---
schema_version: "secwatch.filing_event.v1"
accession: "0001104659-25-114850"
form_type: "8-K"
ticker: null
cik: "0002031283"
company_name: "Stone Point Credit Income Fund"
filed_at: "2025-11-21T23:59:59+00:00"
generated_at: "2026-05-16T17:45:03.599517+00:00"
event_type: "other_material"
sentiment: "neutral"
materiality_score: 0.2
calibrated_materiality_score: 0.2
confidence: "high"
source: SEC EDGAR
---

# Stone Point Credit Income Fund issues 287,363 common shares at $25.0032 NAV for $7.185M

## Summary
- Issued 287,363.218 common shares at NAV of $25.0032/share on Nov 1, 2025 (finalized Nov 19).
- Aggregate offering price $7,185,000; shares sold under subscription agreements with accredited investors.
- Exempt from registration under Section 4(a)(2), Regulation D Rule 506, and Regulation S; no general solicitation.

## SEC filing metadata
- accession: 0001104659-25-114850
- form_type: 8-K
- cik: 0002031283
- company_name: Stone Point Credit Income Fund
- filed_at: 2025-11-21T23:59:59+00:00
- event_type: other_material
- sentiment: neutral
- materiality_score: 0.2
- calibrated_materiality_score: 0.2
- confidence: high
- sec_items: 3.02
- EDGAR index: https://www.sec.gov/Archives/edgar/data/2031283/000110465925114850/0001104659-25-114850-index.htm
- EDGAR primary document: https://www.sec.gov/Archives/edgar/data/2031283/000110465925114850/tm2531780d1_8k.htm

## Machine-readable alternates
- HTML: https://secwatch.observer/filing/0001104659-25-114850
- JSON: https://secwatch.observer/filing/0001104659-25-114850.json
- Plain text: https://secwatch.observer/filing/0001104659-25-114850.txt

## Key facts
- Equity Issuances
  Stone Point Credit Income Fund issued 287,363.218 of common stock to accredited investors for $25.0032 per share.
  - Security: common stock
  - Shares: 287,363.218
  - Purchaser: accredited investors
  - Consideration: $25.0032 per share
  source text: On November 1, 2025 (with the final number of shares being determined on November 19, 2025), Stone Point Credit Income Fund (the “Fund”) issued and sold 287,363.218 of the Fund’s common shares, par value $0.001 per share (the “Common Shares”), at a net asset value of $25.0032 per share, pursuant to the subscription agreements entered into by the Fund and its investors, for an aggregate offering price of $7,185,000.00.
  evidence_url: https://www.sec.gov/Archives/edgar/data/2031283/000110465925114850/0001104659-25-114850-index.htm

This AI-assisted summary is a reading aid. Review the linked SEC EDGAR filing before relying on any specific claim.
