dividend
confidence high
sentiment neutral
materiality 0.55
Crescent Private Credit declares June distributions of $0.165/sh gross plus $0.045 special; NAV $26.32
Crescent Private Credit Income Corp
- Gross distribution $0.165/sh plus special $0.045/sh for Class I, S, D; net after fees: I $0.210, S $0.19136, D $0.20452.
- NAV per share as of May 31, 2026: $26.32 for all classes; aggregate NAV ~$549.0M.
- Portfolio fair value ~$954.6M; debt outstanding $430.6M; debt/equity ratio 0.78x.
- Continuous offering up to $3.0B; total shares issued ~21.0M for $557.6M consideration.