser extent, the subordinated debt of private middle market U.S. companies. It seeks to purchase interests in loans through secondary market transactions or directly from the target companies as primary market investments. It also seeks to invest in first lien senior secured loans, second lien secured loans and, to a lesser extent, subordinated loans, or mezzanine loans. In connection with the debt investments, the firm also receives equity interests such as warrants or options as additional consideration. It also seek to purchase minority interests in the form of common or preferred equity in our target companies, either in conjunction with one of the debt investments or through a co-investment with a financial sponsor. Additionally, on an opportunistic basis, the fund may also invest in corporate bonds and similar debt securities. The fund does not seek to invest in start-up companies, turnaround situations, or companies with speculative business plans. It seeks to invest in small and middle-market companies based in United States. The fund seeks to invest in firms with annual revenue between $10 million to $2.5 billion. It focus on providing customized one-stop credit solutions to private upper middle market companies with annual EBITDA of $50 million to $100 million at the time of investment. It seeks to exit from securities by selling them in a privately negotiated over- the- counter market. For any investments that are not able to be sold within the secondary market, the firm seeks to exit such investments through repayment, an initial public offering of equity securities, merger, sale or recapitalization.
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