other_material
confidence high
sentiment neutral
materiality 0.40
Carlyle Credit Income Fund reports NAV per common share of $6.27 as of August 31, 2025
Carlyle Credit Income Fund
- Unaudited net asset value per common share of $6.27 as of August 31, 2025.
- Disclosed on September 12, 2025, for month-end August 31, 2025.
- NAV is management's estimate and not audited.
- Fund's common shares (CCIF) and preferred shares (CCIA) trade on NYSE.
item 8.01