13D Filing: Saba Capital and Credit Suisse Asset Management Income Fund Inc (CIK)

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CUSIP No. 224916106 SCHEDULE 13D/A Page 6 of 6 Pages

Schedule A

This Schedule sets forth information with respect to each
purchase and sale of Shares which were effectuated by a Reporting Person in the
last sixty days. All transactions were effectuated in the open market through a
broker.

SABA CAPITAL MANAGEMENT, L.P

 Shares
Trade
Date
Purchased (Sold) Price
11/01/17 (31,076) 3.33
10/31/17 (142,004) 3.32
10/30/17 (145,613) 3.33
10/24/17 (49,708) 3.39
10/23/17 (575) 3.39
10/20/17 (1,100) 3.40
10/19/17 (4,799) 3.40
10/18/17 (7,861) 3.40
10/16/17 (32,430) 3.41
10/13/17 (6,292) 3.41
10/12/17 (17,495) 3.42
10/11/17 (6,200) 3.42
09/05/17 (5,400) 3.35
09/01/17 (7,255) 3.35
08/31/17 (15,000) 3.35
08/30/17 (13,600) 3.35
08/29/17 (1,586) 3.34
08/28/17 (14,600) 3.34
08/25/17 (12,600) 3.34
08/24/17 (100) 3.34
08/23/17 (130,401) 3.34
08/22/17 (10,300) 3.34
08/21/17 (401) 3.34
08/18/17 (10,101) 3.33

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