Oxford Park Income Fund, Inc.

Offered by one of the longest running, most active, and largest specialists in the market.

Strategic
Thought
Leadership

Sponsor Overview

Oxford Funds is the parent company of credit-focused investment advisers that manage funds investing in U.S. CLO equity, U.S. CLO junior debt and syndicated corporate loans.

Oxford Funds Website
2002
Year Founded
25
Employees
~ $2.8bn
Gross AUM1
+ $10.4bn
Deployed in CLO Equity,
CLO Debt, CLO Warehouse
1. Gross assets are the assets managed before deducting liabilities, also known as regulatory assets under management, and includes all assets managed by advisors affiliated with Oxford Funds, as of 12/31/2025.

Investment Philosophy

The Fund’s investment objective is to maximize its portfolio’s risk-adjusted total return. The Fund intends to implement its investment objective by purchasing portions of equity and junior debt tranches of collateralized loan obligation (“CLO”) vehicles. Structurally, CLO vehicles are entities formed to originate and/or acquire a portfolio of loans.

“One of the longest running, most active, and largest
specialists in the market.”

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Key Fund Information

THE OFFERING

Closed-End Fund

MINIMUM INVESTMENT

$2,500

LIQUIDITY

The Fund intends to offer to repurchase up to 5% of
outstanding shares quarterly at NAV, subject to board approval

INVESTMENT ADVISOR

Oxford Park Management, LLC

ADMINISTRATOR

Oxford Funds, LLC

SERVICE PROVIDERS

Transfer Agent – U.S. Bank Fund Services, LLC
Auditor – PricewaterhouseCoopers LP

Third-Party Due Diligence Reports

FactRight, Castle Hall (iCapital)

Press Releases

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Where Credit Meets Strategy: Optimizing Returns Through CLOs
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