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Current Report · Items 8.01 · 8-K

Crescent Private Credit Income Corp

Other Events

Item 8.01 Other Events September 2026 Distributions On September 25, 2026, 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:…

Filed Sep 25, 2026Accepted Sep 25, 2026, 4:15 PM EDTCIK 1954360Accession 0001193125-26-402850
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Recent company filings

  1. 424B3 filingSep 25, 2026
  2. SC TO-I filingAug 26, 2026
  3. 424B3 filingAug 25, 2026
  4. Other EventsAug 25, 2026
  5. 424B3 filingAug 17, 2026

Disclosure sections

Items 8.01

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Item 8.01Item 8.01 - Other Events
Item 8.01 Other Events September 2026 Distributions On September 25, 2026, 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 Stockholder Servicing and/or Distribution Fee Net Distribution ──────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────── Class I Common Shares $ 0.16500 $ 0.04500 $ - $ 0.21000 Class S Common Shares 0.16500 0.04500 0.01875 0.19125 The distributions for Class I Common Shares and Class S Common Shares are payable to stockholders of record as of the open of business on September 30, 2026 and will be paid on or about October 30, 2026. The September 2026 distributions will be paid in cash or reinvested in the Class I Common Shares or Class S Common Shares, as applicable, for stockholders participating in the Fund’s distribution reinvestment plan. The net distribution received by stockholders of the Class S Common Shares will be equal to the gross distribution in the table above, less the stockholder servicing and/or distribution fees applicable to such Class S Common Shares as of the record date. Class I Common Shares have no stockholder servicing and/or distribution fees. Net Asset Value The net asset value (“NAV”) per share of each outstanding class of the Fund as of August 31, 2026, as determined in accordance with the Fund’s valuation policy, is set forth below: NAV per share as of August 31, 2026 ───────────────────────────────────────────────────────────────────────────── Class I Common Shares $ 26.47 Class S Common Shares 26.47 As of August 31, 2026, the Fund’s aggregate NAV was approximately $590.5 million, the fair value of its portfolio investments was approximately $970.9 million and it had principal debt outstanding of $400.8 million, resulting in a debt to equity ratio of approximately 0.68x. Status of Offering The Fund is currently publicly offering on a continuous basis of up to $3.0 billion in shares of the Fund’s common stock, par value $0.01 per share (the “Common Shares”), including shares of the Fund’s Class I Common Shares, Class S Common Shares, and Class D Common Shares of common stock, pursuant to a registered offering (the “Registered Offering”). Additionally, the Fund has sold unregistered shares as part of private offerings (the “Private Placements”) that were exempt from the registration provisions of the Securities Act of 1933, as amended, pursuant to Section 4(a)(2) thereof and/or Rule 506(b) or Regulation S promulgated thereunder. The following table lists the Common Shares issued and total consideration for both the Registered Offering and the Private Placements as of the date of this filing. The table below does not include Common Shares issued through the Fund’s distribution reinvestment plan. The Fund intends to continue selling Common Shares in the Registered Offering on a monthly basis. (dollar amounts in millions) Common Shares issued Total consideration (1) ─────────────────────────────────────────────────────────────────────────────────────────────────────── Registered Offering: Class I 16,003,666 $429.7 Class S 6,858 $0.2 Class D — — Private Placements: Class I 6,543,033 $168.0 Class S — — Class D — — Total: 22,553,557 $597.9 (1) The Fund does not charge any underwriting discounts or commissions in connection with the sale of such Common Shares. Although the Fund does not charge investors an upfront sales load with respect to its Common Shares, if Common Shares are purchased through certain selling agents, such selling agents may directly charge stockholders transaction or other fees, including upfront placement fees or brokerage commissions, in such amount as they may determine, provided that selling agents limit such charges to a 3.5% cap on NAV for Class S Common Shares and a 1.5% cap on NAV for Class D Common Shares. No transaction or other fees, including upfront placement fees or brokerage commissions are charged on Class I Common Shares.