Carlyle Credit Income Fund Announces Second Quarter Financial Results and Declares Monthly Common and Preferred Dividends
1. CCIF maintained a stable monthly dividend of $0.1050. 2. Successfully funded $30.3 million in new CLO investments. 3. Net asset value per share is $6.98 as of March 31, 2025. 4. Adjusted net income was $0.26 per share, reflecting portfolio resilience. 5. Conference call scheduled to discuss Q2 financial results on May 21, 2025.