other material
confidence high
sentiment neutral
materiality 0.15
Carlyle Credit Income Fund reports Jan 31 NAV of $7.48 per share
Carlyle Credit Income Fund
- Unaudited net asset value per common share as of January 31, 2025: $7.48.
- Routine monthly NAV disclosure; no other material events reported.
- Fund is a closed-end BDC managed by Carlyle Group, trades as CCIF (common) and CCIA (preferred).