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Date | Price Target | Rating | Analyst |
---|---|---|---|
5/21/2025 | $5.75 | Neutral → Sell | Compass Point |
11/27/2024 | Buy → Neutral | Ladenburg Thalmann | |
9/9/2024 | $6.00 | Sell → Neutral | Compass Point |
7/15/2024 | $6.50 | Neutral → Sell | Compass Point |
5/10/2024 | Outperform → Mkt Perform | Raymond James | |
8/15/2023 | $6.75 | Buy → Neutral | Compass Point |
2/9/2023 | $7.00 → $5.50 | Outperform → Mkt Perform | Keefe Bruyette |
2/11/2022 | $8.00 → $9.00 | Outperform | Raymond James |
Compass Point downgraded PennantPark Investment from Neutral to Sell and set a new price target of $5.75
Ladenburg Thalmann downgraded PennantPark Investment from Buy to Neutral
Compass Point upgraded PennantPark Investment from Sell to Neutral and set a new price target of $6.00
4 - PENNANTPARK INVESTMENT CORP (0001383414) (Issuer)
4 - PENNANTPARK INVESTMENT CORP (0001383414) (Issuer)
4 - PENNANTPARK INVESTMENT CORP (0001383414) (Issuer)
MIAMI, June 03, 2025 (GLOBE NEWSWIRE) -- PennantPark Investment Corporation (the "Company") (NYSE:PNNT) declares its monthly distribution for June 2025 of $0.08 per share, payable on July 1, 2025 to stockholders of record as of June 16, 2025. The distribution is expected to be paid from taxable net investment income. The final specific tax characteristics of the distribution will be reported to stockholders on Form 1099 after the end of the calendar year and in the Company's periodic report filed with the Securities and Exchange Commission. ABOUT PENNANTPARK INVESTMENT CORPORATION PennantPark Investment Corporation is a business development company which primarily invests in U.S. middle-
MIAMI, May 12, 2025 (GLOBE NEWSWIRE) -- PennantPark Investment Corporation (NYSE:PNNT) announced today its financial results for the second quarter ended March 31, 2025. HIGHLIGHTS Quarter ended March 31, 2025 (unaudited)($ in millions, except per share amounts) Assets and Liabilities: Investment portfolio (1)$1,213.6 Net assets$488.1 GAAP net asset value per share$7.48 Quarterly change in GAAP net asset value per share (1.2)%Adjusted net asset value per share (2)$7.48 Quarterly change in adjusted net asset value per share (2) (1.2)% Credit Facility$311.4 2026 Notes$149.0 2026-2 Notes$163.5 Regulatory debt to equity1.29x Weighted average yield on
MIAMI, May 02, 2025 (GLOBE NEWSWIRE) -- PennantPark Investment Corporation (the "Company") (NYSE:PNNT) declares its monthly distribution for May 2025 of $0.08 per share, payable on June 2, 2025 to stockholders of record as of May 15, 2025. The distribution is expected to be paid from taxable net investment income. The final specific tax characteristics of the distribution will be reported to stockholders on Form 1099 after the end of the calendar year and in the Company's periodic report filed with the Securities and Exchange Commission. ABOUT PENNANTPARK INVESTMENT CORPORATIONPennantPark Investment Corporation is a business development company which primarily invests in U.S. middle-mar
8-K - PENNANTPARK INVESTMENT CORP (0001383414) (Filer)
8-K - PENNANTPARK INVESTMENT CORP (0001383414) (Filer)
10-Q - PENNANTPARK INVESTMENT CORP (0001383414) (Filer)