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PennantPark Investment Corp. logo

PennantPark Investment Corp.

PNNT
NYSE: PNNT Delayed
4.60USD -0.9%
As of 13 June 2026, PennantPark Investment Corp. has a market cap of $300.36M USD, ranking #18579 globally and #3103 in the United States. It ranks #2023 in the Financial Services sector, and #294 in the Asset Management industry.
Global Rank
18579
Country Rank
3103
Sector Rank
2023
Industry Rank
294
Key Stats
Market Cap
$300.36MUSD
Enterprise Value
$863.48MUSD
Revenue (TTM)
$115.42MUSD
Net Income (TTM)
$25.6MUSD
Profit Margin
22%
PE Ratio
11.7
Forward PE
8.1
PS Ratio
2.6
PB Ratio
0.7
Company Profile
Country (HQ)
Sector
Financial Services
Industry
Asset Management
CEO
Arthur Penn open_in_new
Founded
2007
IPO
19 Apr 2007
Website
pnnt.pennantpark.com open_in_new
warningChart data may be delayed
1d 1w 1m 3m 6m 1y
-0.9% 0.2% 5.5% -21% -30% -30%

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PNNT Analyst Forecasts

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Markets

Exchange Ticker Price
NYSE
MIC: XNYS
PRIMARY
PNNT
Pennant Park Investment Corp
ISIN: US7080621045
Shares Out.:
65.296M1 Shares Float: 63.168M2
TV:
SA:
YF:
GF:
NQ:
BA:
MS:
4.60 USD
Frankfurt Stock Exchange
MIC: XFRA
12P
Pennant Park Investment Corp
ISIN: US7080621045
TV:
SA:
YF:
GF:
BA:
12P
MS:
3.26 EUR
1Market cap is calculated using shares outstanding.
2Float shares are publicly tradable shares, excluding insider-held stock.

About PennantPark Investment Corp.

PennantPark Investment Corporation, a business development company is a private equity fund specializes in direct and mezzanine investments in middle market companies. It invests in the form of mezzanine debt, senior secured loans, and equity investments. The fund typically invests in buildings and real estate, hotels, gaming and leisure, technology, telecommunications, transportation, information technology services, electronics, healthcare & pharmaceuticals, education and childcare, financial services, printing and publishing, consumer products, business services, energy & Related Services and utilities, distribution, oil and gas, media, environmental services, aerospace and defense, building materials, capital equipment, chemicals, plastics, & rubber, food & beverage, wholesale, manufacturing and basic industries and retail. It invests in equity securities and debt transactions through preferred stock, common stock, warrants, options, senior secured debt, subordinated debt, subordinated loans, first lien debt, mezzanine loans, and distressed debt securities and private equity co-investments. It seeks to invest in companies based in the United States. The fund seeks to invest between $10 million and $100 million cross the capital structure (senior secured loans, subordinated debt, and other investments) in its portfolio companies with EBITDA between $10 to $50 million. The fund invest upto $250 million in equity investment. The fund prefers to invest in middle market companies companies having revenue between $50 million and $ 1000 million. Its mezzanine loans, senior secured loans, and other investments in its portfolio companies are between $15 million and $50 million. The fund may also make non-control equity and debt investments.

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