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Monroe Capital Stock – is a Buy, Sell or Hold?

The P/E ratio measures how cheaply valued a company’s stock price is by dividing the current stock price to its earnings-per-share (EPS). It indicates the dollar amount an investor can expect to invest in a company to receive $1 of that company’s earnings. Monroe Capital’s P/E ratio is 7.56. it has increased by a third in comparison to the same period last year. this metric is one of the most popular because it easily summarizes the status of the company. however, in order to make an informed decision, more metrics should be analysed.

What is Monroe Capital P/E Ratio?

Monroe Capital’s P/E ratio is 7.56, which represents a 49.41 percent increase over the same period last year. their average P/E ratio is 19.64 and their average for five years is 14.61.

What is Monroe Capital Net EPS?

Monroe Capital’s net earnings for the most recent quarter were 1.21$, which represents a 39.2% decrease from the same period last year.

Who are Monroe Capital Competitors?

Based on Jika.io AI model, B.P. Marsh & Partners, EPE Special Opportunities, Heliad Equity Partners GmbH & Co. KGaA, Lazard Global Total Return and Income Fund, Nuveen Senior Income Fund, Portman Ridge Finance, Saratoga Investment Corp., Stellus Capital Investment are considered to be Monroe Capital’s competitors because the companies operate within the same industry as Monroe Capital and they are targeting the same customer base. in addition, competitors typically share a similar market capitalization as Monroe Capital.

Who is Monroe Capital’s Biggest competitor?

Monroe Capital’s biggest competitor is B.P. Marsh & Partners, based on the Jika.io AI model. it has a similar market capitalization to Monroe Capital in the industry, it dominates a similar share of the market as Monroe Capital, and it provides and markets very similar services.

What industry is Monroe Capital in?

Monroe Capital is part of the Asset Management and Financial Services industry.

Monroe Capital vs B.P. Marsh & Partners

Market Cap: Monroe Capital’s Market Cap of 198463312 is higher than B.P. Marsh & Partners Market Cap of 112772656.
Average Volume: Monroe Capital’s Average Volume of 62550.0 is higher than B.P. Marsh & Partners Average Volume of 13944.0.
Beta: Monroe Capital’s Beta of 1.27 is higher than B.P. Marsh & Partners Beta of 0.75.
Revenue: Monroe Capital’s Revenue of 40.158M is higher than B.P. Marsh & Partners Revenue of 23.048M.
Net Income: Monroe Capital’s Net Income of 32.459M is higher than B.P. Marsh & Partners Net Income of 17.484M.
Gross Profit: Monroe Capital’s Gross Profit of 40.158M is higher than B.P. Marsh & Partners Gross Profit of 0.0.
Ebitda: Monroe Capital’s Ebitda of 45.508M is higher than B.P. Marsh & Partners Ebitda of 19.473M.
P/E Ratio: Monroe Capital’s P/E Ratio of 7.51 is higher than B.P. Marsh & Partners P/E Ratio of 6.36.
P/S Ratio: Monroe Capital’s P/S Ratio of 6.13 is lower than B.P. Marsh & Partners P/S Ratio of 6.54.
P/B Ratio: Monroe Capital’s P/B Ratio of 0.81 is higher than B.P. Marsh & Partners P/B Ratio of 0.65.
P/FCF Ratio: Monroe Capital’s P/FCF Ratio of 562.21 is higher than B.P. Marsh & Partners P/FCF Ratio of -22.14.
ROE: Monroe Capital’s ROE of 0.11 is higher than B.P. Marsh & Partners ROE of 0.08.
ROA: Monroe Capital’s ROA of 0.05 is lower than B.P. Marsh & Partners ROA of 0.07.
Gross Profit Margin: Monroe Capital’s Gross Profit Margin of 0.24 is higher than B.P. Marsh & Partners Gross Profit Margin of 0.0.
Total Assets: Monroe Capital’s Total Assets of 590.458M is higher than B.P. Marsh & Partners Total Assets of 171.114M.
Total Debt: Monroe Capital’s Total Debt of 332.151M is lower than B.P. Marsh & Partners Total Debt of 939000.0.
TShareholders Equity: Monroe Capital’s TShareholders Equity of 249.471M is higher than B.P. Marsh & Partners TShareholders Equity of 166.607M.

Monroe Capital vs EPE Special Opportunities

Market Cap: Monroe Capital’s Market Cap of 198463312 is higher than EPE Special Opportunities Market Cap of 58627200.
Average Volume: Monroe Capital’s Average Volume of 62550.0 is higher than EPE Special Opportunities Average Volume of 23273.0.
Beta: Monroe Capital’s Beta of 1.27 is higher than EPE Special Opportunities Beta of 0.66.
Revenue: Monroe Capital’s Revenue of 40.158M is lower than EPE Special Opportunities Revenue of 7.792M.
Net Income: Monroe Capital’s Net Income of 32.459M is lower than EPE Special Opportunities Net Income of 5.726M.
Gross Profit: Monroe Capital’s Gross Profit of 40.158M is higher than EPE Special Opportunities Gross Profit of 0.0.
Ebitda: Monroe Capital’s Ebitda of 45.508M is lower than EPE Special Opportunities Ebitda of 6.046M.
P/B Ratio: Monroe Capital’s P/B Ratio of 0.81 is higher than EPE Special Opportunities P/B Ratio of 0.0.
P/FCF Ratio: Monroe Capital’s P/FCF Ratio of 562.21 is higher than EPE Special Opportunities P/FCF Ratio of -0.2.
ROE: Monroe Capital’s ROE of 0.11 is higher than EPE Special Opportunities ROE of 0.0.
ROA: Monroe Capital’s ROA of 0.05 is higher than EPE Special Opportunities ROA of 0.0.
Total Assets: Monroe Capital’s Total Assets of 590.458M is higher than EPE Special Opportunities Total Assets of 168.165M.
Total Debt: Monroe Capital’s Total Debt of 332.151M is higher than EPE Special Opportunities Total Debt of 0.0.
TShareholders Equity: Monroe Capital’s TShareholders Equity of 249.471M is higher than EPE Special Opportunities TShareholders Equity of 143.625M.

Monroe Capital vs Heliad Equity Partners GmbH & Co. KGaA

Market Cap: Monroe Capital’s Market Cap of 198463312 is higher than Heliad Equity Partners GmbH & Co. KGaA Market Cap of 69993456.
Average Volume: Monroe Capital’s Average Volume of 62550.0 is higher than Heliad Equity Partners GmbH & Co. KGaA Average Volume of 1499.0.
Beta: Monroe Capital’s Beta of 1.27 is higher than Heliad Equity Partners GmbH & Co. KGaA Beta of 1.12.
Revenue: Monroe Capital’s Revenue of 40.158M is higher than Heliad Equity Partners GmbH & Co. KGaA Revenue of 1.354M.
Net Income: Monroe Capital’s Net Income of 32.459M is higher than Heliad Equity Partners GmbH & Co. KGaA Net Income of 17.036M.
Gross Profit: Monroe Capital’s Gross Profit of 40.158M is higher than Heliad Equity Partners GmbH & Co. KGaA Gross Profit of -6.724M.
Ebitda: Monroe Capital’s Ebitda of 45.508M is higher than Heliad Equity Partners GmbH & Co. KGaA Ebitda of 17.703M.
P/E Ratio: Monroe Capital’s P/E Ratio of 7.51 is higher than Heliad Equity Partners GmbH & Co. KGaA P/E Ratio of 3.78.
P/S Ratio: Monroe Capital’s P/S Ratio of 6.13 is higher than Heliad Equity Partners GmbH & Co. KGaA P/S Ratio of 3.18.
P/B Ratio: Monroe Capital’s P/B Ratio of 0.81 is higher than Heliad Equity Partners GmbH & Co. KGaA P/B Ratio of 0.43.
ROE: Monroe Capital’s ROE of 0.11 is higher than Heliad Equity Partners GmbH & Co. KGaA ROE of 0.03.
ROA: Monroe Capital’s ROA of 0.05 is higher than Heliad Equity Partners GmbH & Co. KGaA ROA of 0.03.
Gross Profit Margin: Monroe Capital’s Gross Profit Margin of 0.24 is lower than Heliad Equity Partners GmbH & Co. KGaA Gross Profit Margin of 0.77.
Total Assets: Monroe Capital’s Total Assets of 590.458M is higher than Heliad Equity Partners GmbH & Co. KGaA Total Assets of 179.46M.
Total Debt: Monroe Capital’s Total Debt of 332.151M is higher than Heliad Equity Partners GmbH & Co. KGaA Total Debt of 18.823M.
TShareholders Equity: Monroe Capital’s TShareholders Equity of 249.471M is higher than Heliad Equity Partners GmbH & Co. KGaA TShareholders Equity of 158.694M.

Monroe Capital vs Lazard Global Total Return and Income Fund

Market Cap: Monroe Capital’s Market Cap of 198463312 is lower than Lazard Global Total Return and Income Fund Market Cap of 199828992.
Average Volume: Monroe Capital’s Average Volume of 62550.0 is higher than Lazard Global Total Return and Income Fund Average Volume of 39473.0.
Beta: Monroe Capital’s Beta of 1.27 is higher than Lazard Global Total Return and Income Fund Beta of 1.12.
Revenue: Monroe Capital’s Revenue of 40.158M is lower than Lazard Global Total Return and Income Fund Revenue of 47.891M.
Net Income: Monroe Capital’s Net Income of 32.459M is lower than Lazard Global Total Return and Income Fund Net Income of 47.103M.
Gross Profit: Monroe Capital’s Gross Profit of 40.158M is higher than Lazard Global Total Return and Income Fund Gross Profit of 0.0.
Ebitda: Monroe Capital’s Ebitda of 45.508M is lower than Lazard Global Total Return and Income Fund Ebitda of 47.275M.
P/B Ratio: Monroe Capital’s P/B Ratio of 0.81 is higher than Lazard Global Total Return and Income Fund P/B Ratio of 0.72.
ROE: Monroe Capital’s ROE of 0.11 is higher than Lazard Global Total Return and Income Fund ROE of 0.0.
ROA: Monroe Capital’s ROA of 0.05 is higher than Lazard Global Total Return and Income Fund ROA of 0.0.
Total Assets: Monroe Capital’s Total Assets of 590.458M is higher than Lazard Global Total Return and Income Fund Total Assets of 313.891M.
Total Debt: Monroe Capital’s Total Debt of 332.151M is higher than Lazard Global Total Return and Income Fund Total Debt of 26.35M.
TShareholders Equity: Monroe Capital’s TShareholders Equity of 249.471M is lower than Lazard Global Total Return and Income Fund TShareholders Equity of 278.169M.

About Monroe Capital

Monroe Capital Corporation is a business development company specializing in customized financing solutions for senior, unitranche and junior secured debt, subordinated debt financing and, in a lesser extent, unsecured debt and equity, including equity co-investments in preferred and common stock and warrants. it also provides financing primarily for leveraged buyouts in lower middle-market companies. it focuses on investing in the United States and Canada. the fund prefers to invest in companies with EBITDA between $3 and $35 million. it makes minority equity investments.

 

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