Executive leadership at PGIM Private Credit Fund.
AR
Andrew R. French
Detailed
Secretary
CJ
Christian J. Kelly
Detailed
Chief Financial Officer
CD
Claudia DiGiacomo
Detailed
Chief Legal Officer
DR
Debra Rubano
Detailed
Assistant Secretary
DG
Devan Goolsby
Detailed
Assistant Secretary
DC
Dino Capasso
Detailed
Chief Compliance Officer
EM
Elyse M. McLaughlin
Detailed
Treasurer and Principal Accounting Officer
GH
George Hoyt
Detailed
Assistant Secretary
KA
Kelly A. Coyne
Detailed
Assistant Secretary
MG
Melissa Gonzalez
Detailed
Assistant Secretary
PE
Patrick E. McGuinness
Detailed
Assistant Secretary
RW
Robert W. McCormack
Detailed
Assistant Treasurer
RS
Russ Shupak
Detailed
Assistant Treasurer
SE
Scott E. Benjamin
Detailed
Vice President
SS
Stuart S. Parker
Detailed
President and Principal Executive Officer
Board of directors at PGIM Private Credit Fund.
Research analysts covering PGIM Private Credit Fund.
Recent press releases and 8-K filings for PGIM.
PGIM Private Credit Fund Declares Distributions and Reports October 2025 NAV
PGIM
Dividends
New Projects/Investments
- PGIM Private Credit Fund declared total distributions per share of $0.25763 for Class S, $0.27088 for Class D, and $0.27627 for Class I shares on November 25, 2025, payable around December 30, 2025.
- As of October 31, 2025, the Net Asset Value (NAV) per share was $25.35 for Class S, $25.29 for Class D, and $24.81 for Class I.
- The Fund reported an aggregate NAV of $191.1 million, a fair value investment portfolio of $283.9 million, and $103.8 million in debt outstanding as of October 31, 2025.
- Through its continuous public and private offerings, the Fund has issued 6,779,587 shares for a total consideration of $171,048,063.
Dec 1, 2025, 7:18 PM
PGIM Private Credit Fund Announces October 2025 Distributions and September 30, 2025 NAV
PGIM
Dividends
New Projects/Investments
- PGIM Private Credit Fund declared October 2025 distributions for its Class S, D, and I shares, payable on or about November 26, 2025, to shareholders of record as of October 31, 2025.
- As of September 30, 2025, the Net Asset Value (NAV) per share was $25.36 for Class S, $25.31 for Class D, and $24.83 for Class I shares.
- The Fund's aggregate NAV was $182.8 million, with a fair value of its investment portfolio at $260.7 million and $83.3 million of debt outstanding as of September 30, 2025.
- The Fund is continuously offering up to $2.5 billion in shares and has issued a total of 6,534,306 shares from its public and private offerings, generating $164,961,751 in total consideration.
Oct 29, 2025, 4:31 PM
PGIM Private Credit Fund Announces September 2025 Distributions and August 2025 NAV
PGIM
Dividends
New Projects/Investments
- PGIM Private Credit Fund declared regular and variable distributions for September 2025 across Class S, D, and I shares, which are payable on or about October 30, 2025, to shareholders of record as of September 30, 2025.
- The Net Asset Value (NAV) per share as of August 31, 2025, was $25.30 for Class S, $25.26 for Class D, and $24.78 for Class I.
- As of August 31, 2025, the Fund's aggregate NAV was $174.1 million, with an investment portfolio fair value of $250.0 million and $79.8 million of debt outstanding.
- The Fund is currently offering up to $2.5 billion in shares, having sold 6,265,066 shares for a total consideration of $158,276,251 through its Offering and Private Offering as of the filing date.
Sep 26, 2025, 2:35 PM
PGIM Private Credit Fund Declares August 2025 Distributions and Reports NAV and Offering Status
PGIM
Dividends
New Projects/Investments
- PGIM Private Credit Fund declared August 2025 distributions payable on or about September 29, 2025, to shareholders of record as of August 29, 2025. The total distributions per share are $0.25735 for Class S Common Shares, $0.27043 for Class D Common Shares, and $0.27558 for Class I Common Shares.
- As of July 31, 2025, the Net Asset Value (NAV) per share was $25.26 for Class S, $25.21 for Class D, and $24.74 for Class I. The Fund's aggregate NAV was $166.6 million, with an investment portfolio fair value of $256.2 million and $92.8 million in outstanding debt.
- As of September 2, 2025, the Fund has issued a total of 6,001,022 shares through its public offering and private offering, generating $151,733,251 in total consideration.
Sep 2, 2025, 3:46 PM
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