BCP Investment Corporation (BCIC) key performance indicators and operating metrics (11 metrics) from SEC EDGAR filings, earnings calls, and investor decks. First-party data.
| Metric | Latest Value | Period |
|---|---|---|
| Net Asset Value Per Share | 15.60 USD_per_share | FY2026-Q1 |
| Net Asset Value (End of Period) | 193M | FY2026-Q1 |
| Total Investment Portfolio at Fair Value | 476.9M | FY2026-Q1 |
| Net Leverage Ratio (Debt Net of Cash to Net Asset Value) | 1.50 ratio | FY2026-Q1 |
| Asset Coverage Ratio (Total Assets to Total Borrowings) | 156.00 percent | FY2026-Q1 |
| Weighted Average Annualized Yield on Debt Investments at Par | 12.80 percent | FY2026-Q1 |
| Core Investment Income Excluding Purchase Price Accounting | 14.8M | FY2026-Q1 |
| Debt Investments on Non-Accrual as Percent of Investment Portfolio at Fair Value | 2.60 percent | FY2026-Q1 |
| Total Shares Repurchased in Open Market Transactions | 172.16K | FY2026-Q1 |
| Investments Portfolio Companies Count | 116.00 | FY2025-Q3 |
| Debt Investment Portfolio at Fair Value Excluding Collateralized Loan Obligations Funds, Equities, and Joint Ventures | 450.2M | FY2025-Q3 |
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Data sourced from U.S. SEC EDGAR filings, earnings call transcripts, and investor decks. Not personalized investment advice.