• NPORT
1WS Credit Income Fund NAV Grows 5.1% in Fiscal 1Q26
1WS Credit Income Fund net asset value climbed 5.1% to $822.21M from $782.60M, a $39.61M increase, driven by portfolio gains and net inflows in the fiscal first quarter ending 1/31/2026.
1WS Credit Income Fund net asset value climbed 5.1% to $822.21M from $782.60M, a $39.61M increase, driven by portfolio gains and net inflows in the fiscal first quarter ending 1/31/2026.