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Oaktree Specialty Lending Corporation

NASDAQ•OCSL
CEO: Mr. Armen Panossian J.D.
Sector: Financial Services
Industry: Financial - Credit Services
Listing Date: 2008-06-12
Oaktree Specialty Lending Corporation is a business development company. The fund specializing in investments in middle market, bridge financing, first and second lien debt financing, unsecured and mezzanine loan, mezzanine debt, senior and junior secured debt, expansions, sponsor-led acquisitions, preferred equity, and management buyouts in small and mid-sized companies. It seeks to invest in education services, business services, retail and consumer, healthcare, manufacturing, food and restaurants, construction and engineering. The firm also seeks investment in media, advertising sectors, software, IT services, pharmaceuticals, biotechnology, real estate management and development, chemicals, machinery, and internet and direct marketing retail sectors. It invests between $5 million to $75 million principally in the form of one-stop, first lien, and second lien debt investments, which may include an equity co-investment component in companies. The firm invest in companies having enterprise value between $20 million and $150 million and EBITDA between $3 million and $50 million. The fund has a hold size of up to $75 million and may underwrite transactions up to $100 million. It primarily invests in North America. The fund seeks to be a lead investor in its portfolio companies.
Contact Information
333 South Grand Avenue, 28th Floor, Los Angeles, CA, 90071, United States
213-830-6300
www.oaktreespecialtylending.com
Market Cap
$1.02B
P/E (TTM)
31.2
20.9
Dividend Yield
14.8%
52W High
$16.25
52W Low
$11.09
52W Range
10%
Rank50Top 68.9%
3.1
F-Score
Modified Piotroski Analysis
Based on 10-year fundamentals
Weak • 3.1 / 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

Q1 2026 Data

Revenue

$76.44M+0.00%
4-Quarter Trend

EPS

$0.06+0.00%
4-Quarter Trend

FCF

$41.50M+0.00%
4-Quarter Trend

2026 Q1 Earnings Highlights

Key Highlights

Quarterly NII Declines Net investment income $36.70M, decreased $7.60M versus prior year quarter; NII per share $0.42.
Investment Income Pressured Total investment income $75.10M, down 13.3% from $86.65M, driven primarily by lower interest income rates.
NAV Per Share Decreased Net asset value per share $16.30 end of period, down $1.33 from prior period end of $17.63.
High Level 3 Valuation Exposure Level 3 investments total $2.53B at fair value, representing 85.9% of total portfolio investments at fair value.

Risk Factors

Interest Income Rate Sensitivity 91.3% of debt portfolio bears floating rates; potential rate floor impact on future interest income earnings.
Non-Accrual Investments Rising Eleven investments on non-accrual status, representing 6.5% of debt investments at cost and fair value.
Net Assets Decreased Quarter Total net assets $1.44B, reflecting a $29.63M decrease from September 30, 2025 balance.
Valuation Subjectivity Concerns Significant reliance on Level 3 inputs (85.9% of FV) requires substantial management judgment for valuation.

Outlook

Distribution Declared Post-Period Board declared $0.40 per share quarterly distribution payable March 31, 2026, to record March 16, 2026.
Focus on Situational Lending New investment focus targets situational lending, select sponsor lending, stressed sector, and public credit opportunities.
Credit Facility Compliance Maintained Syndicated Facility size $1.16B, compliance maintained with all financial covenants as of December 31, 2025.
Taxable Income Estimate Provided Estimated taxable income $33.87M for the three months ended December 31, 2025, subject to final tax return filing.

Peer Comparison

Revenue (TTM)

LU stock ticker logoLU
$4.43B
-11.7%
NAVI stock ticker logoNAVI
$3.20B
-24.5%
ROOT stock ticker logoROOT
$1.52B
+28.9%

Gross Margin (Latest Quarter)

MFIC stock ticker logoMFIC
193.4%
-1.5pp
BBDC stock ticker logoBBDC
119.8%
+0.0pp
NAVI stock ticker logoNAVI
88.4%
+316.6pp

Key Metrics

Symbol
Market Cap
P/E (TTM)
ROE (TTM)
Debt to Assets
EZPW$1.55B13.312.5%12.4%
CSWC$1.37B12.611.2%19.6%
PSEC$1.34B-5.5-7.7%28.3%

Long-Term Trends

Last 4 Quarters
Revenue
Net Income
Operating Cash Flow
4Q Revenue CAGR
N/M
Revenue Volatile
4Q Net Income CAGR
N/M
Profitability Shift
Cash Flow Stability
75%
Volatile Cash Flow

Deep Research

Next earnings:Apr 29, 2026
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EPS:-
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Financials
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Reports
News
Income Statement
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LTM
No Data