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BCP Investment Corp. (BCIC) Stock Price
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BCIC Stock Price & Analysis — BCP Investment Corp. (Financial Services >> Asset Management)

BCIC FAQ

What is BCIC's P/E ratio?

BCP Investment Corp. (BCIC) currently trades at a P/E ratio of 3.87.

What is BCIC's ROE?

BCP Investment Corp. reports a Return on Equity (ROE) of 0.73%.

What is BCIC's dividend yield?

BCP Investment Corp. offers a dividend yield of 21.25%.

What is BCIC's Quality Score?

Our AI rates BCIC's overall financial quality at 0 out of 100, based on profitability, growth, debt and earnings stability.

Is now a good time to buy BCIC?

Our AI Timing Score for BCIC is 50 out of 100, indicating the relative attractiveness of buying at the current price using technical and momentum signals.

Which sector does BCIC belong to?

BCP Investment Corp. is classified under the Financial Services >> Asset Management sector on the NASDAQ exchange

Stock Check   *Daily update data at 8:30 AM*
(Price: 2026-08-04 | FS: 2026-03-31)

BCIC AI Analysis Summary

Our AI summary for BCIC: BCP Investment Corp. (NASDAQ), Financial Services >> Asset Management sector. The stock currently trades at a P/E of 3.87, ROE of 0.73%, a dividend yield of 21.25%. Its financial Quality Score stands at 0/100 — fundamentals below the market average. The AI Timing Score is 50/100 — technical signals are mixed; watch for a clearer trend. All scores are recomputed automatically after each market close from official exchange data. This is systematically generated analysis, not personalized investment advice.

BCIC

BCP Investment Corp.
USD 7.32
-0.06 (-0.81%) Day Change
3.87
P/E
0.01
D/E
0.7%
ROE
0.3%
ROA
21.25%
Div Yield
-0.02
PEG
USD 7.32
Price
-0.06 (-0.81%)
Day Change
NEWS SCORE: 94

BCIC, the overall quality is not good ( Quality = 0) and the timing to buy is ...(Sign In to See)...

0

QUALITY

Signal
UNDERPERFORM
Signal Description
Company financial health is Not Good
Reason
ROE is relatively low.
ROA is relatively low.
Acceleration of ROE growth rate is below our criteria.
Historical ROE is relatively low
ROE is decreasing significantly
Historical ROA is relatively low.
Acceleration of ROA growth rate is below our criteria.
Historical ROA is relatively low.
Historical ROA is relatively low.
Current growth of ROA was below our criteria.
Current growth of ROA was below our criteria.
Net profit margin is relatively low.
Net profit margin is relatively low.
Acceleration of net profit margin growth rate is below our criteria
Historical net profit margin is relatively low.
Historical net profit margin is relatively low.

88 Sign in

TIMING

Signal
OUTPERFORM
Signal Descri...
Good
Reason
Momentum indicators aligned on the daily timeframe
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In details, quality factors are not quite good , financial health is not quite good , and ability to make profit is not good , ...

Quality Factors 50%
X
X
X
X
  In Recommendations? Not in any sections
  Select Rate 0.00 From 30 days period
  Watch Rate 0.00 From 30 days period
  News Score 94
  Magic Formula Rank by ROA
978
  Magic Formula Rank by ROE
978
  Magic Formula Rank by ROIC
1400
  Price 7.32
  PBV / Sector
0.47 / 1.86
GREAT
  Earning Per Share 0.11
  PE / Sector
3.87 / 13.56
GREAT
  PEG or PE/Growth / Sector
-0.02 / 0.05
  Average 1M Daily Value
0.30 M
GREAT
  Average 1W Daily Value
0.31 M
GREAT
Timing Factors 57%
  MACD
  MACD Signal
  MACD Divergence
  RSI
  Stochastic Oscillator K
  Stochastic Oscillator D
  ADX
  Avg 5 day Timing Score
Financial Health 52%
X
X
X
X
  DE / Sector
  DE Average / Sector
  DE Change Average (%) / Sector
  Current Ratio / Sector
  Current Ratio Average / Sector
  Current Ratio Change Average (%) / Sector
  Quick Ratio / Sector
  Quick Ratio Average / Sector
  Quick Ratio Change Average (%) / Sector
  FCF/Share / Sector
  FCF/Share Average / Sector
  FCF/Share Change Average (%) / Sector
Ability to Make Profit 47%
X
X
X
X
X
X
X
  GPM (%) / Sector
  GPM Average (%) / Sector
  GPM Change Average (%) / Sector
  OPM (%) / Sector
  OPM Average (%) / Sector
  OPM Change Average (%) / Sector
  NPM (%) / Sector
2.33 / 210.49
  NPM Average (%) / Sector
-63.77 / -433.47
  NPM Change Average (%) / Sector
-152.41 / 80.28
  Asset Turnover / Sector
  Asset Turnover Average / Sector
  Asset Turnover Change Average (%) / Sector
  ROA (%) / Sector
0.26 / 461.16
  ROA Average (%) / Sector
-0.03 / 89.42
  ROA Change Average (%) / Sector
-170.07 / 3,811.23
  ROE (%) / Sector
0.73 / 17.97
  ROE Average (%) / Sector
-0.16 / 17.73
  ROE Change Average (%) / Sector
-168.34 / 246.06
  ROIC (%) / Sector
  ROIC Average (%) / Sector
  ROIC Change Average (%) / Sector
Return to Investors 100%
X
  Dividend (%) / Sector
21.25 / 6.41
GREAT
  Dividend Average (%) / Sector
19.60 / 8.95
GREAT
  Dividend Change Average (%) / Sector
5.56 / 1.50
Registration Details
X
  Analyze Date 2026-08-05 07:59:52
  Symbol BCIC
  Name BCP INVESTMENT CORP.
  Sector Financial Services >> Asset Management
  Market NASDAQ
  Listed Shares 12.38 M
  Par Value N/A
  Calculated From Quarter
  Sign N/A
  Market Cap (M.USD) / Sector Average 91.35 / 7,364.64
News, Concensus, ...
  Estimation Consensus See at WSJ.com
  Full details See at WSJ.com
  Chart See in Chart feature
  News See at Yahoo Finance

Address: 650 Madison Avenue, New York, NY, United States, 10022

Phone: 212 891 2880

Website: https://www.portmanridge.com

Employees: -

Sector: Financial Services >> Asset Management

Description: BCP Investment Corp. is a business development company specializing in investments in unitranche loans (including last out), first lien loans, second lien loans, subordinated debt, equity co-investment, mezzanine, buyout in middle market companies. It also makes acquisitions in businesses complementary to the firm's business. The fund primarily invests in healthcare, cargo transport, manufacturing, industrial & environmental services, logistics & distribution, media & telecommunications, real estate, education, automotive, agriculture, aerospace/defense, packaging, electronics, finance, non-durable consumer, consumer products, business services, utilities, insurance, and food and beverage sectors. The fund typically invests $1 million to $20 million in its portfolio companies. The fund provides senior secured term loans from $2 million to $20 million maturing in five to seven years; second lien term loans from $5 million to $15 million maturing in six to eight years; senior unsecured loans $5 million to $23 million maturing in six to eight years; mezzanine loans from $5 million to $15 million maturing in seven to ten years; and equity investments from $1 to $5 million. The fund targets the companies with EBITDA between $5 million and $25 million. While investing in debt securities, it invests in those middle market firms with EBITDA between $10 million and $50 million and/or total debt between $25 million and $150 million. The fund invests in minority, and majority or control equity positions alongside its private equity sponsor partners.

Per-Share Earnings, Estimates vs Actuals

Actual
Analyst Range
Estimate

ME vs SECTOR Financial Services >> Asset Management

BCIC (ME)
Sector Peers
Bubble size = Market Cap

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Financial Services › Asset Management

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BCIC
BCIC
USD 7.32 (-0.81%)
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