Old Westbury Funds Inc. - Credit Income Fund (OWCIX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
8.14
+0.02 (0.25%)
At close: Feb 13, 2026
Fund Assets2.26B
Expense Ratio0.91%
Min. Investment$1,000
Turnovern/a
Dividend (ttm)0.44
Dividend Yield5.43%
Dividend Growth-3.30%
Payout FrequencyQuarterly
Ex-Dividend DateDec 18, 2025
Previous Close8.12
YTD Return1.88%
1-Year Return8.91%
5-Year Return3.02%
52-Week Low7.42
52-Week High8.14
Beta (5Y)n/a
Holdings811
Inception DateSep 30, 2020

About OWCIX

Old Westbury Credit Income Fund is a multisector bond mutual fund designed to deliver income as its primary objective, with capital appreciation as a secondary aim. The fund provides investors with flexible, global exposure to a wide array of credit-related instruments, investing at least 80% of its net assets in credit instruments and related derivatives. Its portfolio spans various credit qualities, including high-yield ("junk") bonds, and it carries no constraints by benchmark, asset class, or sector. Notably, the fund uses dynamic asset allocation—relying on both fundamental research and proprietary quantitative models—to assess and navigate opportunities and risks across global credit markets. This actively managed fund employs risk management and hedging strategies, utilizing tools such as credit default swaps, total return swaps, interest rate futures, and currency forwards to diversify returns and manage exposures. With a quarterly dividend distribution and a yield that often exceeds that of peers, the fund appeals to those seeking regular income from the credit market. Its unconstrained approach and broad mandate make it a significant offering for investors looking to access the full spectrum of global credit markets and benefit from both the upside and downside risk management inherent in active, flexible credit strategies.

Category Multisector Bond
Performance Rating Low
Risk Rating Above Average
Stock Exchange NASDAQ
Ticker Symbol OWCIX
Index ICE BofA Corporate 1-10 Year TR

Performance

OWCIX had a total return of 8.91% in the past year, including dividends. Since the fund's inception, the average annual return has been 6.29%.

Top 10 Holdings

37.75% of assets
NameSymbolWeight
iShares JP Morgan USD Emerging Markets Bond ETFEMB8.29%
iShares MBS ETFMBB5.57%
State Street SPDR Bloomberg Convertible Securities ETFCWB4.33%
MMDA OVERNIGHT SWEEPn/a4.32%
US TREASURY N/B - United States Treasury Note/BondT.4.125 01.31.273.10%
US TREASURY N/B - United States Treasury Note/BondT.4.5 11.15.253.08%
US TREASURY N/B - United States Treasury Note/BondT.3 08.15.522.41%
US TREASURY N/B - United States Treasury Note/BondT.1.625 11.15.502.34%
US TREASURY N/B - United States Treasury Note/BondT.2.375 05.15.512.23%
US TREASURY N/B - United States Treasury Note/BondT.3 08.15.482.09%
View More Holdings

Dividend History

Ex-DividendAmountPay Date
Dec 18, 2025$0.10332Dec 19, 2025
Sep 11, 2025$0.111Sep 12, 2025
Jun 12, 2025$0.110Jun 13, 2025
Mar 13, 2025$0.118Mar 14, 2025
Dec 19, 2024$0.12142Dec 20, 2024
Sep 12, 2024$0.109Sep 13, 2024
Full Dividend History