NYSE$FSK

FS KKR Capital Corp · Q4 2025 earnings

Q4 2025 earnings · · After market close · Investor relations

Briefing

FS KKR Capital Corp. reported Q4 2025 net investment income of $0.48 per share and declared a $0.48 first-quarter 2026 dividend.

FSK posted Q4 2025 net investment income of $0.48 per share (adjusted NII $0.52) with NAV of $20.89 per share versus $21.99 at September 30. Total net realized and unrealized loss was $0.89 per share in the quarter. The board declared a Q1 2026 distribution of $0.48 per share. The BDC is managed through the FS/KKR credit platform focused on middle-market direct lending.

  • Q4 NII $0.48/share; adjusted NII $0.52.
  • NAV $20.89/share; Q1 2026 dividend $0.48 maintained.
  • Middle-market credit book managed by FS/KKR.
  • Marks reflected unrealized losses in the quarter.

Headline financials

Total Revenue

$374M

Previous: $1.72B-78.3%
EPS (adj)

$0.52

Previous: $0.66-21.2%
Available Liquidity

$3.3B

No prior period
NAV per Share

$20.89

No prior period
Total Purchases

$1.1B

No prior period
Total Sales and Repayments

$1.33B

No prior period
Yield Accruing Debt

10.1%

No prior period
Yield All Debt

9.3%

No prior period
Non-Accrual Fair Value

3.4%

No prior period
Variable Rate Debt

60.9%

No prior period
Fixed Rate Debt

8.2%

No prior period
Other Income Producing

21.4%

No prior period
Non-Income Producing

6.1%

No prior period
Avg Interest Rate

5.1%

No prior period
Unsecured Debt %

62.0%

No prior period
Secured Debt %

38.0%

No prior period
Net Income

-$115M

Previous: $813M-114.1%
Operating Income

$166M

Previous: $836M-80.1%

Revenue & EPS history

FS KKR · Revenue · Quarterly

$374M

Q4 2025-78.3%vs Q4 2024
Beat estimate in 8 of 15 quarters(53%)
ActualEstimate

Forward guidance

FSK does not issue annual EPS guidance; investors monitor portfolio non-accruals, spread income, and KKR origination flow.

Tailwinds

  • Dividend covered by NII at $0.48 quarterly.
  • Scale platform with KKR sourcing in private credit.
  • Diversified senior secured loan portfolio.

Headwinds

  • NAV decline on unrealized marks in Q4.
  • Middle-market credit stress if macro slows.
  • Below adjusted NII on GAAP net income due to marks.

Historical earnings impact

How earnings announcements have historically affected this stock's price.

Avg. return before/after earnings

Based on 19 quarterly earnings reports · overlaid with Q4 2025

Historical avgQ4 2025

+0.1%

Avg return

Earnings day

+0.5%

Avg return

5 days after

-0.1%

Avg return

30 days after

58%

28 / 48 earnings

Positive

+9.3%

Q3 2020

Best reaction

-15.2%

Q4 2025

Worst reaction

Earnings price reactions
QuarterReport dateReaction (Day 0)+5 days+30 days
Q1 2026-0.7%+1.4%+1.4%
Q4 2025-15.2%-17.8%-25.6%
Q3 2025+3.6%+4.7%+4.5%
Q1 2025+2.8%+6.9%+9.5%
Q4 2024-0.6%-0.5%-8.3%
Q3 2024+3.2%+3.9%+6.2%
Q2 2024+1.9%+2.2%+8.0%
Q1 2024+2.4%+3.0%+6.3%
Q4 2023-7.0%-5.7%-6.3%
Q3 2023+0.2%+0.1%+0.9%
Q2 2023+0.8%-0.2%+0.5%
Q1 2023+8.1%+8.3%+11.1%
Q4 2022+1.0%+2.2%-6.1%
Q3 2022-1.7%+1.0%-4.1%
Q2 2022-0.0%+2.0%-4.3%
Q1 2022+2.9%+1.6%+2.9%
Q4 2021+2.0%+6.6%+4.1%
Q3 2021+0.3%+0.9%-0.6%
Q2 2021+5.7%+7.5%+7.4%
Q1 2021+0.4%+1.4%+10.0%
Q4 2020+2.6%+1.7%+3.3%
Q3 2020+9.3%+8.9%+23.3%
Q2 2020-2.5%-1.9%-2.7%
Q1 2020-0.3%+0.6%+23.3%
Q4 2019-10.9%-7.1%-46.4%
Q3 2019+2.3%+3.1%+9.6%
Q2 2019+5.4%+3.9%+5.0%
Q1 2019-1.4%-2.9%-4.3%
Q4 2018-0.6%-1.2%-7.4%
Q3 2018-0.9%-4.4%-9.0%
Q2 2018-8.0%-8.0%-8.6%
Q1 2018+0.6%+1.3%+0.6%
Q4 2017+2.1%+4.2%+2.1%
Q3 2017+3.8%+3.2%-1.3%
Q2 2017-6.1%-5.0%-7.8%
Q1 2017-1.0%-2.6%-2.6%
Q4 2016-3.7%-9.3%-8.8%
Q3 2016+3.7%+4.8%+9.1%
Q2 2016-0.1%+0.4%+3.2%
Q1 2016+0.2%
Q4 2015+1.8%
Q3 2015-3.7%
Q2 2015+1.7%
Q1 2015+0.5%
Q4 2014-0.4%
Q3 2014+0.4%
Q2 2014-1.2%
Q1 2014+0.1%
Q4 2013
Q3 2013
Q2 2013
Q1 2013
Q4 2012
Q3 2012
Q2 2012
Q1 2012
Q4 2011
Q3 2011
Q2 2011
Q1 2011
Q4 2010
Q3 2010
Q2 2010
Q1 2010

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