Assessing Oxford Lane Capital’s Latest Portfolio Valuation
11.12.2025 - 17:02:05Oxford Lane Capital US6915431026
For shareholders of Oxford Lane Capital Corp., the Net Asset Value (NAV) per share serves as the fundamental gauge of the company’s intrinsic worth. The investment firm has provided a fresh set of preliminary estimates for November, offering a timely look at portfolio performance amidst ongoing market turbulence. The central question for the market is whether the current share price accurately reflects this underlying asset value.
Amid a volatile trading session characterized by broad pressure—driven by tech sector concerns and a notable decline in Oracle shares following reports of high AI expenditures—Oxford Lane Capital has offered its investors a concrete data point. The company released an unaudited Read more...


