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Golub Capital GBDC Mid-Atlantic — Investments, at fair value

Other geography segments

Southeast
$1.64B-0.3%
Midwest
$1.33B-4.4%
West
$1.19B-9.0%
Southwest
$977.98M-8.0%
Northeast
$467.46M-19.9%

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CWSTMid-Atlantic — Percentage of fair value in excess of carrying amount
35%+12.0pp
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APOMiddle Atlantic — Investments
$9.19B-0.1%
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ARIMid Atlantic — Percentage Of Portfolio
1.8%+0.4pp
LFT
LFTMid-Atlantic — Concentration risk (as a percentage)
20%+2.9pp

Other financials

Income statement

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Net income-$46.8M-159%
EPS (diluted)-$0.18-160%

Balance sheet

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Cash & equivalents$135.2M-45.1%
Total debt$4.7B-2.2%
Total equity$3.7B-7.3%
Total assets$8.5B-4.7%

Cash flow

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Operating cash flow$248.8M

Valuation

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Market cap$3.22B-17.1%
Enterprise value$7.78B-7.9%
P/E15.7×+2.5×

Returns & leverage

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Return on equity5.3%-3.6pp
Debt / equity1.3×+0.1×

Where this comes from

Reported directly by Golub Capital in its filing.

Tagged under the XBRL concept us-gaap:InvestmentOwnedAtFairValue.

The official record: Golub Capital’s 10-Q, filed May 4, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is Golub Capital's mid-atlantic — investments, at fair value?
Golub Capital (GBDC) reported mid-atlantic — investments, at fair value of $1.56B in Q1 2026.
How has Golub Capital's mid-atlantic — investments, at fair value changed year-over-year?
Golub Capital's mid-atlantic — investments, at fair value decreased by 2.0% year-over-year, from $1.6B to $1.56B.
What is the long-term trend for Golub Capital's mid-atlantic — investments, at fair value?
Over 2 years (2023 to 2025), Golub Capital's mid-atlantic — investments, at fair value has grown at a 33.7% compound annual growth rate (CAGR), from $3.63B to $6.49B.
What does mid-atlantic — investments, at fair value mean?
This metric quantifies the total fair market value of all debt and equity securities held by the company within the Mid-Atlantic region. It represents the aggregate exposure to middle-market companies operating in this specific geographic area, highlighting the firm's regional investment footprint. Monitoring this figure allows stakeholders to assess the company's geographic diversification strategy and regional risk appetite.