Saratoga Investment Corp.

Saratoga Investment Corp.

SARยทNYSE

$22.41

-2.0%
Financial ServicesAsset Management

Saratoga Investment Corp. is a business development company specializing in leveraged and management buyouts, acquisition financings, growth financings, recapitalization, debt refinancing, and transitional financing transactions at the lower end of middle market companies. It structures its investments as debt and equity by investing through first and second lien loans, mezzanine debt, co-investments, select high yield bonds, senior secured bonds, unsecured bonds, and preferred and common equity. The firm prefers to invest in aerospace, automotive aftermarket and services, business products and services, consumer products and services, education, environmental services, industrial services, financial services, food and beverage, healthcare products and services, logistics, distribution, manufacturing, restaurants services, food services, software services, technology services, specialty chemical, media and telecommunications. It seeks to invest in the United States. The firm primarily invests $5 million to $50 million in companies having EBITDA of $2 million or greater and revenues of $8 million to $250 million. The firm prefer to take a majority stake. It invests through direct lending as well as participation in loan syndicates. The firm was formerly known as GSC Investment Corp. Saratoga Investment Corp. is based in New York, New York with an additional office in Florham Park, New Jersey.

At a Glance

Live Snapshot
Market Cap$364.56M
EPS2.3100
P/E Ratio9.70
Earnings Date07/14/2026

Intrinsic Alpha Methodology

Thesis Lenses

Signal ยท Driver ยท Risk

Signal

High confidence

Valuation multiple is compressed (P/E 9.7).

Valuation inputs: P/E 9.7, earnings yield +10.3%, momentum -2.0%.

If multiples stay elevated while momentum fades, downside repricing risk rises.

Driver

High confidence

Return profile is soft (ROE +9.2%, ROIC +3.2%).

Profitability stack: net margin +36.9%, ROE +9.2%, ROIC +3.2%.

Quality deterioration often appears in margins before it shows up in headline EPS.

Risk

High confidence

Risk profile is balanced but has notable pressure points to monitor.

Risk factors: liabilities/assets +65.4%, momentum -2.0%, net margin +36.9%.

Higher leverage with weak momentum and thin margins can amplify drawdown severity.

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Saratoga Investment Corp. Market vs Earnings Trajectory

SAR ยท NYSE

Loading price and EPS data...

Saratoga Investment Corp.

Saratoga Investment Corp. Fair Value Envelope

SAR ยท NYSE

Our analysis suggests that SAR has a fair value of HIDDEN per share in the Base Case projection. With shares currently trading at $22.41, this represents a potential HIDDEN relative to our calculated worth for Saratoga Investment Corp..

Intrinsic Value
Current Price: $22.41
3Y+12.0%
5Y+75.0%
10Y+17.0%
3Y+42.0%
5Y+149.0%
10Y+267.0%
3Y+48.0%
5Y+148.0%
10Y+221.0%
3Y-32.0%
5Y+41.0%
10Y-1406.0%
3Y-32.0%
5Y+41.0%
10Y-1406.0%
3Y+6.0%
5Y+92.0%
10Y+258.0%
Saratoga Investment Corp.

Saratoga Investment Corp. Profit Bridge

SAR ยท NYSE
Revenue99.22M
Cost of Goods Sold (49.30M)
Gross Profit49.92M
Operating Expenses (11.83M)
Operating Income38.09M
Interest Expense (49.30M)
Other Income/Expense0.00
Pretax Income38.09M
Income Tax (1.48M)
Net Income36.60M
Net Income
36.60M

Profitability Analysis

Gross Margin

50.3%

Exceptional pricing power and cost management. The company retains over half of revenue after direct costs.

Operating Margin

38.4%

Outstanding operational efficiency. The company generates substantial profit from core operations.

Net Profit Margin

36.9%

Exceptional profitability. The company converts a significant portion of revenue to bottom-line earnings.

Effective Tax Rate

3.9%

Below-average tax rate suggests effective tax planning, favorable jurisdictions, or tax credits.

Profitability Insight

Exceptional profitability across all levels: Strong pricing power, efficient operations, and healthy bottom line indicate a high-quality business with sustainable competitive advantages.

50.31%
Gross Profit Margin
13%
3Y-3.0%
5Y-24.0%
10Y-21.0%
38.39%
Operating Profit Margin
13%
3Y-
5Y-23.0%
10Y-9.0%
36.89%
Net Profit Margin
24%
3Y+4.0%
5Y-
10Y-12.0%
9.24%
Return on Equity
29%
3Y+30.0%
5Y+90.0%
10Y+3.0%
3.21%
Return on Assets
36%
3Y+40.0%
5Y+29.0%
10Y-10.0%
3.24%
Return on Invested Capital
37%
3Y+41.0%
5Y+29.0%
10Y-10.0%
SAR

Saratoga Investment Corp. Cash Conversion Engine

SAR ยท NYSE
Net Income36.60M
Depreciation & Amortization0.00
Stock-Based Compensation0.00
Change in Working Capital1.11M
Others-125.74M
Capital Expenditures0.00
Free Cash Flow-88.03M

Cash Flow Quality Analysis

FCF Conversion Rate

-240.5%

Negative free cash flow despite positive earnings raises concerns about cash generation ability or heavy capital requirements.

FCF Growth Trend

-144.6%

Significant FCF decline raises concerns. Urgent review needed of operational performance and capital allocation.

Working Capital Impact

+$1.11M

Working capital inflow boosted cash flow. Efficient management of receivables, inventory, and payables contributing positively.

Cash Flow Quality Insight

Cash flow concerns: Despite profitability, the company is burning cash. Review working capital management, CapEx levels, and sustainability of current operations.

sar

Saratoga Investment Corp. Funding & Solvency Profile

SAR ยท NYSE
Cash & Cash Equivalents21.79M
Net Receivables7.56M
Inventory0.00
Other Current Assets0.00
Total Current Assets29 M
Property, Plant & Equipment0.00
Goodwill & Intangible Assets0.00
Long-Term Investments1.11B
Other Non-Current Assets781.77K
Total Non-Current Assets1 B
Total Assets
1.14B

Financial Health Analysis

Current Ratio

0.36x

Warning: Liquidity concerns. Current assets may not be sufficient to cover short-term obligations.

Debt-to-Equity Ratio

1.89x

Elevated leverage. Debt exceeds equity, which amplifies both gains and risks. Monitor debt servicing ability.

Working Capital

-51158551

Negative working capital indicates short-term liabilities exceed short-term assetsโ€”potential liquidity stress.

Asset Composition

3% Current

Capital-intensive business with significant long-term investments in property, equipment, or intangibles.

Financial Health Insight

Financial stress indicators: Both liquidity and leverage metrics raise concerns. The company may face challenges meeting obligations and should focus on strengthening its balance sheet.

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Saratoga Investment Corp. Street Expectations Map

SAR ยท NYSE

No Target Data

No analyst price targets available for sar.

sar

Saratoga Investment Corp. Insider Positioning

SAR ยท NYSE

During the last 12 months, there has been no insider trading activity reported for SAR.

3 Months

Bought

0

0.00

Sold

0

0.00

Net Activity

+0

+$0

3-6 Months

Bought

0

0.00

Sold

0

0.00

Net Activity

+0

+$0

6-9 Months

Bought

0

0.00

Sold

0

0.00

Net Activity

+0

+$0

9-12 Months

Bought

0

0.00

Sold

0

0.00

Net Activity

+0

+$0

Top Buyers

No buying activity

Top Sellers

No selling activity

Insider Activity Analysis

Net Insider Sentiment

Neutral

No insider trading activity reported. This could indicate blackout periods, lack of conviction, or regulatory restrictions.

Insider Participation

No Activity

No insider trading activity reported from any insiders in the past year.

3.92%
Dividend Yield
36%
3Y+89.0%
5Y+169.0%
10Y+150.0%
ย 

sar Dividend History

SAR
10Y CAGR 7%
Latest $0.25
Annual $3.5
Stable dividend payments
Last Period: +0%