other material
confidence medium
sentiment neutral
materiality 0.50
Carlyle Credit Income Fund reports NAV of $5.93 per common share as of Oct 31, 2025
Carlyle Credit Income Fund
- Unaudited net asset value per common share of $5.93 as of October 31, 2025.
- NAV applies to common shares (CCIF); preferred shares (CCID) have separate NAV.
- Management provides this monthly NAV update; no other material events disclosed.