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Valuation: FS Specialty Lending Fund

Market Cap 862M 748M 690M 646M 1.21B 82.58B 1.23B 8.23B 3.19B 39.81B 3.24B 3.17B 138B P/E Ratio 2024 *
-
P/E Ratio 2025 19.3x
Enterprise Value 1.23B 1.07B 987M 925M 1.73B 118B 1.76B 11.78B 4.56B 56.97B 4.63B 4.53B 198B EV / Sales 2024 *
-
EV / Sales 2025 7.27x
Free-Float
99.09%
Yield 2024 *
-
Yield 2025 2.97%
1 day-0.87%
1 week-2.66%
Current month-3.65%
1 month-2.91%
3 months-8.97%
6 months-17.08%
Current year-19.66%
1 week 11.18
Extreme 11.185
11.72
1 month 11.18
Extreme 11.185
11.95
Current year 11
Extreme 11
14.49
1 year 11
Extreme 11
15
3 years 11
Extreme 11
15
5 years 11
Extreme 11
15
10 years 11
Extreme 11
15
Date Insider Type Main position Quantity % Market Cap.
03-12Buy

Director

1,000 0.0013%
03-10Other

Director

10,000 0.0132%
03-09Buy

Chief Financial Officer

2,200 0.0029%
Change 5-day change 1-year change 3-year change Capi.($)
-0.87%-2.66% - - 870M
+2.40%-6.40%-36.50%+1,299.96% 35.41B
+1.22%-6.63%-28.56%+1,157.05% 18.01B
-4.12%-2.57%-3.52%+160.16% 14.94B
-1.55%-2.84%-35.83%+181.54% 13B
+0.08%+3.50%+24.66%+71.19% 11.86B
-3.43%+0.49%-19.66%+126.00% 9.64B
-0.15%-2.58%-20.09%+30.36% 7.42B
-1.33%-3.67%+34.64%+144.32% 6.82B
Average -0.86%-0.25%-10.61%+396.32% 13.11B
Weighted average by Cap. -0.15%-1.69%-18.23%+639.51%

Financials

2024 2025
Net sales 223M 194M 178M 167M 312M 21.36B 319M 2.13B 824M 10.3B 837M 819M 35.8B 199M 173M 159M 149M 278M 19.04B 284M 1.9B 734M 9.18B 746M 730M 31.9B
Net income 95.04M 82.48M 76.03M 71.24M 133M 9.1B 136M 907M 351M 4.39B 357M 349M 15.25B 55.64M 48.29M 44.51M 41.7M 77.92M 5.33B 79.54M 531M 206M 2.57B 209M 204M 8.93B
Net Debt 294M 256M 236M 221M 412M 28.19B 421M 2.81B 1.09B 13.59B 1.11B 1.08B 47.25B 372M 323M 298M 279M 521M 35.61B 532M 3.55B 1.37B 17.17B 1.4B 1.37B 59.69B
Logo FS Specialty Lending Fund
FS Specialty Lending Fund, formerly FS Energy and Power Fund, offers a diversified credit strategy of investing in private and public credit in a broader set of industries, sectors and subsectors. The Company’s non-fundamental investment policy is to invest primarily in a portfolio of secured and unsecured floating and fixed rate loans, bonds and other types of credit instruments, which, under normal circumstances, will represent at least 80% of the Company’s total assets, rather than to invest at least 80% of its total assets in securities of energy and power related companies. The Company’s investment objective is to generate current income and, to a lesser extent, long-term capital appreciation. The Company’s investment advisor is FS/EIG Advisor, LLC.
Employees
-
Date Price Change Volume
11/06/26 11.36 $ -0.87% 234,372
10/06/26 11.46 $ +1.33% 384,687
09/06/26 11.31 $ -0.18% 224,142
08/06/26 11.33 $ -0.18% 208,997
05/06/26 11.35 $ -2.74% 323,724
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