F

$FSSL

3 articles found
0 positive
0 negative
3 neutral
BenzingaBenzinga··Prnewswire

FS Specialty Lending Fund Maintains 9.2% NAV Yield Amid Market Price Volatility

FSSL declares $0.1375 monthly distribution for May 2026, sustaining 9.2% NAV yield despite 9.1% market price decline year-to-date.
FSSLdividenddistribution
BenzingaBenzinga··Prnewswire

FSSL Maintains 13.2% Yield With April Distribution as AUM Hits $1.9B

FS Specialty Lending Fund declares $0.1375 monthly distribution, sustaining 13.2% market-price yield amid $1.9B in assets.
FSSLdividenddistribution
BenzingaBenzinga··Future Standard

FS Specialty Lending Fund Maintains 9.1% NAV Yield Despite Market Weakness

FSSL declares $0.1375 monthly distribution for March 2026, maintaining 9.1% NAV yield amid 13.3% YTD market price decline.
FSSLdividenddistribution