Oxford Park Income Fund, Inc. Provides March Net Asset Value Update
April 23, 2024 13:25 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., April 23, 2024 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“Oxford Park”, “the Fund”, “our”) announced today the Net Asset Value (“NAV”) as of March 31, 2024 for Class A and...
Oxford Park Income Fund, Inc. Provides February Net Asset Value Update
March 13, 2024 14:37 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., March 13, 2024 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“Oxford Park”, “the Fund”, “our”) announced today the Net Asset Value (“NAV”) as of February 29, 2024 was $28.03...
Oxford Park Income Fund, Inc. Provides January Net Asset Value Update
February 15, 2024 12:17 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., Feb. 15, 2024 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“Oxford Park”, “the Fund”, “our”) announced today the Net Asset Value (“NAV”) as of January 31, 2024 was $28.13 per...
Oxford Park Income Fund, Inc. Announces December Net Asset Value and Declaration of $0.30 per share Distributions for the Months Ending April, May, and June 2024
January 25, 2024 15:58 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., Jan. 25, 2024 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“the Fund”, “our”) announced today the following financial results and related information: Today our...
Oxford Park Income Fund, Inc. Provides November Net Asset Value Update
December 14, 2023 10:52 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., Dec. 14, 2023 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“Oxford Park”, “the Fund”, “our”) announced today the Net Asset Value (“NAV”) as of November 30, 2023 was $26.80...
Oxford Park Income Fund, Inc. Announces October Net Asset Value and Increases Distribution Rate by 20%
November 16, 2023 16:06 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., Nov. 16, 2023 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (the “Fund”, “our”) announced today the unaudited Net Asset Value (“NAV”) as of October 31, 2023 was $26.66 per...
Oxford Park Income Fund, Inc. Announces Increase in Declared Monthly Distributions for the Months Ending January, February, and March 2024
November 09, 2023 15:55 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., Nov. 09, 2023 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“the Fund”, “our”) announced today that our Board of Directors declared monthly distributions on our common shares...
Oxford Park Income Fund, Inc. Announces Increase in Declared Monthly Distributions for the Months Ending October, November, and December 2023
October 04, 2023 17:16 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., Oct. 04, 2023 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“the Fund”, “our”) announced today that our Board of Directors declared monthly distributions on our common shares...
Oxford Park Income Fund, Inc. Provides August Net Asset Value Update
September 12, 2023 15:46 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., Sept. 12, 2023 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“Oxford Park”, “the Fund”, “our”) announced today the Net Asset Value (“NAV”) as of August 31, 2023 was $26.36 per...
Oxford Park Income Fund, Inc. Provides July Net Asset Value Update
August 10, 2023 16:27 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., Aug. 10, 2023 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“Oxford Park”, “the Fund”, “our”) announced today the Net Asset Value (“NAV”) as of July 31, 2023 was $26.12 per...