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Fidus Investment (FDUS) Q2 2024 earnings summary

Event summary combining transcript, slides, and related documents.

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Q2 2024 earnings summary

2 Feb, 2026

Executive summary

  • Adjusted net investment income rose 17.7% year-over-year to $18.4 million, with net investment income at $17.0 million, driven by higher interest income and supporting both base and supplemental dividends.

  • Portfolio fair value reached $1.1 billion across 86 active companies, with a focus on first lien debt and strong lower middle market positioning.

  • Net realized gains of $9.2 million were generated from equity portfolio exits, notably in Pool & Electrical Products and Virginia Tile.

  • Proven track record: cumulative adjusted NII exceeds cumulative dividends, NAV above IPO level for 52 quarters, and 14.2% LTM total dividend yield.

  • Average annual GAAP ROE of 12.5% since IPO, ranking among top BDCs.

Financial highlights

  • Total investment income for Q2 2024 was $35.7 million, up 16.7% year-over-year, mainly from increased interest income.

  • Adjusted NII per share was $0.57, net investment income per share was $0.53, and NAV per share was $19.50 as of June 30, 2024.

  • Net asset value at quarter end was $646.8 million, up from $589.5 million at year-end 2023.

  • Dividends declared for Q3 total $0.57 per share (base $0.43, supplemental $0.14).

  • Net increase in net assets from operations was $24.1 million ($0.75 per share), up 120.8% year-over-year.

Outlook and guidance

  • Management expects new deal activity to be higher in the second half of 2024, with originations likely to outpace repayments, but net portfolio growth may be less than the first half.

  • Lower middle market remains underserved, offering attractive risk-adjusted returns and supporting continued portfolio growth.

  • Board declared a regular quarterly dividend of $0.43 and a supplemental dividend of $0.14 per share, payable September 26, 2024.

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