Capital Southwest
CSWCZ
$25.37 0.05%
Exchange: NASDAQ | Sector: Financial Services | Industry: Asset Management
Q1 2025
Published: Aug 6, 2024

Earnings Highlights

  • Revenue of $36.25M up 19.7% year-over-year
  • EPS of $0.31 decreased by 50.8% from previous year
  • Gross margin of 140.1%
  • Net income of 14.04M
  • "No transcript quotes available in the supplied data." - N/A

Capital Southwest Corporation (CSWCZ) QQ1 2025 Results – Robust EBITDA Delivery and Fee-Based Growth Amid Mixed Net Income

Executive Summary

Capital Southwest Corporation (CSWCZ) delivered a solid EBITDA result in QQ1 2025, supported by strong fee-driven activity and cash generation. Reported revenue of $36.254 million and EBITDA of $45.012 million culminated in a net income of $14.035 million and earnings per share of $0.31. Cash flow from operating activities totaled $31.125 million, with free cash flow of $31.000 million, underscoring the company’s ability to convert earnings into cash and support distributions. However, the quarter also highlighted some sustainability concerns: net income declined year-over-year by 41.06% despite meaningful top-line growth (revenue up 19.74% YoY and 15.10% QoQ). The company paid dividends of $29.508 million while reporting a payout ratio of 210%, indicating the reliance on financing activities to fund distributions and the potential sensitivity of the dividend to earnings volatility. The balance sheet remains substantial with total assets of approximately $1.544 billion and a debt load of about $738.6 million (net debt around $705.3 million). Cash and cash equivalents stood at $33.3 million at period end, and equity was about $777.3 million, yielding a leverage profile that supports ongoing investment activity but requires careful monitoring of liquidity and coverage in slower or more volatile markets. Absence of an earnings call transcript in the provided data limits qualitative insights from management commentary; the quantitative results suggest a business with strong EBITDA generation but with significant emphasis needed on dividend sustainability and net income drivers going forward.

Key Performance Indicators

Revenue

36.25M
QoQ: 15.10% | YoY:19.74%

Gross Profit

50.79M
1.40% margin
QoQ: 98.43% | YoY:72.17%

Operating Income

28.63M
QoQ: 8.91% | YoY:16.39%

Net Income

14.04M
QoQ: 4.20% | YoY:-41.06%

EPS

0.31
QoQ: 3.33% | YoY:-50.79%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $36.254 million; cost of revenue $1.279 million; gross profit $50.786 million; gross profit margin reported as 140.08% (ratio 1.4008). EBITDA: $45.012 million; Operating income: $28.633 million; Net income: $14.035 million; EPS: $0.31; Interest expense: $12.447 million; Depreciation & amortization: $1.279 million; Net cash provided by operating activities: $31.125 million; Free cash flow: $31.1 million; Cash at end of period: $33.299 million; Dividends paid: $29.508 million; Common ...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2026 56.95 0.57 +48.2% View
Q1 2026 77.88 0.59 +114.8% View
Q4 2025 88.44 1.33 +180.8% View
Q3 2025 41.33 0.34 -14.9% View
Q2 2025 38.42 0.48 -10.2% View
Q1 2025 36.25 0.31 +19.7% View