other
confidence high
sentiment neutral
materiality 0.35
PennantPark Private Income Fund reports April 30 NAV of $25.78; issues 9,893 shares
PennantPark Private Income Fund
- Issued 9,893 common shares at approx. $25.78 per share for aggregate proceeds of $255,000 in private placement.
- Net asset value per share as of April 30, 2026: $25.78; aggregate NAV $120,385,387.
- Sale relied on Section 4(a)(2) and Regulation D exemptions; investors represented as accredited.
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