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SAR

Saratoga Investment Corp.

Saratoga Investment Corp. (SAR) is currently in a downtrend, trading below both the 50-day and 200-day moving averages. RSI is at 39.0, with 0/3 trend checks passing.

Price
$19.61
2026-07-16
Trend score
0/3
Downtrend
RSI (14)
39.0
Neutral
Price above MA50Price above MA200MA50 above MA200
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SAR with MA50 and MA200

25.5523.5221.5019.4817.4507/3110/2401/2204/1707/15
SAR2025-07-312026-07-15
PriceMA50MA200
Technical Indicators

Key levels & signals

MA50
$21.83-10.19% vs price
MA200
$22.59-13.18% vs price
RSI (14)
39.0Neutral zone
MACD Signal
BearishMomentum below signal
Macro Support
Not identifiedNo repeated weekly support zone found
Support Quality
Volume data unavailable
Chart Summary
Trend summary for SAR

Saratoga Investment Corp. (SAR) currently looks weaker on the chart and is not showing much trend strength. The latest available price is $19.61, and 0 of 3 core trend checks are currently passing. Price is trading below the 50-day moving average by 10.2% and below the 200-day moving average by 13.2%.

Momentum and stretch context

SAR currently has an RSI reading of 39.0, which leans a little softer than neutral. That does not automatically make the chart bearish, but it does suggest momentum is not especially strong right now.

What traders may watch next

For traders reviewing SAR next, the main question is whether weakness is starting to stabilise or whether the chart still looks vulnerable to further downside. Some traders may watch for bounce attempts, but others will want to see stronger proof that the trend is improving before treating the stock as a cleaner setup.

Company profile

About Saratoga Investment Corp.

Saratoga Investment Corp. is a business development company specializing in leveraged and management buyouts, acquisition financings, growth financings, recapitalization, debt refinancing, and transitional financing transactions at the lower end of middle market companies. The fund structures its investments as debt and equity by investing through first and second lien loans, mezzanine debt, co-investments, select high yield bonds, senior secured bonds, unsecured bonds, and preferred and common equity. The fund prefers to invest in aerospace, automotive aftermarket and services, business products and services, consumer products and services, education, environmental services, industrial services, financial services, food and beverage, healthcare products and services, logistics, distribution, manufacturing, restaurants services, food services, software services, technology services, specialty chemical, media and telecommunications. The fund seeks to invest in the United States. The fund primarily invests between $60 million and $75 million in companies having EBITDA of $2 million or greater and revenues between $10 million and $150 million. It targets annual revenues between $8 and $250 million. The fund prefers to take a majority stake. The fund invests through direct lending as well as participation in loan syndicates.

Sector
Financial Services
Industry
Asset Management
CEO
Chris Long Oberbeck
Employees
0
Market cap
$319.9M
Beta
0.59
52-week range
$17.34 – $25.64
Dividend
Yes · $3.00
Exchange
NYSE
Country
US
IPO date
27 Mar 2007
ISIN
US80349A2087
CUSIP
80349A208
Company profile data from Financial Modeling Prep. SAR listed on NYSE.
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FAQ

Common questions about SAR

Is this page a buy or sell recommendation?

No. This page is designed to help you review chart structure, momentum and technical context more quickly, but it is not personal financial advice.

Why can a stock look bullish and overbought at the same time?

Strong trending stocks can still become stretched in the short term. That is why trend traders and dip buyers can read the same chart differently.

What should I do next after reading this page?

Open the full dashboard, review the chart in more detail, compare indicators, and decide whether the setup still makes sense within your own process.