Prospect Flexible Income Fund (“FLEX”) Announces Distributions for December 2021, January 2022, and February 2022
NEW YORK, November 12, 2021 /PRNewswire/ — Prospect Flexible Income Fund, Inc. (“FLEX”, “Fund”, “we”, “us” or “our”) recently announced its financial results for the first fiscal quarter ended September 30, 2021. The Fund announced its net asset value (“NAV”) per share is $8.26. The Fund also declared monthly cash distributions to stockholders for December 2021, […]