OFS Credit Company, Inc. is a non-diversified, closed-end management investment company. The Company's primary investment objective is to generate current income, with a secondary objective to generate capital appreciation. The Company seeks to invest approximately 80% of its assets, or net assets plus borrowings, in floating rate credit-based instruments and other structured credit investments, including collateralized loan obligation (CLO) debt and subordinated, which includes residual or equity securities traditional corporate credit investments, including leveraged loans and high yield bonds; opportunistic credit investments, including stressed and distressed credit situations and long/short credit investments, and other credit-related instruments. The CLOs in which it invests are collateralized by portfolios consisting primarily of below investment grade United States senior secured loans. The investment adviser of the Company is OFS Capital Management, LLC.
Mã chứng khoánOCCI
Tên công tyOFS Credit Company Inc
Ngày IPOOct 05, 2018
Giám đốc điều hànhRashid (Bilal)
Số lượng nhân viên- -
Loại chứng khoánOrdinary Share
Kết thúc năm tài chínhOct 05
Địa chỉ222 West Adams Street
Thành phốCHICAGO
Sàn giao dịch chứng khoánNASDAQ OMX - NASDAQ BASIC
Quốc giaUnited States of America
Mã bưu điện60606
Điện thoại18477342000
Trang webhttps://ofscreditcompany.com/
Mã chứng khoánOCCI
Ngày IPOOct 05, 2018
Giám đốc điều hànhRashid (Bilal)
Tổng cộng
29.87M
USD đã được phân phối dưới dạng cổ tức trong 5 năm qua.
OCCI.NB Interim Cash Dividend of gross USD 0.115 paid on Feb 27, 2026 going ex on Feb 13, 2026 with reinvestment option
OCCI.NB Final Cash Dividend of gross USD 0.115 paid on Dec 31, 2025 going ex on Dec 12, 2025 with reinvestment option
OCCI.NB Interim Cash Dividend of gross USD 0.115 paid on Nov 28, 2025 going ex on Nov 17, 2025 with reinvestment option
OCCI.NB Interim Cash Dividend of gross USD 0.115 paid on Jan 30, 2026 going ex on Jan 15, 2026 with reinvestment option
OCCI.NB Interim Cash Dividend of gross USD 0.115 paid on Sep 30, 2025 going ex on Sep 15, 2025 with reinvestment option
OCCI.NB Interim Cash Dividend of gross USD 0.115 paid on Aug 29, 2025 going ex on Aug 15, 2025 with reinvestment option
OCCI.NB Interim Cash Dividend of gross USD 0.115 paid on Oct 31, 2025 going ex on Oct 15, 2025 with reinvestment option
OCCI.NB Interim Cash Dividend of gross USD 0.115 paid on Jul 31, 2025 going ex on Jul 21, 2025 with reinvestment option
OCCI.NB Interim Cash Dividend of gross USD 0.115 paid on Jun 30, 2025 going ex on Jun 20, 2025 with reinvestment option
OCCI.NB Interim Cash Dividend of gross USD 0.115 paid on May 30, 2025 going ex on May 20, 2025 with reinvestment option
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