dividend
confidence high
sentiment neutral
materiality 0.25
Crescent Private Credit declares May 2026 distributions: $0.165/share gross for all classes; NAV $26.36
Crescent Private Credit Income Corp
- Declared gross monthly distribution of $0.165/share for Class I, S, and D common shares; net distribution after fees: Class I $0.16500, Class S $0.14633, Class D $0.15951.
- Record date May 31, 2026; payable on or about June 30, 2026; cash or reinvestment available.
- NAV per share as of April 30, 2026: $26.36 for all classes; aggregate NAV $539.8M, portfolio $947.3M, debt $482.8M (debt/equity 0.89x).
- Cumulative shares sold (registered + private): $553.2M; $3.0B registered offering continues on a monthly basis.