OCCI - OFS Credit estimates NAV fell as much as 9.8% from Jan. 31 to March 31
OFS Credit (NASDAQ:OCCI) estimates its net asset value as of March 31, 2022 was $12.38-$12.48, down from $13.72 as of Jan. 31, 2022. The company noted that the estimate didn't undergo its typical quarter-end financial closing procedures and wasn't approved by the company's board. Note that the company's stock closed at $12.43 on March 31, making the NAV per share roughly equivalent to its stock price at the time. Previously (Jan. 18), OFS Credit net asset value continues to edge lower in December
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OFS Credit estimates NAV fell as much as 9.8% from Jan. 31 to March 31