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19.38 EUR
P/E
11.81
EPS
1.57
Yield
11.54%
P/B
1.28
ROE
11.29
Beta
0.80
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Key Metrics
P/E11.81
EPS1.57
Book Value14.51
Price to Book1.28
Debt/Equity108.23
% Insiders3.879%
Growth
Revenue Growth0.18%
Earnings Growth0.59%
Estimates
Forward P/E9.56
Forward EPS1.94
Dividend
Dividend Yield11.54%
Annual dividends2.19 EUR
Ex-Div. DateMarch 13, 2026
Payout152.14%
5y avg Yield9.78%

DCF Valuation

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DCF Result

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Capital Southwest Corporation Logo Capital Southwest Corporation Analysis (SFW.F)

United States Financials Official Website Stock

Is Capital Southwest Corporation a good investment? Capital Southwest Corporation (SFW.F) is currently trading at 19.38 EUR.

In terms of valuation, the stock trades at a P/E ratio of 11.81. This relatively low multiple may signal that Capital Southwest Corporation is undervalued compared to historical market norms.

For income investors, Capital Southwest Corporation pays a dividend yield of 11.54%. With a payout ratio of 152%, the dividend appears to be under pressure.

Investor FAQ

Does Capital Southwest Corporation pay a dividend?

Yes, it pays an annual dividend of 2.19 EUR (11.54% yield).

What asset class is Capital Southwest Corporation?

Capital Southwest Corporation is classified as a Stock. You can compare it against 2 other assets in the "Related Symbols" list on this page.

Company Profile

Capital Southwest Corporation is a business development company. The firm specializes in credit and private equity and venture capital investments in lower middle market companies, mezzanine, later stage, mature, late venture, emerging growth, buyouts, industry consolidation, recapitalizations and growth capital investments. The firm does not invest in startups, publicly traded companies, real estate developments, project finance opportunities, oil and gas exploration businesses, troubled companies, turnarounds, and companies in which significant senior management is departing. In lower middle market, the firm typically invests in growth financing, bolt-on acquisitions, new platform acquisitions, refinancing, dividend recapitalizations, sponsor-led buyouts, and management buyout situations. The investment structures are unitranche debt, subordinated debt, senior debt, first and second lien debt, and preferred and common equity. The firm makes equity co-investments alongside debt investments, up to 20 percent of total check and only makes non-control investments. The firm is industry agnostic, but it prefers to invest in industrial manufacturing and services, value-added distribution, healthcare products and services, business services, specialty chemicals, food and beverage, tech-enabled services and SaaS models. The firm seeks to invest in energy services and products, industrial technologies, and specialty chemicals and products. Within energy services and products, the firm seeks to invest in each segment of the industry, including upstream, midstream and downstream, excluding exploration and production, with a focus on differentiated products and services, equipment and tool rental, consumable products, and drilling and completion chemicals. Within industrial technologies, it seeks to invest in automation and process controls, handling and packaging equipment, industrial filtration and fluid handling, measurement, monitoring and testing, professional tools, and sensors and instrumentation. Within specialty chemicals and products, the firm seeks to invest in businesses that develop and manufacture highly differentiated chemicals and products including adhesives, coatings and sealants, catalysts and absorbents, cosmeceuticals, fine chemicals, flavors and fragrances, performance lubricants, polymers, plastics and composites, chemical dispensing and filtration equipment, professional and industrial trade consumables and tools, engineered solutions for HVAC, plumbing, and electrical installations, specified high performance materials for fire protection and oilfield applications. It may also invest in exceptional opportunities in building products. The firm seeks to invest in the United States and North America. The firm seeks to make investments ranging from $5 million to $25 million in securities. Its typical financing size is between $5 million and $75 million, target hold size is between $5 million and $45 million, and the firm is willing to backstop up to $55 million with an active network of co-investors. It seeks to invest in firms with minimum EBITDA between $3 million and $25 million. In addition to making direct investments, the firm allocates capital to syndicated first and second lien term loans in the upper middle market. It prefers to take a majority or minority stake. The firm has the flexibility to hold investments for very long periods in its portfolio companies. It may also invest through warrants. The firm prefers to take board participation in its portfolio companies. Capital Southwest Corporation was founded on April 19, 1961 and is based in Dallas, Texas.

Exchange Ticker
FRA (Germany) SFW.F
NMS (United States) CSWC
Dividend Yield

11.54% (5y avg: 9.78%)

Annual Dividends

2.19 EUR

Next ex. div date

March 13, 2026

Payout Ratio

152.14%

Historical Dividends
Year Total Dividends
2027 0.57 EUR
2026 2.29 EUR
2025 2.20 EUR
2024 2.18 EUR
2023 2.09 EUR
2022 1.88 EUR
2021 2.21 EUR
2020 0.44 EUR

Yearly aggregated dividends

Dividends

Capital Southwest Corporation
Mar 13, 2026 Paid
Dividend
0.221978 EUR
Capital Southwest Corporation
Feb 13, 2026 Paid
Dividend
0.16292 EUR
Capital Southwest Corporation
Jan 15, 2026 Paid
Dividend
0.166614 EUR
Capital Southwest Corporation
Dec 15, 2025 Paid
Dividend
0.215998 EUR
Capital Southwest Corporation
Nov 14, 2025 Paid
Dividend
0.166633 EUR
Capital Southwest Corporation
Oct 15, 2025 Paid
Dividend
0.166633 EUR
Capital Southwest Corporation
Sep 15, 2025 Paid
Dividend
0.218329 EUR
Capital Southwest Corporation
Aug 15, 2025 Paid
Dividend
0.166633 EUR
Capital Southwest Corporation
Jul 15, 2025 Paid
Dividend
0.166633 EUR
Capital Southwest Corporation
Jun 13, 2025 Paid
Dividend
0.551424 EUR

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