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SuRo Capital Corp. (SSSS) 10-Year Financial Performance & Capital Metrics

SSSS • • Banking & Credit
Financial ServicesAsset ManagementBusiness Development Companies (BDCs)Middle Market Lenders
AboutSuRo Capital Corp. is a business development company. The firm seeks to invest in growing, late stage, venture capital-backed private companies. SuRo Capital Corp. was founded in 2010 and is based in San Francisco, California.Show more
  • Net Interest Income -$1M -236.5%
  • Total Revenue $5M -29.2%
  • Net Income -$38M -852.4%
  • Return on Equity -21.13% -961.8%
  • Net Interest Margin -0.61% -263.6%
  • Efficiency Ratio 294.88% +28.2%
  • ROA -14.97% -930.5%
  • Equity / Assets 68.04% -7.1%
  • Book Value per Share 6.59 -15.0%
  • Tangible BV/Share 6.59 -15.0%
  • Debt/Equity 0.46 +28.2%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Well capitalized: 68.0% equity/assets
  • ✓Share count reduced 8.9% through buybacks
  • ✓Trading at only 1.5x book value

✗Weaknesses

  • ✗Weak Piotroski F-Score: 3/9
  • ✗Weak NIM of -0.6%
  • ✗High cost structure: 294.9% efficiency ratio

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y38.05%
5Y25.59%
3Y47.01%
TTM-

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM245.87%

EPS CAGR

10Y-
5Y-
3Y-
TTM228.9%

ROCE

10Y Avg1.58%
5Y Avg2.81%
3Y Avg-16.62%
Latest-15.01%

Peer Comparison

Middle Market Lenders
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Size & Scale
Valuation
Per Share
Growth
Profitability
Quality & Returns
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TTM Growth
Famous Investor Metrics
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Latest Quarter
Momentum & Returns
Total Return (DRIP)
Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
GSBDGoldman Sachs BDC, Inc.1.08B9.4317.15-57.7%32.67%9.15%18.68%1.23
CSWCCapital Southwest Corporation1.36B23.7216.147.67%43.07%9.13%1.08
HCXYHercules Capital, Inc.2.36B25.1815.64-9.71%62.54%14.13%0.90
TRINITrinity Capital Inc. 7.875% Notes Due 20291.91B25.4112.1029.68%50.98%15.22%4.92%1.08
HTGCHercules Capital, Inc.3.45B18.9711.78-12.79%61.03%14.17%0.90
TSLXSixth Street Specialty Lending, Inc.2.12B22.4011.03-2.72%51.86%11.83%8.85%1.18
MAINMain Street Capital Corporation5.75B64.2010.9718.32%70.11%18.28%0.76
GBDCGolub Capital BDC, Inc.3.68B13.959.8280.52%46.2%9.4%

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Net Interest Income+-4.72M-4.21M-4.39M-3.55M-1.38M-1.24M204.25K-1.93M1.03M-1.4M
NII Growth %0.14%0.11%-0.04%0.19%0.61%0.1%1.16%-10.45%1.53%-2.36%
Net Interest Margin %----------
Interest Income244.12K523.49K304.67K992.84K995.72K1.01M897.77K2.91M5.89M3.44M
Interest Expense4.96M4.73M4.7M4.55M2.37M2.25M693.53K4.85M4.86M4.84M
Loan Loss Provision0000000000
Non-Interest Income+46.78K212.79K548.1K625K500K817.62K573.07K541.24K711.31K1.23M
Non-Interest Income %----------
Total Revenue+290.9K736.28K852.77K1.62M1.5M1.82M1.47M3.46M6.6M4.67M
Revenue Growth %0.56%1.53%0.16%0.9%-0.08%0.22%-0.19%1.35%0.91%-0.29%
Non-Interest Expense5.8M5.56M4.22M-875.35K12.39M14.09M10.71M13.32M15.18M13.78M
Efficiency Ratio----------
Operating Income+30.09M-74.99M17.57M891.74K23.95M75.34M147.07M-132.18M5.07M-38.12M
Operating Margin %----------
Operating Income Growth %2.78%-3.49%1.23%-0.95%25.86%2.15%0.95%-1.9%1.04%-8.52%
Pretax Income+30.09M-74.99M17.57M891.74K23.95M75.34M147.07M-132.18M5.07M-38.12M
Pretax Margin %----------
Income Tax+21.63M0-2.76M-6.72M-885.57K00000
Effective Tax Rate %----------
Net Income+8.47M-74.99M17.57M891.74K23.95M75.34M147.07M-132.18M5.07M-38.12M
Net Margin %----------
Net Income Growth %5.1%-9.86%1.23%-0.95%25.86%2.15%0.95%-1.9%1.04%-8.52%
Net Income (Continuing)8.47M-74.99M17.57M891.74K23.95M75.34M147.07M-132.18M5.07M-38.12M
EPS (Diluted)+0.44-3.380.800.041.143.565.52-4.400.19-1.60
EPS Growth %5%-8.68%1.24%-0.95%25.33%2.12%0.55%-1.8%1.04%-9.42%
EPS (Basic)0.44-3.380.800.041.244.215.69-4.400.19-1.60
Diluted Shares Outstanding19.33M22.18M21.92M20.62M23.07M21.79M26.76M30.02M26.22M23.9M

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash & Short Term Investments+1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Cash & Due from Banks13.35M8.33M59.84M28.18M44.86M45.79M198.44M40.12M28.18M20.04M
Short Term Investments0000000000
Total Investments+379.81M292.01M320.58M298.81M775.2K809.2K13.76M14.35M247.89M0
Investments Growth %-0.19%-0.23%0.1%-0.07%-1%0.04%16%0.04%16.28%-1%
Long-Term Investments379.81M292.01M320.58M298.81M775.2K809.2K13.76M14.35M247.89M0
Accounts Receivables0000349.93K1000K1000K767.1K0801.32K
Goodwill & Intangibles+----------
Goodwill0000000000
Intangible Assets0000000000
PP&E (Net)00000000112.48K0
Other Assets4.03M-300.65M-381.27M-329.95M240.82M430.27M247M228.45M594.73K210.76M
Total Current Assets14M8.64M60.69M31.14M46.97M47.8M201.56M41.61M29.31M20.84M
Total Non-Current Assets383.84M292.32M321M299.08M241.6M431.08M260.76M242.8M248.6M210.76M
Total Assets+397.84M300.96M381.68M330.22M288.56M478.88M462.32M284.41M277.6M231.6M
Asset Growth %-0.18%-0.24%0.27%-0.13%-0.13%0.66%-0.03%-0.38%-0.02%-0.17%
Return on Assets (ROA)0.02%-0.21%0.05%0%0.08%0.2%0.31%-0.35%0.02%-0.15%
Accounts Payable27.66M27.89M91M90.45M48.47M139.86M24.44M1M498.83K777.26K
Total Debt+66.65M67.51M68.38M38.43M38.8M37.4M73.03M73.39M73.75M73.25M
Net Debt53.3M59.18M8.54M10.25M-6.06M-8.4M-125.41M33.27M45.57M53.21M
Long-Term Debt66.65M67.51M038.43M38.8M37.4M73.03M73.39M73.75M73.25M
Short-Term Debt0068.38M0000000
Other Liabilities010.36M-7.6T885.57K1.37M35.85K0000
Total Current Liabilities50.71M30.96M169.32M95.52M48.47M139.86M24.44M1M498.83K777.26K
Total Non-Current Liabilities79.13M77.87M75.98T39.32M40.17M37.43M73.03M73.39M73.75M73.25M
Total Liabilities129.83M108.84M169.32M134.84M88.65M177.29M97.47M74.39M74.24M74.03M
Total Equity+268.01M251.31M213.31M205.63M199.92M301.58M364.85M210.02M203.36M157.57M
Equity Growth %-0.06%-0.06%-0.15%-0.04%-0.03%0.51%0.21%-0.42%-0.03%-0.23%
Equity / Assets (Capital Ratio)----------
Return on Equity (ROE)0.03%-0.29%0.08%0%0.12%0.3%0.44%-0.46%0.02%-0.21%
Book Value per Share13.8711.339.739.978.6713.8413.637.007.766.59
Tangible BV per Share----------
Common Stock221.81K221.81K212.46K197.63K175.64K199.14K311.19K284.3K254.46K236.02K
Additional Paid-in Capital237.76M221.24M202.58M192.32M178.55M221.8M350.08M330.9M248.45M226.58M
Retained Earnings30.03M-29.33M1.97M2.86M-25.68M-40.19M-50.12M-64.83M-4.3M-4.3M
Accumulated OCI0000000000
Treasury Stock0000000000
Preferred Stock001.97M2.86M000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+54.24M-3.96M56.59M9.57M-55.12M76.56M-142.06M-11.84M-10.35M2.37M
Operating CF Growth %3.49%-1.07%15.29%-0.83%-6.76%2.39%-2.86%0.92%0.13%1.23%
Net Income8.47M-74.99M17.57M891.74K23.95M75.34M147.07M-132.18M5.07M-38.12M
Depreciation & Amortization0000000000
Deferred Taxes0000000000
Other Non-Cash Items100.99M90.48M-30.41M16.21M-32.13M-86.64M-153.57M119.05M-15.61M40.79M
Working Capital Changes-55.22M-19.45M69.43M-7.52M-46.95M87.87M-135.57M1.29M195.08K-298.36K
Cash from Investing+000090.1M-100.19M325.71M-98.72M12.73M0
Purchase of Investments0000-415.6M-381.25M-407.43M-108.24M-290.8M-89.9M
Sale/Maturity of Investments00001000K1000K1000K1000K1000K1000K
Net Investment Activity----------
Acquisitions0000000000
Other Investing0000180.21M-200.37M651.42M-197.44M25.46M14.84M
Cash from Financing+-44.36M-1.06M-5.08M-41.23M-18.31M24.56M-31.01M-47.76M-14.32M-10.51M
Dividends Paid-26.36M-887.24K00-3.51M-14.66M-103.46M-26.54M-143.66K-143.66K
Share Repurchases00-4.93M-10.28M-14.79M-10.38M0-21.45M-14.18M-9.4M
Stock Issued0000049.6M78.61K229.9K00
Net Stock Activity----------
Debt Issuance (Net)-1000K00-1000K001000K00-76.85K
Other Financing0-169.61K-150.43K-2.08M00-366.59K-1.54K0-891.84K
Net Change in Cash+9.88M-5.02M51.51M-31.65M16.68M932.46K152.64M-158.32M-11.94M-8.14M
Exchange Rate Effect0000100000
Cash at Beginning3.47M13.35M8.33M59.84M28.18M44.86M45.79M198.44M40.12M28.18M
Cash at End13.35M8.33M59.84M28.18M44.86M45.79M198.44M40.12M28.18M20.04M
Interest Paid0000000000
Income Taxes Paid0000000000
Free Cash Flow+54.24M-3.96M56.59M9.57M-55.12M76.56M-142.06M-11.84M-10.35M2.37M
FCF Growth %3.49%-1.07%15.29%-0.83%-6.76%2.39%-2.86%0.92%0.13%1.23%

Banking Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)3.06%-28.88%7.56%0.43%11.81%30.04%44.14%-45.99%2.45%-21.13%
Return on Assets (ROA)1.92%-21.46%5.15%0.25%7.74%19.63%31.25%-35.4%1.8%-14.97%
Net Interest Margin-1.19%-1.4%-1.15%-1.08%-0.48%-0.26%0.04%-0.68%0.37%-0.61%
Efficiency Ratio1994.51%755.14%494.5%-54.11%828.09%772.46%728.03%385.36%230.09%294.88%
Equity / Assets67.37%83.5%55.89%62.27%69.28%62.98%78.92%73.84%73.26%68.04%
Book Value / Share13.8711.339.739.978.6713.8413.6377.766.59
NII Growth14.3%10.79%-4.38%19.11%61.24%9.84%116.45%-1045.23%153.22%-236.5%
Dividend Payout311.34%---------

Frequently Asked Questions

Growth & Financials

SuRo Capital Corp. (SSSS) saw revenue decline by 29.2% over the past year.

Yes, SuRo Capital Corp. (SSSS) is profitable, generating $69.0M in net income for fiscal year 2024 (-815.8% net margin).

Dividend & Returns

SuRo Capital Corp. (SSSS) does not currently pay a meaningful dividend. The company may be reinvesting profits for growth.

SuRo Capital Corp. (SSSS) has a return on equity (ROE) of -21.1%. Negative ROE indicates the company is unprofitable.

Industry Metrics

SuRo Capital Corp. (SSSS) has a net interest margin (NIM) of -0.6%. NIM has been under pressure due to interest rate environment.

SuRo Capital Corp. (SSSS) has an efficiency ratio of 294.9%. This is higher than peers, suggesting room for cost optimization.

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