dividend
confidence high
sentiment neutral
materiality 0.40
Crescent Private Credit declares Sept. distributions of $0.22/$0.20 per share; NAV $27.20
Crescent Private Credit Income Corp
- Gross distribution $0.16/share plus special $0.06; net $0.22 Class I, $0.20073 Class S after fees. Payable Oct 31 to holders of record Sept 30.
- NAV per share as of Aug 31, 2025: $27.20 for both classes. Aggregate NAV $332.1M, portfolio $610.2M, debt $286.2M, debt/equity 0.86x.
- Continuous offering up to $2.5B; total shares issued 13,985,326 for $369.26M as of filing date.
item 8.01