BCIC
NASDAQ Financial ServicesBCP Investment Corporation - Closed End Fund
Asset Management
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.
๐ Market Data
| Price | $7.95 |
|---|---|
| Volume | 115,395 |
| Market Cap | 98.39M |
| Dividend Yield % | 19.60% |
| Beta | 0.470 |
| RSI (14-Day) | 56.8 |
| 200-Day MA | $10.57 |
| 50-Day MA | $8.43 |
| 52-Week High | $13.50 |
| 52-Week Low | $7.11 |
| P/E Ratio | 7.64 |
| Forward P/E | 5.23 |
| Price / Book | 0.48 |
๐ฏ Investment Strategy Scores
BCIC scores across each investment strategy. Higher is better for that strategy's goals.
๐ Strategy Interpretation
Best fit: ๐ฐ Dividend Daddy (99/100) โ this strategy High dividend yield + low volatility.
Lowest fit among scored strategies: ๐ Institutional Whale (1/100). No single score is a buy or sell signal โ use multiple lenses together. Learn how to read these scores โ
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Data last updated: 2026-05-01.