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KKR Credit Income Fund Reports NAV Decrease

KKR Credit Income fund Units (AU:KKC) has released an update.

The KKR Credit Income Fund, managed by KKR Australia Investment Management, has reported a slight decrease in its Net Asset Value (NAV) per unit of 0.57% from the previous estimate, moving from $2.4634 to $2.4494 as of September 30, 2024. All financial figures are provided in Australian dollars and are unaudited estimates that may not reflect future performance. Investors are advised to consult with a financial adviser and consider the Product Disclosure Statement before making investment decisions.

For further insights into AU:KKC stock, check out TipRanks’ Stock Analysis page.

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