Investment Objective

Our primary investment objective is to generate high current income, with a secondary objective to generate capital appreciation.

Investment Strategy

We seek to achieve our investment objectives by investing primarily in equity and junior debt tranches of CLOs. ECC pursues a differentiated private equity style approach focused on proactively sourcing investment opportunities in CLO equity. ECC typically seeks to take a significant stakes in its CLO equity investments to influence the key terms and conditions of such investments.

Contact Information

IR phone: 203-340-8510

IR e-mail: ir@eaglepointcredit.com

Common Stock Information

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Preferred Stock Information

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Unsecured Notes Information

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Overview charts will be here

NAV HISTORY

Eagle Point Credit Company Inc. (the "Company") determines its net asset value on a quarterly basis. In addition, the Company publishes an unaudited management estimate of the range of (1) the Company's net asset value as of the end of each calendar month, and (2) the Company's net investment income and realized capital gains or losses per share of common stock for each calendar quarter. These estimates are generally published within the first fifteen days after the end of the month to which they relate, and are subsequently updated, as applicable, toward the latter part of each month. The Company's net asset value is calculated as the sum of the value of the Company’s investment portfolio, any cash or cash equivalents held by the Company, and the Company’s other assets, less the Company’s liabilities. Amounts in the table denoted with an "(E)" reflect management estimates. Amounts that are not so denoted reflect quarter end figures as determined and reported by the Company in its financial statements.

Daily Pricing

Closing Share Price (12/20/16)

$17.39

Nav per share (12/20/16)

$17.40

Distribution History

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Dividends and Distributions

Qualified Interest Income

Annual & Semiannual Reports

Quarterly Financial Statements

Net Share Purchase Activity

Insider Purchases - Last 6 months

Shares

Trans

Purchases

10,759

9

Sales

-

-

Net Shares Purchased (Sold)

10,759

9

Total Insider Shares Held

9,936,379

N/A

% Net Shares Purchased (Sold)

0.11%

N/A

Insider Transactions Reported - Last Two Years

Date

Insider

Security

Shares

Type

Transaction

Value

Insider Transactions Reported - Last Two Years

SEC: Insider Filings

Coming Soon

Download

Corporate Governance Documents



Chairman of the Board

James R. Matthews

Independent Director

Scott W. Appleby

CHIEF EXECUTIVE OFFICER

Thomas P. Majewski

Mr. Matthews was appointed to the Board as a representative of the Adviser and the Trident V private equity funds. Mr. Matthews is currently a Principal of Stone Point (since October 2011). Mr. Matthews is a member of the Adviser’s investment committee and board of managers. He joined Stone Point from Evercore Partners Inc., where he was a Senior Managing Director and Co-Head of Private Equity. From 2000 to 2007, Mr. Matthews was with Welsh, Carson, Anderson & Stowe, where he was a General Partner and focused on investments in the information services and business services sectors. Previously, Mr. Matthews was a General Partner of J.H. Whitney & Co. and started his career as an Analyst in the mergers and acquisitions group of Salomon Brothers Inc. Mr. Matthews is a director of various portfolio companies of the Trident funds, including Alliant Insurance Services, Inc., Black Mountain Systems, LLC, BridgePoint Risk Management, LLC, Enhanced Capital Holdings, Inc., Tree Line Direct Lending GP, LLC and Tree Line Capital Partners, LLC. Mr. Matthews holds a B.S. from Boston College and an M.B.A. from the Harvard Graduate School of Business Administration.
Mr. Appleby is the President of Appleby Capital, Inc. and has more than 20 years of banking experience at Appleby Capital, Deutsche Bank, Robertson Stephens, ABN Amro and Paine Webber. As a senior equity analyst, Mr. Appleby has written on global exchanges, alternative asset managers and financial technology. Mr. Appleby was also one of the first Internet analysts and, in 1997, the first analyst to cover the electronic brokerage industry. Mr. Appleby remains an active writer and speaker on financial technology and Wall Street trends. Mr. Appleby serves on a number of private company and community boards. Mr. Appleby holds an M.B.A. from Cornell University and a B.S. from the University of Vermont.
Thomas Majewski is the Managing Partner and founder of Eagle Point Credit Management. He has been involved in the formation and/or monetization of over 100 CLO transactions across multiple market cycles. Tom led the creation of some of the earliest refinancing CLOs, pioneering techniques which are now commonplace in the market. He has spent his entire career in the structured finance and credit markets.

Prior to founding Eagle Point, Tom was a Managing Director and Head of CLO Banking, where he was responsible for all aspects of RBS's new-issue CLO platform. Prior to joining RBS, Tom was the U.S. country head at AMP Capital/AE Capital, where he was responsible for investing in credit, structured products and other private assets on behalf of several Australian investors.  Prior to this, Tom was a Managing Director and head of CLO Banking at Merrill Lynch, where he successfully re-launched the business after several years of limited activity by the firm. Tom also has held leadership positions within CLO and/or securitization groups at JPMorgan, Bear Stearns and Arthur Andersen.

Tom is a Director of Eagle Point Credit Company (NYSE: ECC), Marble Point Loan Financing (LSE: MPLF) and Black Mountain Systems, a leading provider of portfolio management and analytic software to the CLO market.

Tom has a B.S. in accounting from Binghamton University and is a Certified Public Accountant (inactive).

Independent Director

Kevin F. McDonald

Independent Director

Paul E. Tramontano

Independent Director

Jeffrey L. Weiss

Mr. McDonald has served as Director of Business Development and Investor Relations of Folger Hill Asset Management, LP since December 2014. Mr. McDonald was a Principal of Taylor Investment Advisors, LP, which he co-founded, from 2002 to March 2017, and served as the Chief Executive Officer from 2006 to December 2014. Previously, Mr. McDonald was a Director at Larch Lane Advisors LLC, an alternative asset management firm specializing in multi-manager hedge fund portfolios, from 1999 to 2001. Mr. McDonald was a Vice President in the futures and options group at JP Morgan Securities from 1994 to 1999 and served as an Assistant Treasurer and proprietary fixed-income trader at BSI Bank (subsidiary of Generali S.P.A.) from 1991 to 1994. Mr. McDonald began his career at Chemical Bank in 1989 where he was a credit analyst in the corporate finance group. Mr. McDonald holds a B.A. from the University of Virginia.
Mr. Tramontano has served as a Senior Managing Director and Wealth Manager at First Republic Investment Management since October 2015. Prior to joining First Republic Investment Management, Mr. Tramontano was the founder and Co-Chief Executive Officer at Constellation Wealth Advisors LLC for eight years and was responsible for managing the firm’s East Coast operations as well as serving on both the investment and executive management committees. Prior to forming Constellation Wealth Advisors, Mr. Tramontano spent 17 years at Citi Smith Barney, most recently as a Managing Director and Senior Advisor of Citi Family Office. Mr. Tramontano holds a B.S. from Villanova University and attended the Certified Investment Management program at the Wharton School of Business at the University of Pennsylvania.
Mr. Weiss is a former Managing Director at Lehman Brothers and Barclays, where he also held a number of senior leadership positions. Mr. Weiss is currently a private investor (since 2012). From 2008 to 2012, Mr. Weiss served as Global Head of Financial Institutions at Barclays. Prior to joining Barclays, Mr. Weiss spent 25 years with Lehman Brothers, most recently as a Managing Director. From 2005 to 2008, Mr. Weiss served on the management committee of Lehman Brothers and from 2007 to 2008 Mr. Weiss was responsible for the financial institutions group businesses at Lehman Brothers. Mr. Weiss serves as the Treasurer and a board member of City Harvest, a non-profit organization. Mr. Weiss holds a B.S. from the University of Wisconsin.


Chairman of the Board

James R. Matthews

Independent Director

Scott W. Appleby

CHIEF EXECUTIVE OFFICER

Thomas P. Majewski

Mr. Matthews was appointed to the Board as a representative of the Adviser and the Trident V private equity funds. Mr. Matthews is currently a Principal of Stone Point (since October 2011). Mr. Matthews is a member of the Adviser’s investment committee and board of managers. He joined Stone Point from Evercore Partners Inc., where he was a Senior Managing Director and Co-Head of Private Equity. From 2000 to 2007, Mr. Matthews was with Welsh, Carson, Anderson & Stowe, where he was a General Partner and focused on investments in the information services and business services sectors. Previously, Mr. Matthews was a General Partner of J.H. Whitney & Co. and started his career as an Analyst in the mergers and acquisitions group of Salomon Brothers Inc. Mr. Matthews is a director of various portfolio companies of the Trident funds, including Alliant Insurance Services, Inc., Black Mountain Systems, LLC, BridgePoint Risk Management, LLC, Enhanced Capital Holdings, Inc., Tree Line Direct Lending GP, LLC and Tree Line Capital Partners, LLC. Mr. Matthews holds a B.S. from Boston College and an M.B.A. from the Harvard Graduate School of Business Administration.
Mr. Appleby is the President of Appleby Capital, Inc. and has more than 20 years of banking experience at Appleby Capital, Deutsche Bank, Robertson Stephens, ABN Amro and Paine Webber. As a senior equity analyst, Mr. Appleby has written on global exchanges, alternative asset managers and financial technology. Mr. Appleby was also one of the first Internet analysts and, in 1997, the first analyst to cover the electronic brokerage industry. Mr. Appleby remains an active writer and speaker on financial technology and Wall Street trends. Mr. Appleby serves on a number of private company and community boards. Mr. Appleby holds an M.B.A. from Cornell University and a B.S. from the University of Vermont.
Thomas Majewski is the Managing Partner and founder of Eagle Point Credit Management. He has been involved in the formation and/or monetization of over 100 CLO transactions across multiple market cycles. Tom led the creation of some of the earliest refinancing CLOs, pioneering techniques which are now commonplace in the market. He has spent his entire career in the structured finance and credit markets.

Prior to founding Eagle Point, Tom was a Managing Director and Head of CLO Banking, where he was responsible for all aspects of RBS's new-issue CLO platform. Prior to joining RBS, Tom was the U.S. country head at AMP Capital/AE Capital, where he was responsible for investing in credit, structured products and other private assets on behalf of several Australian investors.  Prior to this, Tom was a Managing Director and head of CLO Banking at Merrill Lynch, where he successfully re-launched the business after several years of limited activity by the firm. Tom also has held leadership positions within CLO and/or securitization groups at JPMorgan, Bear Stearns and Arthur Andersen.

Tom is a Director of Eagle Point Credit Company (NYSE: ECC), Marble Point Loan Financing (LSE: MPLF) and Black Mountain Systems, a leading provider of portfolio management and analytic software to the CLO market.

Tom has a B.S. in accounting from Binghamton University and is a Certified Public Accountant (inactive).

Independent Director

Kevin F. McDonald

Independent Director

Paul E. Tramontano

Independent Director

Jeffrey L. Weiss

Mr. McDonald has served as Director of Business Development and Investor Relations of Folger Hill Asset Management, LP since December 2014. Mr. McDonald was a Principal of Taylor Investment Advisors, LP, which he co-founded, from 2002 to March 2017, and served as the Chief Executive Officer from 2006 to December 2014. Previously, Mr. McDonald was a Director at Larch Lane Advisors LLC, an alternative asset management firm specializing in multi-manager hedge fund portfolios, from 1999 to 2001. Mr. McDonald was a Vice President in the futures and options group at JP Morgan Securities from 1994 to 1999 and served as an Assistant Treasurer and proprietary fixed-income trader at BSI Bank (subsidiary of Generali S.P.A.) from 1991 to 1994. Mr. McDonald began his career at Chemical Bank in 1989 where he was a credit analyst in the corporate finance group. Mr. McDonald holds a B.A. from the University of Virginia.
Mr. Tramontano has served as a Senior Managing Director and Wealth Manager at First Republic Investment Management since October 2015. Prior to joining First Republic Investment Management, Mr. Tramontano was the founder and Co-Chief Executive Officer at Constellation Wealth Advisors LLC for eight years and was responsible for managing the firm’s East Coast operations as well as serving on both the investment and executive management committees. Prior to forming Constellation Wealth Advisors, Mr. Tramontano spent 17 years at Citi Smith Barney, most recently as a Managing Director and Senior Advisor of Citi Family Office. Mr. Tramontano holds a B.S. from Villanova University and attended the Certified Investment Management program at the Wharton School of Business at the University of Pennsylvania.
Mr. Weiss is a former Managing Director at Lehman Brothers and Barclays, where he also held a number of senior leadership positions. Mr. Weiss is currently a private investor (since 2012). From 2008 to 2012, Mr. Weiss served as Global Head of Financial Institutions at Barclays. Prior to joining Barclays, Mr. Weiss spent 25 years with Lehman Brothers, most recently as a Managing Director. From 2005 to 2008, Mr. Weiss served on the management committee of Lehman Brothers and from 2007 to 2008 Mr. Weiss was responsible for the financial institutions group businesses at Lehman Brothers. Mr. Weiss serves as the Treasurer and a board member of City Harvest, a non-profit organization. Mr. Weiss holds a B.S. from the University of Wisconsin.

Chairperson, Independent Director

James R. Matthews

Chief Executive Officer, Director

Thomas P. Majewski

Director

Kevin F. McDonald

Mr. Matthews was appointed to the Board as a representative of the Adviser and the Trident V private equity funds. Mr. Matthews is currently a Principal of Stone Point (since October 2011). Mr. Matthews is a member of the Adviser’s investment committee and board of managers. He joined Stone Point from Evercore Partners Inc., where he was a Senior Managing Director and Co-Head of Private Equity. From 2000 to 2007, Mr. Matthews was with Welsh, Carson, Anderson & Stowe, where he was a General Partner and focused on investments in the information services and business services sectors. Previously, Mr. Matthews was a General Partner of J.H. Whitney & Co. and started his career as an Analyst in the mergers and acquisitions group of Salomon Brothers Inc. Mr. Matthews is a director of various portfolio companies of the Trident funds, including Alliant Insurance Services, Inc., Black Mountain Systems, LLC, BridgePoint Risk Management, LLC, Enhanced Capital Holdings, Inc., Tree Line Direct Lending GP, LLC and Tree Line Capital Partners, LLC. Mr. Matthews holds a B.S. from Boston College and an M.B.A. from the Harvard Graduate School of Business Administration.
Thomas Majewski is the Managing Partner and founder of Eagle Point Credit Management. He has been involved in the formation and/or monetization of over 100 CLO transactions across multiple market cycles. Tom led the creation of some of the earliest refinancing CLOs, pioneering techniques which are now commonplace in the market. He has spent his entire career in the structured finance and credit markets.

Prior to founding Eagle Point, Tom was a Managing Director and Head of CLO Banking, where he was responsible for all aspects of RBS's new-issue CLO platform. Prior to joining RBS, Tom was the U.S. country head at AMP Capital/AE Capital, where he was responsible for investing in credit, structured products and other private assets on behalf of several Australian investors.  Prior to this, Tom was a Managing Director and head of CLO Banking at Merrill Lynch, where he successfully re-launched the business after several years of limited activity by the firm. Tom also has held leadership positions within CLO and/or securitization groups at JPMorgan, Bear Stearns and Arthur Andersen.

Tom is a Director of Eagle Point Credit Company (NYSE: ECC), Marble Point Loan Financing (LSE: MPLF) and Black Mountain Systems, a leading provider of portfolio management and analytic software to the CLO market.

Tom has a B.S. in accounting from Binghamton University and is a Certified Public Accountant (inactive).
Mr. McDonald has served as Director of Business Development and Investor Relations of Folger Hill Asset Management, LP since December 2014. Mr. McDonald was a Principal of Taylor Investment Advisors, LP, which he co-founded, from 2002 to March 2017, and served as the Chief Executive Officer from 2006 to December 2014. Previously, Mr. McDonald was a Director at Larch Lane Advisors LLC, an alternative asset management firm specializing in multi-manager hedge fund portfolios, from 1999 to 2001. Mr. McDonald was a Vice President in the futures and options group at JP Morgan Securities from 1994 to 1999 and served as an Assistant Treasurer and proprietary fixed-income trader at BSI Bank (subsidiary of Generali S.P.A.) from 1991 to 1994. Mr. McDonald began his career at Chemical Bank in 1989 where he was a credit analyst in the corporate finance group. Mr. McDonald holds a B.A. from the University of Virginia.

Independent Director

Scott W. Appleby

Lead Independent Director

Jeffrey L. Weiss

Independent Director

Paul E. Tramontano

Mr. Appleby is the President of Appleby Capital, Inc. and has more than 20 years of banking experience at Appleby Capital, Deutsche Bank, Robertson Stephens, ABN Amro and Paine Webber. As a senior equity analyst, Mr. Appleby has written on global exchanges, alternative asset managers and financial technology. Mr. Appleby was also one of the first Internet analysts and, in 1997, the first analyst to cover the electronic brokerage industry. Mr. Appleby remains an active writer and speaker on financial technology and Wall Street trends. Mr. Appleby serves on a number of private company and community boards. Mr. Appleby holds an M.B.A. from Cornell University and a B.S. from the University of Vermont.
Mr. Weiss is a former Managing Director at Lehman Brothers and Barclays, where he also held a number of senior leadership positions. Mr. Weiss is currently a private investor (since 2012). From 2008 to 2012, Mr. Weiss served as Global Head of Financial Institutions at Barclays. Prior to joining Barclays, Mr. Weiss spent 25 years with Lehman Brothers, most recently as a Managing Director. From 2005 to 2008, Mr. Weiss served on the management committee of Lehman Brothers and from 2007 to 2008 Mr. Weiss was responsible for the financial institutions group businesses at Lehman Brothers. Mr. Weiss serves as the Treasurer and a board member of City Harvest, a non-profit organization. Mr. Weiss holds a B.S. from the University of Wisconsin.
Mr. Tramontano has served as a Senior Managing Director and Wealth Manager at First Republic Investment Management since October 2015. Prior to joining First Republic Investment Management, Mr. Tramontano was the founder and Co-Chief Executive Officer at Constellation Wealth Advisors LLC for eight years and was responsible for managing the firm’s East Coast operations as well as serving on both the investment and executive management committees. Prior to forming Constellation Wealth Advisors, Mr. Tramontano spent 17 years at Citi Smith Barney, most recently as a Managing Director and Senior Advisor of Citi Family Office. Mr. Tramontano holds a B.S. from Villanova University and attended the Certified Investment Management program at the Wharton School of Business at the University of Pennsylvania.


Chairman

Jeffrey L. Weiss

Independent Director

Scott W. Appleby

Independent Director

Kevin F. McDonald

Mr. Weiss is a former Managing Director at Lehman Brothers and Barclays, where he also held a number of senior leadership positions. Mr. Weiss is currently a private investor (since 2012). From 2008 to 2012, Mr. Weiss served as Global Head of Financial Institutions at Barclays. Prior to joining Barclays, Mr. Weiss spent 25 years with Lehman Brothers, most recently as a Managing Director. From 2005 to 2008, Mr. Weiss served on the management committee of Lehman Brothers and from 2007 to 2008 Mr. Weiss was responsible for the financial institutions group businesses at Lehman Brothers. Mr. Weiss serves as the Treasurer and a board member of City Harvest, a non-profit organization. Mr. Weiss holds a B.S. from the University of Wisconsin.
Mr. Appleby is the President of Appleby Capital, Inc. and has more than 20 years of banking experience at Appleby Capital, Deutsche Bank, Robertson Stephens, ABN Amro and Paine Webber. As a senior equity analyst, Mr. Appleby has written on global exchanges, alternative asset managers and financial technology. Mr. Appleby was also one of the first Internet analysts and, in 1997, the first analyst to cover the electronic brokerage industry. Mr. Appleby remains an active writer and speaker on financial technology and Wall Street trends. Mr. Appleby serves on a number of private company and community boards. Mr. Appleby holds an M.B.A. from Cornell University and a B.S. from the University of Vermont.
Mr. McDonald has served as Director of Business Development and Investor Relations of Folger Hill Asset Management, LP since December 2014. Mr. McDonald was a Principal of Taylor Investment Advisors, LP, which he co-founded, from 2002 to March 2017, and served as the Chief Executive Officer from 2006 to December 2014. Previously, Mr. McDonald was a Director at Larch Lane Advisors LLC, an alternative asset management firm specializing in multi-manager hedge fund portfolios, from 1999 to 2001. Mr. McDonald was a Vice President in the futures and options group at JP Morgan Securities from 1994 to 1999 and served as an Assistant Treasurer and proprietary fixed-income trader at BSI Bank (subsidiary of Generali S.P.A.) from 1991 to 1994. Mr. McDonald began his career at Chemical Bank in 1989 where he was a credit analyst in the corporate finance group. Mr. McDonald holds a B.A. from the University of Virginia.

Independent Director

Paul E. Tramontano

Mr. Tramontano has served as a Senior Managing Director and Wealth Manager at First Republic Investment Management since October 2015. Prior to joining First Republic Investment Management, Mr. Tramontano was the founder and Co-Chief Executive Officer at Constellation Wealth Advisors LLC for eight years and was responsible for managing the firm’s East Coast operations as well as serving on both the investment and executive management committees. Prior to forming Constellation Wealth Advisors, Mr. Tramontano spent 17 years at Citi Smith Barney, most recently as a Managing Director and Senior Advisor of Citi Family Office. Mr. Tramontano holds a B.S. from Villanova University and attended the Certified Investment Management program at the Wharton School of Business at the University of Pennsylvania.




Chairman

Scott W. Appleby

Independent Director

Kevin F. McDonald

Independent Director

Paul E. Tramontano

Mr. Appleby is the President of Appleby Capital, Inc. and has more than 20 years of banking experience at Appleby Capital, Deutsche Bank, Robertson Stephens, ABN Amro and Paine Webber. As a senior equity analyst, Mr. Appleby has written on global exchanges, alternative asset managers and financial technology. Mr. Appleby was also one of the first Internet analysts and, in 1997, the first analyst to cover the electronic brokerage industry. Mr. Appleby remains an active writer and speaker on financial technology and Wall Street trends. Mr. Appleby serves on a number of private company and community boards. Mr. Appleby holds an M.B.A. from Cornell University and a B.S. from the University of Vermont.
Mr. McDonald has served as Director of Business Development and Investor Relations of Folger Hill Asset Management, LP since December 2014. Mr. McDonald was a Principal of Taylor Investment Advisors, LP, which he co-founded, from 2002 to March 2017, and served as the Chief Executive Officer from 2006 to December 2014. Previously, Mr. McDonald was a Director at Larch Lane Advisors LLC, an alternative asset management firm specializing in multi-manager hedge fund portfolios, from 1999 to 2001. Mr. McDonald was a Vice President in the futures and options group at JP Morgan Securities from 1994 to 1999 and served as an Assistant Treasurer and proprietary fixed-income trader at BSI Bank (subsidiary of Generali S.P.A.) from 1991 to 1994. Mr. McDonald began his career at Chemical Bank in 1989 where he was a credit analyst in the corporate finance group. Mr. McDonald holds a B.A. from the University of Virginia.
Mr. Tramontano has served as a Senior Managing Director and Wealth Manager at First Republic Investment Management since October 2015. Prior to joining First Republic Investment Management, Mr. Tramontano was the founder and Co-Chief Executive Officer at Constellation Wealth Advisors LLC for eight years and was responsible for managing the firm’s East Coast operations as well as serving on both the investment and executive management committees. Prior to forming Constellation Wealth Advisors, Mr. Tramontano spent 17 years at Citi Smith Barney, most recently as a Managing Director and Senior Advisor of Citi Family Office. Mr. Tramontano holds a B.S. from Villanova University and attended the Certified Investment Management program at the Wharton School of Business at the University of Pennsylvania.

Independent Director

Jeffrey L. Weiss

Mr. Weiss is a former Managing Director at Lehman Brothers and Barclays, where he also held a number of senior leadership positions. Mr. Weiss is currently a private investor (since 2012). From 2008 to 2012, Mr. Weiss served as Global Head of Financial Institutions at Barclays. Prior to joining Barclays, Mr. Weiss spent 25 years with Lehman Brothers, most recently as a Managing Director. From 2005 to 2008, Mr. Weiss served on the management committee of Lehman Brothers and from 2007 to 2008 Mr. Weiss was responsible for the financial institutions group businesses at Lehman Brothers. Mr. Weiss serves as the Treasurer and a board member of City Harvest, a non-profit organization. Mr. Weiss holds a B.S. from the University of Wisconsin.


CHIEF EXECUTIVE OFFICER

Thomas P. Majewski

Chief Financial and Chief Operating Officer

Kenneth Onorio, CPA

CHIEF COMPLIANCE OFFICER

Nauman S. Malik

Thomas Majewski is the Managing Partner and founder of Eagle Point Credit Management. He has been involved in the formation and/or monetization of over 100 CLO transactions across multiple market cycles. Tom led the creation of some of the earliest refinancing CLOs, pioneering techniques which are now commonplace in the market. He has spent his entire career in the structured finance and credit markets.

Prior to founding Eagle Point, Tom was a Managing Director and Head of CLO Banking, where he was responsible for all aspects of RBS's new-issue CLO platform. Prior to joining RBS, Tom was the U.S. country head at AMP Capital/AE Capital, where he was responsible for investing in credit, structured products and other private assets on behalf of several Australian investors.  Prior to this, Tom was a Managing Director and head of CLO Banking at Merrill Lynch, where he successfully re-launched the business after several years of limited activity by the firm. Tom also has held leadership positions within CLO and/or securitization groups at JPMorgan, Bear Stearns and Arthur Andersen.

Tom is a Director of Eagle Point Credit Company (NYSE: ECC), Marble Point Loan Financing (LSE: MPLF) and Black Mountain Systems, a leading provider of portfolio management and analytic software to the CLO market.

Tom has a B.S. in accounting from Binghamton University and is a Certified Public Accountant (inactive).
Ken Onorio joined Eagle Point in 2014 and is the firm’s Chief Financial and Operating Officer. Ken’s primary responsibilities include oversight of the firm’s Finance, Operations and Tax Departments as well as management of the firm’s key vendors. Ken has over 25 years of experience spanning multiple facets of asset management and financial services and possesses a comprehensive knowledge of Private Equity and Hedge Fund structures, credit products and financial controls.

Ken joined Eagle Point from JPMorgan Alternative Investment Services where he was an Executive Director of Private Equity and Hedge Fund Administration. Previously, Ken was the Chief Financial Officer of Sailfish Capital and Financial Controller of Amaranth Advisors. Ken began his career as an Auditor with Coopers and Lybrand.

Ken holds a B.S. in Accounting from Fordham University and is a Certified Public Accountant (inactive).
Nauman Malik is Eagle Point Credit Management’s General Counsel and Chief Compliance Officer. Nauman is primarily responsible for oversight of Eagle Point’s legal and compliance affairs and manages the compliance program of the Registered Investment Adviser. Prior to joining Eagle Point Credit Management in June 2015, Nauman was an attorney with Dechert LLP’s Financial Services Group and focused his practice on investment advisers, private funds (including hedge funds and private equity funds), open and closed-end registered investment companies, and non-US fund distribution matters. Prior to Dechert, Nauman was General Counsel and Chief Compliance Officer of an Asia-focused alternative investment manager that managed a variety of investment strategies, including equities, real estate and managed futures, and that had operations that spanned across the United States, India and Singapore. During his 4 year tenure, Nauman was responsible for managing the legal aspects of the firm as well as the firm’s SEC-compliance program.

Nauman obtained his J.D. (cum laude) from Georgetown University Law Center and graduated Magna Cum Laude from the University of Pennsylvania’s Wharton School with a B.S. in finance, marketing and operations and information management.

SECRETARY

Courtney B. Fandrick

Ms. Fandrick joined Eagle Point in December 2014 as Deputy Chief Compliance Officer. She is responsible for overseeing the firm’s compliance program along with Eagle Point’s CCO, which includes ensuring compliance with the firm’s policies and procedures, forensic testing, completing regulatory filings and other related tasks. Additionally, Ms. Fandrick serves as the Secretary for Eagle Point Credit Company Inc and Eagle Point Income Company LLC.

Before joining Eagle Point, Ms. Fandrick was a Senior Compliance Associate at Bridgewater Associates, LP and prior to that was a Compliance Associate at PanAgora Asset Management. Ms. Fandrick received her B.A. in Mathematics and Statistics from Miami University and her MBA from University of Phoenix.

Shareholder Meetings

Analyst Coverage

Keefe, Bruyette & Woods

National Securities

Oppenheimer

Ladenburg Thalmann

Ryan Lynch
314-342-2918

lynchr@kbw.com

Chris Testa
212-417-7447

ctesta@nationalsecurities.com

Chris Kotowski
212-667-6699

chris.kotowski@opco.com

Mickey Schleien
305-572-4131

mschleien@ladenburg.com

Keefe, Bruyette & Woods

Ryan Lynch
314-342-2918

lynchr@kbw.com

National Securities

Chris Testa
212-417-7447

ctesta@nationalsecurities.com

Oppenheimer

Chris Kotowski
212-667-6699

chris.kotowski@opco.com

Ladenburg Thalmann

Mickey Schleien
305-572-4131

mschleien@ladenburg.com

FAQ

Who is Eagle Point Credit Company Inc.?

Eagle Point Credit Company Inc. (“the Company”) is a non-diversified, closed-end management investment company. The Company’s investment objective is to generate high current income and capital appreciation primarily through investment in equity and junior debt tranches of collateralized loan obligations, or CLOs. The Company is externally managed and advised by Eagle Point Credit Management Inc. Shares of the Company’s common stock are listed on the New York Stock Exchange (“NYSE”) under the symbol “ECC”.

Who is Eagle Point Credit Management LLC?

Eagle Point Credit Management Inc (the “Adviser”) is the investment adviser of the Company and manages the investments of the Company subject to the supervision of the Company’s Board of Directors. The Adviser is registered as an investment adviser with the U.S. Securities and Exchange Commission under the Investment Advisers Act of 1940, as amended.

Who is Eagle Point Administration LLC?

Eagle Point Administration Inc (the “Administrator”), a wholly-owned subsidiary of the Adviser, is the administrator of the Company. Pursuant to the Administration Agreement between the Administrator and the Company, the Administrator furnishes the Company with office facilities and equipment, and clerical, bookkeeping and recordkeeping services. Under the Administration Agreement, the Administrator also performs, or arranges for the performance of, required administrative services, including accounting services, assistance in determining the Company’s net asset value, the preparation of financial statements, oversight of the preparation and filing of tax returns and the printing and dissemination of reports to the Company’s stockholders, general oversight of the payment of Company expenses and the performance of sub-administrative and professional services rendered by others, and the provision of such other administrative services as the Company may from time to time designate or require.

Where can I find information about the Company's Net Asset Value (NAV)?

Information about the Company’s NAV can be found under the NAV History page of our website.

Does the Company pay Distributions?

Yes. Historically, the Company has paid monthly distributions to stockholders of record of common stock and stockholders of record of preferred stock since 2017. Information about historical distributions paid to common stockholders can be found on the Distribution History page of our website.

Does the Company have a Dividend Reinvestment Plan (DRIP)?

The Company has established an automatic DRIP. Each holder of at least one full share of our common stock will be automatically enrolled in the DRIP. Under the DRIP, distributions on shares of the Company’s common stock are automatically reinvested in additional shares of the Company’s common stock by American Stock Transfer & Trust Company, Inc, or the “DRIP Agent.” Holders of the Company’s common stock who receive distributions in the form of additional shares of the Company’s common stock are nonetheless required to pay applicable federal, state or local taxes on the reinvested distribution but will not receive a corresponding cash distribution with which to pay any applicable tax. Holders of shares of the Company’s common stock who opt-out of participation in the DRIP (including those holders whose shares are held through a broker who has opted out of participation in the DRIP) will receive all distributions in cash. Reinvested distributions increase the Company’s stockholders’ equity on which a management fee is payable to the Adviser. If you hold shares of the Company’s common stock through a broker, you should contact your broker to confirm whether you participate in the DRIP. For more information on the DRIP program, please refer to our annual and semiannual reports.

How do I know if I am a registered stockholder?

A registered stockholder is one who holds shares directly with the Company. If shares were purchased through a broker, the shares may be registered in the name of the broker (held in “street name”) instead of being registered in the name of the beneficial owner. Individual stockholders whose shares are held in street name should contact their broker for more information on their participation in the DRIP.

Are dividends taxable to stockholders?

Dividends are generally taxable for stockholders as ordinary income and/or capital gain. The Company will send each of its U.S. registered stockholders an annual Form 1099-DIV no later than January 31 after the tax year end. Form 1099-DIV details the amounts includible in such U.S. stockholder's taxable income for the year as ordinary income and/or long-term capital gain.

How can I receive e-mail alerts from the Company?

For more information on how to sign up for e-mail alerts regarding events, documents and press releases please visit the E-mail Alert Form on the contact page.

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