Oxford Square Capital Corp. Announces Net Asset Value and Selected Financial Results for the Quarter Ended June 30, 2025 and Declaration of Distributions on Common Stock for the Months Ending October 31, November 30, and December 31, 2025
1. OXSQ declared distributions of $0.035 per share for upcoming months. 2. Net asset value (NAV) per share decreased to $2.06 from $2.09. 3. Net investment income dropped to $5.5 million, down from $6.1 million. 4. Total investment income fell to $9.5 million, compared to $10.2 million. 5. Net increase in assets from operations was approximately $4.4 million.