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Research & education only — not financial advice. EDGAR is not a registered investment adviser; calls are impersonal, generated from SEC filings and a delayed/third-party price feed, and may be wrong or out of date. The operator and an affiliated trading operation may hold or trade the securities EDGAR rates — see Disclosures. Do your own research.

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Home›Stocks›BCIC

BCIC

BCP Investment Corp

Next earnings Aug 5, 2026 · consensus $0.46 EPS, $15.7M rev

Last earnings +6.2% on 2026-05-08

Hold
$7.08▼ -34.56%
over 1Y
L $6.94EODHDH $12.30
Earnings Dividend Split Congress buy Congress sellGrouped by date · hover a pin to expand
Today—
1W+0.4%
1M-6.9%
3M-0.9%
YTD-35.8%
1Y-34.6%
OverviewFinancialsValuationQualityTimelineFilings
Rating
Hold
Quality
B+
Valuation
Undervalued
Filings
Clean
Hold
Conviction
Horizon
Medium (3–12mo)
12-mo target
$•••
Street · 10 analysts
Buy

BDC trading at ~half NAV with a fat yield, but maxed leverage, an uncovered payout and a non-NAV merger overhang cap the appeal.

Price / NAV (equity $174M ÷ 12.4M shares ≈ $14.0) ~0.50x ($7.08 vs ~$14.0) · FY2025 / current

The read

Middling fundamentals offset by an attractive price (~449% below fair value) — worth a look on the value angle.

BCIC (the former Portman Ridge, renamed to BCP Investment Corp in August 2025) is an externally managed BDC run by Sierra Crest, a BC Partners affiliate, that lends to below-investment-grade, privately held middle-market companies — much of it first/second-lien but explicitly including covenant-lite loans where, in the filing's own words, the company 'may have fewer rights against a borrower and may have a greater risk of loss.' The dominant fact here is the discount: FY2025 stockholders' equity (NAV) of $174M over ~12.4M shares is roughly $14/share, so at $7.08 the stock trades near 0.5x book. That is a wide margin of safety on paper, and management is leaning into it with $9.26M of buybacks (+141.5% YoY) repurchased below NAV, which is accretive. The 6.8x P/E and 6.6% ROE are secondary for a BDC, where reported net income (a noisy +$26M, -$21M, +$11.4M, -$5.93M, +$11.5M over five years) swings with portfolio marks rather than reflecting durable earnings.

The reasons for that half-of-book discount are real, not a free lunch. Leverage is near the regulatory ceiling: liabilities/equity of 1.81x (long-term debt of $307M against $174M equity ≈ 1.8x debt/equity, close to the BDC 2:1 cap), leaving little cushion if credit marks deteriorate the way they did in 2022 and 2024. Cash fell 78.8% to just $3.72M, equity itself dropped 17.6%, and the share count ballooned 34.7% — so NAV per share has been pressured by both dilution and distributions. Most tellingly, the company paid $21.6M of dividends against only $11.5M of net income, a payout well above 100% that is eroding NAV and points to a likely distribution cut or return-of-capital characterization rather than a safely covered yield.

Financials · annual, by fiscal year

Line itemFY21FY22FY23FY24FY25
Revenue—————
Gross profit—————
Operating income—————
Net income$26.0M-$21.0M$11.4M-$5.93M$11.5M
Diluted EPS$3.05-$2.18$1.20-$0.64$1.04
Net margin—————

Annual figures from SEC 10-K XBRL filings. Open the filing links below for full statement detail.

Key statistics

Valuation

Enterprise value—
EV / EBITDA—
EV / Sales—
EV / FCF—
P / FCF—
PEG (trailing)—
Earnings yield—
FCF yield—

Quality & risk

ROIC (est.)—
Free cash flow—
Total debt$307M
Net cash-$303M
Piotroski F-Score4/6

Capital returns

Buyback yield—
Dividend yield (est.)—
Shareholder yield—
Shares Δ YoY+34.7%

Computed from SEC XBRL annual figures + the current quote. EV and ROIC use long-term + current debt where filed; estimates, not investment advice.

Disclosure timeline

SEC · 8-Ks + reports
Recent disclosure tone has been improving.
  1. 8-K Shareholder vote2026-06-26

    Annual meeting vote results: directors elected, routine proposals approved

  2. 8-K Earnings results2026-05-08

    Released Q1 FY2026 results (quarter ended Mar 31, 2026)

  3. 10-Q Quarterly report2026-05-07

    Q1 FY2026 10-Q; continued BDC middle-market debt lending operations

  4. DEF 14A Proxy statement2026-04-29
  5. 8-K Material agreement2026-03-24

    Entered new financing agreement, creating additional direct debt obligation

  6. 8-K Material agreement2026-03-12

    Entered material credit agreement adding new leverage/debt obligation

  7. 8-K Earnings results2026-03-09

    Announced FY2025 results: net income $11.5M, diluted EPS $1.04 (+263% YoY)

  8. 10-K Annual report2026-03-05

    FY2025 net income rebounded to $11.5M; renamed to BCIC, now trades NASDAQ:BCIC

  9. 8-K Earnings results2025-11-07

    Released Q3 2025 results

Recent filings

all on EDGAR ↗
8-KPeriod ending 2026-06-252026-06-26open ↗4Period ending 2026-06-222026-06-24open ↗40-APP/AFiling2026-06-18open ↗4Period ending 2026-05-182026-05-19open ↗144Filing2026-05-18open ↗8-KPeriod ending 2026-05-072026-05-08open ↗10-QPeriod ending 2026-03-312026-05-07open ↗DEF 14APeriod ending 2026-06-252026-04-29open ↗40-17GFiling2026-04-09open ↗N-23C-2Period ending 2026-03-272026-03-27open ↗8-KPeriod ending 2026-03-202026-03-24open ↗4Period ending 2026-03-242026-03-24open ↗

Quality score

B+
ValueGrowthProfitHealthMom.
Value—
GrowthA+
ProfitabilityC
Financial healthA-
Momentum—
  • ✓Profitable (positive net income)
  • ✗Return on equity above 15%

Fair value est.

$38.84

Undervalued +449% vs last close

cheapfair valueexpensive

Modified Graham: EPS $1.04 × (8.5 + 1.5 × 22.0% growth) × 0.90 quality = 37.4× multiple. An estimate, not a price target.

Revenue
—
Net margin
—
ROE
6.6%
P/E
—

SEC fundamentals · FY 2025

'21'22'23'24'25

■ revenue · ■ net income, by fiscal year

Net income$11.5M+293.6%
Diluted EPS$1.04+262.5%
Cash & equivalents$3.72M-78.8%
Total assets$524M+15.4%
Total liabilities$314M+14.3%
Stockholders' equity$174M-17.6%
L/E: 1.81x

Frequently asked

Is BCP Investment Corp (BCIC) a buy?
BCIC currently carries a Hold rating with 3/5 conviction, derived from its latest SEC filings. BDC trading at ~half NAV with a fat yield, but maxed leverage, an uncovered payout and a non-NAV merger overhang cap the appeal.
What is BCIC's fair value?
A Modified-Graham model based on BCIC's SEC fundamentals estimates a fair value of about $38.84. It is an estimate from reported earnings, not a price target.
Is BCIC overvalued or undervalued?
Against a Modified-Graham fair-value estimate, BCIC currently appears undervalued relative to its SEC-grounded earnings power.
What is BCP Investment Corp's quality score?
BCIC scores 75/100 (grade B+) on a SEC-grounded quality model spanning value, growth, profitability, financial health and momentum.

Sources: SEC EDGAR (CIK 0001372807, latest 10-Q filed 2026-05-07) · analysis by claude-code · as of 6/30/2026, 12:22:46 PM.

Research and education only — not financial advice. EDGAR is not a registered investment adviser or broker-dealer and gives no personalized advice. Every call is impersonal — identical for all users, generated on a schedule from SEC filings plus a delayed/third-party price feed — may be wrong or out of date, and is not a recommendation to buy or sell any security. The operator and an affiliated trading operation may hold or trade the securities EDGAR rates; see Disclosures. Past performance does not guarantee future results. Do your own research.

Insider activity

Form 4 · SEC

Last 90 days: 1 open-market buy · 1 sale

2026-06-22
Goldthorpe Edward J.
President, CEO
Buy13.7K @ $7.16$98.4K
2026-05-18
Kehler Dean C
Director
Sell15.0K @ $7.64$115K
2026-03-23
Held David
Chief Compliance Officer
Buy938.00 @ $7.35$6.89K
2026-03-23
Grunebaum George
Director
Buy6.80K @ $7.54$51.3K
2026-03-23
Kehler Dean C
Director
Sell37.1K @ $7.38$274K
2026-03-23
Satoren Brandon
CFO, Treasurer and Secretary
Buy325.00 @ $7.47$2.43K
2026-03-20
Schafer Patrick
Chief Investment Officer
Buy2.65K @ $7.48$19.9K
2026-03-20
Duka Alexander
Director
Buy2.00K @ $7.34$14.7K

Earnings history

beat/miss · move
2026-05-08Beat +24.7% est▲ +0.13%8-K ↗
2026-03-09Beat +2.9% est▼ -21.88%8-K ↗
2025-11-07Beat +35.4% est▲ +8.86%8-K ↗
2025-08-11Miss -8.0% est▲ +2.55%8-K ↗
2025-05-09—▲ +2.03%8-K ↗
2025-03-18—▼ -8.01%8-K ↗

Dates from 8-K (Item 2.02); beat/miss = reported EPS vs consensus (Finnhub, recent quarters); move = prior close → close on/after.

Vs tracked universe

compare →

1192 tracked peers · median

EDGAR Score75 vs 67
Revenue growth— vs 7.5%
Net margin— vs 10.0%
Return on equity6.6% vs 12.0%
P/E— vs 25.7