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FS Credit Opportunities Corp. (FSCO) Declares Distribution for May 2024

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FS Credit Opportunities Corp. (FSCO) declared a monthly distribution of $0.06 per share for May 2024, with an annualized distribution yield of 10.2% and 12.2% based on NAV and market price. The Fund has seen a total return of 5.5% on NAV and 8.5% on market price year-to-date through April 30, 2024. With $2.2 billion in assets under management, the Fund focuses on event-driven credit, special situations, private capital solutions, and non-traditional credit opportunities.

FS Credit Opportunities Corp. (FSCO) ha dichiarato una distribuzione mensile di $0,06 per azione per maggio 2024, con un rendimento annuale del 10,2% e del 12,2% basato sul NAV e sul prezzo di mercato rispettivamente. Il fondo ha registrato un rendimento totale del 5,5% sul NAV e dell'8,5% sul prezzo di mercato da inizio anno fino al 30 aprile 2024. Con $2,2 miliardi di attivi gestiti, il fondo si concentra su crediti legati a eventi specifici, situazioni speciali, soluzioni di capitale privato e opportunità di credito non tradizionali.
FS Credit Opportunities Corp. (FSCO) ha declarado una distribución mensual de $0,06 por acción para mayo de 2024, con un rendimiento anualizado de 10,2% y 12,2% basado en el NAV y el precio de mercado, respectivamente. El fondo ha obtenido un retorno total del 5,5% sobre el NAV y del 8,5% sobre el precio de mercado desde el inicio del año hasta el 30 de abril de 2024. Con $2,2 mil millones en activos bajo gestión, el fondo se enfoca en crédito dirigido a eventos, situaciones especiales, soluciones de capital privado y oportunidades de crédito no tradicionales.
FS Credit Opportunities Corp. (FSCO)는 2024년 5월에 주당 $0.06의 월 배분을 발표했으며, NAV에 기반한 연간 배분 수익률은 10.2%, 시장 가격 기준으로는 12.2%입니다. 이 자금은 2024년 4월 30일까지의 NAV에 대해 5.5%의 총 수익과 시장 가격에 대해 8.5%의 총 수익을 보였습니다. 자산 관리하에 $2.2억을 보유한 이 자금은 이벤트 중심의 크레딧, 특별 상황, 사적 자본 해결책 및 비전통적 크레딧 기회에 중점을 둡니다.
FS Credit Opportunities Corp. (FSCO) a déclaré une distribution mensuelle de 0,06 $ par action pour mai 2024, avec un rendement annuel de 10,2% et 12,2% basé sur la NAV et le prix du marché respectivement. Le fonds a enregistré un rendement total de 5,5% sur la NAV et de 8,5% sur le prix du marché depuis le début de l'année jusqu'au 30 avril 2024. Avec 2,2 milliards de dollars d'actifs sous gestion, le fonds se concentre sur le crédit lié à des événements spécifiques, des situations spéciales, des solutions en capital privé et des opportunités de crédit non traditionnelles.
FS Credit Opportunities Corp. (FSCO) hat für Mai 2024 eine monatliche Ausschüttung von $0,06 pro Aktie bekannt gegeben, mit einer jährlichen Ausschüttungsrendite von 10,2% und 12,2%, basierend auf NAV und Marktpreis. Der Fonds erzielte seit Jahresbeginn bis zum 30. April 2024 eine Gesamtrendite von 5,5% auf den NAV und 8,5% auf den Marktpreis. Mit einem verwalteten Vermögen von $2,2 Milliarden konzentriert sich der Fonds auf ereignisgetriebene Kredite, Sondersituationen, private Kapitallösungen und nicht-traditionelle Kreditmöglichkeiten.
Positive
  • The monthly distribution of $0.06 per share for May 2024 indicates consistent income for shareholders.

  • The Fund's total return of 5.5% on NAV and 8.5% on market price year-to-date through April 30, 2024, presents positive growth for investors.

  • With approximately $2.2 billion in assets under management, the Fund showcases strong financial backing and stability.

Negative
  • Changes in portfolio and market conditions may impact the amount of monthly distributions, potentially affecting shareholder income.

  • Investors are advised to be cautious and consider the Fund's investment objectives, risks, charges, and expenses before investing.

PHILADELPHIA, May 1, 2024 /PRNewswire/ -- The Board of Directors of FS Credit Opportunities Corp. (the Fund) (NYSE: FSCO) announced the monthly distribution for May 2024. The distribution of $0.06 per share will be paid on May 31, 2024. Further information on the distribution is summarized in the charts below.

The current annualized distribution rate equates to an annualized distribution yield1 of 10.2% and 12.2%, respectively, based on the Fund's net asset value (NAV) and market price as of April 30, 2024. The monthly distribution has been fully covered by the Fund's net investment income throughout 2024, and the Fund has generated an estimated total return on NAV of 5.5% and 8.5% on market price year-to-date through April 30, 2024.

The Fund has approximately $2.2 billion in assets under management and invests in event-driven credit, special situations, private capital solutions and other non-traditional credit opportunities.

Month

Ticker

Fund Name


Monthly
Dividend

 May

FSCO

FS Credit
Opportunities Corp.


$0.06






The distribution will be made on the following schedule:

Month

Ex-Date

Record Date

Payable Date

May

May 22, 2024

May 23, 2024

May 31, 2024

The Fund pays regular monthly cash distributions to common shareholders at a level rate that may be adjusted from time to time. The amount of monthly distributions may be affected by numerous factors, including changes in portfolio and market conditions.

Shareholders should not use the information provided here in preparing their tax returns. The Fund will send a Form 1099-DIV to shareholders for the calendar year that will tell them how to report these distributions for federal income tax purposes.

Investors should consider, among other things, the investment objectives, risks, charges and expenses of the Fund carefully before investing. Investors can find the Fund's most recent reports and other filings on the Securities and Exchange Commission's EDGAR Database or on the Fund's website (https://fsinvestments.com/fs-credit-opportunities-corp/)

About FS Investments
FS Investments is a global alternative asset manager dedicated to delivering superior performance and innovative investment and capital solutions. The firm manages over $75 billion in assets for a wide range of clients, including institutional investors, financial professionals and individual investors. FS Investments provides access to a broad suite of alternative asset classes and strategies through its best-in-class investment teams and partners. With its diversified platform and flexible capital solutions, the firm is a valued partner to general partners, asset owners and portfolio companies. FS Investments is grounded in its high-performance culture and guided by its commitment to building value for its clients, investing in its colleagues and giving back to its communities. The firm has more than 500 employees across offices in the U.S., Europe and Asia and is headquartered in Philadelphia.

Contact Information:

Investor Relations
Robert Paun
robert.paun@fsinvestments.com

Media
Sarah McAssey
media@fsinvestments.com

Forward Looking Statements
Statements included herein may constitute "forward-looking" statements as that term is defined in Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Exchange Act of 1934, as amended, including statements with regard to future events or the future performance or operations of the Fund. Words such as "intends," "will," "expects," and "may" or similar expressions are intended to identify forward-looking statements. These forward-looking statements are subject to the inherent uncertainties in predicting future results and conditions. Certain factors could cause actual results to differ materially from those projected in these forward-looking statements. Factors that could cause actual results to differ materially include changes in the economy, geopolitical risks, risks associated with possible disruption to the Fund's operations or the economy generally due to hostilities, terrorism, natural disasters or pandemics such as COVID-19, future changes in laws or regulations and conditions in the Fund's operating area, unexpected costs, the price at which the Fund's shares of common stock may trade on the New York Stock Exchange and such other factors that are disclosed in the Fund's filings with the Securities and Exchange Commission. The inclusion of forward-looking statements should not be regarded as a representation that any plans, estimates or expectations will be achieved. Any forward-looking statements speak only as of the date of this communication. Except as required by federal securities laws, the Fund undertakes no obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise. Readers are cautioned not to place undue reliance on any of these forward-looking statements.

1 Annualized distribution yield reflects the current month's distribution per share annualized and divided by the estimated current month end net asset value (NAV) per share or market price per share; because annualized distribution yield is based on estimated current month end NAV, it is an estimate that is subject to change.

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SOURCE FS Investments

FAQ

What is the monthly distribution declared by FS Credit Opportunities Corp. (FSCO) for May 2024?

FS Credit Opportunities Corp. (FSCO) declared a monthly distribution of $0.06 per share for May 2024.

What is the annualized distribution yield of FS Credit Opportunities Corp. (FSCO) based on NAV and market price?

The annualized distribution yield of FS Credit Opportunities Corp. (FSCO) is 10.2% and 12.2% based on NAV and market price.

What is the total return on NAV and market price year-to-date for FS Credit Opportunities Corp. (FSCO) through April 30, 2024?

FS Credit Opportunities Corp. (FSCO) has seen a total return of 5.5% on NAV and 8.5% on market price year-to-date through April 30, 2024.

What does FS Credit Opportunities Corp. (FSCO) focus on in terms of investments?

FS Credit Opportunities Corp. (FSCO) focuses on event-driven credit, special situations, private capital solutions, and other non-traditional credit opportunities.

Where can investors find more information about FS Credit Opportunities Corp. (FSCO)?

Investors can find the Fund's most recent reports and other filings on the Securities and Exchange Commission's EDGAR Database or on the Fund's website (https://fsinvestments.com/fs-credit-opportunities-corp/).

FS Credit Opportunities Corp.

NYSE:FSCO

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FSCO Stock Data

1.33B
198.36M
0.42%
19.63%
0.02%
Asset Management
Financial Services
Link
United States of America
Philadelphia