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Last Updated: May 04, 2026 03:28:15 PM (GMT)
SAF: The current market price is 69.65, with no percentage change available.
Support and Resistance Levels The pivot point is at 69.65, with the same support levels at 69.65 and resistance levels at 69.65.
Indicators RSI is currently at 100, showing a constant level with no historical changes. ATR is at 0, reflecting no volatility. The Parabolic SAR is at 69.65 with a consistent history, suggesting a stable trend. The SMA and EMA values for periods of 5, 10, and 20 days are all at 69.65, indicating a neutral trend.
Market Sentiment With the price equal to the pivot point of 69.65 and significant indicators supporting a flat trend, market outlook remains neutral.
About (saf) Saratoga Investment Corp 6.25%
Company Background
Saratoga Investment Corp (NYSE: SAF) is a leading investment firm that specializes in providing flexible debt and equity financing solutions to middle-market companies. Founded with the mission to deliver superior returns to its investors, Saratoga Investment has established a reputation for its disciplined investment approach and robust portfolio management. The company's focus is primarily on investing in secured loans, mezzanine debt, and equity securities across various industries, ensuring a diversified investment strategy that mitigates risk while enhancing growth potential.
Market Position
Saratoga Investment Corp holds a significant position in the financial services sector, focusing primarily on the middle-market segment, which is often underserved by traditional banks and financial institutions. With an emphasis on strong relationships and extensive industry knowledge, Saratoga successfully identifies compelling investment opportunities that drive long-term value. The company’s strategy includes leveraging its expertise to navigate complex financial environments, positioning itself as a preferred partner for borrowers seeking capital for growth and operational needs.
Key Financial Highlights
Saratoga Investment's commitment to transparency and financial discipline is reflected in its robust financial performance. The company currently offers a 6.25% dividend yield, attracting income-focused investors looking for reliable returns in a fluctuating market. As of the latest financial reports, Saratoga has demonstrated consistent growth in its net asset value (NAV), driven by prudent investment decisions and active portfolio management. The firm’s commitment to maintaining a strong balance sheet ensures flexibility in pursuing new opportunities while managing risk effectively.
Industry Highlights
Amidst a dynamic economic landscape, the demand for alternative financing solutions in the middle market continues to grow, presenting significant opportunities for firms like Saratoga Investment Corp. The company’s experienced management team is well-positioned to capitalize on these trends, leveraging its deep industry connections and market insights. As financial markets evolve, Saratoga remains dedicated to enhancing shareholder value through strategic investments and an unwavering focus on delivering exceptional service to its clients.
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