Asset Management Stocks

#Last 7 Days
1795
GCMG
GCM Grosvenor Inc. - Class A Common Stock
13.61 USD+1.19%+6.16%+20.02%+17.13%2.75 B USD
1831
BBUC
Brookfield Business Corporation Class A Subordinate Voting Shares
29.37 USD+0.03%-4.80%-8.99%-2.23%2.58 B USD
2155
BVC
BitVentures Limited - Ordinary Share
10.10 USD0.00%-0.69%-3.63%+708.00%1.61 B USD
2158
TSLX
Sixth Street Specialty Lending, Inc. Common Stock
16.79 USD-0.36%-2.84%-3.00%-30.65%1.60 B USD
2175
TRIN
Trinity Capital Inc. - Common Stock
17.32 USD+0.12%-3.56%+1.29%+22.23%1.56 B USD
2204
CSWC
Capital Southwest Corporation - Common Stock
23.62 USD+0.47%-1.67%+0.08%+3.42%1.47 B USD
2410
PSEC
Prospect Capital Corporation - Closed End Fund
2.21 USD-0.45%-4.33%-0.45%-32.83%1.11 B USD
2460
VRTS
Virtus Investment Partners, Inc. Common Stock
154.65 USD+0.28%+5.71%+7.93%-21.95%1.03 B USD
2475
GSBD
Goldman Sachs BDC, Inc. Common Stock
8.76 USD-2.23%-9.13%-2.67%-24.22%986.11 M USD
2530
BUR
Burford Capital Limited Ordinary Shares
4.21 USD-1.64%-3.44%-5.39%-71.57%922.28 M USD
2574
BBDC
Barings BDC, Inc. Common Stock
8.38 USD+0.36%-1.76%-0.95%-6.26%877.44 M USD
2604
BCSF
Bain Capital Specialty Finance, Inc. Common Stock
12.67 USD0.00%+0.56%-1.78%-16.59%821.88 M USD
2612
RPC
Ridgepost Capital, Inc. Class A Common Stock
7.38 USD-0.54%-7.17%-10.00%-33.57%807.94 M USD
2613
MFIC
MidCap Financial Investment Corporation - Closed End Fund
9.80 USD-0.20%-2.87%-5.41%-23.08%807.25 M USD
2669
FDUS
Fidus Investment Corporation - Closed End Fund
19.53 USD0.00%+0.36%+3.72%-5.61%741.25 M USD
2685
CGBD
Carlyle Secured Lending, Inc. - Closed End Fund
10.38 USD-0.19%-5.38%-3.80%-25.32%721.38 M USD
2700
PFLT
PennantPark Floating Rate Capital Ltd. Common Stock
7.13 USD0.00%-6.06%-11.43%-21.65%707.42 M USD
2709
SLRC
SLR Investment Corp. - Closed End Fund
12.77 USD+0.08%+2.65%-1.24%-20.98%696.66 M USD
2717
NOAH
Noah Holdings Limited American Depositary Shares
10.26 USD0.00%+2.29%+0.69%-13.93%687.95 M USD
2744
NMFC
New Mountain Finance Corporation - Common Stock
7.00 USD-0.57%-2.91%-11.62%-34.02%661.17 M USD