Carlyle Credit Income Fund (NYSE: CCIA) reports $5.38 NAV update
Rhea-AI Filing Summary
Carlyle Credit Income Fund announced management’s unaudited net asset value (NAV) per common share of $5.38 as of November 30, 2025. NAV represents the fund’s estimated value per common share after totaling its assets and liabilities, giving investors a snapshot of what each share is currently worth based on underlying holdings.
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FAQ
What did Carlyle Credit Income Fund (CCIA) disclose in this 8-K?
Carlyle Credit Income Fund disclosed that management’s unaudited net asset value per common share was $5.38 as of November 30, 2025.
What is the reported NAV per common share for Carlyle Credit Income Fund (CCIA)?
The fund reported management’s unaudited net asset value per common share of $5.38 as of November 30, 2025.
As of what date is Carlyle Credit Income Fund’s $5.38 NAV per share calculated?
The $5.38 net asset value per common share is calculated as of November 30, 2025.
Is the Carlyle Credit Income Fund NAV figure audited or unaudited?
The disclosed net asset value per common share of $5.38 is described as management’s unaudited NAV.
Which Carlyle Credit Income Fund shares are listed on the NYSE?
The fund’s Common Shares trade under the symbol CCIF and its Preferred Shares trade under the symbol CCID on the New York Stock Exchange.