OFS Credit Company Provides July 2026 Net Asset Value Update
OFS Credit Company released an unaudited net asset value (NAV) estimate for July 31, 2026, projecting a range of $3.27 to $3.37 per share of common stock. The preliminary data has not undergone the company's typical quarter-end financial closing procedures, and KPMG LLP has not audited or reviewed the figures.
Key figures
- Report date
- July 31, 2026
- Nav per share estimate range
- $3.27 - $3.37
AI analysis
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