Financial Snapshot

Revenue
$94.34M
TTM
Gross Margin
74.66%
TTM
Net Earnings
$10.25M
TTM
Current Assets
$9.408M
Q4 2023
Current Liabilities
$29.78M
Q4 2023
Current Ratio
31.59%
Q4 2023
Total Assets
$524.6M
Q4 2023
Total Liabilities
$192.5M
Q4 2023
Book Value
$332.1M
Q4 2023
Cash
$9.408M
Q4 2023
P/E
34.37
Sep 13, 2024 EST
Free Cash Flow

Revenues

Revenues

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Revenue YoY Change

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Revenues

Concept 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
Revenue $50.44M $43.91M $39.55M $36.86M $6.070M $44.07M $42.38M $39.45M $30.59M $30.02M $30.02M
YoY Change 14.87% 11.02% 7.29% 507.25% -86.23% 3.99% 7.43% 28.96% 1.9% 0.0%

Expenses

Cost Of Revenues

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Gross Profit

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Gross Profit Margin

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Gross Profit

Concept 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
Revenue $50.44M $43.91M $39.55M $36.86M $6.070M $44.07M $42.38M $39.45M $30.59M $30.02M $30.02M
Cost Of Revenue $12.60M $11.28M $8.914M $7.780M $1.770M $11.56M $10.04M $8.610M $6.780M $7.610M $7.610M
Gross Profit $37.84M $32.63M $30.63M $29.08M $4.300M $32.51M $32.34M $30.84M $23.81M $22.40M $22.40M
Gross Profit Margin 75.03% 74.31% 77.46% 78.89% 70.84% 73.77% 76.31% 78.17% 77.84% 74.62% 74.62%

Selling, General & Admin Expense

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Research & Development

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Depreciation, Depletion & Amortization

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SGA Expense to Gross Profit Ratio

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R&D To Gross Profit Ratio

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DDA To Gross Profit Ratio

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Operating Expenses Total

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Operating Profits/Loss

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Operational Expenses

Concept 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
Selling, General & Admin $1.840M $1.142M $986.0K $990.0K $330.0K $1.400M $1.600M $2.190M $1.840M $800.0K $800.0K
YoY Change 61.12% 15.82% -0.4% 200.0% -76.43% -12.5% -26.94% 19.02% 130.0% 0.0%
% of Gross Profit 4.86% 3.5% 3.22% 3.4% 7.67% 4.31% 4.95% 7.1% 7.73% 3.57% 3.57%
Research & Development
YoY Change
% of Gross Profit
Depreciation & Amortization
YoY Change
% of Gross Profit
Operating Expenses $1.840M $1.142M $986.0K $990.0K $330.0K $1.400M $1.590M $2.190M $1.840M $800.0K $800.0K
YoY Change 61.12% 15.82% -0.4% 200.0% -76.43% -11.95% -27.4% 19.02% 130.0% 0.0%
Operating Profit $36.00M $31.49M $29.65M $28.09M $3.970M $31.11M $30.75M $28.65M $21.97M $21.60M $21.60M
YoY Change 14.34% 6.2% 5.55% 607.56% -87.24% 1.17% 7.33% 30.41% 1.71% 0.0%

Interest Expenses

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Interest Expenses To Operating Income %

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Other Expense/Income

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Interest & Other Expense/Income

Concept 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
Interest Expense $21.86M -$76.05M $8.277M -$19.90M $14.79M -$12.91M $19.86M $1.690M -$28.51M -$9.470M -$9.470M
YoY Change -128.74% -1018.84% -141.59% -234.55% -214.56% -165.01% 1075.15% -105.93% 201.06% 0.0%
% of Operating Profit 60.71% -241.53% 27.92% -70.84% 372.54% -41.5% 64.59% 5.9% -129.77% -43.84% -43.84%
Other Income/Expense, Net -$1.509M -$1.540M -$790.0K -$820.0K -$20.00K -$120.0K -$100.0K -$80.00K -$140.0K -$190.0K -$190.0K
YoY Change -2.01% 94.94% -3.66% 4000.0% -83.33% 20.0% 25.0% -42.86% -26.32% 0.0%

Income/Loss

Pretax Income

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Income Tax

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Net Profits/Loss

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Pretax Income YoY Change

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Income Tax Rate

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Net Profits/Loss YoY Change

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Basic EPS

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Net Income To Revenue Ratio

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Pretax & Net Income

Concept 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
Pretax Income $56.35M -$46.11M $37.14M $7.380M $18.74M $18.08M $50.51M $30.26M -$7.140M $11.94M $11.94M
YoY Change -222.23% -224.16% 403.18% -60.62% 3.65% -64.21% 66.92% -523.81% -159.8% 0.0%
Income Tax
% Of Pretax Income
Net Earnings $56.35M -$46.11M $37.14M $7.380M $18.74M $18.08M $50.51M $30.26M -$7.140M $11.94M $11.94M
YoY Change -222.23% -224.16% 403.18% -60.62% 3.65% -64.21% 66.92% -523.81% -159.8% 0.0%
Net Earnings / Revenue 111.72% -105.0% 93.9% 20.02% 308.73% 41.03% 119.18% 76.7% -23.34% 39.77% 39.77%
Basic Earnings Per Share
Diluted Earnings Per Share $2.46 -$2.01 $1.621M $322.1K $818.0K $787.5K $2.200M $1.316M -$304.1K $695.4K $695.4K

Assets & Liabilities

Cash & Short-Term Investments

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Cash & Equivalents

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Cash To Operating Expenses Ratio

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Inventory

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Receivables

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Total Short-Term Assets

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Property, Plant And Equipment

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Long-Term Investments

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Total Long-Term Assets

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Total Assets

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Net Income To Total Assets Percentage

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Accounts Payable

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Short-Term Debt

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Long Term Debt Due

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Total Short-Term Liabilities

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Long-Term Debt

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Other Long-Term Liabilities

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Total Long-Term Liabilities

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Total Liabilities

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Short-Term To Long-Term Debt Ratio

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Short-Term Assets To Debt Ratio

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Long-Term Debt To Net Income Ratio

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Assets & Liabilities

Concept 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
Cash & Short-Term Investments $9.408M $7.202M $6.296M $8.800M $4.300M $7.000M $6.300M $8.600M $3.700M $25.40M $25.40M
YoY Change 30.63% 14.39% -28.45% 104.65% -38.57% 11.11% -26.74% 132.43% -85.43% 0.0%
Cash & Equivalents $9.408M $800.0K $3.516M $6.200M $100.0K $600.0K $200.0K $400.0K $1.100M $10.60M $10.60M
Short-Term Investments
Other Short-Term Assets $0.00 $0.00 $0.00
YoY Change
Inventory
Prepaid Expenses
Receivables
Other Receivables
Total Short-Term Assets $9.408M $7.202M $6.296M $8.800M $4.300M $4.400M $7.000M $6.300M $8.600M $3.700M $25.40M
YoY Change 30.63% 14.39% -28.45% 104.65% -2.27% -37.14% 11.11% -26.74% 132.43% -85.43%
Property, Plant & Equipment
YoY Change
Goodwill
YoY Change
Intangibles
YoY Change
Long-Term Investments $507.6M $482.6M $618.6M $540.1M $560.6M $577.0M $595.8M $579.1M $572.2M $446.6M $446.6M
YoY Change 5.19% -21.98% 14.53% -3.66% -2.84% -3.16% 2.88% 1.21% 28.12% 0.0%
Other Assets $200.0K $200.0K $200.0K $100.0K $100.0K $200.0K $200.0K $200.0K
YoY Change 0.0% 0.0% 100.0% 0.0% -50.0% 0.0% 0.0%
Total Long-Term Assets $515.2M $491.5M $626.2M $547.3M $568.4M $586.3M $601.5M $587.8M $574.8M $474.3M $452.6M
YoY Change 4.82% -21.52% 14.42% -3.71% -3.05% -2.53% 2.33% 2.26% 21.19% 4.79%
Total Assets $524.6M $498.7M $632.5M $556.1M $572.7M $590.7M $608.5M $594.1M $583.4M $478.0M $478.0M
YoY Change
Accounts Payable $745.0K $409.0K $1.715M $400.0K $500.0K $500.0K $500.0K $500.0K $500.0K $400.0K $400.0K
YoY Change 82.15% -76.15% 328.75% -20.0% 0.0% 0.0% 0.0% 0.0% 25.0% 0.0%
Accrued Expenses $1.471M $1.127M $1.074M $500.0K $600.0K $300.0K $800.0K $200.0K $300.0K $100.0K $100.0K
YoY Change 30.52% 4.93% 114.8% -16.67% 100.0% -62.5% 300.0% -33.33% 200.0% 0.0%
Deferred Revenue
YoY Change
Short-Term Debt $24.52M $21.67M $31.74M $22.40M $17.80M $22.30M $23.10M $33.30M $15.40M $21.90M $21.90M
YoY Change 13.17% -31.73% 41.68% 25.84% -20.18% -3.46% -30.63% 116.23% -29.68% 0.0%
Long-Term Debt Due
YoY Change
Total Short-Term Liabilities $29.78M $24.18M $34.66M $23.50M $19.30M $20.30M $23.60M $25.10M $34.30M $16.40M $22.60M
YoY Change 23.13% -30.22% 47.47% 21.76% -4.93% -13.98% -5.98% -26.82% 109.15% -27.43%
Long-Term Debt $162.7M $167.7M $217.6M $162.6M $163.3M $165.2M $170.2M $168.0M $169.0M $134.0M $134.0M
YoY Change -2.97% -22.92% 33.8% -0.43% -1.15% -2.94% 1.31% -0.59% 26.12% 0.0%
Other Long-Term Liabilities
YoY Change
Total Long-Term Liabilities $162.7M $167.7M $217.6M $162.6M $163.3M $165.2M $170.2M $168.0M $169.0M $134.0M $134.0M
YoY Change -2.97% -22.92% 33.8% -0.43% -1.15% -2.94% 1.31% -0.59% 26.12% 0.0%
Total Liabilities $192.5M $191.9M $252.2M $186.1M $182.6M $188.7M $195.1M $202.3M $185.4M $156.6M $156.6M
YoY Change 0.32% -23.93% 35.53% 1.92% -3.23% -3.28% -3.56% 9.12% 18.39% 0.0%

Ownership

Basic Shares Outstanding

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Diluted Shares Outstanding

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Preferred Stock

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Treasury Stock Shares

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Stock Issuance & Repurchase

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Ownership Data

Concept 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
Basic Shares Outstanding
Diluted Shares Outstanding
Preferred Stock
Treasury Stock Shares

Return On Shareholders' Equity

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Book Value

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Free Cash Flow

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Free Cash Flow YoY

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Dividends

Dividends

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Stock Price

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Market Cap: $352.2 Million

About Ares Dynamic Credit Allocation Fund Inc

Ares Dynamic Credit Allocation Fund Inc is a US-based company operating in industry. The company is headquartered in Los Angeles, California. The company went IPO on 2012-11-28. Ares Dynamic Credit Allocation Fund, Inc. (the Fund) is a closed end, diversified, management investment company. The Fund's investment objective is to seek an attractive risk adjusted level of total return, primarily through current income and secondarily, through capital appreciation. The Fund seeks to achieve its investment objective by investing primarily in a broad, dynamically managed portfolio of senior secured loans (Senior Loans) made primarily to companies whose debt is rated below investment grade; corporate bonds (Corporate Bonds) that are primarily high yield issues rated below investment grade; other fixed-income instruments of a similar nature that may be represented by derivatives, and securities issued by entities commonly referred to as collateralized loan obligations (CLOs) and other asset-backed securities. Its investments in CLOs may include investments in subordinated tranches of CLO securities. The Fund's investment adviser is Ares Capital Management II LLC.

Industry: UNKNOWN Peers: