dividend
confidence high
sentiment neutral
materiality 0.40
Crescent Private Credit declares May distributions; NAV $26.76, special $0.06 added
Crescent Private Credit Income Corp
- Class I net distribution $0.22 ($0.16 gross + $0.06 special); Class S net $0.20105 after fee.
- Payable June 27, 2025 to holders of record May 31, 2025; cash or DRIP.
- NAV per share April 30, 2025: $26.76 for both classes; aggregate NAV $252.3M.
- Portfolio fair value $358.1M, debt $134.2M, debt/equity ratio 0.53x.
- Total shares issued 9.68M for $252.2M across registered and private placements.
item 8.01