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ETF
Annual · values202520242023202220212020
Operating Cash Flow-45.70 M USD-87.12 M USD285.32 M USD-246.94 M USD-515.37 M USD-54.08 M USD
Depreciation & Amortization
Stock-Based Compensation21.44 M USD18.79 M USD16.52 M USD13.63 M USD10.89 M USD10.83 M USD
Capital Expenditures
Cash Flow from Investing
Cash Flow from Financing9.41 M USD105.29 M USD-274.36 M USD263.43 M USD516.08 M USD30.76 M USD
Dividends Paid378.01 M USD356.84 M USD224.30 M USD192.30 M USD170.20 M USD
Stock Buybacks
Free Cash Flow-45.70 M USD-87.12 M USD285.32 M USD-246.94 M USD-515.37 M USD-54.08 M USD

Main Street Capital Corporation is a business development company that specializes in providing customized debt and equity financing primarily to lower middle market companies. Its central function is to facilitate access to capital for businesses that may be underserved by traditional banking institutions, enabling activities such as growth initiatives, management buyouts, recapitalizations, acquisitions, and refinancing. The firm stands out in the financial sector by offering both control and non-control equity investments as well as a broad range of lending solutions, including mezzanine and senior secured debt. Main Street Capital Corporation’s portfolio spans a variety of industries, including manufacturing, professional services, consumer retail, energy, technology, and healthcare. With investments typically ranging between $5 million and $150 million per transaction, it partners actively with entrepreneurs, business owners, and management teams across the United States, providing what it describes as comprehensive “one stop” financing. Since its inception in 2007, Main Street Capital Corporation has played a significant role in supporting the growth and transition of small and mid-sized enterprises. The company is also recognized for its consistent dividend payments, reflecting its commitment to returning value to shareholders.