dividend
confidence high
sentiment neutral
materiality 0.50
New Mountain Private Credit Fund declares $0.19 distribution, reports NAV of $24.95 per share
New Mountain Private Credit Fund
- Regular distribution of $0.19 per share declared; record date May 30, payable on or about June 30, 2025.
- Net asset value per share as of April 30, 2025: $24.95; aggregate NAV ~$1.02B.
- Investment portfolio fair value ~$1.58B, debt outstanding ~$568.7M; leverage ratio 0.60x.
- Sold 127,054 shares in private offering for aggregate consideration of ~$3.2M at $24.95 per share.
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