Gladstone Investment (NASDAQ:GAIN – Get Free Report) is expected to announce its Q4 2026 results after the market closes on Tuesday, May 12th. Analysts expect the company to announce earnings of $0.22 per share and revenue of $25.8010 million for the quarter. Investors can find conference call details on the company’s upcoming Q4 2026 earning report page for the latest details on the call scheduled for Wednesday, May 13, 2026 at 8:30 AM ET.
Gladstone Investment (NASDAQ:GAIN – Get Free Report) last issued its earnings results on Tuesday, February 3rd. The investment management company reported $0.21 EPS for the quarter, missing the consensus estimate of $0.24 by ($0.03). Gladstone Investment had a net margin of 118.55% and a return on equity of 6.77%. The firm had revenue of $25.06 million during the quarter, compared to analyst estimates of $25.83 million. On average, analysts expect Gladstone Investment to post $1 EPS for the current fiscal year and $1 EPS for the next fiscal year.
Gladstone Investment Stock Performance
Shares of NASDAQ:GAIN traded down $0.05 on Tuesday, hitting $16.78. The stock had a trading volume of 103,347 shares, compared to its average volume of 293,549. Gladstone Investment has a twelve month low of $13.11 and a twelve month high of $16.94. The firm’s 50 day moving average price is $14.61 and its 200-day moving average price is $14.15. The company has a market capitalization of $668.18 million, a price-to-earnings ratio of 5.39 and a beta of 0.81.
Gladstone Investment Dividend Announcement
Analyst Upgrades and Downgrades
A number of research analysts recently issued reports on the company. Wall Street Zen raised Gladstone Investment from a “sell” rating to a “hold” rating in a report on Saturday, February 7th. B. Riley Financial reaffirmed a “neutral” rating on shares of Gladstone Investment in a report on Monday, February 9th. Weiss Ratings reaffirmed a “buy (b-)” rating on shares of Gladstone Investment in a report on Friday, March 27th. Finally, Zacks Research raised Gladstone Investment from a “strong sell” rating to a “hold” rating in a report on Friday, March 6th. One investment analyst has rated the stock with a Buy rating and four have assigned a Hold rating to the company’s stock. According to data from MarketBeat, the company presently has an average rating of “Hold”.
View Our Latest Stock Report on GAIN
Institutional Trading of Gladstone Investment
Institutional investors and hedge funds have recently modified their holdings of the stock. Kestra Advisory Services LLC bought a new stake in shares of Gladstone Investment in the 4th quarter valued at about $26,000. JPMorgan Chase & Co. increased its stake in shares of Gladstone Investment by 960.8% in the 2nd quarter. JPMorgan Chase & Co. now owns 5,304 shares of the investment management company’s stock valued at $76,000 after acquiring an additional 4,804 shares during the last quarter. Quantbot Technologies LP bought a new stake in shares of Gladstone Investment in the 2nd quarter valued at about $105,000. Bank of America Corp DE increased its stake in shares of Gladstone Investment by 272.1% in the 3rd quarter. Bank of America Corp DE now owns 8,946 shares of the investment management company’s stock valued at $124,000 after acquiring an additional 6,542 shares during the last quarter. Finally, Abel Hall LLC bought a new stake in shares of Gladstone Investment in the 4th quarter valued at about $140,000. 11.85% of the stock is owned by institutional investors.
Gladstone Investment Company Profile
Gladstone Investment (NASDAQ: GAIN) is a publicly traded business development company (BDC) that focuses on providing debt and equity financing to U.S. middle-market companies. As an externally managed closed-end fund, Gladstone Investment seeks to generate current income and capital appreciation for its shareholders by originating senior secured debt, subordinated debt and equity investments. The firm typically targets established businesses with revenues between $10 million and $150 million, across a range of industry sectors including business services, health care, industrials and specialty manufacturing.
The company’s investment strategy centers on deploying capital through first-lien and second-lien term loans, mezzanine debt and equity co-investments, often including warrants or other equity kickers.
Further Reading
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