Analyst Price Targets — PSBD
| Date | Analyst | Firm | Target | Price @ Post | Source | Headline |
|---|---|---|---|---|---|---|
| November 25, 2025 10:08 pm | — | RBC Capital | $13.00 | $12.39 | TheFly | Palmer Square downgraded to Sector Perform from Outperform at RBC Capital |
| November 19, 2025 12:17 pm | Doug Harter | UBS | $13.00 | $11.81 | TheFly | Palmer Square price target lowered to $13 from $13.50 at UBS |
| October 14, 2025 1:22 pm | — | UBS | $13.50 | $12.82 | TheFly | Palmer Square price target lowered to $13.50 from $14.50 at UBS |
| October 1, 2025 10:05 am | — | Coker Palmer | $12.00 | $12.27 | TheFly | Palmer Square downgraded to Neutral from Overweight at JPMorgan |
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Latest News for PSBD

Palmer Square Capital BDC Inc. (PSBD) Q4 2025 Earnings Call Transcript

Palmer Square Capital BDC Inc. (PSBD) came out with quarterly earnings of $0.41 per share, missing the Zacks Consensus Estimate of $0.42 per share. This compares to earnings of $0.46 per share a year ago.

MISSION WOODS, Kan.--(BUSINESS WIRE)--Palmer Square Capital BDC Inc. (NYSE: PSBD) (“PSBD” or the “Company”), an externally managed business development company, today announced its financial results for the fourth quarter and full year ended December 31, 2025. Financial and Operating Highlights Total investment income of $29.8 million for the fourth quarter of 2025, compared to $34.9 million for the prior year…

Palmer Square Capital BDC (NYSE: PSBD - Get Free Report) is anticipated to issue its results before the market opens on Thursday, February 26th. Analysts expect the company to announce earnings of $0.42 per share and revenue of $30.1140 million for the quarter. Palmer Square Capital BDC Price Performance NYSE: PSBD opened at $11.18 on Thursday. The

Palmer Square Capital BDC remains a sell due to persistent NAV declines, weak earnings, and lack of near-term catalysts. PSBD trades at a record 23.47% discount to NAV, but I see further downside risk outweighing the appeal of its 14.6% dividend yield. Management's capital allocation favors supplemental distributions over reinvestment, limiting earnings growth and NAV recovery potential.
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