OFS Credit estimates Aug. 31 NAV per share at $3.17-$3.27
OCCI•Estimated August NAV range
OFS Credit issued an unaudited estimated net asset value per common share range of $3.17 to $3.27 at Aug. 31, 2026.
OCCI•OFS Credit issued an unaudited estimated net asset value per common share range of $3.17 to $3.27 at Aug. 31, 2026.
