SCM - Stellus Capital Investment Corporation
Stellus Capital Investment Corporation is a business development company specializing in investments in private middle-market companies. It invests through first lien, second lien, unitranche, and mezzanine debt financing, often with a corresponding equity investment. The fund prefers to invest in US and Canada.
As of May 15, 2026: spot at $9.18, ATM IV 10.1%, net GEX $253.
- Sector
- Financial Services
- Industry
- Asset Management
- Market Cap
- $266.0M
- P/E Ratio
- 11.22
- Beta
- 0.66
- 52-Week Range
- 8.43-15.39
- Dividend Yield
- $1.52
- CEO
- William Todd Huskinson
- IPO Date
- Nov 8, 2012
- Exchange
- NYSE
What SCM Looks Like to Options Traders Today
IV rank of 0.8% is subdued relative to the 1-year history, conditions that typically favor premium-buying or long-volatility structures (debit spreads, calendar spreads, long straddles); positive net gamma exposure ($253) means dealers hedge against trend, damping realized volatility and biasing price toward heavy-OI strikes; the 25-delta skew (1.357) prices calls richer than puts, often reflecting upside speculation or squeeze risk.
What This Page Covers
The SCM overview links into per-metric analysis views: max pain, gamma exposure, volatility skew, expected move, options chain, open interest history, and aggregate Greeks. Microstructure data is available on short interest, short volume, fail-to-deliver, and market structure. Corporate data is on fundamentals, earnings, analyst ratings, and insider trading.
Frequently asked SCM overview questions
- What is SCM?
- SCM is the ticker symbol for Stellus Capital Investment Corporation, a listed security. Stellus Capital Investment Corporation is a business development company specializing in investments in private middle-market companies. It invests through first lien, second lien, unitranche, and mezzanine debt financing, often with a corresponding equity investment. Listed on NYSE. SCM is the equity ticker shown on this page; equity options traders use the security for directional, volatility, and income strategies via the listed options chain.
- What does the SCM options snapshot look like today?
- As of May 15, 2026, the SCM options snapshot shows spot at $9.18, ATM IV 10.1%, IV rank 0.8%, net GEX $253, expected move 2.90%. The full options chain, Greeks by strike and expiration, per-strike open-interest distribution, dealer gamma and delta exposure, and the volatility skew surface are linked from this overview page. Each per-metric route refreshes once per trading session and reflects the most recent close-of-business listed-options state.
- What are SCM's key statistics?
- Stellus Capital Investment Corporation (SCM) carries a market capitalization of $266.0M, trailing P/E ratio of 11.22, beta of 0.66 relative to the broader market, 52-week range of 8.43-15.39. Full income statement, balance sheet, cash flow, and TTM ratio history is on the per-ticker fundamentals page; daily price history and 52-week levels are accessible from the same view. These structural inputs frame how the options market prices implied volatility around earnings windows and capital events.
- What sector or industry does SCM belong to?
- Stellus Capital Investment Corporation operates in the Financial Services sector, in the Asset Management industry. Sector classification affects how the ticker correlates with sector ETFs, how it reacts to macro factors like rate moves and commodity prices, and how its options pricing compares to sector peers. Compare SCM's implied volatility and skew against sector benchmarks to gauge whether the options market is pricing single-name or systemic risk relative to the broader peer group.
- How current is the SCM data on this page?
- The options snapshot above is dated May 15, 2026 and refreshes once per session, with all per-strike Greeks and exposure aggregates recomputed at the daily close. Company-profile fields (sector, industry, market cap, P/E, IPO date) refresh from the vendor feed nightly. Financials and earnings refresh as 10-K and 10-Q filings are parsed (typically within several business days of the actual report). FINRA microstructure data refreshes on the source's cadence (daily for short volume, bi-monthly for short interest, weekly for the OTC volume file, twice-monthly for SEC FTD).