other material
confidence medium
sentiment neutral
materiality 0.30
Carlyle Credit Income Fund reports Feb 28, 2026 NAV per share of $3.69
Carlyle Credit Income Fund
- Unaudited net asset value per common share as of Feb 28, 2026: $3.69.
- No comparable prior period NAV provided in this filing.
- Fund continues to trade on NYSE under CCIF (common) and CCID (preferred).