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Compare Live Nation Entertainment, Inc. (LYV) vs Main Street Capital Corporation (MAIN) Price & Performance

Live Nation Entertainment, Inc.Trade
Main Street Capital CorporationTrade

Price performance (Past 24H)

Key statistics

Live Nation Entertainment, Inc. vs Main Street Capital Corporation — how do they compare? Live Nation Entertainment, Inc. trades at $183.14 (market cap $42.71B), while Main Street Capital Corporation trades at $59 (market cap $5.52B). The key difference: Live Nation Entertainment, Inc. is far larger — about 7.7× Main Street Capital Corporation's market cap, and Main Street Capital Corporation pays a 5.39% dividend while Live Nation Entertainment, Inc. pays none. Which is the better fit depends on your goals.

LYVMAIN
Market Cap
$42.71B$5.52B
Sector
IndustrialsFinancials
52-Week High
$186.59$67.54
52-Week Low
$125.61$49.63
Enterprise Value
$44.92B
Dividend Yield
5.39%

Returns comparison

Trailing returns across standard periods

About Live Nation Entertainment, Inc.

Live Nation is the largest live entertainment firm in the world with over 570 million fans served in 44 countries in 2018 by the company's concert and ticketing platforms. Via either owning, operating, or holding exclusive booking rights, Live Nation controls over 235 venues including the House of Blues, the Hollywood Palladium, and Spark Arena in New Zealand. Live Nation also owns one of the largest ticketing services, Ticketmaster, which sold over 480 million tickets for over 12,000 clients in 2018. The firm's artist management agencies have over 400 clients. This large live entertainment footprint helped Live Nation become one of the largest advertising and sponsorship platforms aimed at music fans. Liberty Media owns 33% of Live Nation, held under its SiriusXM tracking stock.

Read more on LYV

About Main Street Capital Corporation

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