NAV declined 6% year-over-year and 4% quarter-over-quarter due to software portfolio markdowns. Two dividend cuts in 15 months (55¢ to 40¢ to 30¢) indicate unsustainable payout. Stock down 16% over past year. High yield is a consolation prize, not a buy signal.
Articles and sentiment ratings from Massive / Polygon. Sentiment is the provider's model rating for this company, not Gainbot's view.
Sources: Massive / Polygon daily aggregates (split-adjusted) · SEC filings via Massive · FINRA settlements via Massive · Financial Modeling Prep. Figures are dated where shown; research is informational, not investment advice. Methodology