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1WS Credit Income Fund

Sponsored by 1WS Capital Advisors / One William Street. Interval Fund structure focused on private credit.

Interval FundPrivate Credit

Sponsor
1WS Capital Advisors / One William Street
CIK
0001748680
Liquidity
Periodic repurchase offers at NAV
Inception
2019
Net assets
$855.3M
source

Semiannual shareholder report (Form N-CSRS) · filed 2026-07-09 · period 2026-04-30

Statement of Assets and Liabilities fund-level identity (Total assets - Total liabilities [- Preferred Shares] = Net Assets; no per-class breakdown template matched this filer agent)

“Total Assets 1,262,823,699 | Total Liabilities 407,561,633 | Net Assets Attributable to Shareholders $ 855,262,066”

Method Matched text template against the filing

Technical locator

https://www.sec.gov/Archives/edgar/data/1748680/000139834426012019/fp0099019-1_ncsrs.htm | Statement of Assets and Liabilities fund-level identity (Total assets - Total liabilities [- Preferred Shares] = Net Assets; no per-class breakdown template matched this filer agent)

as of 2026-04-30
NAV / share
$19.17
source

Semiannual shareholder report (Form N-CSRS) · filed 2026-07-09 · period 2026-04-30

canonical class (Class I) headline, basis: Consolidated Statement of Assets and Liabilities, 'NET ASSET VALUE' table (direct, not derived) — Consolidated Statement of Assets and Liabilities, 'NET ASSET VALUE' table: 'Class I: Net assets $447,479,150 Shares outstanding ... 23,345,501 Net Asset Value per Share $19.17 Class A-2: Net assets $407,782,916 Shares outstanding ... 22,103,169 Net Asset Value per Share $18.45' (each class ties its own net-assets/shares-outstanding line). Class I is canonical: listed first in the table and the majority class (52.3% of the Fund's $855,262,066 net assets).

“NET ASSET VALUE Class I: Net assets $ 447,479,150 Shares outstanding ... 23,345,501 Net Asset Value per Share $ 19.17 Class A-2: Net assets $ 407,782,916 Shares outstanding ... 22,103,169 Net Asset Value per Share $ 18.45”

Method Matched text template against the filing

Technical locator

https://www.sec.gov/Archives/edgar/data/1748680/000139834426012019/fp0099019-1_ncsrs.htm | canonical class (Class I) headline, basis: Consolidated Statement of Assets and Liabilities, 'NET ASSET VALUE' table (direct, not derived) | Consolidated Statement of Assets and Liabilities, 'NET ASSET VALUE' table: 'Class I: Net assets $447,479,150 Shares outstanding ... 23,345,501 Net Asset Value per Share $19.17 Class A-2: Net assets $407,782,916 Shares outstanding ... 22,103,169 Net Asset Value per Share $18.45' (each class ties its own net-assets/shares-outstanding line). Class I is canonical: listed first in the table and the majority class (52.3% of the Fund's $855,262,066 net assets).

Class I (canonical class) · 2026-04-30
Net flows, last qtr
+6.7%
qtr ended 2026-03-31
Distribution coverage (NII)
89%
period ended 2025-10-31
Leverage in use
0%
unlevered
Total return, 12m
Insufficient history
computed from NAV + distributions
01 / Signals

What changed in the latest filings.

Current findings ordered by severity. Each observation remains traceable to its filed source.

No current Urgent or Notify findings in filings reviewed through 2026-07-02.

03 / Portfolio

What moved inside the book.

Filed portfolio-health facts and position changes. Missing disclosures stay visibly missing.

No structured portfolio-health series or position-change events have been captured for this fund.

04 / Redemptions

Where exit demand met the cap.

The disclosed history shows no rationed period.

No structured redemption history has been captured for this fund.

05 / Financing

How the balance sheet is funded.

Borrowings, unused capacity, and synthetic exposure are separated so unlike risks do not collapse into one ratio.

Synthetic exposure: gross notional $101,696,614 (11.9% of net assets), as of 2026-04-30. Audit

How to read these financing entries

Borrowings are balance-sheet obligations. An undrawn facility is standby liquidity and is not debt until used. Synthetic notional describes market exposure rather than an amount owed, while unconsolidated joint-venture carrying value is shown as context and is not added to fund debt.

06 / Share classes

How the offering is divided.

A filed share-class breakdown and terms-based role descriptions. This is not an estimate of who owns the fund.

Class A-2 47.7%Class I 52.3%

Share of total net assets as of 2026-04-30; the hatched band is net assets the filings do not attribute to a captured class.

ClassTerms-based role descriptionLoadServicingMinimumAssets
Class A-2Role is not explicit in the captured filed terms.Not disclosedNot disclosedNot disclosed$407,782,9162026-04-30
Class IRole is not explicit in the captured filed terms.Not disclosedNot disclosedNot disclosed$447,479,1502026-04-30

Management fee: 1.25% of avg daily gross assets per year. source. Management Fee under the Advisory Agreement will be calculated at an annual rate of 1.50% of the daily gross assets of the Fund; the Adviser has voluntarily agreed to reduce the Management Fee to 1.25% of the Fund's daily gross assets. The Adviser's board is under no obligation to continue the fee waiver but may continue it at its discretion.

07 / Sources

The evidence beneath the page.

Filed terms and recent documents remain available without crowding the primary research flow.

Term register (1)
TermDescriptionValueEffective
advisory_fee_scheduleManagement Fee under the Advisory Agreement will be calculated at an annual rate of 1.50% of the daily gross assets of the Fund; the Adviser has voluntarily agreed to reduce the Management Fee to 1.25% of the Fund's daily gross assets. The Adviser's board is under no obligation to continue the fee waiver but may continue it at its discretion.1.25 pct_annual_of_avg_daily_gross_assetsDate not captured
Recent filings
FiledFormAccession
2026-07-09N-CSRS0001398344-26-012019
2026-06-26NPORT-P0001049169-26-001766
2026-06-16N-23C3A0001398344-26-010907
2026-04-01NPORT-P0001049169-26-000900
2026-03-20N-23C3A0001398344-26-005464
2026-01-08N-CSR0001398344-26-000391
2025-12-30NPORT-P0001049169-25-001145
2025-12-16N-23C3A0001398344-25-022551
2025-09-29NPORT-P0001049169-25-000376
2025-09-16N-23C3A0001398344-25-018151
2025-07-07N-CSRS0001398344-25-012839
2025-06-27NPORT-P0001752724-25-161832
2025-06-17N-23C3A0001398344-25-011878
2025-03-31NPORT-P0001752724-25-076577
2025-03-18N-23C3A0001398344-25-005694