Portman Ridge Finance Corp.

  • Market Cap: Micro Cap
  • Industry: Capital Markets
  • ISIN: US73688F2011
USD
13.05
0.06 (0.46%)
  • Price Points
  • Score
  • Mojo Parameters
  • Total Return
  • News and Corporate Actions
  • Key factors
  • Shareholding
  • Financials
  • CompanyCV
stock-summaryPrice Point
High/Low

1Day

52 Week

Valuation
Technical
Day's Volume

CASH

51.08 k

Shareholding (Mar 2025)

FII

2.92%

Held by 14 FIIs

DII

95.21%

Held by 2 DIIs

Promoter

0.00%

How big is Portman Ridge Finance Corp.?

22-Jun-2025

As of Jun 18, Portman Ridge Finance Corp. has a market capitalization of 107.12 million, with net sales of 28.73 million and a net loss of 10.50 million over the latest four quarters. Shareholder's funds are at 178.49 million, and total assets amount to 453.63 million.

As of Jun 18, Portman Ridge Finance Corp. has a market capitalization of 107.12 million, categorizing it as a Micro Cap company.<BR><BR>As of Jun 18, the company reported net sales of 28.73 million for the latest four quarters, while the net profit for the same period was a loss of 10.50 million.<BR><BR>As of Dec 24, the reporting period shows shareholder's funds at 178.49 million and total assets amounting to 453.63 million.

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What does Portman Ridge Finance Corp. do?

22-Jun-2025

Portman Ridge Finance Corporation is a closed-end investment company that focuses on investing in middle market businesses across various industries. As of March 2025, it has a market cap of $107.12 million and reported net sales of $12 million.

Overview:<BR>Portman Ridge Finance Corporation is a closed-end, externally managed, non-diversified management investment company that invests in middle market businesses across various industries, operating within the Capital Markets sector and classified as a Micro Cap.<BR><BR>Financial Snapshot:<BR>Most recent Net Sales: 12 Million (Quarterly Results - Mar 2025)<BR>Most recent Net Profit: 0 Million (Quarterly Results - Mar 2025)<BR>Market cap: USD 107.12 Million (Micro Cap)<BR><BR>Key Metrics:<BR>Dividend Yield: 2,121.37%<BR>Debt Equity: -999,999.00<BR>Return on Equity: -5.80%<BR>Price to Book: 0.62<BR><BR>Contact Details:<BR>Address: 650 MADISON AVNUE, 23RD FLOOR, NEW YORK NY: 10022<BR>Tel: 1 212 8912880<BR>Fax: 1 302 6555049<BR>Website: https://kcapfinancial.gcs-web.com/

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Should I buy, sell or hold Portman Ridge Finance Corp.?

22-Jun-2025

Who are in the management team of Portman Ridge Finance Corp.?

22-Jun-2025

As of March 2022, the management team of Portman Ridge Finance Corp. includes Mr. Ted Goldthorpe as Chairman, President, and CEO, along with board members Mr. Graeme Dell, Mr. Joseph Morea, Mr. Matthew Westwood, Mr. Alexander Duka, and Mr. George Grunebaum as Independent Directors.

As of March 2022, the management team of Portman Ridge Finance Corp. includes Mr. Ted Goldthorpe, who serves as the Chairman of the Board, President, and Chief Executive Officer. Additionally, the board of directors features Mr. Graeme Dell, Mr. Joseph Morea, Mr. Matthew Westwood, Mr. Alexander Duka as an Independent Director, and Mr. George Grunebaum as an Independent Director.

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Is Portman Ridge Finance Corp. overvalued or undervalued?

20-Sep-2025

As of March 13, 2025, Portman Ridge Finance Corp. is considered risky and overvalued, with poor stock performance and unfavorable valuation metrics compared to peers, including a Price to Book Value of 0.62 and a year-to-date return of -24.72%.

As of 13 March 2025, the valuation grade for Portman Ridge Finance Corp. has moved from very attractive to risky, indicating a significant deterioration in its investment appeal. The company appears to be overvalued, particularly when considering its Price to Book Value of 0.62, EV to EBITDA of 6.67, and a staggering Dividend Yield of 2099.72%. In comparison to peers, GCM Grosvenor, Inc. has a P/E ratio of 78.97, while Gladstone Capital Corp. shows a more favorable EV to EBITDA of 5.80, highlighting Portman Ridge's relative weakness in valuation metrics.<BR><BR>The company's stock performance has been notably poor, with a year-to-date return of -24.72% compared to the S&P 500's gain of 12.22%, and a one-year return of -33.15% against the S&P 500's 17.14%. This stark contrast reinforces the notion that Portman Ridge Finance Corp. is currently overvalued in the market.

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Is Portman Ridge Finance Corp. technically bullish or bearish?

20-Sep-2025

As of September 12, 2025, Portman Ridge Finance Corp. is in a bearish trend with weak strength, underperforming the S&P 500 significantly, with year-to-date and one-year returns of -24.72% and -33.15%, respectively.

As of 12 September 2025, the technical trend for Portman Ridge Finance Corp. has changed from mildly bearish to bearish. The current stance is bearish with weak strength, as indicated by the daily moving averages and the monthly MACD and KST being bearish. The weekly MACD and OBV show mildly bullish signals, but these are overshadowed by the overall bearish trend. The stock has underperformed significantly compared to the S&P 500 across multiple periods, with a year-to-date return of -24.72% versus the S&P 500's 12.22%, and a one-year return of -33.15% compared to 17.14% for the benchmark.

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Unrated Stock - No Analysis Available
stock-summaryMojo Parameters
Mojo Parameters
Stock DNA
stock-summary
Industry

Capital Markets

stock-summary
Market cap

USD 160 Million (Micro Cap)

stock-summary
P/E

NA (Loss Making)

stock-summary
Industry P/E

NA

stock-summary
Dividend Yield

1,300.21%

stock-summary
Debt Equity

-999,999.00

stock-summary
Return on Equity

-5.01%

stock-summary
Price to Book

0.97

Revenue and Profits:
Net Sales:
-3 Million
(Quarterly Results - Jun 2025)
Net Profit:
-5 Million
stock-summaryTotal Returns
Total Returns (Price + Dividend) stock-summary
TimePeriod
Price Return
Dividend Return
Total Return
3 Months
7.85%
0%
7.85%
6 Months
10.13%
0%
10.13%
1 Year
-21.9%
0%
-21.9%
2 Years
-23.51%
0%
-23.51%
3 Years
-41.22%
0%
-41.22%
4 Years
-46.95%
0%
-46.95%
5 Years
-22.78%
0%
-22.78%

Portman Ridge Finance Corp. for the last several years.

Risk Adjusted Returns v/s stock-summary
stock-summaryNews & Corporate Actions
News
Announcements stock-summary
Icon
No announcement available
Corporate Actions stock-summary
Icon
No corporate action available
stock-summaryKey Factors
Quality key factors stock-summary
Factor
Value
Sales Growth (5y)
-9.77%
EBIT Growth (5y)
21.15%
EBIT to Interest (avg)
2.36
Debt to EBITDA (avg)
Negative Net Debt
Net Debt to Equity (avg)
0
Sales to Capital Employed (avg)
0
Tax Ratio
0
Dividend Payout Ratio
0
Pledged Shares
0
Institutional Holding
22.00%
ROCE (avg)
20.16%
ROE (avg)
9.52%
Valuation key factors
Factor
Value
P/E Ratio
NA (Loss Making)
Industry P/E
Price to Book Value
0.62
EV to EBIT
6.67
EV to EBITDA
6.67
EV to Capital Employed
0.49
EV to Sales
2.16
PEG Ratio
NA
Dividend Yield
2099.72%
ROCE (Latest)
7.30%
ROE (Latest)
-5.80%
Technicals key factors
Indicator
Weekly
Monthly
MACD
Mildly Bullish
Bearish
RSI
No Signal
Bullish
Bollinger Bands
Bullish
Mildly Bearish
Moving Averages
Mildly Bearish (Daily)
KST
Mildly Bullish
Bearish
Dow Theory
Mildly Bearish
Mildly Bullish
OBV
Mildly Bullish
Mildly Bullish
stock-summary Technical Indicator Scale: Bearish, Mildly Bearish, Sideways, Mildly Bullish, Bullish  Turned 
stock-summaryShareholding
Shareholding Snapshot : Mar 2025stock-summary
Shareholding Compare (%holding) stock-summary
Majority shareholders

Foreign Institutions

Domestic Funds

Held in 4 Schemes (1.87%)

Foreign Institutions

Held by 14 Foreign Institutions (2.92%)

Strategic Entities with highest holding

Highest Public shareholder

stock-summaryFinancial
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    "link": "quarterly",
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    "header": "Quarterly Results Snapshot (Consolidated) - Jun'25 - QoQ",
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        "prefix": "Consolidated Net Profit ",
        "suffix": "QoQ Growth in quarter ended Jun 2025 is -4,400.00% vs 96.00% in Mar 2025",
        "dir": -1
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        "Mar'25",
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          "val1": "-0.30",
          "val2": "4.20",
          "chgp": "-107.14%",
          "chgp_class": "negative"
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        {
          "field": "Interest",
          "val1": "4.20",
          "val2": "4.30",
          "chgp": "-2.33%",
          "chgp_class": "positive"
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          "field": "Exceptional Items",
          "val1": "0.00",
          "val2": "0.00",
          "chgp": "",
          "chgp_class": "neutral"
        },
        {
          "field": "Consolidate Net Profit",
          "val1": "-4.50",
          "val2": "-0.10",
          "chgp": "-4,400.00%",
          "chgp_class": "negative"
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        {
          "field": "Operating Profit Margin (Excl OI)",
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          "val2": "353.00%",
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        "prefix": "Consolidated Net Profit ",
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        "Dec'24",
        "Dec'23",
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          "field": "Operating Profit Margin (Excl OI)",
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Quarterly Results Snapshot (Consolidated) - Jun'25 - QoQstock-summary
Jun'25
Mar'25
Change(%)
Net Sales
-3.20
11.90
-126.89%
Operating Profit (PBDIT) excl Other Income
-0.30
4.20
-107.14%
Interest
4.20
4.30
-2.33%
Exceptional Items
0.00
0.00
Consolidate Net Profit
-4.50
-0.10
-4,400.00%
Operating Profit Margin (Excl OI)
0.00%
353.00%
-35.30%
USD in Million.
Direction Arrows
Net Sales

QoQ Growth in quarter ended Jun 2025 is -126.89% vs 230.56% in Mar 2025

Direction Arrows
Consolidated Net Profit

QoQ Growth in quarter ended Jun 2025 is -4,400.00% vs 96.00% in Mar 2025

Annual Results Snapshot (Consolidated) - Dec'24stock-summary
Dec'24
Dec'23
Change(%)
Net Sales
31.20
49.60
-37.10%
Operating Profit (PBDIT) excl Other Income
15.50
36.70
-57.77%
Interest
20.80
25.30
-17.79%
Exceptional Items
-0.70
0.00
Consolidate Net Profit
-5.90
11.40
-151.75%
Operating Profit Margin (Excl OI)
496.10%
739.60%
-24.35%
USD in Million.
Direction Arrows
Net Sales

YoY Growth in year ended Dec 2024 is -37.10% vs 31.91% in Dec 2023

Direction Arrows
Consolidated Net Profit

YoY Growth in year ended Dec 2024 is -151.75% vs 154.29% in Dec 2023

stock-summaryCompany CV
About Portman Ridge Finance Corp. stock-summary
stock-summary
Portman Ridge Finance Corp.
Capital Markets
Portman Ridge Finance Corporation is a closed-end, externally managed, non-diversified management investment company. The Company invests in middle market businesses that operate across a wide range of industries. It employs fundamental credit analysis, targeting investments in businesses with relatively low levels of cyclicality and operating risk. The Company’s middle market investment business originates, structures, finances and manages a portfolio of term loans, mezzanine investments and selected equity securities in the middle market companies. The Company’s investment activities are managed by its investment adviser, Sierra Crest Investment Management LLC.
Company Coordinates stock-summary
Company Details
650 MADISON AVNUE, 23RD FLOOR , NEW YORK NY : 10022
Registrar Details