Oxford Square Capital Corp. 7.75% Notes Due 2030 are unsecured debt securities issued by Oxford Square Capital Corp., a business development company focused on providing capital to established businesses and investing in syndicated bank loans as well as debt and equity tranches of collateralized loan obligations. These notes have a fixed annual interest rate of 7.75%, paid quarterly, and mature on July 31, 2030. Investors receive regular interest payments beginning October 31, 2025. The notes may be redeemed at the issuer’s discretion on or after July 31, 2027. The proceeds raised from this $65 million offering are primarily allocated toward repaying existing indebtedness, financing new investment opportunities in line with the company’s investment strategy, and general corporate purposes. In the broader financial market, such notes offer fixed-income investors access to the yields and risk profiles associated with middle-market credit exposures managed by a specialized investment firm, thus diversifying sources of capital for the issuer while catering to income-seeking investors looking for regular cash flows and defined maturities.
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