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Carlyle Credit Income Fund, ETF

CCIF

NYQ

$7.74

+$0

(0%)

Category: Intermediate Core Bond

Price Chart

Key Metrics

Expense Ratio info-icon
The expense ratio is how much you pay a mutual fund or ETF per year, expressed as a percent of your investments. It is a measure of the fund's operating costs relative to assets.
0
Volume info-icon
This is the total number of shares traded during the most recent trading day.
165.96K
Avg Volume info-icon
This is the average number of shares traded during the most recent 30 days.
0
Dividend Yield info-icon
This ratio shows how much income you earn in dividend payouts per year for every dollar invested in the stock (or the stock’s annual dividend payment expressed as a percentage of its current price).
0.00%
Beta info-icon
This measures the expected move in a stock’s price relative to movements in the overall market. The market, such as the S&P 500 Index, has a beta of 1.0. If a stock has a Beta greater (or lower) than 1.0, it suggests that the stock is more (or less) volatile than the broader market.
0
52-week Range info-icon
This shows the range of the stock’s price between the 52-week high (the highest price of the stock for the past 52 weeks) and the 52-week low (the lowest price of the stock for the past 52 weeks).
$6.75 L
$8.14 H
$7.74

About Carlyle Credit Income Fund, ETF

Carlyle Credit Income Fund is a close ended fixed income mutual fund launched and managed by Vertical Capital Asset Management, LLC. The fund is co - managed by Behringer Advisors, LLC. The Fund invests mainly in fixed-income securities. The fund invests in stocks of companies operating across diversified sectors. It seeks to benchmark the performance of its portfolio against the Barclays Capital U.S. Mortgage Backed Securities Index. Carlyle Credit Income Fund was formed on December 30, 2011 and is domiciled in the United States. more

Category: Intermediate Core Bond

Returns

Time FrameCCIFS&P500
1-Week Return0.26%1.35%
1-Month Return-0.39%1.42%
3-Month Return-6.86%3.61%
6-Month Return-10.1%9.32%
1-Year Return-3.73%23.18%
3-Year Return-20.78%42.39%
5-Year Return-28.13%80.85%
10-Year Return-31.44%191.94%

Sector Breakdown

Sector Weight
All Others
100.00%

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