MSC Income Fund, Inc. is a Business Development Company that focuses on providing debt and equity investments to lower middle market companies, typically those with revenues between $10 million and $150 million. The fund primarily generates revenue through interest income from its debt investments and capital gains from equity investments. Its investment activities include management buyouts, recapitalizations, growth financings, refinancing, and acquisitions. Factors that support the fund's endurance include the ongoing demand for capital among lower middle market companies, while potential limitations may arise from economic downturns affecting the performance of its portfolio companies.
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MSC Income Fund, Inc. is a Business Development Company that focuses on providing debt and equity investments to lower middle market companies, typically those with revenues between $10 million and $150 million. The fund primarily generates revenue through interest income from its debt investments and capital gains from equity investments. Its investment activities include management buyouts, recapitalizations, growth financings, refinancing, and acquisitions. Factors that support the fund's endurance include the ongoing demand for capital among lower middle market companies, while potential limitations may arise from economic downturns affecting the performance of its portfolio companies.
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MSC Income Fund, Inc. is a Business Development Company that focuses on providing debt and equity investments to lower middle market companies, typically those with revenues between $10 million and $150 million. The fund primarily generates revenue through interest income from its debt investments and capital gains from equity investments. Its investment activities include management buyouts, recapitalizations, growth financings, refinancing, and acquisitions. Factors that support the fund's endurance include the ongoing demand for capital among lower middle market companies, while potential limitations may arise from economic downturns affecting the performance of its portfolio companies.