Audax Private Credit Fund Reports Unregistered Equity Sale

Audax Private Credit Fund, LLC 8-K Filing Summary
FieldDetail
CompanyAudax Private Credit Fund, LLC
Form Type8-K
Filed DateSep 3, 2025
Risk Levelmedium
Pages2
Reading Time2 min
Key Dollar Amounts$25.190, $377.5 m, $699.4 million, $348.9 m
Sentimentneutral

Sentiment: neutral

Topics: unregistered-sale, equity-securities, private-placement

TL;DR

Audax Private Credit Fund sold unregistered equity. Details TBD.

AI Summary

On August 29, 2025, Audax Private Credit Fund, LLC reported an unregistered sale of equity securities. The filing, dated September 3, 2025, does not specify the exact number of securities sold or the total dollar amount involved in this transaction.

Why It Matters

This filing indicates a private placement of equity securities by Audax Private Credit Fund, LLC, which may impact its capital structure and ownership.

Risk Assessment

Risk Level: medium — Unregistered sales can sometimes indicate less transparency or potential regulatory scrutiny compared to publicly registered offerings.

Key Players & Entities

  • Audax Private Credit Fund, LLC (company) — Registrant
  • August 29, 2025 (date) — Date of earliest event reported
  • September 3, 2025 (date) — Date of Report
  • 320 Park Avenue New York, New York 10022 (address) — Principal Executive Offices

FAQ

What type of equity securities were sold by Audax Private Credit Fund, LLC?

The filing does not specify the type of equity securities sold.

What was the total dollar amount of the unregistered equity securities sale?

The filing does not disclose the total dollar amount of the unregistered equity securities sale.

How many equity securities were sold in this unregistered offering?

The filing does not specify the number of equity securities sold.

Were there any specific purchasers identified for these unregistered equity securities?

The filing does not identify any specific purchasers of the unregistered equity securities.

What is the purpose of this unregistered sale of equity securities?

The filing does not state the purpose of the unregistered sale of equity securities.

Filing Stats: 615 words · 2 min read · ~2 pages · Grade level 9.9 · Accepted 2025-09-03 13:52:24

Key Financial Figures

  • $25.190 — e purchase price per share was equal to $25.190. The following table details the Shares
  • $377.5 m — 31, 2025, the Fund's aggregate NAV was $377.5 million, the fair value of its investment
  • $699.4 million — r value of its investment portfolio was $699.4 million and it had principal debt outstanding o
  • $348.9 m — nd it had principal debt outstanding of $348.9 million, resulting in a debt-to-equity ra

Filing Documents

02. Unregistered Sales of Equity Securities

Item 3.02. Unregistered Sales of Equity Securities. On August 1, 2025, Audax Private Credit Fund, LLC (the " Fund ") sold limited liability company interest (the " Shares "). The purchase price per share and number of Shares issued was finalized on August 29, 2025. The purchase price per share was equal to $25.190. The following table details the Shares sold: Date of Issuance Common Shares Issued Total Consideration (in millions) August 1, 2025 893,211.592 $ 22.5 The sale of Shares was made pursuant to subscription agreements entered into by the Fund and its investors. The issuance of the Shares is exempt from the registration requirements of the Securities Act of 1933, as amended (the " Securities Act "), pursuant to Section 4(a)(2) thereof and Regulation D or Regulation S thereunder, as applicable. The Fund relied upon representations from the shareholders in the subscription agreements that each shareholder was either (i) an accredited investor as defined in Regulation D under the Securities Act or (ii) not a "U.S. person" as defined in Regulation S under the Securities Act.

01. Other Events

Item 8.01. Other Events. Net Asset Value The net asset value (" NAV ") per share as of July 31, 2025, as determined in accordance with the Fund's valuation policy, is set forth below. NAV per share as of July 31, 2025 Common Shares $ 25.190 As of July 31, 2025, the Fund's aggregate NAV was $377.5 million, the fair value of its investment portfolio was $699.4 million and it had principal debt outstanding of $348.9 million, resulting in a debt-to-equity ratio of approximately 0.92x. SIGNATURE Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized. Audax Private Credit Fund, LLC Date: September 3, 2025 By: /s/ Grant Bokerman Name: Grant Bokerman Title: Secretary

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