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[8-K] FS Credit Opportunities Corp. Reports Material Event

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FS Credit Opportunities Corp. (FSCO) issued term preferred equity to institutional investors. The company completed a private placement of 50,000 shares of its 5.106% Term Preferred Shares, Series 2028, and 150,000 shares of its 5.481% Term Preferred Shares, Series 2030, each with a $1,000 per share liquidation preference. FS Investment Solutions, LLC served as placement agent.

The Series 2028 and Series 2030 shares are redeemable at $1,000 per share, subject to a make‑whole premium, and mature on October 21, 2028 and October 21, 2030, respectively. Interest is payable semi‑annually on April 21 and October 21, starting April 21, 2026. FSCO also disclosed that on November 3, 2025, it will redeem 50,000 shares of its Series 2025, 50,000 shares of its Series 2025‑2, and 100,000 shares of its Series 2026 term preferred, each with a $1,000 per share liquidation preference.

FS Credit Opportunities Corp. (FSCO) ha emesso azioni privilegiate a termine a investitori istituzionali. L'azienda ha completato un private placement di 50.000 azioni delle sue Azioni Privileggiate a Termine, Serie 2028 al 5,106% e 150.000 azioni delle sue Azioni Privileggiate a Termine, Serie 2030 al 5,481%, ciascuna con una liquidazione pari a 1.000 dollari per azione. FS Investment Solutions, LLC ha agito da agente di collocamento.

Le azioni Series 2028 e Series 2030 sono rimborsabili a 1.000 dollari per azione, soggette a un premio di make-whole, e scadranno il 21 ottobre 2028 e il 21 ottobre 2030, rispettivamente. Gli interessi sono pagabili semestralmente il 21 aprile e il 21 ottobre, a partire dal 21 aprile 2026. FSCO ha inoltre comunicato che il 3 novembre 2025 rimbosserà 50.000 azioni della Series 2025, 50.000 azioni della Series 2025-2 e 100.000 azioni della Series 2026 del proprio term preferred, ciascuna con una liquidazione pari a 1.000 dollari per azione.

FS Credit Opportunities Corp. (FSCO) emitió acciones preferentes a término a inversores institucionales. La empresa completó una colocación privada de 50,000 acciones de sus Acciones Preferentes a Término 5.106%, Serie 2028, y 150,000 acciones de sus Acciones Preferentes a Término 5.481%, Serie 2030, cada una con una liquidación de 1,000 dólares por acción. FS Investment Solutions, LLC actuó como agente de colocación.

Las acciones de la Serie 2028 y la Serie 2030 son redimibles a 1,000 dólares por acción, sujetas a una prima de make-whole, y vencen el 21 de octubre de 2028 y el 21 de octubre de 2030, respectivamente. Los intereses se pagan semestralmente el 21 de abril y el 21 de octubre, a partir del 21 de abril de 2026. FSCO también informó que el 3 de noviembre de 2025 redimirá 50,000 acciones de su Serie 2025, 50,000 acciones de su Serie 2025-2 y 100,000 acciones de su Serie 2026 de acciones preferentes a término, cada una con una liquidación de 1,000 dólares por acción.

FS Credit Opportunities Corp. (FSCO)은 기관 투자자에게 만기 우선주를 발행했습니다. 이 회사는 5.106% 만기 우선주 시리즈 2028의 50,000주와 5.481% 만기 우선주 시리즈 2030의 150,000주를 각각 주당 1,000달러의 청산 우선권으로 비공개 배정을 완료했습니다. FS Investment Solutions, LLC가 배정 대리인으로 활동했습니다.

시리즈 2028 및 시리즈 2030 주식은 각 주당 1,000달러에 환매 가능하며, make-whole 프리미엄의 적용을 받으며, 각각 2028년 10월 21일과 2030년 10월 21일에 만기합니다. 이자 지급은 2026년 4월 21일을 시작으로 매년 4월 21일과 10월 21일에 반기마다 지급됩니다. FSCO는 또한 2025년 11월 3일에 시리즈 2025, 시리즈 2025-2 및 시리즈 2026 만기 우선주를 각각 주당 1,000달러의 청산 선호권으로 상환할 것이라고 발표했습니다.

FS Credit Opportunities Corp. (FSCO) a émis des actions privilégiées à terme à des investisseurs institutionnels. La société a conclu une placement privé de 50 000 actions de ses Actions Priviliégées à Terme 5,106%, Série 2028, et 150 000 actions de ses Actions Priviliégées à Terme 5,481%, Série 2030, chacune avec une préférence de liquidation de 1 000 USD par action. FS Investment Solutions, LLC a agi en tant qu'agent de placement.

Les actions des séries 2028 et 2030 sont rachetables à 1 000 USD par action, sous réserve d'une prime de make-whole, et arrivent à échéance le 21 octobre 2028 et le 21 octobre 2030, respectivement. Les intérêts sont payables semestriellement le 21 avril et le 21 octobre, à partir du 21 avril 2026. FSCO a également annoncé que le 3 novembre 2025, il rachètera 50 000 actions de sa Série 2025, 50 000 actions de sa Série 2025-2 et 100 000 actions de sa Série 2026 de préférence à terme, chacune avec une préférence de liquidation de 1 000 USD par action.

FS Credit Opportunities Corp. (FSCO) hat termingebundene Vorzugsaktien an institutionelle Investoren ausgegeben. Das Unternehmen hat eine Private Placement von 50.000 Aktien seiner 5,106%-Term-Vorzugsaktien, Serie 2028, und 150.000 Aktien seiner 5,481%-Term-Vorzugsaktien, Serie 2030, abgeschlossen, jeweils mit einer Liquidationspräferenz von 1.000 USD pro Aktie. FS Investment Solutions, LLC fungierte als Platzierungsmittel.

Die Serien 2028 und 2030 Aktien sind zu 1.000 USD pro Aktie rückzahlbar, vorbehaltlich einer Make-Whole-Prämie, und laufen jeweils am 21. Oktober 2028 bzw. 21. Oktober 2030 fällig. Zinsen werden halbjährlich am 21. April und 21. Oktober gezahlt, beginnend am 21. April 2026. FSCO gab außerdem bekannt, dass am 3. November 2025 es 50.000 Aktien seiner Serie 2025, 50.000 Aktien seiner Serie 2025-2 und 100.000 Aktien seiner Serie 2026 Term-Vorzugsaktien mit jeweils 1.000 USD Liquidationspräferenz pro Aktie zurückkaufen wird.

FS Credit Opportunities Corp. (FSCO) أصدرت أسهماً تفضيلية لأجل للمستثمرين المؤسسيين. أكملت الشركة عملية طرح خاص لـ 50,000 سهم من أسهمها التفضيلية ذات المدة 5.106% السلسلة 2028، و150,000 سهم من أسهمها التفضيلية ذات المدة 5.481% السلسلة 2030، وكلٌ منها له أولوية تصفية بمقدار 1,000 دولار للسهم. FS Investment Solutions, LLC عمل كوكيل طرح.

الأسهم من السلسلة 2028 والسلسلة 2030 قابلة للاسترداد بسعر 1,000 دولار للسهم، مع هيكلة علاوة make-whole، وتنتهي صلاحيتها في 21 أكتوبر 2028 و21 أكتوبر 2030 على التوالي. يتم دفع الفوائد نصف السنوية في 21 أبريل و21 أكتوبر، ابتداءً من 21 أبريل 2026. كما أعلنت FSCO أنه في 3 نوفمبر 2025 ستسترد 50,000 سهم من سلسلتها 2025، و50,000 سهم من سلسلتها 2025-2، و100,000 سهم من سلسلتها 2026 من الأسهم التفضيلية ذات المدة، وكلٌ منها له أولوية تصفية قدرها 1,000 دولار للسهم.

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FS Credit Opportunities Corp. (FSCO) ha emesso azioni privilegiate a termine a investitori istituzionali. L'azienda ha completato un private placement di 50.000 azioni delle sue Azioni Privileggiate a Termine, Serie 2028 al 5,106% e 150.000 azioni delle sue Azioni Privileggiate a Termine, Serie 2030 al 5,481%, ciascuna con una liquidazione pari a 1.000 dollari per azione. FS Investment Solutions, LLC ha agito da agente di collocamento.

Le azioni Series 2028 e Series 2030 sono rimborsabili a 1.000 dollari per azione, soggette a un premio di make-whole, e scadranno il 21 ottobre 2028 e il 21 ottobre 2030, rispettivamente. Gli interessi sono pagabili semestralmente il 21 aprile e il 21 ottobre, a partire dal 21 aprile 2026. FSCO ha inoltre comunicato che il 3 novembre 2025 rimbosserà 50.000 azioni della Series 2025, 50.000 azioni della Series 2025-2 e 100.000 azioni della Series 2026 del proprio term preferred, ciascuna con una liquidazione pari a 1.000 dollari per azione.

FS Credit Opportunities Corp. (FSCO) emitió acciones preferentes a término a inversores institucionales. La empresa completó una colocación privada de 50,000 acciones de sus Acciones Preferentes a Término 5.106%, Serie 2028, y 150,000 acciones de sus Acciones Preferentes a Término 5.481%, Serie 2030, cada una con una liquidación de 1,000 dólares por acción. FS Investment Solutions, LLC actuó como agente de colocación.

Las acciones de la Serie 2028 y la Serie 2030 son redimibles a 1,000 dólares por acción, sujetas a una prima de make-whole, y vencen el 21 de octubre de 2028 y el 21 de octubre de 2030, respectivamente. Los intereses se pagan semestralmente el 21 de abril y el 21 de octubre, a partir del 21 de abril de 2026. FSCO también informó que el 3 de noviembre de 2025 redimirá 50,000 acciones de su Serie 2025, 50,000 acciones de su Serie 2025-2 y 100,000 acciones de su Serie 2026 de acciones preferentes a término, cada una con una liquidación de 1,000 dólares por acción.

FS Credit Opportunities Corp. (FSCO)은 기관 투자자에게 만기 우선주를 발행했습니다. 이 회사는 5.106% 만기 우선주 시리즈 2028의 50,000주와 5.481% 만기 우선주 시리즈 2030의 150,000주를 각각 주당 1,000달러의 청산 우선권으로 비공개 배정을 완료했습니다. FS Investment Solutions, LLC가 배정 대리인으로 활동했습니다.

시리즈 2028 및 시리즈 2030 주식은 각 주당 1,000달러에 환매 가능하며, make-whole 프리미엄의 적용을 받으며, 각각 2028년 10월 21일과 2030년 10월 21일에 만기합니다. 이자 지급은 2026년 4월 21일을 시작으로 매년 4월 21일과 10월 21일에 반기마다 지급됩니다. FSCO는 또한 2025년 11월 3일에 시리즈 2025, 시리즈 2025-2 및 시리즈 2026 만기 우선주를 각각 주당 1,000달러의 청산 선호권으로 상환할 것이라고 발표했습니다.

FS Credit Opportunities Corp. (FSCO) a émis des actions privilégiées à terme à des investisseurs institutionnels. La société a conclu une placement privé de 50 000 actions de ses Actions Priviliégées à Terme 5,106%, Série 2028, et 150 000 actions de ses Actions Priviliégées à Terme 5,481%, Série 2030, chacune avec une préférence de liquidation de 1 000 USD par action. FS Investment Solutions, LLC a agi en tant qu'agent de placement.

Les actions des séries 2028 et 2030 sont rachetables à 1 000 USD par action, sous réserve d'une prime de make-whole, et arrivent à échéance le 21 octobre 2028 et le 21 octobre 2030, respectivement. Les intérêts sont payables semestriellement le 21 avril et le 21 octobre, à partir du 21 avril 2026. FSCO a également annoncé que le 3 novembre 2025, il rachètera 50 000 actions de sa Série 2025, 50 000 actions de sa Série 2025-2 et 100 000 actions de sa Série 2026 de préférence à terme, chacune avec une préférence de liquidation de 1 000 USD par action.

FS Credit Opportunities Corp. (FSCO) hat termingebundene Vorzugsaktien an institutionelle Investoren ausgegeben. Das Unternehmen hat eine Private Placement von 50.000 Aktien seiner 5,106%-Term-Vorzugsaktien, Serie 2028, und 150.000 Aktien seiner 5,481%-Term-Vorzugsaktien, Serie 2030, abgeschlossen, jeweils mit einer Liquidationspräferenz von 1.000 USD pro Aktie. FS Investment Solutions, LLC fungierte als Platzierungsmittel.

Die Serien 2028 und 2030 Aktien sind zu 1.000 USD pro Aktie rückzahlbar, vorbehaltlich einer Make-Whole-Prämie, und laufen jeweils am 21. Oktober 2028 bzw. 21. Oktober 2030 fällig. Zinsen werden halbjährlich am 21. April und 21. Oktober gezahlt, beginnend am 21. April 2026. FSCO gab außerdem bekannt, dass am 3. November 2025 es 50.000 Aktien seiner Serie 2025, 50.000 Aktien seiner Serie 2025-2 und 100.000 Aktien seiner Serie 2026 Term-Vorzugsaktien mit jeweils 1.000 USD Liquidationspräferenz pro Aktie zurückkaufen wird.

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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 

 

FORM 8-K

 

 

CURRENT REPORT

PURSUANT TO SECTION 13 OR 15(d)

OF THE SECURITIES EXCHANGE ACT OF 1934

 

Date of Report (Date of earliest event reported): October 21, 2025

 

 

FS CREDIT OPPORTUNITIES CORP.

(Exact name of Registrant as specified in its charter)

 

 

Maryland   811-22802   46-1882356
(State or other jurisdiction
of incorporation)
  (Commission
File Number)
  (I.R.S. Employer
Identification No.)

 

201 Rouse Boulevard
Philadelphia, Pennsylvania
19112
(Address of principal executive offices) (Zip Code)

 

Registrant’s telephone number, including area code: (215495-1150

 

None

(Former name or former address, if changed since last report)

 

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:

 

  ¨ Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)

 

  ¨ Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)

 

  ¨ Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))

 

  ¨ Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

 

Securities registered pursuant to Section 12(b) of the Act:

 

Title of each class   Trading Symbol(s)   Name of each exchange
on which registered
Common Stock, $0.001 par value per share   FSCO   New York Stock Exchange

 

Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).

 

¨   Emerging growth company

 

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.  ¨

 

 

 

 

 

Item 8.01.Other Events.

 

On October 21, 2025, FS Credit Opportunities Corp. (the “Company”) completed the issuance of 50,000 shares of its 5.106% Term Preferred Shares, Series 2028, with a liquidation preference of $1,000 per share (the “Series 2028 Term Preferred Shares”) and 150,000 shares of its 5.481% Term Preferred Shares, Series 2030, with a liquidation preference of $1,000 per share (the “Series 2030 Term Preferred Shares”, and together with the Series 2028 Term Preferred Shares, the “Term Preferred Shares”). FS Investment Solutions, LLC served as placement agent in connection with the issuance of the Term Preferred Shares.

 

The Term Preferred Shares were sold to qualified institutional buyers pursuant to Rule 4(a)(2) under the Securities Act of 1933, as amended. The Series 2028 Term Preferred Shares were sold in accordance with the terms of a Subscription Agreement, dated October 21, 2025, between the Company and the investor party thereto and will mature on October 21, 2028. The Series 2028 Term Preferred Shares may be redeemed in whole or in part at the Company’s option at any time or from time to time at $1,000 per share, subject to payment of a make-whole premium, and bear interest at a rate of 5.106% per year, payable semi-annually on April 21st and October 21st of each year, commencing on April 21, 2026.

 

The Series 2030 Term Preferred Shares were sold in accordance with the terms of a Subscription Agreement, dated October 21, 2025, among the Company and each of the investors party thereto and will mature on October 21, 2030. The Series 2030 Term Preferred Shares may be redeemed in whole or in part at the Company’s option at any time or from time to time at $1,000 per share, subject to payment of a make-whole premium, and bear interest at a rate of 5.481% per year, payable semi-annually on April 21st and October 21st of each year, commencing on April 21, 2026.

 

The terms of the Term Preferred Shares are memorialized in the Articles Supplementary to the Articles of Incorporation of the Company for the Series 2028 Term Preferred Shares and the Articles Supplementary to the Articles of Incorporation of the Company for the Series 2030 Term Preferred Shares, respectively, each dated October 20, 2025.

 

In addition to the issuance of the Term Preferred Shares, on November 3, 2025, the Company will redeem (x) 50,000 shares of the Term Preferred Shares, Series 2025 (the “Series 2025 Term Preferred Shares”) (constituting 100% of the issued and outstanding Series 2025 Term Preferred Shares), (y) 50,000 shares of the Term Preferred Shares, Series 2025-2 (the “Series 2025-2 Term Preferred Shares”) (constituting 100% of the issued and outstanding Series 2025-2 Term Preferred Shares) and (z) 100,000 shares of the Term Preferred Shares, Series 2026 (the “Series 2026 Term Preferred Shares”) (constituting 100% of the issued and outstanding Series 2026 Term Preferred Shares), each with a liquidation preference of $1,000 per share.

 

Item 9.01.Financial Statements and Exhibits.

 

(d) Exhibits

 

EXHIBIT
NUMBER
DESCRIPTION
   
99.1 Articles Supplementary to the Articles of Incorporation of the Registrant establishing and fixing the rights and preferences of the Series 2028 Term Preferred Shares.
   
99.2 Articles Supplementary to the Articles of Incorporation of the Registrant establishing and fixing the rights and preferences of the Series 2030 Term Preferred Shares.
   
104 Cover Page Interactive Data File (embedded within the Inline XBRL document)

 

 

 

 

SIGNATURE

 

Pursuant to the requirements of the Securities Exchange Act of 1934, as amended, the Registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.

 

  FS Credit Opportunities Corp.
     
Date:  October 21, 2025 By: /s/ Stephen Sypherd
    Stephen Sypherd
    Secretary, Treasurer and Vice President

 

 

 

 

FAQ

What securities did FSCO issue in this 8-K?

FSCO issued 50,000 shares of 5.106% Term Preferred Shares, Series 2028, and 150,000 shares of 5.481% Term Preferred Shares, Series 2030, each with a $1,000 per share liquidation preference.

Who bought FSCO’s new term preferred shares and under what rule?

The shares were sold to qualified institutional buyers pursuant to Rule 4(a)(2) under the Securities Act of 1933.

When do the new term preferred shares mature?

The Series 2028 shares mature on October 21, 2028, and the Series 2030 shares mature on October 21, 2030.

What are the coupon rates and payment schedule?

Series 2028 bear interest at 5.106% and Series 2030 at 5.481%, payable semi‑annually on April 21 and October 21, commencing April 21, 2026.

Are the new term preferred shares callable?

Yes. They may be redeemed in whole or in part at $1,000 per share at the company’s option, subject to a make‑whole premium.

What redemptions did FSCO announce?

On November 3, 2025, FSCO will redeem 50,000 Series 2025, 50,000 Series 2025‑2, and 100,000 Series 2026 term preferred shares, each with a $1,000 per share liquidation preference.

Who acted as placement agent for the issuance?

FS Investment Solutions, LLC served as placement agent.
FS Credit Opportunities Corp

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