Oxford Lane Capital Corp. functions as a closed-end investment fund, established and actively managed by Oxford Lane Management LLC. Its core strategy involves allocating capital to fixed income securities, primarily through securitization vehicles. These vehicles, in turn, provide funding by investing in senior secured loans, which are typically extended to companies possessing sub-investment grade or unrated debt. This entity was founded on June 9, 2010, and maintains its legal domicile within the United States.
Oxford Lane Capital Corp. Provides July 2026 Net Asset Value Update
Oxford Lane Capital Corp. provided an unaudited estimate for its net asset value (NAV) per share as of July 31, 2026, with a range of $10.51 to $10.81.
The company reported approximately 98.0 million shares of common stock issued and outstanding as of the estimate date.
Management cautioned that the estimate is preliminary, did not undergo typical quarter-end closing procedures, and may differ materially from the finalized NAV for the quarter ending September 30, 2026.