Carlyle Credit Income Fund has reported an estimated unaudited net asset value $(NAV)$ per common share of $6.27 as of August 31, 2025. This figure provides insight into the fund's portfolio performance during this period.
Carlyle Credit Income Fund has reported an estimated unaudited net asset value $(NAV)$ per common share of $6.27 as of August 31, 2025. This figure provides insight into the fund's portfolio performance during this period.
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