PennantPark Floating Rate Capital Ltd.

Annual Trend FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Cash flows from operating activities:
Net Income From Continuing Operations $3.5m $39.3m $91.8m $66.4m
Net Income (Loss) Attributable to Parent $3.5m $39.3m $91.8m $66.4m
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest $3.5m $39.3m $91.8m
Amortization of Debt Issuance Costs $737k $1.8m
Net change in unrealized (appreciation) depreciation on investments $12.6m ($14.3m) $34.6m
Net change in unrealized appreciation (depreciation) on debt ($14.2m) $11.6m $4.9m $2.3m $26k ($43k)
Net accretion of discount and amortization of premium ($1.7m) ($3.2m) ($4.2m) ($5.2m) ($4.8m) ($9.5m)
Amortization of deferred financing costs $544k $961k $737k $1.4m $2.0m $1.8m
Deferred tax liability $4.6m ($2.8m) ($82k) $152k
Gain (Loss) on Extinguishment of Debt ($383k) $0
Debt extinguishment realized loss $0 $0 $383k $0
Additional Financial Items
Debt and Equity Securities, Realized Gain (Loss) ($5.9m)
Debt and Equity Securities, Unrealized Gain (Loss) ($34.6m)
Debt Securities, Realized Gain (Loss) $383k $0
Gain (Loss) on Investments ($11.1m)
General and Administrative Expense $575k $999k $2.2m $2.8m
Realized Investment Gains (Losses) ($11.1m) ($15.9m) $222k ($5.9m)
Unrealized Gain (Loss) on Investments ($24.5m) ($12.6m)
Net realized (gain) loss on investments $12.7m $12.8m $11.1m $15.9m ($222k) $5.9m
Payment-in-kind interest ($2.5m) ($3.0m) ($1.4m) ($1.3m) ($3.6m) ($5.3m)
Proceeds from dispositions of investments $396.9m $702.1m $495.2m $399.1m $514.1m $918.1m
Interest receivable $219k ($1.8m) ($2.1m) ($2.9m) ($1.7m) ($1.7m)
Receivable for investments sold ($34.0m) $30.5m $3.4m $0 ($1.4m)
Distribution receivable $0 $0 ($565k) ($70k) $635k
Prepaid expenses and other assets ($134k) $173k ($748k) ($146k) $696k ($1.9m)
Due from affiliate $0 $0 ($291k) ($30k)
Interest payable on debt $326k $1.9m $2.7m $452k $6.0m $4.5m
Base management fee payable $320k ($268k) $1.8m $2.0m
Incentive fee payable ($1.4m) $2.5m $1.5m ($1.4m) $3.7m
Due to affiliates $225k $3.4m ($3.0m) ($566k) $739k
Account payable and accrued expenses ($285k) ($826k) $522k $900k ($21k)
Proceeds from public offering $1.4m $81.9m $148.4m $213.9m $245.5m
Offering costs ($364k) ($2.0m) ($705k) ($1.4m) ($725k)
Distributions paid to stockholders ($44.2m) ($44.2m) ($46.1m) ($58.7m) ($78.8m) ($111.6m)
Repayment of 2023 notes payable ($20.8m) ($20.8m) ($20.8m) ($76.2m) $0
Issuance of 2026 notes $96.8m $84.3m $0 $0 $361.0m
Issuance of notes $0 $0 $553.0m $0
Capitalized borrowing costs Notes $0 $0 ($4.0m) ($3.0m)
Borrowings under Credit Facility $265.0m $346.5m $147.3m $65.0m $606.5m $645.0m
Repayments under Credit Facility ($221.7m) ($435.7m) ($197.0m) ($224.7m) ($172.0m) ($405.0m)
Non-cash exchanges and conversions $8.0m $20.5m $50.4m $3.4m $20.1m $27.2m
Beginning Cash Position $50.1m $51.5m $100.6m $112.0m
Change In Accrued Expense ($285k) ($826k) $522k
Change In Other Current Liabilities $4.6m ($2.8m) ($82k) $152k
Change In Payable ($5.4m) $4.0m $22.2m $5.4m
Change In Prepaid Assets ($748k) ($146k) $696k ($1.9m)
Change In Receivables $28.4m ($4k) ($2.1m) ($2.4m)
Change In Working Capital $26.8m $1.1m $20.7m $1.2m
Changes In Cash $1.1m $49.0m $11.5m $10.6m
End Cash Position $51.5m $100.6m $112.0m $122.7m
Financing Cash Flow $47.7m ($91.5m) $812.9m $731.2m
Free Cash Flow ($46.6m) $140.6m ($801.4m) ($720.6m)
Gain Loss On Investment Securities ($72.0m) $105.3m ($907.8m) ($775.1m)
Issuance Of Capital Stock $81.9m $148.4m $213.9m $245.5m
Other Non Cash Items ($4.8m) ($5.1m) ($6.1m) ($13.0m)
Net Cash Provided by (Used in) Operating Activities ($4.9m) $49.6m ($50.0m) $140.6m ($801.4m) ($720.6m)
Payments to Acquire Investments $609.2m $325.8m $1.4b $1.7b
Purchases of investments ($436.7m) ($661.1m) ($607.8m) ($324.5m) ($1.4b) ($1.7b)
Payable for investments purchased ($13.5m) $4.9m $15.5m ($5.5m)
Non-cash purchases and disposition of investments $0 $0 $7.6m
Cash flows from financing activities:
Issuance Of Debt $231.6m $65.0m $1.2b $1.0b
Long Term Debt Issuance $231.6m $65.0m $1.2b $1.0b
Net Issuance Payments Of Debt $13.8m ($180.5m) $683.2m $601.0m
Net Long Term Debt Issuance $13.8m ($180.5m) $683.2m $601.0m
Repayment of 2031 Asset-Backed Debt $0 $0 ($228.0m) $0
Long Term Debt Payments ($217.8m) ($245.5m) ($476.2m) ($405.0m)
Repayment Of Debt ($217.8m) ($245.5m) ($476.2m) ($405.0m)
Common Stock Issuance $81.9m $148.4m $213.9m $245.5m
Net Common Stock Issuance $81.9m $148.4m $213.9m $245.5m
Dividends paid $46 $59 $79 $112
Interest And Dividend Income Operating Paid In Kind $26.2m $18.8m $26.1m $36.3m $51.2m $5.3m
Cash Dividends Paid ($46.1m) ($58.7m) ($78.8m) ($111.6m)
Common Stock Dividend Paid ($46.1m) ($58.7m) ($78.8m) ($111.6m)
Net Other Financing Charges $0 $0 $0 $0
Net Cash Provided by (Used in) Financing Activities ($909k) ($56.3m) $47.7m ($91.5m) $812.9m $731.2m
Effect of exchange rate changes on cash $24k ($945k) $320k $37k $4k ($2k)
Effect Of Exchange Rate Changes $320k $37k $4k ($2k)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect ($2.3m)
Net increase (decrease) in cash and cash equivalents ($6.5m) $1.1m $49.0m $11.5m $10.6m
Cash and cash equivalents, beginning of year $57.5m $49.8m $47.9m $100.6m $112.0m $122.7m
Supplemental disclosure of cash flow information:
Change In Cash Supplemental As Reported $1.1m $49.0m $11.5m $10.6m
Interest Paid, Excluding Capitalized Interest, Operating Activities $26.2m $18.8m $26.1m $36.3m $51.2m $86.9m
Income Taxes Paid, Net $502k $405k $1.2m $530k $1.1m $975k

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.