Oxford Lane Capital Corp. 8.75% Notes due 2030
Financial ratios & Valuation

Historical Multiples (2017 – 2022)

2017 2019 2020 2022 TTM Median
Valuation Ratios
Price/Earnings ratio
5.49-49.80-6.1321.1616.64-49.80
Price/Sales ratio
11.0412.0815.3913.2818.4812.08
Price/Book Value ratio
2.492.956.642.814.012.95
Price/Cash Flow ratio
-684.5211.4114.544.869.8414.54
Price/Free Cash Flow ratio
-684.5211.4114.544.8614.0811.41
Price/Earnings Growth ratio
N/A0.37-0.00-0.340.160.16
Dividend Yield
8.46%5.19%4.70%3.21%4.08%4.70%
Profitability Indicator Ratios
Gross Profit Margin
72.11%72.68%72.73%72.86%74.21%72.68%
Operating Profit Margin
223.49%-6.85%-237.63%73.74%63.82%-6.85%
Pretax Profit Margin
201.10%-24.25%-250.98%62.74%38.29%-24.25%
Net Profit Margin
201.10%-24.25%-250.98%62.74%77.66%-24.25%
Effective Tax Rate
N/AN/A-30.37%112.70%37.29%37.29%
Return on Assets
27.89%-3.65%-54.73%8.93%17.38%-3.65%
Return On Equity
45.33%-5.92%-108.31%13.29%31.34%-5.92%
Return on Capital Employed
31.00%-1.15%-57.07%10.88%14.29%-1.15%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/A
Quick Ratio
N/AN/A0.461.24N/A0.46
Cash ratio
N/A0.350.230.70N/A0.23
Days of Sales Outstanding
41.1636.3934.8947.2719.6334.89
Days of Inventory outstanding
N/AN/A0.00N/AN/A0.00
Operating Cycle
41.1636.3934.8947.2719.6334.89
Days of Payables Outstanding
N/AN/A1.32224.81N/A1.32
Cash Conversion Cycle
41.1636.3933.56-177.5419.6333.56
Debt Ratios
Debt Ratio
0.350.340.470.290.260.47
Debt Equity Ratio
0.570.550.940.430.360.94
Long-term Debt to Capitalization
0.360.300.440.300.240.44
Total Debt to Capitalization
0.360.350.480.300.260.48
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/A
Cash Flow to Debt Ratio
-0.000.460.481.321.100.46
Company Equity Multiplier
1.621.621.971.481.381.97
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-0.011.051.052.721.311.05
Free Cash Flow / Operating Cash Flow Ratio
111111
Cash Flow Coverage Ratio
-0.000.460.481.321.100.46
Short Term Coverage Ratio
N/A2.153.06N/A9.322.15
Dividend Payout Ratio
46.48%-258.48%-28.85%68.00%87.68%-258.48%