other material
confidence high
sentiment negative
materiality 0.60
Golub Capital Private Income Fund I NAV falls to $24.14; notes unrealized losses from credit spread widening
Golub Capital Private Income Fund I
- NAV per share declined from $25.00 (Dec 31, 2025) to $24.14 as of Mar 31, 2026 due to spread widening.
- Portfolio fair value $403M in 135 companies; 99% first lien senior secured, 100% floating rate.
- Debt-to-equity leverage 1.14x; aggregate NAV ~$198M, debt outstanding ~$223M.
- Unregistered sale of 119,439 common shares at $24.14/share for total $2.88M on April 1, 2026.
- April regular distribution declared at $0.1667/share, payable May 28, 2026 to record Apr 30.