Oxford Square Capital Corp. Announces Net Asset Value and Selected Financial Results for the Quarter Ended March 31, 2025 and Declaration of Distributions on Common Stock for the Months Ending July 31, August 31, and September 30, 2025
1. OXSQ declares distributions of $0.035 for upcoming quarters. 2. Net asset value (NAV) decreased to $2.09 from $2.30. 3. Net investment income (NII) approximately $6.1 million, unchanged from last quarter. 4. Investment income steady at $10.2 million; debt investments yield at 14.3%. 5. Notable net realized losses of about $12.2 million recorded.