Crescent Senior Secured Floating Rate Loan Fund, LLC declared monthly distribution of CAD 0.054167 on class A units for the months ending December 2018, January 2019 and February 2019. Payment date is April 15, 2019, May 15, 2019 and June 14, 2019 respectively. Record date is March 29, 2019, April 30, 2019 and May 31, 2019 respectively.