Recent 8-K filings for ECC
Highest-materiality recent filing
Eagle Point Credit estimates Q4 NAV $5.65-$5.75; realized losses ($0.47)-($0.51) per share
- Estimated NAV per share as of Dec 31, 2025: $5.65 - $5.75.
- Estimated Q4 net investment income per share: $0.22 - $0.26.
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Eagle Point Credit estimates NAV per share range of $4.49-$4.59 as of April 30, 2026
Unaudited estimated NAV per share range: $4.49 to $4.59 as of April 30, 2026.
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Eagle Point Credit estimates Q1 2026 NAV $4.12-$4.22; NII $0.18-$0.22 per share
NAV per share range $4.12-$4.22 as of March 31, 2026.
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Eagle Point Credit to redeem all outstanding 6.6875% 2028 Notes and 6.75% 2031 Notes on May 8, 2026
Redeems all outstanding 6.6875% Notes due 2028 (ECCX) and 6.75% Notes due 2031 (ECCW) at $25.00 plus accrued interest.
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Eagle Point Credit estimates Q4 NAV $5.65-$5.75; realized losses ($0.47)-($0.51) per share
Estimated NAV per share as of Dec 31, 2025: $5.65 - $5.75.
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Notified Equiniti Trust on Dec 29, 2025 to redeem all 2,486,244 shares of 8.00% Series F Term Preferred Stock (ECCF).
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Eagle Point Credit estimates NAV per share range of $5.98–$6.08 as of Nov 30, 2025
Management's unaudited NAV estimate per common share as of Nov 30, 2025 is between $5.98 and $6.08.
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Eagle Point Credit estimates NAV per share $7.27-$7.37 as of June 30, 2025
Estimated net investment income of $0.21-$0.25 per common share for Q2 2025.
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Eagle Point Credit Q1 NAV falls to $7.23, GAAP net loss $97.5M; declares $0.14/mo common dividend
NAV per common share $7.23 at March 31, 2025, down from $8.38 at Dec 31, 2024.
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Eagle Point Credit estimates NAV range $7.18–$7.28; quarterly income $0.31–$0.35 per share
Unaudited NAV per share range as of 3/31/2025: $7.18 to $7.28.
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Eagle Point Credit estimates Dec 31 NAV at $8.33-$8.43; Q4 NII $0.23-$0.27
NAV per share estimated between $8.33 and $8.43 as of December 31, 2024.
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Eagle Point Credit estimates Q1 2024 NAV of $9.11-$9.21 per share
Management's unaudited NAV range as of March 31, 2024: $9.11 to $9.21 per share.
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Eagle Point offers 1.4M shares of 8% Series F Preferred due 2029; estimates Dec 31 NAV $9.16-$9.26
Issued 1.4M shares of 8.00% Series F Term Preferred Stock at $25 liquidation preference, expected close Jan 18, 2024, under symbol ECCF.
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Management's unaudited NAV range as of Sep 30, 2023: $9.27-$9.37 per share.
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Eagle Point Credit estimates NAV $8.83-$8.93; declares $0.16/mo dividend for Jul-Sep
Net asset value per share estimated range $8.83–$8.93 as of April 30, 2023.
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Eagle Point Credit estimates NAV $9.05-$9.15 and NII/gain $0.30-$0.34 per share for Q1 2023
Management’s unaudited NAV range per common share as of March 31, 2023: $9.05 to $9.15.
Materiality & sentiment trend
Max materiality 0.70 · Median 0.50 · Most common event other_material