
Investment fund Oxford Lane Capital's OXLC.O shares slide 13.6% to $12.32
OXLC declares distributions of $0.20 per share for months April, May and June 2026, vs. distributions of $0.40 per share for months January, February and March 2026
Net asset value (NAV) per share slides to $15.51 as of December 31, compared with $19.19 as on September 30
Analysts expect defaults to rise and NAV per share to decline across business development companies as Q4 results start dropping in
Two brokerages rate stock "buy"; median PT is $19 - data compiled by LSEG
OXLC slumped 42.3% in 2025