Jan 27 (Reuters) - Oxford Lane Capital Corp OXLC.O :
* OXFORD LANE CAPITAL CORP. ANNOUNCES NET ASSET VALUE AND
SELECTED
FINANCIAL RESULTS FOR THE THIRD FISCAL QUARTER AND DECLARATION
OF DISTRIBUTIONS ON COMMON STOCK FOR THE MONTHS ENDING APRIL,
MAY, AND JUNE 2023
* OXFORD LANE CAPITAL - NET ASSET VALUE PER SHARE AS OF
DECEMBER
31, 2022 STOOD AT $4.63, COMPARED WITH A NAV PER SHARE ON
SEPTEMBER 30, 2022 OF $4.93
* OXFORD LANE CAPITAL - GAAP NET INVESTMENT INCOME WAS
APPROXIMATELY $41.4 MILLION, OR $0.26 PER SHARE, FOR QUARTER
ENDED DECEMBER 31, 2022
Source text for Eikon: ID:nGNX4R6bYq
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