DividendMapper

OBDC

Blue Owl Capital Corporation

Blue Owl Capital Corporation screens weakly for dividend resilience on the V1 framework.

Resilience

47

0–100 composite across Quality, Discount, Concentration and Risk.

Quality gate passed

Price / NAV history (5y)

1.00Γ—

Current Price/NAV ratio. -0.8Οƒ vs the rolling mean over 67 daily observations.

Category breakdown

Quality42Discount24Concentration100Risk33

Quality

42

Discount

24

Concentration

100

Risk

33

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How this score is calculated (methodology)

Resilience scores are informational and refresh daily. They are not financial advice, not a prediction of future returns, and not instructions to buy or sell. Always do your own research. See the Terms of Service.