other material
confidence high
sentiment neutral
materiality 0.50
Carlyle Credit Income Fund reports unaudited NAV of $3.54 as of May 31, 2026
Carlyle Credit Income Fund
- Unaudited net asset value per common share as of May 31, 2026: $3.54.
- NAV disclosed on June 12, 2026; no prior NAV or change provided for comparison.
- No other material financial updates or events were reported in the filing.