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CION INVESTMENT CORP

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$9.86 0.0175(1.75%) CION at 04 Dec 2025 04:28 PM Asset Management
Lowest Today 9.69
Highest Today 9.94
Today’s Open 9.73
Prev. Close 9.69
52 Week High 11.01
52 Week Low 7.63
Day’s Range: Low 9.69 High 9.94
52-Week Range: Low 7.63 High 11.01
1 day return -
1 Week return -3.0
1 month return +8.65
3 month return -4.22
6 month return +9.43
1 year return -14.34
3 year return +2.12
5 year return -
10 year return -

Institutional Holdings

Bulldog Investors, LLC 2.95

Invesco KBW High Dividend Yld Fincl ETF 2.65

Amvescap Plc. 2.58

Van Eck Associates Corporation 2.50

VanEck BDC Income ETF 2.26

LPL Financial Corp 2.05

Special Opportunities Fund 1.75

CAMBRIDGE Invest RESEARCH ADVISORS, INC. 1.73

Wells Fargo & Co 1.70

Private Advisor Group, LLC 1.30

High Income Securities 1.20

Hennion & Walsh Asset Management Inc 1.12

UBS Group AG 1.06

Callodine Capital Management, LP 1.06

CF Capital LLC 0.96

Berger Financial Group, Inc 0.94

Two Sigma Advisers, LLC 0.92

Pinkerton Retirement Specialists, LLC 0.89

Morgan Stanley - Brokerage Accounts 0.88

Sigma Planning Corp 0.66

Arkadios Wealth Advisors 0.63

iShares Listed Private Eq ETF USD Dist 0.61

BlackRock Inc 0.60

Kestra Advisory Services, LLC 0.60

Renaissance Technologies Corp 0.57

BankInvest Børsnoterede Alt. Akk. W 0.35

Alternative Credit Income I 0.23

Virtus Private Credit ETF 0.21

Accelerate Divers Crdt Inc ETF 0.08

Micro Cap Value Equity 0.05

FlexShares® Listed Priv Eq ETF USD Acc 0.04

Monachil Credit Income I 0.02

WHITEWOLF Publicly Listed Priv Eq ETF 0.02

BTG Pactual Global BDCS I 0.02

Zacks Quantitative Strategy 0.01

Blackstone Alternative Multi-Strategy I 0.01

Aptus Impact Series Moderate 0.00

O'Shaughnessy Small Cap Value 0.00

AAM Business Dev Co Opps 2024-2 CA 0.00

ST CEFA Select BDC 30 CA 0.00

Market Status

Strong Buy: 1

Buy: 0

Hold: 1

Sell: 0

Strong Sell: 1

Fundamentals

Market Cap 504.72 M

PB Ratio 0.6455

PE Ratio 19.7755

Enterprise Value 1575.28 M

Total Assets 1945.73 M

Volume 336247

Company Financials

Annual Revenue FY23:65224000 65.2M, FY22:61139000 61.1M, FY21:131980000 132.0M, FY20:-2204000 -2.2M, FY19:59551000 59.6M

Annual Profit FY23:null 0.0M, FY22:61139000 61.1M, FY21:131980000 132.0M, FY20:-2204000 -2.2M, FY19:59551000 59.6M

Annual Net worth FY23:53857000 53.9M, FY22:50141000 50.1M, FY21:118764000 118.8M, FY20:-11022000 -11.0M, FY19:51844000 51.8M

Quarterly Revenue Q3/2025:61309000 61.3M, Q2/2025:52552000 52.6M, Q1/2025:-16592000 -16.6M, Q3/2024:59627000 59.6M, Q2/2024:41080000 41.1M

Quarterly Profit Q3/2025:38657000 38.7M, Q2/2025:29915000 29.9M, Q1/2025:-39590000 -39.6M, Q3/2024:59627000 59.6M, Q2/2024:27998000 28.0M

Quarterly Net worth Q3/2025:35878000 35.9M, Q2/2025:27316000 27.3M, Q1/2025:-42705000 -42.7M, Q3/2024:21597000 21.6M, Q2/2024:22378000 22.4M

Fund house & investment objective

Company Information CION Investment Corporation is a business development company. It specializes in investments in senior secured loans, including unitranche loans, First Lien, second lien loans, long-term subordinated loans, and mezzanine loans; equity interests such as warrants or options; and corporate bonds; and other debt securities in middle-market companies. The firm invests in growth capital, acquisitions, leveraged buyouts, market/product expansion, refinancing and recapitalization investments. The fund also invests up to 30 percent of their assets opportunistically in other types of investments, including the securities of larger public companies and foreign securities. It also makes investments in the secondary loan market. The fund does not invest in start-up companies, turnaround situations, or companies with speculative business plans. The fund prefers to invest in high tech industries, healthcare, pharmaceuticals, business services, media, chemicals, plastic, rubber, telecommunication, consumer services, advertising, printing and publishing, consumer goods, durables, diversified financials, and other industries. It also invests in homebuilding, restaurants, beverage and tobacco bars, broadcasting, distributors, Non-durable good distribution, food beverage and tobacco, energy, oil gas and consumables fuels, insurance, aerospace and defense, industrial machinery, paper and forest product machinery, information technology, metals and mining, and real estate. It primarily seeks to invest in the United States. The fund seeks to invest between $5 million and $50 million in companies with an EBITDA between $25 million and $75 million with average targeted hold of $30 million. It also purchases minority interests in the form of common or preferred equity in the target companies, typically in conjunction with its debt investments or through a co-investment with a financial sponsor. The fund seeks to exit its investments through an initial public offering of common stock, a merger, a sale, or other recapitalization.

Organisation Asset Management

Employees 0

Industry Asset Management

CEO Mr. Mark Gatto J.D.

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