FS Credit Income Fund - 2024-H2

Interval Fund

October 31, 2024

Initial Offering Date November 1, 2017
Public Offering Price per Share ($13.26 A, $12.54 I, $12.98 T, $12.91 U-2, $12.48 U)
NAV per Share ($12.50 A, $12.54 I, $12.53 T, $12.59 U-2, $12.48 U)
Front-End Sales Load (5.75% A, 0.00% I, 3.50% T, 2.50% U-2, 0.00% U)
Annual Management Fee 1.60%
Cash to Total Assets Ratio 20.6%
Asset Type Credit
Sponsor/Advisor FS Investments
Sub-Advisor GoldenTree Asset Management
Fiscal Year Ending October 31
Fund Operating Expense Ratio (Gross) 2.68%
Fund Operating Expense Ratio (Net) 2.52%
Leverage Ratio 10.09%
Waivers as % of Distributions 1.99%
Historical Nav
Net Offering
Proceeds
Historical
Distribution Rate
GAAP Earnings
Payout Ratio
Taxable Income
Payout Ratio
Distributions &
Earnings
Share Repurchases
Investment Breakdown
Total Returns
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