Carlyle Credit Income Fund - Form 8-K Summary
Business Context and Reporting Period
This Current Report (Form 8-K) was filed by Carlyle Credit Income Fund on May 14, 2025. The report discloses unaudited financial data as of April 30, 2025, specifically regarding the Net Asset Value (NAV) per common share.
Key Financial Metrics
- Net Asset Value (NAV) per Common Share: $6.41 (as of April 30, 2025).
- Revenue, Profit, Cash Flow, Margins, Debt, Liquidity: The filing text does not provide clear values for these metrics.
Material Changes
The filing does not provide comparative data for the prior period; therefore, material changes in financial performance cannot be determined from this document.
Guidance, Outlook, and Risks
The filing contains no management commentary, forward-looking guidance, risk factors, contingencies, or discussion of unusual items beyond the disclosure of the NAV.
Investor Verification Checklist
- Verify the accuracy of the reported NAV of $6.41 per common share as of April 30, 2025.
- Review the Fund's most recent quarterly report (Form N-CSR) for comprehensive financial statements, including revenue, expenses, and portfolio composition.
- Confirm the trading status of Common Shares (CCIF) and Preferred Shares (CCIA) on the New York Stock Exchange.