Saratoga Investment Corp (NYSE:SAR) does about 110.91K shares in volume on a normal day but saw 898693 shares change hands in the recent trading day. The company now has a market cap of 369.99M USD. Its current market price is $24.08, marking a decrease of -0.21% compared to the previous close of $24.13. The 52 week high reached by this stock is $26.17 whilst the lowest price level in 52 weeks is $21.10.
The consensus objective for the share price is $25.12, suggesting that the stock has a potential upside of 4.14% over the period.
FactSet Research has provided data showing that 2 brokerages have issued ratings for the stock. 0 analysts have rated it as a sell, while 0 advise that it is a overweight. 2 analysts have rated it as a buy and 0 have advised that investors hold their positions. The consensus recommendation rating is Buy.
The company shares received a number of brokerage firm price updates over the past month, with the latest being on June 09, 2025 when Compass Point downgraded the stock to “Neutral” and issued a price target of $24.25.
The current price level is -1.74%, -0.06%, and -0.32% away from its SMA20, SMA50, and SMA200 respectively, with the SAR price moving above the 50-day SMA on current market day. Saratoga Investment Corp (SAR) stock is down -2.43% over the week and 2.91% over the past month. Its price is 0.67% year-to-date and 0.90% over the past year.
The company’s next earnings report forecasts estimating quarterly EPS at 0.72 and 2.77 for whole year. Expected sales for next quarter are $32.75M, which analysts say will come at $130.86M for the current fiscal year and next year at $131.74M. In addition, estimates put the company’s current quarterly revenue at an average of $32.79M.
To reach the target analysts have set, the stock logically needs to grow 4.14 percent from here.
Outstanding shares total 15.36M with insiders holding 14.32% of the shares and institutional holders owning 17.50% of the company’s common stock. The price to earnings ratio (P/E ratio) amounts to 11.92 while the forward price to earnings ratio is 8.94. The beta has a value of 0.73. Price to book ratio is 0.93 and price to sales ratio is 2.49.