KJ7A Stock Chart & Stats
€6.00
€0.00(0.00%)
At close: 4:00 PM EDT
€6.00
€0.00(0.00%)
Day’s Range― - ―
52-Week Range€5.95 - €11.60
Previous CloseN/A
Volume0.00
Average Volume (3M)26.00
Market Cap
€81.90M
Enterprise Value€363.18
Total Cash (Recent Filing)€2.53M
Total Debt (Recent Filing)€280.80M
Price to Earnings (P/E)―
Beta0.47
Next Earnings
Nov 05, 2026EPS Estimate
0.31Next Dividend Ex-DateN/A
Dividend YieldN/A
Share Statistics
EPS (TTM)-0.34
Shares Outstanding12,383,652
10 Day Avg. Volume0
30 Day Avg. Volume26
Financial Highlights & Ratios
PEG Ratio-0.04
Price to Book (P/B)0.62
Price to Sales (P/S)3.28
P/FCF Ratio1.95
Enterprise Value/Market CapN/A
Enterprise Value/RevenueN/A
Enterprise Value/Gross ProfitN/A
Enterprise Value/EbitdaN/A
Forecast
1Y Price Target
€8.01Price Target Upside33.43% Upside
Rating ConsensusHold
Number of Analyst Covering2
EPS Forecast (FY)1.48
Revenue Forecast (FY)€53.36M
Bulls Say, Bears Say
Bulls Say
Strong Cash GenerationRobust trailing‑12M operating and free cash flow (~$84.9M, +46%) indicates strong cash conversion and internal funding capacity. Durable cash generation supports distributions, deleveraging and selective deployment without relying solely on external financing over the next 2–6 months.
Improved Capital Structure & LiquidityMaterial reduction in par borrowings, larger committed facility and lower spreads materially reduce refinancing risk and increase available liquidity. This improved liability profile gives durable balance sheet flexibility to manage maturities and support originations or buybacks in coming quarters.
Distribution Coverage By Core NIICore net investment income covered the base monthly distribution, demonstrating cash income sufficiency to support the regular payout. Sustained NII coverage reduces immediate distribution cut risk and aligns management incentives with steady shareholder returns over the medium term.
Bears Say
NAV Decline & Software ConcentrationA meaningful QoQ NAV contraction driven by concentrated unrealized markdowns in software creates persistent valuation sensitivity. Sector concentration amplifies mark‑to‑market swings and can erode the capital base or constrain distributions if markdowns persist or deepen over several quarters.
Earnings Volatility & Margin CompressionSharp step‑down in net margin versus prior year and historical intermittent losses highlight earnings inconsistency. Such volatility limits predictability of distributable earnings and makes long‑term planning, dividend sustainability and capital allocation decisions more uncertain.
Realized Losses & Limited DeploymentLarge realized losses and declining investment income reduce retained capital and current income, while net repayments exceed originations. Limited new deployment capacity constrains revenue growth and the ability to redeploy at attractive yields, pressuring medium‑term earnings recovery.
BCP Investment Corporation News
KJ7A FAQ
What was BCP Investment Corporation’s price range in the past 12 months?
BCP Investment Corporation lowest stock price was €5.95 and its highest was €11.60 in the past 12 months.
What is BCP Investment Corporation’s market cap?
BCP Investment Corporation’s market cap is €81.90M.
When is BCP Investment Corporation’s upcoming earnings report date?
BCP Investment Corporation’s upcoming earnings report date is Nov 05, 2026 which is in 81 days.
How were BCP Investment Corporation’s earnings last quarter?
BCP Investment Corporation released its earnings results on Aug 06, 2026. The company reported €0.39 earnings per share for the quarter, beating the consensus estimate of €0.355 by €0.035.
Is BCP Investment Corporation overvalued?
According to Wall Street analysts BCP Investment Corporation’s price is currently Undervalued.
Does BCP Investment Corporation pay dividends?
BCP Investment Corporation does not currently pay dividends.
What is BCP Investment Corporation’s EPS estimate?
BCP Investment Corporation’s EPS estimate is 0.31.
How many shares outstanding does BCP Investment Corporation have?
BCP Investment Corporation has 12,383,652 shares outstanding.
What happened to BCP Investment Corporation’s price movement after its last earnings report?
BCP Investment Corporation reported an EPS of €0.39 in its last earnings report, beating expectations of €0.355. Following the earnings report the stock price went up 2.456%.
Which hedge fund is a major shareholder of BCP Investment Corporation?
Currently, no hedge funds are holding shares in DE:KJ7A
What is the TipRanks Smart Score and how is it calculated?
Smart Score combines eight research factors - such as analyst recommendations, hedge fund trends, and technical indicators - to measure a stock’s outlook. These signals are unified into a single score that reflects bullish or bearish momentum. See detailed methodology
BCP Investment Corporation Stock Smart Score
Underperform
1
2
3
4
5
6
7
8
9
10
Analyst Consensus
Hold
Average Price Target:
€8.01 (33.43% Upside)
€8.01 (33.43% Upside)
Blogger Sentiment
Bullish
DE:KJ7A Sentiment 100%
Sector Average 54%
Sector Average 54%
Insider Transactions
Sold Shares
Worth €14.1K over
the Last 3 Months
the Last 3 Months
News Sentiment
Neutral
Bullish news 50%
Bearish news 50%
Bearish news 50%
Technicals
SMA
Negative
20 days / 200 days
Momentum
-33.51%
12-Months-Change
Fundamentals
Return on Equity
16.60%
Trailing 12-Months
Asset Growth
9.68%
Trailing 12-Months
Company Description
BCP Investment Corporation
BCP Investment Corporation (BCIC) operates as a business development company, primarily focused on providing capital solutions to middle-market businesses. The firm engages in a diverse array of financing strategies, including various forms of debt such as unitranche loans (even those designated "last out"), first and second lien debt, and subordinated or mezzanine financing. Additionally, BCIC undertakes equity co-investments and direct buyouts. Beyond its core investment activities, the company strategically acquires complementary businesses to enhance its operations. BCIC's investment focus spans a broad spectrum of industries. Key sectors include healthcare, logistics and distribution, manufacturing, industrial and environmental services, media and telecommunications, real estate, education, automotive, agriculture, aerospace and defense, packaging, electronics, financial services, consumer goods (both durable and non-durable), business services, utilities, insurance, and the food and beverage industry. Typically, the firm commits between $1 million and $20 million to its portfolio companies. Specific investment ranges and maturities are as follows: Senior Secured Term Loans: $2 million to $20 million, with maturities of five to seven years. Second Lien Term Loans: $5 million to $15 million, maturing in six to eight years. Senior Unsecured Loans: $5 million to $23 million, with terms of six to eight years. Mezzanine Loans: $5 million to $15 million, maturing in seven to ten years. Equity Investments: $1 million to $5 million. The firm generally seeks companies generating EBITDA between $5 million and $25 million. However, for its debt investments, BCIC broadens its scope to include middle-market firms with EBITDA ranging from $10 million to $50 million, or those carrying total debt between $25 million and $150 million (or both criteria). BCIC is flexible in its equity participation, taking minority, majority, or even controlling stakes, frequently partnering alongside private equity sponsors.
KJ7A Company Deck
KJ7A Earnings Call
Q2 2026
0:00 / 0:00
Earnings Call Sentiment|Neutral
The company made clear progress on balance sheet strengthening and liability management — reducing leverage, improving asset coverage, increasing committed borrowing capacity, and maintaining distribution coverage — while preserving a disciplined, selective deployment approach with attractive yields. Offsetting these positives were a meaningful NAV contraction driven by unrealized mark-to-market markdowns (notably concentrated in software), a substantial $10.5 million realized loss from legacy positions, and quarter-over-quarter declines in investment income and NII. Market dislocation (especially in software) and lower transaction volumes limited deployment and pressured valuation. Overall, the call presents a balanced picture of operational and capital-strength improvements tempered by valuation-driven NAV declines and realized losses.View all DE:KJ7A earnings summariesKJ7A Stock 12 Month Forecast
All Analysts
Top Analysts
Average Price Target
€8.01
▲(33.43% Upside)
Technical Analysis
1 Day
3 Days
1 Week
1 Month
Oxford Square Capital
―
WhiteHorse
―
OFS Capital
―
―
NexPoint Diversified Real Estate Trust
―












