Hancock Park Reports $9.61 NAV

The updated NAV reflects the latest valuation by the board, aligning with the company's regular financial disclosure practices.

May 21, 2025


Hancock Park Announces Updated Net Asset Value Per Share



Hancock Park Corporate Income, Inc. has reported a net asset value per share of $9.61, as of May 20. This figure, determined by the company’s board, reflects its latest assessment of portfolio value and gives investors a clear reference point.



The company, headquartered in Chicago, updates NAV regularly to provide transparency into how its investments are performing. While this filing didn’t include broader financial results, the NAV figure remains a useful tool for asset managers and advisors tracking value shifts.

Hancock Park operates as an emerging growth company and has chosen to adopt new accounting standards as they’re issued. That decision helps keep its financial reporting aligned with evolving regulatory expectations—something investors can rely on when evaluating current data.

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