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With $21 billion in capital resources under management,1 American Capital is the only private equity fund and alternative asset management company in the S&P 500.

American Capital, both directly and through its global asset management business, is an investor in management and employee buyouts, private equity buyouts, and early stage and mature private and public companies. American Capital provides senior debt, mezzanine debt and equity to fund growth, acquisitions, recapitalizations and securitizations. American Capital and its affiliates invest from $5 million to $800 million per company in North America and €5 million to €500 million per company in Europe.

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ACAS closed at $32.00 on 5/31/2008

* Includes reinvested dividends calculated based on close price one day prior to payment date.

** Source: FactSet. Includes reinvested dividends as of ex-dividend date.

*** Consumer Price Index (CPI-U) through 4/30/2008.

Since its August 1997 IPO, American Capital and the funds it manages have invested approximately $28 billion in over 475 portfolio companies. Our diverse portfolio is invested in virtually every industry sector. We have over 250 investment professionals in 12 offices in the United States and Europe.

As a publicly traded company, we offer shareholders an opportunity to invest in privately held middle market companies through ownership of our stock. American Capital has paid or declared $28.20 per share in dividends since going public in 1997, and has provided a 17% annualized return and a 453% total return over that time, assuming dividends are reinvested.


1Capital resources under management is an estimate of internally and externally managed assets and available capital resources as of May 31, 2008 and does not include any fair value adjustments subsequent to March 31, 2008.