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Gladstone Investment Corporation

NASDAQ•GAIN
CEO: Mr. David John Gladstone
Sector: Financial Services
Industry: Asset Management
Listing Date: 2005-06-23
Gladstone Investment Corporation is business development company, specializes in lower middle market, mature stage, buyouts; refinancing existing debt; senior debt securities such as senior loans, senior term loans, lines of credit, and senior notes; senior subordinated debt securities such as senior subordinated loans and senior subordinated notes; junior subordinated debt securities such as subordinated notes and mezzanine loans; limited liability company interests, and warrants or options. The fund does not invest in start-ups. The fund seeks to invest in manufacturing, consumer products and business/consumer services sector. It seeks to invest in small and mid-sized companies based in the United States. The fund prefers to make debt investments between $5 million and $30 million and equity investments between $10 million and $40 million in companies. The fund invests in companies with EBITDA from $4 million to $15 million. It seeks minority equity ownership and prefers to hold a board seat in its portfolio companies. It also prefers to take majority stake in its portfolio companies. The fund typically holds the investments for seven years and exits via sale or recapitalization, initial public offering, or sale to third party.
Contact Information
1521 Westbranch Drive, Suite 100, McLean, VA, 22102, United States
703-287-5893
www.gladstoneinvestment.com
Market Cap
$597.73M
P/E (TTM)
4.6
0
Dividend Yield
10.0%
52W High
$15.34
52W Low
$13.11
52W Range
85%
Rank38Top 36.9%
4.3
F-Score
Modified Piotroski Analysis
Based on 10-year fundamentals
Average • 4.3 / 9 points
Scoring Range (0-9)
8-9: Excellent Value
6-7: Strong Fundamentals
4-5: Average Quality
0-3: Weak Performance
Data Period: 2016-2025

Financial Dashboard

Q3 2026 Data

Revenue

$25.06M-45.72%
4-Quarter Trend

EPS

$1.66+0.00%
4-Quarter Trend

FCF

-$135.66M-1493.08%
4-Quarter Trend

2026 Q3 Earnings Highlights

Key Highlights

NAV Per Share Rises Net Asset Value per share increased to $14.95 USD from $13.30 USD year-end 2024, reflecting strong performance.
Total Investment Income Up Total investment income grew 17.3% to $25.062M for the quarter; 9M income rose 11.8% to $73.885M USD.
Portfolio Fair Value Growth Total investments fair value reached $1.223T USD as of December 31, 2025, up from $979.320M at March 31, 2025.
Significant Equity Gains Net increase in assets from operations surged 115.8% to $102.379M for nine months, driven by $123.279M unrealized appreciation.

Risk Factors

Non-Accrual Debt Exposure Loans to three companies totaling $40.3M cost basis are on non-accrual status as of December 31, 2025, impacting income recognition.
High Level 3 Valuation Reliance All investments, excluding cash and one fund, rely solely on unobservable Level 3 inputs for fair value determination, increasing subjectivity.
Interest Rate Sensitivity Risk 100.0% of debt portfolio principal balance is variable rate, exposing net investment income to SOFR fluctuations.
Realized Loss on Restructure Restructuring of J.R. Hobbs loan resulted in a $29.9M realized loss during the nine months ended December 31, 2025.

Outlook

Maintain Debt Equity Balance Strategy targets 75.0% debt cost basis allocation; current portfolio stands at 71.0% debt and 29.0% equity investments.
Credit Facility Maturity Approaching Revolving period end date for $300.0M Credit Facility is October 30, 2026, requiring future extension planning.
Equity Issuance Capacity Exists $219.3M capacity remains available under the effective N-2 registration statement for future capital raising activities.
Focus on Lower Middle Market Investment focus remains on U.S. lower middle market businesses targeting $4M to $15M EBITDA range.

Peer Comparison

Revenue (TTM)

ALTI stock ticker logoALTI
$256.58M
+24.9%
CCAP stock ticker logoCCAP
$165.49M
+16.2%
CION stock ticker logoCION
$151.18M
+5.9%

Gross Margin (Latest Quarter)

TCPC stock ticker logoTCPC
425.9%
+6.1pp
CION stock ticker logoCION
224.0%
+53.0pp
SCM stock ticker logoSCM
174.3%
-19.7pp

Key Metrics

Symbol
Market Cap
P/E (TTM)
ROE (TTM)
Debt to Assets
FDUS$683.94M8.111.7%16.2%
GAIN$597.73M4.624.7%46.2%
ALTI$560.39M-3.2-18.7%10.6%

Long-Term Trends

Last 4 Quarters
Revenue
Net Income
Operating Cash Flow
4Q Revenue CAGR
-0.9%
Flat Growth
4Q Net Income CAGR
54.5%
Profitability Improved
Cash Flow Stability
75%
Volatile Cash Flow

Deep Research

Next earnings:May 11, 2026
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News
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LTM
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