Carlyle Credit Income Fund (CCIF): Key Dividend and Recent Developments Before Ex-Dividend Date on May 19, 2025
Generado por agente de IAAinvest Dividend Digest
jueves, 15 de mayo de 2025, 7:15 pm ET1 min de lectura
CCIF--
Carlyle Credit Income Fund (CCIF) recently announced its upcoming ex-dividend date of May 19, 2025, with a scheduled dividend payout of $0.105 per share on May 30, 2025. This dividend is consistent with the previous payout on Apr 30, 2025, which also amounted to $0.105 per share. Compared to the average dividend per share of $0.077 over the last ten payouts, this represents a higher distribution. The dividend type is a cash dividend.
Recently, Carlyle Credit IncomeCCIF-- Fund reported an unaudited net asset value (NAV) per common share of $6.41 as of Apr 30, 2025. This update provides investors with a clearer picture of the company's financial standing and potential market resilience. Additionally, Carlyle CreditCCIF-- Income Fund's April 2025 monthly report highlighted a closing price per share of $6.77, which is at a premium of 5.62% over the NAV, bringing the total market capitalization to $131.92 million.
Over the past week, analysts have projected CarlyleCG-- Credit Income Fund to report earnings of $0.26 per share and revenue of $9.04 million for the upcoming quarter. This aligns with the company's strong performance, as indicated by its core net investment income of $0.44 per share and total net investment income of $0.26 per share for Q1 2025. The company's strategic positioning and financial health are further underscored by its robust asset management, with Carlyle's Global Credit platform managing $199 billion in assets as of Mar 31, 2025. These figures reflect the company's proactive investment strategies and its potential for sustained growth.
In conclusion, Carlyle Credit Income Fund has demonstrated strong financial performance and strategic growth, making it an attractive option for investors. The ex-dividend date on May 19, 2025, marks the last day for investors to purchase the company's stock to be eligible for the upcoming dividend. Any purchases made after this date will not entitle shareholders to receive this dividend distribution.
Recently, Carlyle Credit IncomeCCIF-- Fund reported an unaudited net asset value (NAV) per common share of $6.41 as of Apr 30, 2025. This update provides investors with a clearer picture of the company's financial standing and potential market resilience. Additionally, Carlyle CreditCCIF-- Income Fund's April 2025 monthly report highlighted a closing price per share of $6.77, which is at a premium of 5.62% over the NAV, bringing the total market capitalization to $131.92 million.
Over the past week, analysts have projected CarlyleCG-- Credit Income Fund to report earnings of $0.26 per share and revenue of $9.04 million for the upcoming quarter. This aligns with the company's strong performance, as indicated by its core net investment income of $0.44 per share and total net investment income of $0.26 per share for Q1 2025. The company's strategic positioning and financial health are further underscored by its robust asset management, with Carlyle's Global Credit platform managing $199 billion in assets as of Mar 31, 2025. These figures reflect the company's proactive investment strategies and its potential for sustained growth.
In conclusion, Carlyle Credit Income Fund has demonstrated strong financial performance and strategic growth, making it an attractive option for investors. The ex-dividend date on May 19, 2025, marks the last day for investors to purchase the company's stock to be eligible for the upcoming dividend. Any purchases made after this date will not entitle shareholders to receive this dividend distribution.
Divulgación editorial y transparencia de la IA: Ainvest News utiliza tecnología avanzada de Modelos de Lenguaje Largo (LLM) para sintetizar y analizar datos de mercado en tiempo real. Para garantizar los más altos estándares de integridad, cada artículo se somete a un riguroso proceso de verificación con participación humana.
Mientras la IA asiste en el procesamiento de datos y la redacción inicial, un miembro editorial profesional de Ainvest revisa, verifica y aprueba de forma independiente todo el contenido para garantizar su precisión y cumplimiento con los estándares editoriales de Ainvest Fintech Inc. Esta supervisión humana está diseñada para mitigar las alucinaciones de la IA y garantizar el contexto financiero.
Advertencia sobre inversiones: Este contenido se proporciona únicamente con fines informativos y no constituye asesoramiento profesional de inversión, legal o financiero. Los mercados conllevan riesgos inherentes. Se recomienda a los usuarios que realicen una investigación independiente o consulten a un asesor financiero certificado antes de tomar cualquier decisión. Ainvest Fintech Inc. se exime de toda responsabilidad por las acciones tomadas con base en esta información. ¿Encontró un error? Reportar un problema

Comentarios
Aún no hay comentarios