MAY-2016 MVC Capital NYSE : MVC Correlation Histogram
X axis : Stocks Price Correlation Coefficient Y axis : Quantity of stocks May-2016 1,000 Day Parameter 4,338 NYSE Stocks Price Analysis This stock mode of correlation coefficient is 0.8 In other words, the correlation coefficient of the other stocks
well MVC seems to have stabilized their NAV...now they will need to regain market trust. Price is a huge discount right now to NAV and that cannot last forever.
On MVC we are getting quite close to awarding MVC Management the Clinton Baldwin United Award. When we make the award we will provide full disclosure and a full analysis of management's actions for the past three years, based on documented in house management and credit decisions.