OFS Credit Estimates Q1 NAV Between $3.67 and $3.77

The company reported preliminary net asset value per share for Q1 FY26, reflecting modest income expectations. OFS Credit Company (OCCI) released preliminary Q1 FY26 metrics, estimating net asset value (NAV) per share at $3.67 to $3.77. The range is based on early portfoli

The company reported preliminary net asset value per share for Q1 FY26, reflecting modest income expectations.

OFS Credit Company (OCCI) released preliminary Q1 FY26 metrics, estimating net asset value (NAV) per share at $3.67 to $3.77. The range is based on early portfolio valuations and suggests modest net investment income for the quarter.

The company did not provide prior quarter or year-ago comparisons in the release. Consensus estimates for similar periods were not disclosed, limiting immediate benchmarking.

No immediate market reaction was detailed in the announcement.

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