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XNASRWAYL
Market cap406mUSD
Jan 08, Last price  
24.98USD
1D
-0.01%
1Q
-0.75%
IPO
-0.68%
Name

Runway Growth Finance Corp

Chart & Performance

D1W1MN
XNAS:RWAYL chart
P/E
21.07
P/S
6.41
EPS
1.19
Div Yield, %
7.85%
Shrs. gr., 5y
-0.42%
Rev. gr., 5y
59.67%
Revenues
146m
+245.67%
03,189,83914,050,59731,690,78151,380,11451,710,82642,185,000145,822,000
Net income
44m
+842.62%
-903,041-1,436,29511,757,51627,646,40046,980,00045,619,0004,704,00044,341,000
CFO
112m
P
-3,278,999-117,959,044-172,930,555-133,575,637-106,090,579-61,251,458-359,846,000112,437,000

Profile

Runway Growth Finance Corp. is a business development company specializing investments in senior-secured loans to late stage and growth companies. It prefers to make investments in companies engaged in the technology, life sciences, healthcare and information services, business services and select consumer services and products sectors. It prefers to investments in companies engaged in electronic equipment and instruments, systems software, hardware, storage and peripherals and specialized consumer services, application software, healthcare technology, internet software and services, data processing and outsourced services, internet retail, human resources and employment services, biotechnology, healthcare equipment and education services. It invests in senior secured loans between $10 million and $75 million.
IPO date
Oct 21, 2021
Employees
Domiciled in
US
Incorporated in
US

Valuation

Title
USD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFY
2023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑12
Income
Revenues
145,822
245.67%
42,185
-18.42%
Cost of revenue
77,017
32,362
Unusual Expense (Income)
NOPBT
68,805
9,823
NOPBT Margin
47.18%
23.29%
Operating Taxes
27,546
Tax Rate
280.42%
NOPAT
68,805
(17,723)
Net income
44,341
842.62%
4,704
-89.69%
Dividends
(73,322)
(51,593)
Dividend yield
14.34%
10.86%
Proceeds from repurchase of equity
(10,800)
BB yield
2.27%
Debt
Debt current
548,957
Long-term debt
510,078
548,957
Deferred revenue
8,808
Other long-term liabilities
(542,736)
Net debt
(559,901)
(1,149,091)
Cash flow
Cash from operating activities
112,437
(359,846)
CAPEX
Cash from investing activities
(453,821)
Cash from financing activities
(115,228)
360,910
FCF
618,282
(484,776)
Balance
Cash
44,969
1,120,696
Long term investments
1,025,010
1,126,309
Excess cash
1,062,688
2,244,896
Stockholders' equity
(47,223)
524,290
Invested Capital
1,107,112
1,169,020
ROIC
6.05%
ROCE
6.49%
0.58%
EV
Common stock shares outstanding
40,509
40,971
Price
12.62
8.89%
11.59
-9.59%
Market cap
511,227
7.66%
474,857
-6.45%
EV
(48,674)
(131,038)
EBITDA
68,805
29,445
EV/EBITDA
Interest
38,642
13,756
Interest/NOPBT
56.16%
140.04%