PSEC

PSEC

USD

Prospect Capital Corporation Common Stock

$2.740+0.130 (4.981%)

Real-time Price

Financial services
Asset Management
United States

Price Chart

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Key Metrics

Market Metrics
Company Fundamentals
Trading Stats

Market Metrics

Open

$2.610

High

$2.740

Low

$2.580

Volume

4.83M

Company Fundamentals

Market Cap

1.3B

Industry

Asset Management

Country

United States

Trading Stats

Avg Volume

3.77M

Exchange

NMS

Currency

USD

52-Week Range

Low $2.52Current $2.740High $4.88

Related News

GlobeNewswire

National Property REIT Corp., a Prospect Capital Corporation Portfolio Company, Exits Crown Point Property with a 19.1% IRR and 2.6x Cash-on-Cash Multiple

NEW YORK, Oct. 29, 2025 (GLOBE NEWSWIRE) -- National Property REIT Corp. ("NPRC"), a wholly owned portfolio company of Prospect Capital Corporation (NASDAQ:PSEC), today announced the sale of Crown Point Apartments

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National Property REIT Corp., a Prospect Capital Corporation Portfolio Company, Exits Crown Point Property with a 19.1% IRR and 2.6x Cash-on-Cash Multiple
GlobeNewswire

Prospect Capital Corporation Announces Pricing of $167 Million 5.5% Oversubscribed Institutional Unsecured Notes Offering

NEW YORK, Oct. 28, 2025 (GLOBE NEWSWIRE) -- Prospect Capital Corporation (NASDAQ:PSEC) ("Prospect", "our", or "we") announced today that Prospect priced an institutional offering of approximately $167 million in

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Prospect Capital Corporation Announces Pricing of $167 Million 5.5% Oversubscribed Institutional Unsecured Notes Offering
GlobeNewswire

Prospect Enhanced Yield Fund, a Structured Credit Debt-Oriented Interval Fund, Announces 9.0% Annualized Total Cash Distribution Rate (on Increased Net Asset Value Since Inception) for October 2025 through December 2025

NEW YORK, Oct. 27, 2025 (GLOBE NEWSWIRE) -- The Board of Directors for Prospect Enhanced Yield Fund ("PENF" or the "Fund"), a structured credit debt-oriented interval fund, recently declared monthly cash shareholder

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Prospect Enhanced Yield Fund, a Structured Credit Debt-Oriented Interval Fund, Announces 9.0% Annualized Total Cash Distribution Rate (on Increased Net Asset Value Since Inception) for October 2025 through December 2025