SLR Investment Corp. Share Price & Technical Analysis
SLRC · $12.97 (-1.14%)
Financial Services / Asset Management
$12.97
-1.14%
SLR Investment Corp. is a business development company specializing in secured debt (first lien unitranche and second lien), subordinated (unsecured) debt, minority equity, leveraged buyouts, acquisitions, recapitalizations, general refinancing, growth capital and strategic income-oriented control equity investments in leveraged middle market companies. The fund invests in aerospace and defense; a…
Price chart
Seasonality
May has 2 positive and 3 negative years (last 5 years shown)
-18% return in May, 3% avg return in past 3 year May month.
-15% return in 2026, 4% avg return in past 3 years.
Swipe sideways to see all months →
| Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | Yr | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 26 | -3% | -4% | -1% | 10% | -18% | – | – | – | – | – | – | – | -15% |
| 25 | 4% | 5% | -4% | -8% | 8% | -4% | -1% | 4% | -8% | 1% | 4% | -3% | -1% |
| 24 | 2% | -2% | 3% | 0% | 6% | -2% | -2% | 1% | -5% | 2% | 9% | -4% | 8% |
| 23 | 11% | -5% | -1% | -3% | -4% | 2% | 6% | 0% | 1% | -8% | 6% | -1% | 5% |
| 22 | 0% | -3% | -1% | -10% | -3% | -8% | -2% | 6% | -19% | 9% | 9% | -7% | -29% |
Monthly return % by calendar month · historical pattern, not a forecast
Bearish · Downtrend · Weak
SLR Investment Corp. is a business development company specializing in secured debt (first lien unitranche and second lien), subordinated (unsecured) debt, minority equity, leveraged buyouts, acquisitions, recapitalizations, general refinancing, growth capital and strategic income-oriented control equity investments in leveraged middle market companies. The fund invests in aerospace and defense; air freight & logistics; asset management; automotive; banking; beverage, food and tobacco; building products; buildings and real estate; broadcasting and entertainment; cargo transport; commercial services and supplies; communications equipment; chemicals, plastics and rubber; containers, packaging and glass; construction & engineering; diversified/conglomerate manufacturing; consumer Finance; distributors; diversified/conglomerate services; diversified financial services; diversified real estate activities; food products; Footwear; Education Services; diversified telecommunications services; electronics; farming and agriculture; finance; grocery; health care equipment and supplies; health care facilities; education and childcare; home and office furnishing, durable consumer products; hotels, motels, inns and gaming; insurance; restaurants, leisure, amusement, and entertainment; leisure equipment tolls and services, media, multiline retail, multi sector holdings; paper and forest products; personal products; professional services, research and consulting services, software; specialty retail; textiles apparel and luxury goods, thrifts and mortgage finance, trading companies and distributors, utilities, and wireless telecommunication services; industrial conglomerates; internet software and services, IT services, machinery; mining, steel, iron, and non-precious metals; oil and gas; personal, food and miscellaneous services; printing and publishing; retail stores; telecommunications; textiles and leather; and utilities. It also invests in life sciences with focus on specialty pharmaceuticals, medical devices, biotech, health Care Providers and services; health Care technology, enabling technologies and tools. The fund primarily invests in United States. The fund's investments generally range between $5 million and $25million. The fund invests in companies with debt investments between $10 million and $50 million with revenues between $50 million and $1000 million and EBITDA between $15 million and $100 million. It invests in the form of senior secured loans, mezzanine loans, and equity securities. It may also seek investments in thinly traded public companies and also make secondary investments. The fund makes non-control equity investments. It primarily exits within three years of the initial capital commitment.
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Key metrics
Market cap
$712.21M
P/E ratio
7.96
52W high
$17.20
52W low
$12.83
Volume
3,02,160
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Frequently asked questions
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