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Prospect Capital (PSEC) Stock Fundamentals, Analysis & Risk Signals

Health score, price, valuation, risk signals, and key metrics at a glance.

Prospect Capital
NasdaqGS•Financial Services•Asset Management
$2.22+0.04(0.02%)Pre-market
Market Cap
$1.12B
P/E
7.3x
P/S
1.7x
P/B
0.4x

Prospect Capital Corporation is a Private Equity, Private Debt and business development company. It specializes in middle market, lower-middle market, mature, mezzanine finance, later stage, emerging growth, leveraged buyouts, refinancing, acquisitions, recapitalizations, turnaround, growth capital, development, capital expenditures and subordinated debt tranches of collateralized loan obligations, cash flow term loans, market place lending and bridge transactions. It also makes real estate investments particularly in multi-family residential real estate asset class. The fund makes secured debt, senior debt, senior and secured term loans, unitranche debt, first-lien and second lien, private debt, private equity, mezzanine debt, and equity investments in private and microcap public businesses. It focuses on both primary origination and secondary loans/portfolios and invests in situations like debt financings for private equity sponsors, acquisitions, dividend recapitalizations, growth financings, bridge loans, cash flow term loans, real estate financings/investments. It also focuses on investing in small-sized and medium-sized private companies rather than large public companies. The fund typically invests across all industry sectors, with a particular expertise in the energy and industrial sectors. It invests in aerospace and defense, chemicals, conglomerate services, consumer services, ecological, electronics, financial services, machinery, manufacturing, media, pharmaceuticals, retail, software, specialty minerals, textiles and leather, transportation, oil and gas production, coal production, materials, industrials, consumer discretionary, information technology, utilities, pipeline, storage, power generation and distribution, renewable and clean energy, oilfield services, healthcare, food and beverage, education, business services, and other select sectors. It prefers to invest in the United States and Canada. The fund seeks to invest between $10 million to $500 million per transaction in companies with EBITDA between $5 million and $150 million, sales value between $25 million and $500 million, and enterprise value between $5 million and $1000 million. It fund also co-invests for larger deals. The fund seeks control acquisitions by providing multiple levels of the capital structure. The fund focuses on sole, agented, club, or syndicated deals.

C

How this company scores

AverageMetricSide Score: 55/100

Strongest: Profitability (18/25); weakest: Growth (8/25).

Profitability18/25
Growth8/25
Balance Sheet & Red Flags13/25
Cash & Earnings Quality16/25
Strengths
Strong marginsRising earningsCash-backed earningsProfit converts from growth

Valuation vs. 5-year range

Today's multiple positioned against its own trailing range — a visual premium/discount check.

P/E · 7.3x5y range 7.3x – 303.3x
P/E 7.3x · below its 7-quarter median

Currently below its 7-quarter median.

P/S · 1.7x5y range 1.7x – 2.8x
P/S 1.7x · below its 13-quarter median

Currently below its 13-quarter median.

P/B · 0.4x5y range 0.4x – 0.7x

Watch items

Data-driven signals worth keeping an eye on across the last 8 quarters

High Risk

Earnings Quality

Watch

FCF/Net Income has dropped below 0.7x in 4 quarters — monitor for earnings quality deterioration.

Revenue Decline

Red Flag

TTM revenue has contracted 14.8% — significant decline indicating deteriorating demand.

Price & Volume
Market Cap $1.12B

Metrics at a Glance

as of June 2026

Revenue & Profit

Revenue, EBITDA, operating income, net income, EPS, and shares

TTM Revenue
$639.45M
7Q
Q. Revenue
$155.76M
7%
TTM EBITDA
$335.12M
2Q
TTM Op. Income
$326.39M
2Q
Q. Op. Income
$77.69M
2Q
TTM Net Income
$153.66M
4Q
Q. Net Income
$-4.52M
98%
EPS
$-0.076
85%
Shares Out.
$502.44M
7Q
$639.45M in TTM revenue declined 11.1% YoY, reaching $155.76M last quarter. TTM EBITDA of $335.12M and TTM operating income of $326.39M show growth is flowing through to the bottom line. TTM net income of $153.66M means revenue is converting into profit. Across the last 8 quarters, TTM revenue has fallen for 7 consecutive quarters — a weakening trend.

Margins

Gross, EBITDA, operating, and net margin trends

EBITDA Margin
51.4%
6%
Op. Margin
49.9%
5%
Net Margin
-2.9%
98%
Op. margin of 49.9% is up 2.5% YoY — cost efficiency is improving. Net margin at -2.9% Over the past year, operating margin is up 5% — a weakening trend.

Price Ratios

P/E, P/S, P/B, EV/EBITDA, FCF yield, and earnings yield

P/E Ratio
7.3x
2Q
P/S Ratio
1.7x
13%
P/B Ratio
0.4x
21%
At 7.3x P/E, the stock trades below typical market levels. P/S of 1.7x and P/B of 0.4x provide additional context. Use the growth and margin sections to judge whether the multiple is justified. Across the last 3 quarters, P/E has fallen for 2 consecutive quarters — an improving trend.

Assets & Liabilities

Total assets, cash, debt, book value, and leverage

Total Assets
$6.45B
5%
Cash
$43.57M
14%
Long-Term Debt
$1.86B
11%
Book Value
$2.93B
3Q
D/E Ratio
0.6
9%
Debt/EBITDA
23.3
2Q
With $6.45B in assets and $1.86B in long-term debt, D/E is 0.6and book value is $2.93B — a conservative capital structure with a cushion to weather downturns. Over the past year, debt/equity is down 9% — a weakening trend.

Cash Flow

Operating cash flow, free cash flow, FCF margin, and earnings quality

Op. Cash Flow
$-43.95M
476%
TTM Free Cash Flow
$516.31M
1%
FCF Margin
80.7%
11%
FCF / Net Income
3.4
402%
TTM FCF of $516.31M on $-43.95M in operating cash flow. The FCF / Net Income ratio of 3.4x means free cash flow covers net income — earnings are backed by cash. Over the past year, free cash flow is down 1% — a weakening trend.

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P/B 0.4x
· below its 16-quarter median

Currently below its 16-quarter median.

Cash Burn

Watch

FCF turned negative in 2 of the last 8 quarters — occasional cash consumption.

Share Dilution

Red Flag

Shares outstanding increased 17.2% — significant dilution, likely from stock compensation or capital raises.