Blue Owl Capital Schedules Q4 and FY 2025 Earnings Release and Conference Call
Written by Emily J. Thompson, Senior Investment Analyst
Updated: Jan 07 2026
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Source: PRnewswire
- Earnings Release Schedule: Blue Owl Capital will release its financial results for Q4 and FY 2025 after market close on February 18, 2026, demonstrating the company's commitment to transparency and investor communication.
- Conference Call Invitation: The company invites all interested parties to join a conference call on February 19, 2026, at 10:00 a.m. Eastern Time to discuss the financial results in depth, enhancing engagement with investors.
- Portfolio Scale: As of September 30, 2025, Blue Owl Capital's investments in 238 portfolio companies had an aggregate fair value of $17.1 billion, indicating its significant influence in the middle-market lending sector.
- External Management Structure: Blue Owl Capital is externally managed by Blue Owl Credit Advisors LLC, an indirect affiliate of Blue Owl Capital Inc., highlighting its strategic positioning in the professional financial services industry.
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Analyst Views on OBDC
Wall Street analysts forecast OBDC stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for OBDC is 14.19 USD with a low forecast of 12.00 USD and a high forecast of 15.50 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.
9 Analyst Rating
7 Buy
2 Hold
0 Sell
Strong Buy
Current: 12.150
Low
12.00
Averages
14.19
High
15.50
Current: 12.150
Low
12.00
Averages
14.19
High
15.50
About OBDC
Blue Owl Capital Corporation is a specialty finance company focused on lending to United States middle-market companies. The Company’s investment objective is to generate current income and, to a lesser extent, capital appreciation by targeting investment opportunities with favorable risk-adjusted returns, including senior secured, subordinated, or mezzanine loans and equity-related instruments. Its investment strategy is intended to generate favorable returns across credit cycles with an emphasis on preserving capital. It has investments in approximately 219 portfolio companies. Its portfolio by industry includes Internet software and services, insurance, food and beverage, asset-based lending and fund finance, healthcare providers and services, healthcare technology, buildings and real estate, consumer products, manufacturing, aerospace and defense, distribution, business services, and others. It is externally managed by Blue Owl Credit Advisors LLC.
About the author

Emily J. Thompson
Emily J. Thompson, a Chartered Financial Analyst (CFA) with 12 years in investment research, graduated with honors from the Wharton School. Specializing in industrial and technology stocks, she provides in-depth analysis for Intellectia’s earnings and market brief reports.
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