Oxford Square Capital Corp.

Investor Presentation

Quarter Ended September 30, 2020

Disclaimer

This presentation is neither an offer to sell, nor a solicitation of an offer to purchase, any securities of Oxford Square Capital Corp. ("OXSQ" or the "Company").

This presentation and the summaries contained herein do not purport to be complete and no obligation to update or otherwise revise such information is being assumed. Nothing shall be relied upon as a promise or representation as to the future performance of the Company. Such information is qualified in its entirety by reference to the more detailed discussions contained elsewhere in the Company's public filings with the Securities and Exchange Commission.

There is no guarantee that any of the estimates, targets or projections illustrated in this presentation will be achieved. Any references herein to any of the Company's past or present investments or its past or present performance have been provided for illustrative purposes only. It should not be assumed that these investments were or will be profitable or that any future investments by the Company will be profitable or will equal the performance of past or present investments.

The information contained herein has been derived from financial statements and other documents provided by the portfolio companies and/or the third party manager of such portfolio companies unless otherwise stated. Certain information discussed in this presentation (including information relating to portfolio companies) was derived from third party sources and has not been independently verified and, accordingly, OXSQ makes no representation or warranty with respect to this information.

Past performance is not indicative of future results. In addition, there can be no assurance that unrealized gains/losses will be realized at the expected multiples shown since actual realized returns will depend on, among other factors, the future operating results of each of the Company's current portfolio companies, the value of the assets and economic conditions at the time of disposition, any related transaction costs, and the timing and manner of sale, all of which may differ from the assumptions on which the Company's expected returns are based. In many instances, the Company will not determine the timing or manner of sale of the Company's portfolio companies.

Statements included herein may constitute "forward-looking statements," which relate to future events or our future performance or financial condition. These statements are not guarantees of future performance, condition or results and involve a number of risks and uncertainties, including the impact of COVID-19 and related changes in base interest rates and significant market volatility on our business, our portfolio companies, our industry and the global economy. Actual results may differ materially from those in the forward-looking statements as a result of a number of factors, including those described from time to time in our filings with the Securities and Exchange Commission. OXSQ undertakes no duty to update any forward-looking statements made herein, except as may be required by law.

2

Financial Highlights

($ per share)

Q3-20

Q2-20

Q1-20

Q4-19

Q3-19

GAAP net investment income1

$

0.09

$

0.09

$

0.13

$

0.18

$

0.19

Distributions declared and paid

$

0.105

$

0.201

$

0.201

$

0.201

$

0.201

Net realized losses on investments1

$

(0.09)

$

(0.06)

$

(0.01)

$

-

$

(0.01)

Net unrealized gains (losses) on investments 1

$

0.42

$

0.38

$

(1.74)

$

(0.28)

$

(0.87)

Net increase (decrease) in net assets resulting from operations 1

$

0.42

$

0.41

$

(1.62)

$

(0.10)

$

(0.69)

Net asset value

$

3.85

$

3.54

$

3.32

$

5.12

$

5.42

($ in millions)

Q3-20

Q2-20

Q1-20

Q4-19

Q3-19

Total fair value of investments

$ 295.3

$ 270.8

$ 261.8

$ 364.8

$ 398.4

Number of portfolio investments

63

62

60

63

65

Net assets

$ 191.0

$ 175.3

$ 164.7

$ 248.0

$ 259.0

Principal amount of debt outstanding

$ 109.2

$ 109.2

$ 109.2

$ 137.3

$ 157.0

Debt to equity

0.57x

0.62x

0.66x

0.55x

0.61x

Note: Certain figures may not tie to financial statements due to rounding.

1. Per share amounts based on weighted average shares outstanding for the respective quarter presented.

3

Summary Portfolio Highlights

Portfolio Activity

($ in millions)

Q3-20

Q2-20

Q1-20

Q4-19

Q3-19

New investments

$ 18.3

$ 21.3

$ 7.4

$ 3.9

$ -

Exits

8.9

26.2

23.0

19.7

5.2

Net investment activity

$ 9.4

$ (4.9)

$ (15.7)

$ (15.8)

$ (5.2)

Weighted average yield of debt investments at current cost

1

8.3%

8.1%

8.8%

9.1%

9.7%

Weighted average effective yield of CLO equity investments at current cost

7.7%

7.1%

9.7%

11.0%

11.9%

Weighted average yield of total investments at current cost

8.0%

7.6%

9.2%

10.0%

10.6%

Weighted average cash distribution yield of debt investments at current cost

2

6.6%

7.2%

7.8%

8.5%

9.4%

Weighted average cash distribution yield of cash income producing CLO equity investments at current cost

3

11.7%

11.6%

14.4%

22.1%

19.9%

Weighted average cash yield of cash income producing securities at current cost

8.8%

9.1%

10.6%

14.2%

13.5%

Total Investments by Asset Type4,5

Q3-20

Q2-20

Q1-20

Q4-19

Q3-19

First-lien secured debt

32%

34%

31%

29%

27%

Second-lien secured debt

35%

36%

41%

37%

39%

CLO equity

29%

30%

28%

33%

33%

CLO debt

3%

<1%

<1%

<1%

<1%

6

0%

<1%

<1%

<1%

2%

Other

Note: Certain figures may not tie to financial statements due to rounding.

  1. Represents accrued interest divided by amortized cost of interest earning debt investments held on 9/30/2020.
  2. Represents the cash interest received or entitled to be received and recognized as income on interest earning debt investments (excluding investments on non accrual status, PIK interest and OID) in the respective quarter annualized, divided by the average of the total cost basis at the beginning and end of such respective quarter of total debt investments.
  3. This calculation includes CLO investments which have experienced either partial or full diversion.
  4. As a percentage of total portfolio fair value as of quarter end. Excludes cash and equivalents.

5.

Due to rounding, totals may not add up to 100%.

4

6. "Other" includes common stock and preferred equity.

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Oxford Square Capital Corp. published this content on 30 September 2020 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 27 October 2020 12:14:05 UTC