Crescent Private Credit Income Corp. Files 8-K
| Field | Detail |
|---|---|
| Company | Crescent Private Credit Income Corp |
| Form Type | 8-K |
| Filed Date | Oct 28, 2025 |
| Risk Level | low |
| Pages | 3 |
| Reading Time | 4 min |
| Key Dollar Amounts | $0.01, $377.9 m, $614.1 million, $260.3 m |
| Sentiment | neutral |
Sentiment: neutral
Topics: 8-K, corporate-filing
TL;DR
Crescent Private Credit Income Corp. filed an 8-K on 10/28/25, updating its corporate information.
AI Summary
On October 28, 2025, Crescent Private Credit Income Corp. filed an 8-K report. The filing indicates the company's principal executive offices are located at 11100 Santa Monica Blvd., Suite 2000, Los Angeles, CA 90025. The report was filed as of October 28, 2025, with the SEC.
Why It Matters
This filing serves as a public record of the company's current status and official reporting to the SEC, providing transparency for investors and stakeholders.
Risk Assessment
Risk Level: low — This is a routine filing that primarily updates corporate information and does not appear to contain significant new financial or operational developments.
Key Players & Entities
- Crescent Private Credit Income Corp. (company) — Registrant
- 11100 Santa Monica Blvd., Suite 2000, Los Angeles, CA 90025 (location) — Principal Executive Offices
- October 28, 2025 (date) — Date of report
FAQ
What is the exact name of the registrant as specified in its charter?
The exact name of the registrant is Crescent Private Credit Income Corp.
In which state was Crescent Private Credit Income Corp. incorporated?
Crescent Private Credit Income Corp. was incorporated in Maryland.
What is the IRS Employer Identification Number for Crescent Private Credit Income Corp.?
The IRS Employer Identification Number is 88-4283363.
What is the address of the principal executive offices of the company?
The address of the principal executive offices is 11100 Santa Monica Blvd., Suite 2000, Los Angeles, CA 90025.
On what date was this 8-K report filed?
This 8-K report was filed on October 28, 2025.
Filing Stats: 1,007 words · 4 min read · ~3 pages · Grade level 10.7 · Accepted 2025-10-28 16:05:28
Key Financial Figures
- $0.01 — ommon shares of common stock, par value $0.01 per share ("Class I Common Shares"), an
- $377.9 m — Fund's aggregate NAV was approximately $377.9 million, the fair value of its portfolio
- $614.1 million — portfolio investments was approximately $614.1 million and it had principal debt outstanding o
- $260.3 m — nd it had principal debt outstanding of $260.3 million, resulting in a debt to equity ra
Filing Documents
- ck0001954360-20251028.htm (8-K) — 117KB
- 0001193125-25-253475.txt ( ) — 405KB
- ck0001954360-20251028.xsd (EX-101.SCH) — 23KB
- ck0001954360-20251028_htm.xml (XML) — 13KB
01 Other Events
Item 8.01 Other Events October 2025 Distributions On October 28, 2025, Crescent Private Credit Income Corp. (the "Fund") declared regular and special distributions for its Class I common shares of common stock, par value $0.01 per share ("Class I Common Shares"), and Class S common shares of common stock, par value $0.01 per share ("Class S Common Shares"), in the amounts per share set forth below: Gross Distribution Special Distribution Shareholder Servicing and/or Distribution Fee Net Distribution Class I Common Shares $ 0.16000 $ 0.06000 $ - $ 0.22000 Class S Common Shares 0.16000 0.06000 0.01914 0.20086 The distributions for Class I Common Shares and Class S Common Shares are payable to shareholders of record as of the open of business on October 31, 2025 and will be paid on or about November 28, 2025. The October 2025 distributions will be paid in cash or reinvested in the Class I Common Shares or Class S Common Shares, as applicable, for shareholders participating in the Fund's distribution reinvestment plan. The net distribution received by shareholders of the Class S Common Shares will be equal to the gross distribution in the table above, less the shareholder servicing and/or distribution fees applicable to the Class S Common Shares as of the record date. Class I Common Shares have no shareholder servicing and/or distribution fees. Net Asset Value The net asset value ("NAV") per share of each outstanding class of the Fund as of September 30, 2025, as determined in accordance with the Fund's valuation policy, is set forth below: NAV per share as of September 30, 2025 Class I Common Shares $ 27.02 Class S Common Shares 27.02 As of September 30, 2025, the Fund's aggregate NAV was approximately $377.9 million, the fair value of its portfolio investments was approximately $614.1 million and it had principal debt outstanding of $260.3 million, resulting in a debt to equity ratio of approximately 0.69x.