Entity CARLYLE CREDIT INCOME FUND
Type interval-fund
CIK 0001517767
Form 8-K
Filing Date 2026-04-15
Accession Number 0001517767-26-000028
Description
Amendment? No
Fetched At 2026-04-16 07:30:04 UTC
Gemini Analysis NAV UPDATE neutral MATERIAL

Carlyle Credit Income Fund reported its unaudited net asset value per common share as of March 31, 2026. The reported net asset value per common share was $3.34.

NAV/Share: $3.34

gemini · 2026-04-16 07:30 UTC

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