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New Mountain Finance Corporation (NMFC)
7  -0.11 (-1.55%)  07-20 16:00
Open: 7.08
High: 7.08
Low: 6.93
Volume: 710,872
Market Cap: 661(M)
PE Ratio: 5.47
Exchange: NASDAQ Global Market
Industry: Asset Management
Sector: Financial Services
Technical analysis
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sell buy
Resistance 2: 7.76
Resistance 1: 7.39
Pivot price: 7.09
Support 1: 6.80
Support 2: 5.66
52w High: 10.78
52w Low: 6.8
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New Mountain Finance Corporation (NMFC), a Nasdaq-listed business development company (BDC), operates as both a private equity and lending vehicle. It specializes in providing capital through direct investments and loans to middle-market companies, with a particular emphasis on those operating in stable, "defensive growth" sectors. The firm actively seeks out opportunities in buyouts and established middle-market businesses. NMFC deploys capital across various levels of a company's capital structure. This includes investing in debt instruments such as first and second lien debt, unsecured notes, and mezzanine securities. Occasionally, the firm's investments may also involve acquiring equity interests. Its investment strategy is focused exclusively on the United States. The fund targets a diverse array of industries, including but not limited to: energy, specialty chemicals and materials, trading companies and distributors, commercial printing, various support and professional services (diversified, education, environmental, facilities, office, business, federal), media, distribution and logistics, interactive home entertainment, telecommunication services, and several aspects of healthcare (services, facilities, technology). It also invests in different forms of power generation (hydroelectric, fossil fuels, nuclear) and security and alarm services. New Mountain Finance Corporation typically commits between $10 million and $50 million per transaction. Its investment sourcing involves both directly originating new deals and purchasing existing assets through open-market secondary transactions. The firm looks for companies with EBITDA ranging from $10 million to $200 million and aims for an investment hold size of up to $125 million. A key objective for the fund is to secure a majority ownership stake in its portfolio companies.

Financials
EPS -0.590
Book Value 10.920
PEG Ratio 1.34
Gross Profit 3.284
Profit Margin (%) -18.65
Operating Margin (%) 84.54
Return on Assets (ttm) 5.6
Return on Equity (ttm) -4.8
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