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Ares Capital Corp. logo

Ares Capital Corp.

ARCC
NASDAQ: ARCC Delayed
18.67USD -1.3%
As of 9 June 2026, Ares Capital Corp. has a market cap of $13.41B USD, ranking #1738 globally and #588 in the United States. It ranks #318 in the Financial Services sector, and #34 in the Asset Management industry.
Global Rank
1738
Country Rank
588
Sector Rank
318
Industry Rank
34
Key Stats
Market Cap
$13.41BUSD
Enterprise Value
$28.7BUSD
Revenue (TTM)
$3.08BUSD
Net Income (TTM)
$1.15BUSD
Profit Margin
37%
PE Ratio
11.5
Forward PE
9.7
PS Ratio
4.3
PB Ratio
1.0
Company Profile
Country (HQ)
Sector
Financial Services
Industry
Asset Management
CEO
Kort Schnabel open_in_new
Employees
4,250
Founded
2004
IPO
06 Oct 2004
Website
arescapitalcorp.com open_in_new
1d 1w 1m 3m 6m 1y
-1.3% -2.3% 7% -7.5% -9.2% -12%

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Markets

Exchange Ticker Price
NASDAQ
MIC: XNAS
PRIMARY
ARCC
Ares Capital Corp
ISIN: US04010L1035
Shares Out.:
718.023M1 Shares Float: 713.843M2
TV:
SA:
YF:
GF:
NQ:
BA:
MS:
18.67 USD
London Stock Exchange
MIC: XLON
0HHP
Ares Capital Corp
ISIN: US04010L1035
TV:
SA:
YF:
GF:
BA:
MS:
18.58 USD
Frankfurt Stock Exchange
MIC: XFRA
9A2
Ares Capital Corp
ISIN: US04010L1035
TV:
SA:
YF:
GF:
BA:
9A2
MS:
16.63 EUR
1Market cap is calculated using shares outstanding.
2Float shares are publicly tradable shares, excluding insider-held stock.

About Ares Capital Corp.

Ares Capital Corporation is a business development company specializing in growth capital, acquisition, recapitalization, mezzanine debt, restructurings, rescue financing, and leveraged buyout transactions of middle market companies. It also makes growth capital and general refinancing. It prefers to make investments in companies engaged in the basic and growth manufacturing, business services, consumer products, health care products and services, and information technology service sectors. The fund will also consider investments in industries such as restaurants, retail, oil and gas, and technology sectors. It invest in the United States based companies. It focuses on investments in Northeast, Mid-Atlantic, Southeast and Southwest regions from its New York office, the Midwest region, from the Chicago office, and the Western region from the Los Angeles office. The fund typically invests between $30 million and $500 million, in companies with an EBITDA between $10 million and $250 million. It makes debt investments between $10 million and $100 million The fund invests through revolvers, first lien loans, warrants, unitranche structures, second lien loans, mezzanine debt, private high yield, junior capital, subordinated debt, and non-control preferred and common equity. The fund also selectively considers third-party-led senior and subordinated debt financings and opportunistically considers the purchase of stressed and discounted debt positions. The fund prefers to be an agent and/or lead the transactions in which it invests. The fund also seeks board representation in its portfolio companies.

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