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BANX Overview

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ET
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Intellectia

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High
19.480
Open
19.260
VWAP
19.36
Vol
78.80K
Mkt Cap
138.87M
Low
19.132
Amount
1.53M
EV/EBITDA(TTM)
8.78
Total Shares
7.13M
EV
206.57M
EV/OCF(TTM)
13.21
P/S(TTM)
4.51
ArrowMark Financial Corp. is a non-diversified, closed-end management investment company. The Company's primary investment objective is to provide stockholders with current income, and to a lesser extent capital appreciation. The Company generally invests in the preferred equity, debt and subordinated debt, structured notes and securities, convertible securities and, to a lesser extent, common equity primarily in the United States community bank sector. The Company also invests in the United States domiciled banks and companies that provide goods and services to banking companies. The Company's investment portfolio includes term loans, structured debt securities, regulatory capital securities, trust preferred and preferred securities, exchange-traded funds, and short-term or cash and cash equivalent investments. Its investment advisor is ArrowMark Asset Management, LLC.
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Events Timeline

(ET)
2026-02-19
09:20:00
ArrowMark Financial Announces Preliminary Results of Transferable Rights Offering
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2025-12-18 (ET)
2025-12-18
18:40:00
ArrowMark Financial Corp. Issues 673,249 Shares at $22.28 Each
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2025-12-15 (ET)
2025-12-15
06:20:00
ArrowMark Financial Announces Special Income Distribution of $0.10 per Share
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2025-11-17 (ET)
2025-11-17
17:26:08
OmniAb Enters Partnership for Antibody Discovery with Newly Incubated Firm
select
2025-10-17 (ET)
2025-10-17
17:31:11
ArrowMark Financial Corp. announces estimated NAV of $22.40 for September 30
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News

Newsfilter
8.0
03-10Newsfilter
ArrowMark Financial Declares Monthly Cash Distribution of $0.15 per Share
  • Monthly Cash Distribution: ArrowMark Financial has declared a monthly cash distribution of $0.15 per share for March 2026, payable on March 31, reflecting the company's consistent earnings ability and commitment to shareholders.
  • Quarterly Net Income Exceeds Expectations: The net income for Q4 2025 was reported at $0.53 per share, significantly surpassing the quarterly distribution of $0.45, indicating the company's sustained over-earning over the past four years, which boosts shareholder confidence.
  • Clear Investment Objective: As a non-diversified closed-end fund, ArrowMark Financial focuses on providing current income to shareholders by investing primarily in regulatory capital securities of financial institutions, highlighting its unique market positioning.
  • Risk Advisory: Despite strong performance, the company faces various risks, including market and liquidity risks, necessitating careful assessment of investment objectives and risks by investors to ensure suitability for their investment profiles.
Benzinga
4.5
02-20Benzinga
Credit Market Stability Amid Sentiment Volatility
  • Tight Credit Spreads: Despite fluctuations in market sentiment, credit spreads remain historically tight, indicating continued confidence in borrower health and funding conditions, suggesting that investors still trust income assets.
  • Misunderstanding Software Lending: The market's panic over software borrowers is an overreaction, as software lending has been a cornerstone of private credit due to the stable cash flows and high margins these companies generate, reflecting crowd psychology rather than actual credit deterioration.
  • Stable Energy Income: Energy income continues to benefit from a balanced commodity environment, with oil prices high enough to support steady production and cash flow without triggering reckless capital expansion, highlighting strong long-term demand trends.
  • Mortgage Securities Recovery: Agency mortgage-backed securities have quietly improved as spreads stabilize and rate volatility moderates, with minimal credit risk and stable fundamentals, creating attractive yield opportunities for disciplined investors.
Newsfilter
8.5
02-19Newsfilter
ArrowMark Financial Corp. Announces Preliminary Results of Rights Offering
  • Offering Scale: ArrowMark Financial Corp.'s transferable rights offering, conducted from January 22 to February 18, 2026, allows rights holders to subscribe for up to 2,604,156 shares of common stock, indicating the company's active engagement in capital markets.
  • Subscription Price: The subscription price of $19.79 per common share, determined at 90% of the net asset value on the expiration date, reflects the company's confidence in its asset valuation.
  • Expected Proceeds: The offering is expected to generate approximately $37 million in gross proceeds, indicating the company's intention to utilize these funds to further invest in its objectives and policies, thereby enhancing financial stability.
  • Investment Strategy: ArrowMark focuses on investing in regulatory capital securities of financial institutions to provide shareholders with current income, showcasing its specialized positioning and long-term growth potential in the market.
Newsfilter
9.5
02-11Newsfilter
ArrowMark Financial Corp. Reports Estimated NAV of $21.98
  • NAV Announcement: ArrowMark Financial Corp. reported an estimated and unaudited Net Asset Value (NAV) of $21.98 as of January 31, 2026, providing investors with an initial indication of the company's financial condition despite the lack of comprehensive financial statements.
  • Investment Objective: As a non-diversified closed-end fund listed on NASDAQ, ArrowMark primarily invests in regulatory capital securities of financial institutions, aiming to provide current income to shareholders, which reflects its focus on stable income generation.
  • Management Background: The fund is managed by ArrowMark Asset Management, highlighting the expertise and capabilities of its professional management team in financial investments, aiming to achieve its investment objectives through effective asset allocation.
  • Risk Disclosure: The company is subject to various risks, including market, management, and liquidity risks, necessitating that investors carefully assess these risks and their potential impact on investment decisions to ensure alignment with their individual risk tolerance.
Globenewswire
9.5
01-17Globenewswire
ArrowMark Financial Reports Estimated NAV of $21.96 as of December 31, 2025
  • NAV Disclosure: ArrowMark Financial announced an estimated and unaudited Net Asset Value (NAV) of $21.96 as of December 31, 2025, providing investors with preliminary insight into the company's financial condition.
  • Clear Investment Objective: As a non-diversified closed-end fund, ArrowMark Financial primarily invests in regulatory capital securities of financial institutions, aiming to provide current income to shareholders, reflecting its strategic focus on stable returns.
  • Risk Factors Highlighted: The company cautions that its investment objective does not guarantee achievement and is subject to various risks, including market, management, and liquidity risks, urging investors to carefully assess these factors before investing.
  • Transparency in Reporting: ArrowMark Financial's annual reports and other regulatory filings are accessible on the SEC website and its own site, ensuring investors have the necessary financial information to make informed investment decisions.
Newsfilter
9.5
01-17Newsfilter
ArrowMark Financial Reports Estimated NAV of $21.96 as of December 31, 2025
  • NAV Update: As of December 31, 2025, ArrowMark Financial's estimated Net Asset Value (NAV) stands at $21.96, although this figure does not comprehensively reflect the company's financial condition or monthly performance.
  • Investment Objective: ArrowMark Financial, as a non-diversified closed-end fund, primarily invests in regulatory capital securities of financial institutions, aiming to provide current income to shareholders, indicating its focus in a specific market.
  • Management Background: The fund is managed by ArrowMark Asset Management, LLC, highlighting the importance of its professional management team in investment decisions, which aims to enhance investor confidence.
  • Risk Disclosure: ArrowMark Financial is subject to various risks, including market, management, and liquidity risks, necessitating that investors carefully assess these risks to determine their investment suitability.

Valuation Metrics

The current forward P/E ratio for ArrowMark Financial Corp (BANX.O) is 9.69, compared to its 5-year average forward P/E of 9.41. For a more detailed relative valuation and DCF analysis to assess ArrowMark Financial Corp's fair value, Click here.

Forward PE

The forward P/E ratio is a valuation metric that divides a company's current stock price by its estimated future earnings per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PE
9.41
Current PE
9.69
Overvalued PE
11.07
Undervalued PE
7.75

Forward EV/EBITDA

The forward EV/EBITDA ratio is a valuation metric that divides a company's enterprise value (EV) by its estimated future earnings before interest, taxes, depreciation, and amortization (EBITDA) over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
N/A
5Y Average EV/EBITDA
0.00
Current EV/EBITDA
0.00
Overvalued EV/EBITDA
0.00
Undervalued EV/EBITDA
0.00

Forward PS

The forward P/S ratio is a valuation metric that divides a company's current stock price by its estimated future sales (or revenue) per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PS
5.73
Current PS
5.92
Overvalued PS
6.71
Undervalued PS
4.75

Financials

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Frequently Asked Questions

What is ArrowMark Financial Corp (BANX) stock price today?

The current price of BANX is 19.48 USD — it has increased 1.14

What is ArrowMark Financial Corp (BANX)'s business?

ArrowMark Financial Corp. is a non-diversified, closed-end management investment company. The Company's primary investment objective is to provide stockholders with current income, and to a lesser extent capital appreciation. The Company generally invests in the preferred equity, debt and subordinated debt, structured notes and securities, convertible securities and, to a lesser extent, common equity primarily in the United States community bank sector. The Company also invests in the United States domiciled banks and companies that provide goods and services to banking companies. The Company's investment portfolio includes term loans, structured debt securities, regulatory capital securities, trust preferred and preferred securities, exchange-traded funds, and short-term or cash and cash equivalent investments. Its investment advisor is ArrowMark Asset Management, LLC.

What is the price predicton of BANX Stock?

Wall Street analysts forecast BANX stock price to fall over the next 12 months. According to Wall Street analysts, the average 1-year price target for BANX is USD with a low forecast of USD and a high forecast of 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.

What is ArrowMark Financial Corp (BANX)'s revenue for the last quarter?

ArrowMark Financial Corp revenue for the last quarter amounts to NaN USD, decreased

What is ArrowMark Financial Corp (BANX)'s earnings per share (EPS) for the last quarter?

ArrowMark Financial Corp. EPS for the last quarter amounts to USD, decreased

How many employees does ArrowMark Financial Corp (BANX). have?

ArrowMark Financial Corp (BANX) has 0 emplpoyees as of March 12 2026.

What is ArrowMark Financial Corp (BANX) market cap?

Today BANX has the market capitalization of 138.87M USD.