Oxford Park Income Fund, Inc. Announces June Net Asset Value and Declaration of Distributions for the Months Ending October, November, and December 2024
July 26, 2024 10:09 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., July 26, 2024 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“the Fund”, “our”) announced today the following financial results and related information: On July 25, 2024...
Oxford Park Income Fund, Inc. Provides May Net Asset Value Update
June 17, 2024 18:09 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., June 17, 2024 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“Oxford Park”, “the Fund”, “our”) announced today the Net Asset Value (“NAV”) as of May 31, 2024 for Class A and...
Oxford Park Income Fund, Inc. Announces April Net Asset Value and Declaration of Distributions for the Months Ending July, August, and September 2024
May 20, 2024 14:56 ET | Oxford Park Income Fund, Inc.
GREENWICH, Conn., May 20, 2024 (GLOBE NEWSWIRE) -- Oxford Park Income Fund, Inc. (“the Fund”, “our”) announced today the following financial results and related information: On May 14, 2024...
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...