8-K: Carlyle Credit Income Fund Announces Net Asset Value as of February 28, 2025
Current Report
Carlyle Credit Income Fund reports an unaudited net asset value (NAV) per common share of $7.42 as of February 28, 2025.
Summary
- Carlyle Credit Income Fund (CCIF) announced its unaudited net asset value (NAV) per common share.
- As of February 28, 2025, the NAV per common share was $7.42.
Sentiment
Score: 5
Explanation: The announcement is a factual report of the fund's NAV, so the sentiment is neutral.
Positives
- The announcement provides shareholders with an update on the fund's net asset value.
Industry Context
This announcement is typical for publicly traded investment funds, which regularly report NAV to inform investors about the underlying value of their holdings.
Stakeholder Impact
- Shareholders are informed about the current value of their investment in the fund.
Key Dates
| Date | Description |
|---|---|
| February 28, 2025 | Date of the reported net asset value per common share. |
| March 14, 2025 | Date of the Form 8-K filing. |
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