other material
confidence low
sentiment neutral
materiality 0.50
Carlyle Credit Income Fund reports July 31 NAV per common share of $7.64
Carlyle Credit Income Fund
- Net asset value per common share as of July 31, 2024: $7.64 (unaudited).
- This is the only financial metric disclosed in the filing; no income statement or balance sheet data.
- No prior period comparison provided; materiality of change cannot be assessed without context.