Oxford Lane Capital (OXLC) Q4 2025 earnings summary
Event summary combining transcript, slides, and related documents.
Q4 2025 earnings summary
6 Jan, 2026Executive summary
Net asset value per share declined to $4.32 as of March 31, 2025, from $4.82 in the previous quarter, reflecting unrealized depreciation in the portfolio.
Net investment income was $75.4 million ($0.18 per share), and core net investment income was $95.8 million ($0.23 per share), both down sequentially.
Total investment income for the quarter was $121.2 million, up $6.7 million from the prior quarter.
Net decrease in net assets from operations was $120.8 million ($0.28 per share), including net realized losses of $8.5 million and net unrealized depreciation of $187.7 million.
Distributions paid per share remained steady at $0.27 for the quarter.
Financial highlights
Net unrealized depreciation on investments totaled $187.7 million; net realized losses were $8.5 million.
$639.1 million in newly issued/acquired CLO equity investments had not yet made initial distributions.
Weighted average yield of CLO debt investments at cost was 15.9%, down from 16.6% last quarter.
Weighted average effective yield of CLO equity investments at cost was 15.9%, down from 16.1%.
Weighted average cash distribution yield of CLO equity investments was 20.5%, down from 23.9%.
Outlook and guidance
No specific quantitative guidance provided for future quarters due to market volatility and uncertainties.
Management cautions that NAV per share for the next quarter may differ materially from estimates.
Strategy remains opportunistic and unconstrained across U.S. CLO equity, debt, and warehouses.
Focus on lengthening the reinvestment period to mitigate risk and enhance long-term returns.
Latest events from Oxford Lane Capital
- Core net investment income reached $107.2M, NAV per share rose, and $242M was raised.OXLC
Q1 20252 Feb 2026 - NAV and income fell, distributions cut to $0.20, portfolio 99% CLO equity.OXLC
Q3 20262 Feb 2026 - NAV per share fell to $4.76 as CLO investment yields and cash distributions declined.OXLC
Q2 202517 Jan 2026 - NAV per share reached $4.82 as investment income and portfolio value increased.OXLC
Q3 20259 Jan 2026 - NAV per share fell to $4.12 as core net investment income and portfolio value increased.OXLC
Q1 20266 Jan 2026 - NAV fell to $19.19, but strong CLO yields and investment income supported results.OXLC
Q2 20266 Jan 2026 - Director elections, board governance, and audit oversight are central to the 2024 proxy agenda.OXLC
Proxy Filing1 Dec 2025 - Shareholders will vote on two director elections at the October 2024 annual meeting.OXLC
Proxy Filing1 Dec 2025 - Director elections, reverse stock split, and strong governance highlighted for 2025.OXLC
Proxy Filing1 Dec 2025