dividend
confidence high
sentiment positive
materiality 0.55
Antares Private Credit Fund declares $0.1930 regular and $0.0268 special distributions, NAV $25.24
Antares Private Credit Fund
- Regular distribution of $0.1930/share and special of $0.0268/share; record Aug 28, payable Sep 29.
- NAV per share $25.24 as of July 31, 2025; aggregate NAV $679.5M.
- Debt outstanding $645.3M, debt-to-equity ratio 0.95x; loan commitments $1.65B.
- Received $10.7M in subscriptions on Sep 1, 2025; total offering raised $687.4M to date.
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