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Blackstone Secured Lending Fund BXSL Geographical, Total — % of Total Investments at Fair Value

Other geography segments

Europe
12.2%+31.2%
Bermuda/Cayman Islands
1.1%-8.3%
Asia
0.1%

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ARIOther Geographic Locations — Percentage Of Portfolio
0.4%-0.8pp
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GBDCMidwest — Investments, at fair value
$1.33B-4.4%
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MAINSoutheast — Investments at fair value:
$298.91M+93.3%
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APOTotal international region — Percentage of Total
20.9%+4.0pp
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LAZInvestments, at fair value
$490.08M+0.2%
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APOInternational, Other — Percentage of Total
13%+2.7pp

Other financials

Income statement

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Net income$25.2M-83.1%
EPS (diluted)$0.11-83.3%

Balance sheet

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Cash & equivalents$351.3M-63.6%
Total debt$8.0B+8.8%
Total equity$6.1B-2.3%
Total assets$14.4B+3.3%

Cash flow

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Operating cash flow$249.3M-41.3%

Valuation

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Market cap$5.5B-25.4%

Returns & leverage

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Return on equity7.1%-4.5pp
Debt / equity1.3×+0.1×

Where this comes from

Reported directly by Blackstone Secured Lending Fund in its filing.

Tagged under the XBRL concept us-gaap:ConcentrationRiskPercentage1.

The official record: Blackstone Secured Lending Fund’s 10-K, filed February 25, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is Blackstone Secured Lending Fund's geographical, total — % of total investments at fair value?
Blackstone Secured Lending Fund (BXSL) reported geographical, total — % of total investments at fair value of 25% in Q4 2025.
How has Blackstone Secured Lending Fund's geographical, total — % of total investments at fair value changed year-over-year?
Blackstone Secured Lending Fund's geographical, total — % of total investments at fair value decreased by 0.0% year-over-year, from 25% to 25%.
What does geographical, total — % of total investments at fair value mean?
This metric represents the proportion of the investment portfolio allocated to a specific geographical region relative to the total fair value of all investments. It provides insight into the company's regional concentration and exposure to localized economic conditions or regulatory environments. Investors use this to assess the diversification of the portfolio across different markets and the potential impact of regional macroeconomic trends on overall asset performance.