Herzfeld Credit Income Fund, Inc. Provides December 2025 Net Asset Value Update
Globenewswire·2026-01-14 21:39
Group 1 - The Herzfeld Credit Income Fund, Inc. announced an estimated net asset value (NAV) of $2.14 as of December 31, 2025 [1] - Thomas J. Herzfeld Advisors, Inc. is an SEC registered investment advisor specializing in investment analysis and account management in closed-end funds [2] Group 2 - The Fund's investment is subject to certain risks, including market risk, and shares may trade at a discount from their net asset value [3] - Forward-looking statements made by the Fund or its advisor may involve various assumptions and uncertainties that could lead to actual results differing materially from expectations [4]