Cion Investment Corp

Cion Investment Corp(CION)股票分析

$7.380

-0.030 (-0.40%)收盤時

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High
7.520
Open
7.410
VWAP
7.41
Vol
396.71K
Mkt Cap
651.35M
Low
7.340
Amount
2.94M
EV/EBITDA, TTM
14.18

CION Investment Corporation is an externally managed, non-diversified closed-end management investment company. The Company's investment objective is to generate current income and, to a lesser extent, capital appreciation for investors. Its portfolio is comprised primarily of investments in senior secured debt, including first lien loans, second lien loans and unitranche loans, and, to a lesser extent, collateralized securities, structured products and other similar securities, unsecured debt, and equity, of private and thinly traded United States middle-market companies. The Company's investment portfolio includes healthcare and pharmaceuticals, chemicals, plastics and rubber, high-tech industries, beverage, food and tobacco, capital equipment, banking, finance, insurance and real estate, aerospace and defense, construction and building, telecommunications, hotel, gaming, and leisure, automotive, and metals and mining. Its investment adviser is CION Investment Management, LLC.

AI analysis of Cion Investment Corp (CION)

hold

Cion Investment Corp is currently priced at $7.38, which is above Wells Fargo's target of $6.50 but below Lucid Capital's target of $10.50. The stock shows a recent RSI of 55.19, indicating it is neither overbought nor oversold, suggesting a neutral stance. However, the company has reported a significant net income fluctuation with a net income of $30.98 million in Q2 2026, reflecting some profitability. The main risk is the high debt-to-equity ratio of 173.70%, which may affect financial stability and investor confidence.

估值指標

The current forward P/E ratio for Cion Investment Corp (CION) is 10.34, compared to its 5-year average forward P/E of 7.12.

Forward P/E

Strongly Overvalued
5Y Average P/E
7.12
Current P/E
10.34
高估
8.25
低估
5.99

Forward EV/EBITDA

Strongly Overvalued
5Y Average EV/EBITDA
0.80
Current EV/EBITDA
14.18
高估
3.42
低估
-1.81

Forward P/S

Undervalued
5Y Average P/S
2.73
Current P/S
2.02
高估
3.37
低估
2.09

Alphio AI Price Scenarios for CION

Scenario prices are the last monthly forecast band of the current year. Probabilities are fixed model weights (25 / 50 / 25), not guarantees.

B

Bull

Bull · 25%CION

$10.42

情境價格

B

Base

Base · 50%CION

$9.84

情境價格

B

Bear

Bear · 25%CION

$8.69

情境價格

Whales holding CION

A

Apollo Global Management, Inc.

+ HoldingCION

-15.68%

3M Return

事件時間軸

2026-07-07 (ET)

14:00:00

Bulldog Investors Calls on CION to Expand Share Repurchase Program

2026-05-07 (ET)

08:10:00

CION Net Asset Value Per Share Decreases to $13.11

2026-03-12 (ET)

08:30:00

Cion Reports Q4 NAV per Share of $13.76

2025-11-06 (ET)

09:12:25

Cion Investment Announces Q3 EPS of 36c, Exceeding Consensus of 33c

2025-08-07 (ET)

09:09:25

Cion Investment reports Q2 EPS 52c, consensus 33c

資訊

CION FAQ — answered by Alphio AI

CION Investment Corporation is an externally managed, non-diversified closed-end management investment company. The Company's investment objective is to generate current income and, to a lesser extent, capital appreciation for investors. Its portfolio is comprised primarily of investments in senior secured debt, including first lien loans, second lien loans and unitranche loans, and, to a lesser extent, collateralized securities, structured products and other similar securities, unsecured debt, and equity, of private and thinly traded United States middle-market companies. The Company's investment portfolio includes healthcare and pharmaceuticals, chemicals, plastics and rubber, high-tech industries, beverage, food and tobacco, capital equipment, banking, finance, insurance and real estate, aerospace and defense, construction and building, telecommunications, hotel, gaming, and leisure, automotive, and metals and mining. Its investment adviser is CION Investment Management, LLC. It operates in the Financials sector.

Cion Investment Corp is currently priced at $7.38, which is above Wells Fargo's target of $6.50 but below Lucid Capital's target of $10.50. The stock shows a recent RSI of 55.19, indicating it is neither overbought nor oversold, suggesting a neutral stance. However, the company has reported a significant net income fluctuation with a net income of $30.98 million in Q2 2026, reflecting some profitability. The main risk is the high debt-to-equity ratio of 173.70%, which may affect financial stability and investor confidence.

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