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MPV Barings Participation Investors

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  • 17.360
  • +0.140+0.81%
Close Feb 14 16:00 ET
184.73MMarket Cap10.52P/E (TTM)

Barings Participation Investors Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Cash cash equivalents and federal funds sold
-38.06%5.32M
32.84%6.49M
32.84%6.49M
50.01%8.59M
-57.98%4.88M
-57.98%4.88M
-42.72%5.73M
-8.08%11.62M
-8.08%11.62M
-15.50%10M
-Cash and cash equivalents
-38.06%5.32M
32.84%6.49M
32.84%6.49M
50.01%8.59M
-57.98%4.88M
-57.98%4.88M
-42.72%5.73M
-8.08%11.62M
-8.08%11.62M
-15.50%10M
Receivables
130.51%5.54M
21.33%3.19M
21.33%3.19M
22.61%2.4M
34.20%2.63M
34.20%2.63M
15.81%1.96M
74.84%1.96M
74.84%1.96M
34.96%1.69M
-Available for sale securities
--6.98M
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Deferred costs
266.59%158.7K
----
----
-21.85%43.29K
-21.93%38.59K
-21.93%38.59K
--55.4K
--49.43K
--49.43K
----
Other assets
-42.71%123.75K
1.71%228.18K
1.71%228.18K
52.37%216K
-10.52%224.35K
-10.52%224.35K
-81.32%141.76K
-74.11%250.72K
-74.11%250.72K
5,397.19%758.94K
Total assets
-1.60%184.19M
2.34%190.48M
2.34%190.48M
2.21%187.19M
-0.46%186.12M
-0.46%186.12M
7.36%183.13M
14.56%186.98M
14.56%186.98M
11.07%170.59M
Liabilities
Payables
2.44%425.87K
56.56%5.13M
56.56%5.13M
5.72%415.72K
-28.70%3.28M
-28.70%3.28M
-64.03%393.23K
14.34%4.6M
14.34%4.6M
107.04%1.09M
-Accounts payable
4.71%47.06K
51.82%3.94M
51.82%3.94M
28.05%44.95K
-15.23%2.59M
-15.23%2.59M
-95.29%35.1K
-14.45%3.06M
-14.45%3.06M
242.06%745.73K
-Total tax payable
----
38.46%450K
38.46%450K
----
-72.04%325K
-72.04%325K
----
884.02%1.16M
884.02%1.16M
----
-Other payable
2.17%378.81K
107.39%741.6K
107.39%741.6K
3.53%370.77K
-4.13%357.58K
-4.13%357.58K
3.06%358.13K
15.13%372.97K
15.13%372.97K
12.09%347.5K
Long term debt and capital lease obligation
-30.23%15M
-8.20%21.57M
-8.20%21.57M
-7.33%21.5M
11.90%23.5M
11.90%23.5M
54.67%23.2M
40.00%21M
40.00%21M
0.00%15M
Other liabilities
---158.7K
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Total liabilities
-29.31%15.84M
-0.32%27.11M
-0.32%27.11M
-6.53%22.4M
5.02%27.2M
5.02%27.2M
48.45%23.97M
36.09%25.9M
36.09%25.9M
2.24%16.15M
Shareholders'equity
Share capital
0.37%106.41K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
-common stock
0.37%106.41K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
0.00%106.02K
Paid-in capital
0.12%144.79M
-0.31%144.17M
-0.31%144.17M
-0.27%144.61M
-0.27%144.61M
-0.27%144.61M
2.04%145.01M
2.04%145.01M
2.04%145.01M
-0.10%142.11M
Retained earnings
16.92%23.46M
34.38%19.09M
34.38%19.09M
42.83%20.07M
-11.01%14.21M
-11.01%14.21M
14.93%14.05M
714.37%15.96M
714.37%15.96M
367.61%12.23M
Total stockholders'equity
2.17%168.36M
2.80%163.37M
2.80%163.37M
3.53%164.79M
-1.34%158.92M
-1.34%158.92M
3.06%159.17M
11.72%161.08M
11.72%161.08M
12.09%154.44M
Total equity
2.17%168.36M
2.80%163.37M
2.80%163.37M
3.53%164.79M
-1.34%158.92M
-1.34%158.92M
3.06%159.17M
11.72%161.08M
11.72%161.08M
12.09%154.44M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
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(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Cash cash equivalents and federal funds sold -38.06%5.32M32.84%6.49M32.84%6.49M50.01%8.59M-57.98%4.88M-57.98%4.88M-42.72%5.73M-8.08%11.62M-8.08%11.62M-15.50%10M
-Cash and cash equivalents -38.06%5.32M32.84%6.49M32.84%6.49M50.01%8.59M-57.98%4.88M-57.98%4.88M-42.72%5.73M-8.08%11.62M-8.08%11.62M-15.50%10M
Receivables 130.51%5.54M21.33%3.19M21.33%3.19M22.61%2.4M34.20%2.63M34.20%2.63M15.81%1.96M74.84%1.96M74.84%1.96M34.96%1.69M
-Available for sale securities --6.98M------------------------------------
Deferred costs 266.59%158.7K---------21.85%43.29K-21.93%38.59K-21.93%38.59K--55.4K--49.43K--49.43K----
Other assets -42.71%123.75K1.71%228.18K1.71%228.18K52.37%216K-10.52%224.35K-10.52%224.35K-81.32%141.76K-74.11%250.72K-74.11%250.72K5,397.19%758.94K
Total assets -1.60%184.19M2.34%190.48M2.34%190.48M2.21%187.19M-0.46%186.12M-0.46%186.12M7.36%183.13M14.56%186.98M14.56%186.98M11.07%170.59M
Liabilities
Payables 2.44%425.87K56.56%5.13M56.56%5.13M5.72%415.72K-28.70%3.28M-28.70%3.28M-64.03%393.23K14.34%4.6M14.34%4.6M107.04%1.09M
-Accounts payable 4.71%47.06K51.82%3.94M51.82%3.94M28.05%44.95K-15.23%2.59M-15.23%2.59M-95.29%35.1K-14.45%3.06M-14.45%3.06M242.06%745.73K
-Total tax payable ----38.46%450K38.46%450K-----72.04%325K-72.04%325K----884.02%1.16M884.02%1.16M----
-Other payable 2.17%378.81K107.39%741.6K107.39%741.6K3.53%370.77K-4.13%357.58K-4.13%357.58K3.06%358.13K15.13%372.97K15.13%372.97K12.09%347.5K
Long term debt and capital lease obligation -30.23%15M-8.20%21.57M-8.20%21.57M-7.33%21.5M11.90%23.5M11.90%23.5M54.67%23.2M40.00%21M40.00%21M0.00%15M
Other liabilities ---158.7K------------------------------------
Total liabilities -29.31%15.84M-0.32%27.11M-0.32%27.11M-6.53%22.4M5.02%27.2M5.02%27.2M48.45%23.97M36.09%25.9M36.09%25.9M2.24%16.15M
Shareholders'equity
Share capital 0.37%106.41K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K
-common stock 0.37%106.41K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K0.00%106.02K
Paid-in capital 0.12%144.79M-0.31%144.17M-0.31%144.17M-0.27%144.61M-0.27%144.61M-0.27%144.61M2.04%145.01M2.04%145.01M2.04%145.01M-0.10%142.11M
Retained earnings 16.92%23.46M34.38%19.09M34.38%19.09M42.83%20.07M-11.01%14.21M-11.01%14.21M14.93%14.05M714.37%15.96M714.37%15.96M367.61%12.23M
Total stockholders'equity 2.17%168.36M2.80%163.37M2.80%163.37M3.53%164.79M-1.34%158.92M-1.34%158.92M3.06%159.17M11.72%161.08M11.72%161.08M12.09%154.44M
Total equity 2.17%168.36M2.80%163.37M2.80%163.37M3.53%164.79M-1.34%158.92M-1.34%158.92M3.06%159.17M11.72%161.08M11.72%161.08M12.09%154.44M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----

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