dividend
confidence high
sentiment neutral
materiality 0.35
Declares $0.074775/share monthly distribution; portfolio $5.7B par, 91% first lien
Blue Owl Technology Income Corp.
- Monthly gross $0.074775/share distribution (Class S/D/I); payable Aug 31, 2025, record July 31, 2025.
- Sold 455,734 unregistered Class I shares for $4.73M; total shares issued 359M for $3.68B.
- Debt portfolio $5.7B par in 176 companies; 91.2% first lien, 99.2% floating rate.
- Leverage ratio 0.70x; $3.745B total debt capacity, $2.57B drawn.
item 3.02item 8.01