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Oxford Lane Capital (OXLC)
NASDAQ:OXLC
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Oxford Lane Capital (OXLC) AI Stock Analysis

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OXLC

Oxford Lane Capital

(NASDAQ:OXLC)

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Neutral 61 (OpenAI - 4o)
Rating:61Neutral
Price Target:
Oxford Lane Capital shows potential with a strong valuation profile due to a low P/E ratio and high dividend yield. Financial performance is hindered by volatility and cash flow concerns. Technical analysis is neutral, while the earnings call provided positive developments with some yield and default rate concerns. Overall, the stock is moderately attractive, particularly for income investors.

Oxford Lane Capital (OXLC) vs. SPDR S&P 500 ETF (SPY)

Oxford Lane Capital Business Overview & Revenue Model

Company DescriptionOxford Lane Capital Corp. (OXLC) is a closed-end management investment company that primarily invests in the equity and junior debt tranches of collateralized loan obligation (CLO) vehicles. Based in the United States, the company focuses on generating income and capital appreciation by investing in various sectors through its CLO holdings. The company's investment strategy is centered around leveraging its expertise in the CLO market to provide shareholders with high-yield returns.
How the Company Makes MoneyOxford Lane Capital makes money primarily through the interest and income generated from its investments in CLOs. The company's revenue model is based on acquiring equity and junior debt tranches of CLOs, which are structured to provide high yields. These CLOs are essentially pooled portfolios of loans, often made to corporations with lower credit ratings, which offer higher interest rates. Oxford Lane Capital earns returns from the cash flows distributed by these CLOs, including interest income and potential capital gains from selling these investments. The company's earnings are also influenced by the overall performance of the credit markets, interest rate fluctuations, and the management's ability to effectively select and manage its CLO investments. There are no significant partnerships disclosed that contribute directly to its revenue streams.

Oxford Lane Capital Earnings Call Summary

Earnings Call Date:Nov 03, 2025
(Q2-2026)
|
% Change Since: |
Next Earnings Date:Feb 02, 2026
Earnings Call Sentiment Neutral
The earnings call reflects a mixed performance for Oxford Lane Capital Corp. Despite increases in GAAP total and net investment income, and active portfolio management, the company faced challenges such as a decrease in net asset value, significant unrealized depreciation, and a decline in cash distribution yields. The outlook is influenced by broader market uncertainties and macroeconomic factors.
Q2-2026 Updates
Positive Updates
Increase in GAAP Total Investment Income
GAAP total investment income increased by approximately $4.3 million from the previous quarter, totaling $128.3 million for the quarter ended September.
Net Investment Income Growth
GAAP net investment income grew to approximately $81.4 million, or $0.84 per share, up from $75.1 million or $0.80 per share in the prior quarter.
Core Net Investment Income Increase
Core net investment income rose to approximately $120 million or $1.24 per share, compared to $112.4 million or $1.19 per share in the previous quarter.
Active Portfolio Management
Invested over $145 million in CLO equity debt and warehouses, and participated in over 25 resets and refinancings.
Board Declares Monthly Distributions
Declared monthly common stock distributions of $0.40 per share for January, February, and March 2026.
Weighted Average Yield Increase
The weighted average yield of CLO debt investments increased to 17.4% from 16.9% as of June 30.
Negative Updates
Net Asset Value Decline
Net asset value per share decreased from $20.60 to $19.19 as of September 30.
Net Unrealized Depreciation and Realized Losses
Recorded net unrealized depreciation on investments of approximately $68.5 million and net realized losses of approximately $18.1 million.
Decrease in Cash Distribution Yield
The weighted average cash distribution yield of CLO equity investments decreased to 19.4% from 21.6% as of June 30.
Loan Market and Default Rate Concerns
U.S. loan price index slightly decreased, and the 12-month trailing default rate increased to 1.47% from 1.11%.
Market Uncertainty
Concerns about macroeconomic factors, including tight spreads and economic uncertainties, affecting the attractiveness of certain investments.
Company Guidance
During Oxford Lane Capital Corp.'s second fiscal quarter 2026 earnings call, the company provided several key metrics. As of September 30, their net asset value per share was $19.19, down from $20.60 in the previous quarter, reflecting a 1-for-5 reverse stock split. The company reported a GAAP total investment income of $128.3 million, an increase of $4.3 million from the prior quarter, with a GAAP net investment income of $81.4 million or $0.84 per share. Their core net investment income was $120 million or $1.24 per share. They recorded net unrealized depreciation on investments of $68.5 million and net realized losses of $18.1 million. The weighted average yield of CLO debt investments was 17.4%, and the effective yield of CLO equity investments was 14.6%. They issued 700,000 shares for $14.5 million and repurchased 1.2 million shares for $20.5 million. They invested $145.2 million in CLOs and received $173.5 million from sales and repayments. Monthly distributions of $0.40 per share were declared for January to March 2026.

Oxford Lane Capital Financial Statement Overview

Summary
Oxford Lane Capital's financial performance is mixed. The income statement shows volatility with inconsistent profitability but a relatively high gross profit margin. The balance sheet is stable with a manageable debt-to-equity ratio, but cash flow concerns are significant due to negative operating and free cash flow.
Income Statement
45
Neutral
Oxford Lane Capital's income statement shows significant volatility with total revenue swinging from negative to positive and back, indicating instability in revenue generation. The company managed a positive net profit margin in the latest period, but historical trends show inconsistent profitability. The gross profit margin is relatively high, suggesting good cost management when revenue is positive, but the erratic revenue growth rate is a concern.
Balance Sheet
65
Positive
The balance sheet shows a strong equity position with the equity ratio improving over time, indicating a solid capital structure. The debt-to-equity ratio is manageable, suggesting the company is not overly leveraged. Return on equity fluctuates significantly, reflecting the income statement's volatility. Overall, the balance sheet suggests financial stability with some risk due to income variability.
Cash Flow
40
Negative
Cash flow analysis reveals negative operating cash flow and free cash flow in recent years, highlighting challenges in generating cash from operations. The operating cash flow to net income ratio is unfavorable, indicating issues in converting income into cash. The company needs to improve cash flow stability to enhance its financial health.
BreakdownTTMDec 2025Dec 2024Dec 2023Dec 2022Dec 2021
Income Statement
Total Revenue427.73M95.77M279.52M-126.63M152.22M58.26M
Gross Profit0.0057.31M246.66M-158.43M130.15M26.14M
EBITDA86.92M48.46M235.11M-171.29M125.88M306.21M
Net Income48.46M48.46M235.11M-171.29M125.88M289.93M
Balance Sheet
Total Assets2.84B2.84B1.75B1.34B1.41B934.86M
Cash, Cash Equivalents and Short-Term Investments295.35M295.35M42.97M21.74M34.67M90.87M
Total Debt486.92M486.92M195.60M194.56M193.58M328.11M
Total Liabilities883.25M883.25M579.85M542.89M460.99M338.61M
Stockholders Equity1.96B1.96B1.17B793.15M947.16M596.25M
Cash Flow
Free Cash Flow854.87M-703.80M-123.79M-91.56M-385.50M124.01M
Operating Cash Flow854.87M-703.80M-123.79M-91.56M-385.50M124.01M
Investing Cash Flow-1.56B0.000.000.00-932.95M-131.95M
Financing Cash Flow956.17M956.17M145.03M78.63M329.30M87.14M

Oxford Lane Capital Technical Analysis

Technical Analysis Sentiment
Negative
Last Price15.13
Price Trends
50DMA
16.20
Negative
100DMA
16.83
Negative
200DMA
18.53
Negative
Market Momentum
MACD
-0.27
Negative
RSI
39.89
Neutral
STOCH
20.07
Neutral
Evaluating momentum and price trends is crucial in stock analysis to make informed investment decisions. For OXLC, the sentiment is Negative. The current price of 15.13 is below the 20-day moving average (MA) of 15.33, below the 50-day MA of 16.20, and below the 200-day MA of 18.53, indicating a bearish trend. The MACD of -0.27 indicates Negative momentum. The RSI at 39.89 is Neutral, neither overbought nor oversold. The STOCH value of 20.07 is Neutral, not indicating any strong overbought or oversold conditions. Overall, these indicators collectively point to a Negative sentiment for OXLC.

Oxford Lane Capital Peers Comparison

Overall Rating
UnderperformOutperform
Sector (68)
Financial Indicators
Name
Overall Rating
Market Cap
P/E Ratio
ROE
Dividend Yield
Revenue Growth
EPS Growth
68
Neutral
$18.00B11.429.92%3.81%9.73%1.22%
61
Neutral
297.050.22%35.36%24.12%-98.74%
58
Neutral
$267.96M4.5817.74%7.40%11.22%25.65%
51
Neutral
$149.83M-1.61%21.99%-177.91%55.08%
48
Neutral
$108.07M-5.98%19.56%47.01%-179.46%
45
Neutral
$234.34M5.0535.45%2.50%
45
Neutral
$24.57M-13.17-11.08%-27.89%51.00%
* Financial Sector Average
Performance Comparison
Ticker
Company Name
Price
Change
% Change
OXLC
Oxford Lane Capital
15.13
-6.15
-28.90%
NEWT
Newtek Business
10.27
-4.19
-28.98%
SSSS
SuRo Capital
9.86
4.76
93.33%
OXSQ
Oxford Square Capital
1.91
-0.50
-20.75%
GECC
Great Elm Capital
7.74
-1.10
-12.44%
BCG
Binah Capital Group
1.51
-1.79
-54.24%
Glossary
BuyA stock rated as a "Buy" is expected to perform better than the overall market or a specific benchmark over the near-to-medium term. This rating suggests the stock is likely to deliver higher returns compared to other stocks in the same sector or market index. Note: This is not investment advice; please consult a financial advisor before making investment decisions.
HoldA stock rated as a "Hold" is expected to perform in line with the overall market or a specific benchmark. This rating indicates that the stock is neither particularly compelling nor unfavorable for investment. Note: This is not investment advice; please consult a financial advisor before making investment decisions.
SellA stock rated as a "Sell" is expected to perform worse than the overall market or a specific benchmark over the near-to-medium term. This rating suggests the stock may deliver lower returns compared to other stocks in the same sector or market index. Note: This is not investment advice; please consult a financial advisor before making investment decisions.

Disclaimer

This AI Analyst Stock Report is automatically generated by our AI systems using advanced algorithms and publicly available financial, technical, and market data. While the information provided aims to be accurate and insightful, it is intended for informational purposes only and should not be considered financial advice. Any content created by an AI (Artificial Intelligence) system may contain inaccuracies and/or contain errors. Investing in stocks carries inherent risks, and past performance is not indicative of future results. This report does not account for your personal financial circumstances, objectives, or risk tolerance. Always conduct your own research or consult with a qualified financial advisor before making investment decisions. The analysis and recommendations provided are based on historical and current data and may not fully reflect future market conditions or unexpected developments. Neither the creators of this report nor its affiliated entities guarantee the accuracy, completeness, or reliability of the information presented. Use this report at your own discretion and risk.Date of analysis: Apr 26, 2025