等待开盘 09-20 09:30:00 美东时间
-0.063
-0.75%
Carlyle Credit Income Fund - Ccif Net Investment Income at $0.33 per Share in Q2
05-30 04:23
Carlyle Credit Income Fund (NYSE:CCIF) had declared $0.105/share monthly dividend, Payable May 31; for shareholders of record May 20; ex-div May 17. See CCIF Dividend Scorecard, Yield Chart, & Dividen...
05-16 22:25
11月下旬结束的荷兰议会选举,令外界为之哗然。极右翼民粹派领导人威尔德斯(Geert Wilders)在选前最后关头民调攀升,并最终跃居得票率首席。尽管眼下的组...
2023-12-12 10:57
Companies Reporting Before The Bell • CollPlant Biotechnologies (NASDAQ:CLGN) is likely to report quarterly loss at $0.13 per share on revenue of $3.50 million.
2023-11-29 20:46
NEW YORK, Oct. 18, 2023 /PRNewswire/ -- Carlyle Credit Income Fund (the "Fund") (NYSE: CCIF) today announced that it has commenced an underwritten public offering of its Series A Preferred S...
2023-10-18 20:50
NEW YORK, Aug. 10, 2023 /PRNewswire/ -- Carlyle Credit Income Fund (the "Fund") (NYSE: CCIF) today is pleased to announce the declaration of a monthly dividend on shares of the Fund's common...
2023-08-11 04:40
公司名称
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Carlyle Credit Income Fund
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行业分类
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Investment Trusts/Mutual Funds
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业务描述
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Carlyle Credit Income Fund is an externally manages closed-end fund, which engages in the investment in primarily equity and junior debt tranches of collateralized loan obligations. The company was founded on April 8, 2011 and is headquartered in New York, NY.
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Carlyle Credit Income Fund - Ccif Net Investment Income at $0.33 per Share in Q2
05-30 04:23
Carlyle Credit Income Fund (NYSE:CCIF) had declared $0.105/share monthly dividend, Payable May 31; for shareholders of record May 20; ex-div May 17. See CCIF Dividend Scorecard, Yield Chart, & Dividen...
05-16 22:25
11月下旬结束的荷兰议会选举,令外界为之哗然。极右翼民粹派领导人威尔德斯(Geert Wilders)在选前最后关头民调攀升,并最终跃居得票率首席。尽管眼下的组...
2023-12-12 10:57
Companies Reporting Before The Bell • CollPlant Biotechnologies (NASDAQ:CLGN) is likely to report quarterly loss at $0.13 per share on revenue of $3.50 million.
2023-11-29 20:46
NEW YORK, Oct. 18, 2023 /PRNewswire/ -- Carlyle Credit Income Fund (the "Fund") (NYSE: CCIF) today announced that it has commenced an underwritten public offering of its Series A Preferred S...
2023-10-18 20:50
NEW YORK, Aug. 10, 2023 /PRNewswire/ -- Carlyle Credit Income Fund (the "Fund") (NYSE: CCIF) today is pleased to announce the declaration of a monthly dividend on shares of the Fund's common...
2023-08-11 04:40
派息除权日
|
每股总股息
| 派息日期 |
2024-11-18
|
0.10
|
2024-11-29
|
2024-10-21
|
0.10
|
2024-10-31
|
2024-09-18
|
0.10
|
2024-09-30
|
2024-08-20
|
0.10
|
2024-08-30
|
2024-07-19
|
0.10
|
2024-07-31
|
2024-06-17
|
0.10
|
2024-06-28
|
2024-05-17
|
0.10
|
2024-05-31
|
2024-04-17
|
0.10
|
2024-04-30
|
2024-03-15
|
0.10
|
2024-03-28
|
2024-02-15
|
0.10
|
2024-02-29
|
2024-01-18
|
0.10
|
2024-01-31
|
2023-12-15
|
0.10
|
2023-12-29
|
2023-11-16
|
0.10
|
2023-11-30
|
2023-10-18
|
0.10
|
2023-10-31
|
2023-09-21
|
0.10
|
2023-09-29
|
2023-08-18
|
0.06
|
2023-08-31
|
2023-07-24
|
0.06
|
2023-07-31
|
2023-07-13
|
0.96
|
2023-07-17
|
2023-06-16
|
0.07
|
2023-06-30
|
2023-05-17
|
0.07
|
2023-05-31
|
2023-04-17
|
0.07
|
2023-04-28
|
2023-03-20
|
0.07
|
2023-03-31
|
2023-02-14
|
0.07
|
2023-02-28
|
2023-01-18
|
0.07
|
2023-01-31
|
2022-12-16
|
0.07
|
2022-12-30
|
2022-11-16
|
0.07
|
2022-11-30
|
2022-10-18
|
0.07
|
2022-10-31
|
2022-09-19
|
0.07
|
2022-09-30
|
2022-08-18
|
0.07
|
2022-08-31
|
2022-07-18
|
0.07
|
2022-07-29
|
2022-06-16
|
0.07
|
2022-06-30
|
2022-05-17
|
0.07
|
2022-05-31
|
2022-04-18
|
0.07
|
2022-04-29
|
2022-03-18
|
0.07
|
2022-03-31
|
2022-02-14
|
0.08
|
2022-02-28
|
2022-01-18
|
0.08
|
2022-01-31
|
2021-12-17
|
0.18
|
2021-12-31
|
2021-11-16
|
0.08
|
2021-11-30
|
2021-10-18
|
0.08
|
2021-10-29
|
2021-09-17
|
0.08
|
2021-09-30
|
2021-08-18
|
0.08
|
2021-08-31
|
2021-07-19
|
0.08
|
2021-07-30
|
2021-06-17
|
0.08
|
2021-06-30
|
2021-05-17
|
0.08
|
2021-05-28
|
2021-04-19
|
0.08
|
2021-04-30
|
2021-03-18
|
0.08
|
2021-03-31
|
2021-02-12
|
0.08
|
2021-02-26
|
2021-01-15
|
0.08
|
2021-01-29
|
2020-12-17
|
0.34
|
2020-12-31
|
2020-11-16
|
0.03
|
2020-11-30
|
2020-10-19
|
0.03
|
2020-10-30
|
2020-09-17
|
0.03
|
2020-09-30
|
2020-08-18
|
0.03
|
2020-08-31
|
2020-07-20
|
0.03
|
2020-07-31
|
2020-06-17
|
0.03
|
2020-06-30
|
2020-05-15
|
0.03
|
2020-05-29
|
2020-04-17
|
0.03
|
2020-04-30
|
2020-03-18
|
0.03
|
2020-03-31
|
2020-02-14
|
0.02
|
2020-02-28
|
2019-12-16
|
0.29
|
2019-12-30
|
2019-12-09
|
0.02
|
2019-12-17
|
2019-10-08
|
0.008
|
2019-10-17
|
2019-09-09
|
0.02
|
2019-09-17
|
2019-08-09
|
0.02
|
2019-08-19
|
2019-07-09
|
0.01
|
2019-07-17
|
2019-06-07
|
0.02
|
2019-06-17
|
2019-04-29
|
0.02
|
2019-04-29
|
2019-03-28
|
0.02
|
2019-03-28
|
2019-02-27
|
0.03
|
2019-02-27
|
2019-01-30
|
0.03
|
2019-01-30
|
2018-12-11
|
0.29
|
2018-12-11
|
2018-11-29
|
0.03
|
2018-11-29
|
2018-10-30
|
0.03
|
2018-10-30
|
2018-09-27
|
0.03
|
2018-09-27
|
2018-08-30
|
0.03
|
2018-08-30
|
2018-07-30
|
0.03
|
2018-07-30
|
2018-06-28
|
0.03
|
2018-06-28
|
2018-05-30
|
0.03
|
2018-05-30
|
2018-04-27
|
0.03
|
2018-04-27
|
2018-03-28
|
0.03
|
2018-03-28
|
2018-02-27
|
0.03
|
2018-02-27
|
2018-01-30
|
0.03
|
2018-01-30
|
2017-12-27
|
0.19
|
2017-12-27
|
2017-11-30
|
0.03
|
2017-11-30
|
2017-10-30
|
0.04
|
2017-10-30
|
2017-09-28
|
0.04
|
2017-09-28
|
2017-08-30
|
0.04
|
2017-08-30
|
2017-07-28
|
0.04
|
2017-07-28
|
2017-06-29
|
0.04
|
2017-06-29
|
2017-05-30
|
0.04
|
2017-05-30
|
2017-04-27
|
0.04
|
2017-04-27
|
2017-03-30
|
0.03
|
2017-03-30
|
2017-02-28
|
0.03
|
2017-02-28
|
2017-01-30
|
0.04
|
2017-01-30
|
2016-11-29
|
0.03
|
2016-11-29
|
2016-10-28
|
0.03
|
2016-10-28
|
2016-09-29
|
0.04
|
2016-09-29
|
2016-08-30
|
0.03
|
2016-08-30
|
2016-07-28
|
0.03
|
2016-07-28
|
2016-06-29
|
0.03
|
2016-06-29
|
2016-05-27
|
0.03
|
2016-05-27
|
2016-04-28
|
0.03
|
2016-04-28
|
2016-03-30
|
0.03
|
2016-03-30
|
2016-02-26
|
0.03
|
2016-02-26
|
2016-01-28
|
0.03
|
2016-01-28
|
2015-12-23
|
0.39
|
2015-12-23
|
2015-11-27
|
0.04
|
2015-11-27
|
2015-10-29
|
0.04
|
2015-10-29
|
2015-09-29
|
0.04
|
2015-09-29
|
2015-08-28
|
0.04
|
2015-08-28
|
2015-07-30
|
0.04
|
2015-07-30
|
2015-06-29
|
0.03
|
2015-06-29
|
2015-05-28
|
0.04
|
2015-05-28
|
2015-04-29
|
0.04
|
2015-04-29
|
2015-03-30
|
0.04
|
2015-03-30
|
2015-02-26
|
0.04
|
2015-02-26
|
2015-01-29
|
0.03
|
2015-01-30
|
2014-12-26
|
0.08
|
2014-12-26
|
2014-11-26
|
0.04
|
2014-11-26
|
2014-10-30
|
0.04
|
2014-10-30
|
2014-09-29
|
0.04
|
2014-09-29
|
2014-08-28
|
0.04
|
2014-08-28
|
2014-07-30
|
0.04
|
2014-07-30
|
2014-06-27
|
0.04
|
2014-06-27
|
2014-05-29
|
0.05
|
2014-05-29
|
2014-04-29
|
0.05
|
2014-04-29
|
2014-03-28
|
0.04
|
2014-03-28
|
2014-02-27
|
0.04
|
2014-02-28
|
2014-01-30
|
0.05
|
2014-01-31
|
2013-12-26
|
0.11
|
2013-12-26
|
2013-11-27
|
0.06
|
2013-11-27
|
2013-10-30
|
0.04
|
2013-10-31
|
2013-09-27
|
0.03
|
2013-09-30
|
2013-08-29
|
0.05
|
2013-08-30
|
2013-07-30
|
0.04
|
2013-07-31
|
2013-06-27
|
0.03
|
2013-06-28
|
2013-05-30
|
0.04
|
2013-05-31
|
2013-04-29
|
0.04
|
2013-04-30
|
2013-03-27
|
0.03
|
2013-03-28
|
2013-02-27
|
0.03
|
2013-02-28
|
2013-01-30
|
0.03
|
2013-01-31
|
2012-12-27
|
0.10
|
2012-12-28
|
2012-11-29
|
0.03
|
2012-11-30
|
2012-10-31
|
0.04
|
2012-11-01
|
2012-09-27
|
0.04
|
2012-09-28
|
2012-08-30
|
0.03
|
2012-08-31
|
2012-07-30
|
0.04
|
2012-07-31
|
2012-06-28
|
0.05
|
2012-06-29
|