Stock Information
NAV per share as of February 26th, 2021 is $11.83
Shares Outstanding 10,380,003
Premium/(Discount) to NAV (12.34%)
Inception NAV/Share $10.00
Inception Date 12/30/2011
NYSE Listing Date 5/30/2019
Total Gross Assets as of 02/28/2021 $139,608,342
Total Net Assets as of 02/28/2021 $122,781,439
Total Regulatory Leverage as of 02/28/2021 11.46%


Corporate Governance
Latest News
Feb 26, 2021

In a correction to the previous announcement about the February distribution, Vertical Capital Income Fund (NYSE: VCIF) today confirmed it paid a monthly distribution of $0.0800 per share to all...

Feb 8, 2021

In the news release, Vertical Capital Income Fund (VCIF) Declares February Distribution, issued 05-Feb-2021 by Vertical Capital Income Fund over PR Newswire, we are advised by the company that...

All News

VCIF Adviser


VCIF Partners & Critical Vendors