Fidus Investment Corp Reports Q3 2025 Earnings: Adjusted NII Down, NAV Grows 2.7%

sábado, 8 de noviembre de 2025, 2:28 am ET1 min de lectura
FDUS--

Fidus Investment Corp reported a 2.7% increase in net asset value to $711 million in Q3 2025, with adjusted net investment income per share at $0.50, down from $0.61 in Q3 2024. Total dividends paid were $0.57 per share, including a supplemental dividend of $0.14 per share. The debt portfolio was $543.8 million, with a weighted average interest rate of 4.9% and a weighted average effective yield on debt investments of 13%.

Comentarios



Add a public comment...
Sin comentarios

Aún no hay comentarios