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Net Asset Value

We calculate net asset value per share in accordance with valuation policies and procedures that have been approved by our board of directors. Our monthly net asset value (“Net Asset Value”) is used to calculate the prices at which we sell our shares, except our V Shares. The tables that follow include the Net Asset Value of outstanding shares as of November 30, 2025. The following table provides a breakdown of the major components of our Net Asset Value as of November 30, 2025 ($ in thousands, except shares):

 

Components of Net Asset Value

 

 

Investments at fair value (cost of $1,324,744)

$

1,396,900

Cash and cash equivalents

 

269,225

Foreign currencies at fair value (cost of $543)

 

543

Other assets

 

20,823

Derivative assets

 

3,173

Other liabilities

 

(34,985)

Accrued performance fee

 

(5,672)

Management fee payable

 

(408)

Net Asset Value

$

1,649,599

Number of outstanding shares

 

59,145,850

 

 

The following table provides a breakdown of our total Net Asset Value and our Net Asset Value per share by type as of November 30, 2025 ($ in thousands, except shares and per share data):

 

Type

 

Monthly Net Asset Value

 

Number of Outstanding Shares

 

 

Net Asset Value per share

Series I

 

 

 

 

 

 

 

A-II Shares

$

367,416

 

13,279,101

 

$

27.67

F-I Shares

$

74,631

 

2,733,722

 

$

27.30

V Shares

$

1

 

40

 

$

25.00

E shares

$

274

 

9,770

 

$

28.00

I Shares

$

40,769

 

1,490,083

 

$

27.36

S Shares

$

3

 

110

 

$

27.35

Series II

 

 

 

 

 

 

 

A-II Shares

$

1,088,700

 

38,823,077

 

$

28.04

F-I Shares

$

66,101

 

2,389,287

 

$

27.67

V Shares

$

1

 

40

 

$

25.00

E shares

$

1,290

 

45,460

 

$

28.38

I Shares

$

10,410

 

375,050

 

$

27.76

S Shares

$

3

 

110

 

$

27.74

Total

 

1,649,599

 

59,145,850