
OFS Credit Company Provides November 2025 Net Asset Value Update | OCCI Stock News

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OFS Credit Company announced an estimated net asset value (NAV) per share of $5.01 to $5.11 as of November 30, 2025. This unaudited estimate may differ from future NAV determinations. Factors such as interest rate changes, geopolitical tensions, and economic instability could impact future NAV and financial conditions. The preliminary data is prepared by management and not audited by KPMG LLP.
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