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Blue Owl Capital downgraded to Hold due to dividend cuts and NAV pressure despite solid portfolio.

Analyst Insights
30 Jul 2026
Seeking Alpha
View Source
Bearish
Blue Owl Capital downgraded to Hold due to dividend cuts and NAV pressure despite solid portfolio.

Blue Owl Capital (OBDC) has been downgraded to Hold as its dividend coverage deteriorates and net asset value (NAV) faces pressure. Although a recent dividend cut restored coverage to 100%, it offers no margin of safety and risks further reductions. The company's portfolio quality remains solid with stable non-accruals and improved internal ratings, particularly in software exposure. Despite trading at a 25% discount to NAV, weak capital raising and limited earnings growth reduce the chances of multiple expansion or near-term stock price gains.

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