dividend
confidence high
sentiment neutral
materiality 0.55
Crescent Private Credit declares June distributions; NAV $26.92 per share as of May 31
Crescent Private Credit Income Corp
- Class I gross distribution $0.16 plus special $0.06 yields net $0.22; Class S net $0.20093 after fees.
- Distributions payable July 29, 2025 to holders of record June 30, 2025.
- Aggregate NAV $260.5M; portfolio fair value $424.6M; debt $157.3M (0.60x debt/equity).
- Registered & private offerings raised $252.6M total consideration from 9.7M shares issued to date.
item 8.01