other material
confidence high
sentiment neutral
materiality 0.40
Blue Owl Credit Income declares monthly and special distributions; reports Oct portfolio and leverage
Blue Owl Credit Income Corp.
- Sold 4,068,830 unregistered Class I shares for ~$38.2M as of Nov 3, 2025.
- Monthly distributions: Class I $0.07010/share gross for Dec 2025–Feb 2026.
- Special distribution of $0.01000/share declared, payable Jan 2026.
- Leverage ratio 0.69x; total debt outstanding $14.84B as of Oct 31, 2025.
- Portfolio $32.89B par in 343 companies, 88.5% first lien, 98.7% floating rate.