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Analyst Tracker/Christopher Nolan
LT
Christopher Nolan
Wall Street Analyst
★★☆☆☆
#1851
on 13Foresight · ranked by our own returns
52%
Success Rate
-1.6%
Average Return
17 of 33 calls profitable · -12.9% vs benchmark
🔒 5-year track record is Pro. Showing 1-year — upgrade.
📈 Across the calls we could measure, roughly 52% of Christopher Nolan's ratings turned a profit when each position was held for 1 year — averaging -1.6% per rating. These figures are computed by 13Foresight from historical prices, not supplied by the analyst.

Rating Distribution

13 Buy 4 Hold 0 Sell
Christopher's Stock Coverage 36 ratings · 2026-07-04
Company Date Position Consensus Price Target 1-Yr Return
CCAP
Crescent Capital BDC
May 15, 2026 BUY Strong Buy
+30.4% avg upside
8 analysts
$15.00
34.96% Upside
+3.1%
SCM
Stellus Capital
May 13, 2026 BUY Buy
+59.9% avg upside
8 analysts
$11.00
30.43% Upside
-1.2%
TRIN
Trinity Capital
May 07, 2026 BUY Strong Buy
-5.0% avg upside
11 analysts
$18.00
1.20% Upside
+1.3%
HTGC
Hercules Capital, Inc.
May 06, 2026 BUY Strong Buy
+17.5% avg upside
15 analysts
$21.00
31.67% Upside
-0.2%
SEVN
Seven Hills Realty Trust
Apr 30, 2026 BUY Strong Buy
+42.4% avg upside
6 analysts
$9.50
10.88% Upside
+0.1%
BCIC
BCP Investment Corporation
Mar 09, 2026 HOLD Hold
+43.1% avg upside
6 analysts
·
EIC
Eagle Point Income Co
Feb 27, 2026 HOLD Strong Buy
+49.4% avg upside
5 analysts
+5.1%
RMR
The RMR Group
Feb 09, 2026 BUY Buy
+20.5% avg upside
9 analysts
$18.50
9.70% Downside
+12.9%
ECC
Eagle Point Credit Company
Nov 14, 2025 BUY Strong Buy
+135.0% avg upside
10 analysts
$7.00
81.27% Upside
-22.9%
NEWT
Newtek Business
Oct 30, 2025 HOLD Buy
+4.9% avg upside
11 analysts
+32.7%
SAR
Saratoga Investment
Oct 08, 2025 HOLD Buy
+3.3% avg upside
10 analysts
+7.6%
MFIN
Medallion Financial
Jul 31, 2025 BUY Buy
-0.4% avg upside
6 analysts
$12.00
18.54% Upside
-0.1%
SACH
Sachem Capital
Apr 03, 2025 HOLD Buy
+292.8% avg upside
8 analysts
+16.5%
TPVG
TriplePoint Venture Growth
Aug 09, 2024 HOLD Hold
+58.4% avg upside
9 analysts
+1.5%
TCPC
BlackRock TCP Capital
Aug 08, 2024 HOLD Buy
+249.7% avg upside
12 analysts
-8.9%
RC
Ready Capital
May 10, 2024 HOLD Hold
+281.7% avg upside
10 analysts
-43.7%
HRZN
Horizon Technology
Feb 28, 2024 HOLD Hold
+55.6% avg upside
11 analysts
-8.2%
ADAM
Adamas Trust
Feb 24, 2023 HOLD Hold
+0.7% avg upside
14 analysts
$12.00
31.35% Upside
·
ORC
Orchid Island Capital
Aug 08, 2022 HOLD Buy
+37.2% avg upside
5 analysts
-23.4%
NIC
Nicolet Bankshares
Jul 19, 2022 BUY Strong Buy
-14.6% avg upside
10 analysts
$90.00
45.98% Downside
·
LFT
Lument Finance Trust
Mar 17, 2022 HOLD Buy
+289.0% avg upside
7 analysts
-29.6%
DX
Dynex Capital
Feb 03, 2022 BUY Strong Buy
+9.3% avg upside
10 analysts
$19.00
46.00% Upside
+1.1%
AFCG
AFC Gamma
Apr 12, 2021 HOLD Strong Buy
+342.7% avg upside
10 analysts
-14.0%
ARR
ARMOUR Residential REIT
Feb 18, 2021 HOLD Hold
+6.5% avg upside
10 analysts
$11.00
35.83% Downside
-16.2%
RSF
RiverNorth Specialty Finance Corporation
Jul 09, 2019 HOLD Hold
1 analyst
-13.5%
PSEC
Prospect Capital
May 11, 2017 HOLD Hold
+223.5% avg upside
7 analysts
$8.00
257.04% Upside
-8.9%
MAIN
Main Street Capital
May 05, 2017 HOLD Buy
+2.5% avg upside
13 analysts
$38.00
26.96% Downside
+2.9%
TFIN
Triumph Financial
Apr 20, 2017 BUY Buy
-25.0% avg upside
13 analysts
$29.00
62.32% Downside
·
AER
Aercap Holdings
Apr 12, 2017 BUY Strong Buy
-8.0% avg upside
14 analysts
$53.00
64.19% Downside
+19.5%
MDLM
Medley Management
Mar 16, 2017 HOLD Buy
+3541566.7% avg upside
4 analysts
$9.50
4749899.94% Upside
·
PFX
PhenixFIN Corporation
Feb 10, 2017 HOLD Buy
-79.6% avg upside
9 analysts
$8.00
81.26% Downside
-47.8%
HTH
Hilltop Holdings
Jan 27, 2017 HOLD Buy
-14.8% avg upside
9 analysts
$31.00
20.05% Downside
-1.8%
PNNT
Pennantpark Investment
Nov 23, 2016 HOLD Hold
+64.9% avg upside
14 analysts
+18.9%
OCSL
Oaktree Specialty Lending
May 01, 2015 HOLD Hold
+5.8% avg upside
17 analysts
-15.0%
MTB
M&T Bank
May 21, 2010 HOLD Buy
-13.0% avg upside
27 analysts
+8.4%
RJF
Raymond James Financial
May 06, 2010 BUY Buy
+4.2% avg upside
17 analysts
+27.4%
🔒 31 more ratings — with price targets, crowd consensus and our measured returns.
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Christopher Nolan — Frequently Asked Questions
How accurate are Christopher Nolan's stock ratings?
Based on the calls 13Foresight could measure, about 52% of Christopher's ratings were profitable over a one-year hold, with an average return of -1.6% per rating, or -12.9% versus the S&P 500. We score every analyst the same way, from historical prices.
How is Christopher ranked on 13Foresight?
Christopher Nolan is currently ranked #1851 with a 2-star rating. Our rank blends hit rate, average return versus the market, and how many calls we have to judge — so a long, consistent record outweighs a few lucky picks. It is our own calculation, updated daily.
Which stocks does Christopher cover?
Christopher most recently has ratings on CCAP, SCM, TRIN, HTGC, SEVN, BCIC, EIC, RMR, ECC, NEWT, SAR, MFIN and 24 more. See the full coverage table above for positions, price targets and our measured returns.
Where can I see other analyst ratings?
Browse the full analyst leaderboard to compare Wall Street analysts ranked by their measured performance, success rate and average return.

Disclaimer: 13Foresight compiles analyst ratings and price targets from publicly available sources. Performance metrics, rankings and star ratings shown here are calculated independently by 13Foresight from historical market prices and may differ from figures published elsewhere. This information may be incomplete, delayed or inaccurate, is provided for research and informational purposes only, and is not investment advice. The underlying ratings and opinions are those of the respective analysts and their firms; 13Foresight accepts no liability for any decisions made based on this data.