CICB
CION Investment Corporation25.44
+0.17+0.67%
Dec 16, 4:00:02 PM EST
Earnings Call Transcripts
This Quarter (Q1 '26)
No earnings call transcript available yet
Last Quarter (Q4 '25)
No earnings call transcript available
Key Stats
Market Cap
-P/E (TTM)
-Basic EPS (TTM)
-Dividend Yield
0.05%Recent Filings
10-K
FY2025 results
CĪON Investment Corporation's FY2025 portfolio stood at $1.7B fair value, down from $1.8B in FY2024 amid $368M repayments outpacing $264M new investments; first lien debt comprised 80.8% while equity rose to 18.5%. Distributions fell to $1.44/share from $1.52, fully covered by NII of $1.78/share. Leverage edged up to $1.14B at 162% coverage, supported by $100M credit availability. Q4 NAV dipped to $13.76 from $15.43 yearly amid $74M unrealized losses. Portfolio ratings held steady at 77.9% in category 2. Repos bought back shares aggressively. Monthly $0.10/share payouts declared through Q2 2026. Covenant breaches threaten quarterly momentum.
8-K
Q4 losses hit NAV hard
CION reported Q4 2025 net investment income of $0.35 per share but earnings plunged to $(0.80) per share on $59.5M unrealized losses from equity marks, dropping NAV to $13.76, down 7.4%. Portfolio shrank to $1.70B in 89 companies, 80.8% first lien, with non-accruals ticking to 1.78%; net debt-to-equity rose to 1.44x. Declared $0.10 monthly base distributions for Q2 2026. NAV fell sharply.
8-K
CION closes $125M notes
CION Investment Corporation closed its $125.0 million 7.50% Notes due 2031 on February 9, 2026, via a Second Supplemental Indenture with U.S. Bank Trust. Notes pay quarterly interest starting March 30, 2026, mature March 31, 2031, and are redeemable after March 31, 2028. CION will use proceeds to repay senior secured credit facilities. Covenants track 1940 Act limits.
8-K
CION prices $125M notes
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