other material
confidence high
sentiment neutral
materiality 0.40
Carlyle Credit Income Fund reports NAV of $6.13 per common share as of Sept 30, 2025
Carlyle Credit Income Fund
- Management's unaudited net asset value per common share was $6.13 at September 30, 2025.
- No comparative prior-quarter NAV was provided in the filing.
- NAV is a key metric for closed-end fund investors evaluating discount or premium to market price.