8-K: Carlyle Credit Income Fund NAV Update
Other Events
Carlyle Credit Income Fund reports unaudited net asset value per common share of $3.34 as of March 31, 2026.
Summary
- Carlyle Credit Income Fund (CCIF) has announced its unaudited net asset value (NAV) per common share as of March 31, 2026.
- The reported NAV per common share is $3.34.
Sentiment
Score: 5
Explanation: StockSavvy.ai views this as a neutral update, providing a factual NAV figure without significant positive or negative indicators.
Positives
- The company has provided a clear and timely update on its net asset value per common share.
Future Outlook
No specific future outlook or guidance was provided in this filing beyond the reported NAV.
Management Comments
- Nelson Joseph, Principal Financial Officer, signed the report, indicating official confirmation of the reported NAV.
Industry Context
StockSavvy.ai notes that regular NAV updates are standard practice for closed-end funds and credit income funds to provide transparency to investors regarding the underlying asset values.
Stakeholder Impact
- Shareholders receive an updated valuation of their investment, aiding in investment decisions.
Key Dates
| Date | Description |
|---|---|
| 2026-03-31 | Date as of which unaudited net asset value per common share was reported. |
| 2026-04-15 | Date of the report (Form 8-K filing). |
Keywords
Carlyle Credit Income Fund, CCIF, NAV, Net Asset Value, Fund Performance, Financial Update, SEC Filing, 8-K
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