CAPITAL SOUTHWEST CORP (CSWC)

Sentiment-Signal

27,7
Bearisch
Composite Score (0–100)
Insider (25%)
0
Keine Insider-Käufe
Institutionell (22,5%)
23.8
Keine neuen Positionen
Aktivist (12,5%)
0
Kein 13D/13G
Risikofreier Zins (T-Bills): 3,70% (Stand: 31.03.2026)

Score-Verlauf (90 Tage)

Kritische 8-K Meldungen

DatumMeldungSchwereFilingAuszug
18.02.2025Item 5.02 — Abgang SchlüsselpersonenHOCHSEChereto and is incorporated herein by reference. Item 5.02 Departure of Directors or Certain Officers; Election of Direct

Stammdaten

Capital Southwest Corporation is a business development company specializing in credit and private equity and venture capital investments in middle market companies, mezzanine, later stage, mature, late venture, emerging growth, buyouts, recapitalizations and growth capital investments. It does not invest in startups, publicly traded companies, real estate developments, project finance opportunities, oil and gas exploration businesses, troubled companies, turnarounds, and companies in which significant senior management is departing. In lower middle market, the firm typically invests in growth financing, bolt-on acquisitions, new platform acquisitions, refinancing, dividend recapitalizations, sponsor-led buyouts, and management buyouts situations. The investment structures are Unitranche debt, subordinated debt, senior debt, first and second lien debt, and preferred and common equity. The firm makes equity co-investments alongside debt investments, up to 20% of total check and only makes non-control investments. It prefers to invest in Industrial manufacturing and services, value-added distribution, healthcare products and services, business services, specialty chemicals, food and beverage, tech-enabled services and SaaS models. The firm seeks to invest in energy services and products, industrial technologies, and specialty chemicals and products. Within energy services and products, the firm seeks to invest in each segment of the industry, including upstream, midstream and downstream, excluding exploration and production with a focus on differentiated products and services, equipment and tool rental, consumable products, and drilling and completion chemicals. Within industrial technologies, it seeks to invest in automation and process controls, handling and packaging equipment, industrial filtration and fluid handling, measurement, monitoring and testing, professional tools, and sensors and instrumentation. Within and specialty chemicals and products, the firm seeks to invest in businesses that develop and manufacture highly differentiated chemicals and products including adhesives, coatings and sealants, catalysts and absorbents, cosmeceuticals, fine chemicals, flavors and fragrances, performance lubricants, polymers, plastics and composites, chemical dispensing and filtration equipment, professional and industrial trade consumables and tools, engineered solutions for HVAC, plumbing, and electrical installations, specified high performance materials for fire protection and oilfield applications. It may also invest in exceptional opportunities in building products. The firm seeks to invest in the United States. The firm seeks to make investments ranging from $5 to $25 million in securities. It seeks to make equity investments ranging from $5 million to $50 million and debt investments between $5 million and $20 million and co-invest in transaction size up to $40 million. It prefers to invest in companies with revenues approaching above $10 million, profitable operations, historical growth rate of at least 15 percent per year. Within the lower middle market, it seeks to invest in with less than $15 million in EBITDA and also opportunistically invests in the upper middle market, generally defined as companies with EBITDA in excess of $50 million. In addition to making direct investments, the firm allocates capital to syndicated first and second lien term loans in the upper middle market. Criteria for Upper Middle Market Syndicated 1st Lien is EBITDA Size more than $30 million, Closing Leverage greater than 4 times, investment hold size between $5 million and $7 million, investment yield greater than 6.5%. Criteria for Upper Middle Market Syndicated 2nd Lien is EBITDA Size more than $50 million, Closing Leverage greater than 6 times, investment hold size between $5 million and $7 million, investment yield greater than 9%. It prefers to take a majority and minority stake. The firm has the flexibility to hold investments for very long period in its portfolio companies. It may also invest through warrants. The firm prefers to take Board participation in its portfolio companies. Capital Southwest Corporation was founded on April 19, 1961 and is based in Dallas, Texas.

Unternehmen & Branche

NameCAPITAL SOUTHWEST CORP
TickerCSWC
CIK0000017313
BoerseUS
SektorFinancial Services
IndustrieAsset Management

Wertpapier & Kennzahlen

CUSIP140501107
ISINUS1405011073
TypCommon Stock
Marktkapitalisierung1,44 Mrd. USD
Beta0,77
Dividendenrendite1,35 %

Externe Quellen: SEC EDGAR » · FMP-Profil » · Yahoo Finance »

Finanzkennzahlen (SEC XBRL)

PeriodeFilingUmsatzNettoergebnisEPSAktivaEigenkapital
2025-12-3110-Q32,896,0000.542,115,921,000995,634,000
2025-09-3010-Q25,619,0000.442,021,324,000947,004,000
2025-06-3010-Q27,001,0000.481,882,412,000916,474,000
2025-03-3110-K17,561,0001,882,840,000883,633,000
2024-12-3110-Q16,268,0000.341,789,065,000830,442,000
2024-12-3110-K16,268,000
2024-09-3010-K22,684,000
2024-09-3010-Q22,684,0000.481,604,498,000791,258,000
2024-06-3010-Q14,035,0000.311,544,032,000777,331,000
2024-06-3010-K14,035,000
2024-03-3110-K13,469,0000.671,556,758,000755,676,000
2023-12-3110-Q23,484,0000.701,429,487,000720,965,000
2023-12-3110-K23,484,0000.70
2023-09-3010-K22,624,0000.69
2023-09-3010-Q22,624,0000.691,416,913,000657,774,000
2023-06-3010-Q23,812,0000.651,337,003,000636,201,000
2023-06-3010-K23,812,0000.65
2023-03-3110-K18,176,0000.641,257,684,000590,408,000
2022-12-3110-Q2,949,0000.621,202,157,000561,487,000
2022-12-3110-K2,949,0000.62

Fondsaktivität (Vorquartalsvergleich)

FondsAktuell (Stk)Vorquartal (Stk)Veränderung (Stk)Wert (USD)StatusΔTrend
TWO SIGMA INVESTMENTS, LP11,049,382011,049,38233,118,811Neu+100,0%
MILLENNIUM MANAGEMENT LLC22,039,168022,039,16826,101,641Neu+100,0%
Union Bancaire Privee, UBP SA7,26507,26524,800,861Neu+100,0%
UBS Group AG817,1480817,14818,099,828Neu+100,0%
Eagle Point Credit Management LLC14,980,000014,980,00014,867,650Neu+100,0%
WOLVERINE ASSET MANAGEMENT LLC14,834,000014,834,00014,758,056Neu+100,0%
SMH CAPITAL ADVISORS INC12,274,404012,274,40413,780,188Neu+100,0%
Context Capital Management, LLC13,534,000013,534,00013,432,495Neu+100,0%
VICTORY CAPITAL MANAGEMENT INC13,235,000013,235,00013,143,190Neu+100,0%
Saba Capital Management, L.P.10,000,000010,000,0009,954,500Neu+100,0%
Cetera Investment Advisers440,6310440,6319,421,371Neu+100,0%
Muzinich & Co., Inc.425,3220425,3229,420,882Neu+100,0%
BlackRock, Inc.422,2570422,2579,352,996Neu+100,0%
Legal & General Group Plc389,5800389,5808,638,936Neu+100,0%
Columbus Macro, LLC345,5200345,5207,653,274Neu+100,0%
ADVENT CAPITAL MANAGEMENT /DE/7,250,00007,250,0007,244,134Neu+100,0%
EPIQ PARTNERS, LLC310,9650310,9656,887,875Neu+100,0%
RAYMOND JAMES FINANCIAL INC281,0130281,0136,224,438Neu+100,0%
FRANKLIN RESOURCES INC262,2990262,2995,809,923Neu+100,0%
MORGAN STANLEY238,2640238,2645,277,569Neu+100,0%
GOLDMAN SACHS GROUP INC229,0860229,0865,074,255Neu+100,0%
LPL Financial LLC214,7800214,7804,757,386Neu+100,0%
AQR Arbitrage LLC4,626,00004,626,0004,591,305Neu+100,0%
FIRST MANHATTAN CO. LLC.206,0020206,0024,562,944Neu+100,0%
Wellesley Asset Management4,462,00004,462,0004,424,519Neu+100,0%
Connor, Clark & Lunn Investment Management Ltd.188,9210188,9214,184,600Neu+100,0%
SUSQUEHANNA INTERNATIONAL GROUP, LLP177,3000177,3003,927,195Neu+100,0%
VOLORIDGE INVESTMENT MANAGEMENT, LLC169,8580169,8583,762,355Neu+100,0%
GRACE & WHITE INC /NY164,6970164,6973,648,039Neu+100,0%
JANE STREET GROUP, LLC139,1370139,1373,081,885Neu+100,0%
Walleye Capital LLC3,000,00003,000,0002,977,500Neu+100,0%
GraniteShares Advisors LLC122,4720122,4722,712,755Neu+100,0%
Fort Baker Capital Management LP2,630,00002,630,0002,635,253Neu+100,0%
KIM, LLC2,500,00002,500,0002,481,250Neu+100,0%
SSI INVESTMENT MANAGEMENT LLC2,500,00002,500,0002,468,752Neu+100,0%
Hodges Capital Management Inc.108,4620108,4622,402,423Neu+100,0%
PALISADE CAPITAL MANAGEMENT, LP2,250,00002,250,0002,233,125Neu+100,0%
BARCLAYS PLC97,739097,7392,164,919Neu+100,0%
Neuberger Berman Group LLC94,785094,7852,099,488Neu+100,0%
COMMONWEALTH EQUITY SERVICES, LLC92,347092,3472,045,480Neu+100,0%
CITADEL ADVISORS LLC90,500090,5002,004,575Neu+100,0%
First Dallas Securities Inc.89,911089,9111,991,529Neu+100,0%
BENJAMIN EDWARDS INC89,709089,7091,986,854Neu+100,0%
Catalyst Capital Advisors LLC936,0000936,0001,965,698Neu+100,0%
Verition Fund Management LLC88,378088,3781,957,573Neu+100,0%
CONFLUENCE INVESTMENT MANAGEMENT LLC83,810083,8101,856,391Neu+100,0%
ROYAL BANK OF CANADA79,556079,5561,762,000Neu+100,0%
B. Riley Wealth Advisors, Inc.69,675069,6751,543,309Neu+100,0%
BNP PARIBAS FINANCIAL MARKETS1,517,00001,517,0001,498,038Neu+100,0%
Legacy Capital Wealth Partners, LLC66,218066,2181,466,732Neu+100,0%

Insider-Transaktionen (12 Monate)

DatumInsiderRolleTypStückzahlKursWert (USD)ΔTrend
2026-02-27Sarner Michael ScottDirector, Officer, President and CEOOpen Market Purchase2,69521.9059,012.51+300,6%
2026-02-09BATTIST CHRISTINEDirectorOpen Market Purchase60023.1613,895.22+70,8%
2025-10-01Rogers-Windsor Ramona LynnDirectorOpen Market Purchase46321.559,978.76+50,8%
2025-08-20BATTIST CHRISTINEDirectorOpen Market Purchase66722.4514,972.15+76,3%
2025-06-23Rogers-Windsor Ramona LynnDirectorOpen Market Purchase47121.199,980.49+50,8%
2025-05-27BATTIST CHRISTINEDirectorOpen Market Purchase47620.879,934.79+50,6%

Fail-to-Deliver (6 Monate)

DatumFTD-MengeKursWert (USD)
2026-03-3147.86621,481.028.162
2026-03-3014.82721,45318.039
2026-03-2713.73821,82299.763
2026-03-2632.86022,05724.563
2026-03-2527.29221,91597.968
2026-03-1619.92221,42426.729
2026-03-139.51721,72206.709
2026-03-1245.44322,011.000.200
2026-03-101.71622,0737.872
2026-03-051.44322,7032.756
2026-03-044.33322,5397.622
2026-02-2648922,9711.232
2026-02-182.71122,9762.272
2026-02-175.73722,81130.861

Top-Fondshalter

Hinweis: Keine aktuelleren Daten zu dieser Aktie verfuegbar. Stand der gezeigten 13F-Holdings: 31.12.2025. Letztes global veroeffentlichtes 13F-Quartal: 31.03.2026.

FondsAnteileWert (USD)Anteil (%)
TWO SIGMA INVESTMENTS, LP11,049,38233,118,8119.01
MILLENNIUM MANAGEMENT LLC22,039,16826,101,6417.10
Union Bancaire Privee, UBP SA7,26524,800,8616.75
UBS Group AG817,14818,099,8284.93
Eagle Point Credit Management LLC14,980,00014,867,6504.05
WOLVERINE ASSET MANAGEMENT LLC14,834,00014,758,0564.02
SMH CAPITAL ADVISORS INC12,274,40413,780,1883.75
Context Capital Management, LLC13,534,00013,432,4953.66
VICTORY CAPITAL MANAGEMENT INC13,235,00013,143,1903.58
Saba Capital Management, L.P.10,000,0009,954,5002.71
Cetera Investment Advisers440,6319,421,3712.56
Muzinich & Co., Inc.425,3229,420,8822.56
BlackRock, Inc.422,2579,352,9962.55
Legal & General Group Plc389,5808,638,9362.35
Columbus Macro, LLC345,5207,653,2742.08
ADVENT CAPITAL MANAGEMENT /DE/7,250,0007,244,1341.97
EPIQ PARTNERS, LLC310,9656,887,8751.87
RAYMOND JAMES FINANCIAL INC281,0136,224,4381.69
FRANKLIN RESOURCES INC262,2995,809,9231.58
MORGAN STANLEY238,2645,277,5691.44

Hinweis

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