Geo Group Inc (The) REIT vs Main Street Capital Corporation — how do they compare? Geo Group Inc (The) REIT trades at $30.96 (market cap $4.07B), while Main Street Capital Corporation trades at $54.47 (market cap $5.09B). The key difference: Main Street Capital Corporation is the larger of the two by market cap, and Main Street Capital Corporation pays a 5.84% dividend while Geo Group Inc (The) REIT pays none. Which is the better fit depends on your goals — on Pluang, investors hold Geo Group Inc (The) REIT for 0 Days and Main Street Capital Corporation for 88 Days on average.
| GEO | MAIN | |
|---|---|---|
Market Cap | $4.07B | $5.09B |
Volume | 3,991,492 | 524,060 |
Sector | Industrials | Financials |
52-Week High | $32.77 | $64.60 |
52-Week Low | $13.26 | $49.63 |
Typical Hold Time | 0 Days | 88 Days |
Enterprise Value | $5.63B | $7.54B |
Dividend Yield | — | 5.84% |
Signals from Pluang's Aura AI — not financial advice
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MAIN trades at $54.18, down 1.08% on the day, with a bearish technical signal from moving averages and oscillators. The company reported revenue of $592 million and net income of $493 million for 2025, with a net income margin of 83.36%. Recent earnings show mixed results, beating in Q2 2026 but missing in Q1 2026. Analyst consensus is a Hold with a $58.33 price target, indicating modest upside potential.
Outlook: MAIN offers a stable dividend history and strong profitability, but faces headwinds from softening revenue projections for 2026 and negative operating cash flow. Risks include earnings volatility and high valuation multiples. The stock presents a cautious opportunity for income-focused investors, balanced by near-term fundamental pressures.
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The GEO Group provides correctional, detention, and community reentry services. Its operations include secure facilities, electronic monitoring, and support programs for individuals in the criminal-justice system.
Read more on GEO →Main Street Capital Corp is an investment firm engaged in providing customized debt and equity financing to lower middle market companies and debt capital to middle market companies. The investment portfolio of the company is typically made to support management buyouts, recapitalizations, growth financings, refinancings and acquisitions of companies that operate in diverse industry sectors. The group invests in secured debt investments, equity investments, warrants and other securities of the lower middle market and middle market companies based in the US. Business is functioned through the U.S region and it derives the majority of the income from the source of fee, commission, and interest.
Read more on MAIN →