
Core Points - FS Credit Opportunities Corp. announced a monthly distribution of $0.0645 per share for May 2025, payable on May 30, 2025 [1] - The current annualized distribution yield is 10.7% based on the Fund's net asset value (NAV) and 11.1% based on market price as of April 30, 2025 [2] - The Fund has approximately $2.1 billion in assets under management, focusing on event-driven credit, special situations, and private capital solutions [3] Distribution Details - The distribution schedule includes an ex-date and record date of May 22, 2025, with payment on May 30, 2025 [4] - Monthly distributions are regular cash payments to common shareholders, which may be adjusted based on portfolio and market conditions [4] Fund Performance - The monthly distribution has been fully covered by the Fund's net investment income throughout 2025 [2] - The Fund has generated an estimated total return of 4.5% on NAV and 5.9% on market price year-to-date through April 30, 2025 [2] Company Overview - FS Investments manages over $82 billion in assets and provides access to a variety of alternative asset classes and strategies [7] - The firm employs more than 500 individuals across offices in the U.S., Europe, and Asia, with headquarters in Philadelphia [7]