Exhibit 99.1

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. GAAP net asset value (“GAAP Net Asset Value”) is the net asset value determined in accordance with accounting principles generally accepted in the United States of America (“GAAP”). Transactional Net Asset Value is calculated by adjusting GAAP Net Asset Value as of each relevant valuation date for some or all of the following, as applicable, (i) the recognition of the shareholder servicing fees and distribution fees on a monthly basis as such fees are accrued, (ii) the exclusion of certain deferred tax liabilities that, although required to be recognized under U.S. GAAP, are not expected to be incurred by the Company based on anticipated income, available deductions and the timing of realization events, and (iii) the amortization of certain organizational and offering expenses over a 60-month period. The following table provides a breakdown of the major components of Transactional Net Asset Value as of July 31, 2026 ($ in thousands, except shares):

 

 

Components of Transactional Net Asset Value

 

 

 

Investments at fair value (cost of $1,795,824)

 

$

1,804,121

 

Cash and cash equivalents

 

 

156,847

 

Other assets

 

 

201,012

 

Other liabilities

 

 

(160,572

)

Distribution payable

 

 

(10,123

)

Accrued performance fee

 

 

(2

)

Management fee payable

 

 

(1,554

)

Accrued shareholder servicing fees and distribution fees (1)

 

 

(227

)

Transactional Net Asset Value

 

$

1,989,502

 

Number of outstanding shares

 

 

78,173,158

 

 

 

(1) Shareholder servicing and distribution fees apply only to Series I and Series II Class S Share, Class F-S Shares, Class P-S Shares, and Class T-S Shares. For purposes of Transactional Net Asset Value, we recognize shareholder servicing fees and distribution fees as a reduction to Transactional Net Asset Value on a monthly basis as such fees are accrued. For purposes of GAAP Net Asset Value, we accrue the cost of the shareholder servicing fees and distribution fees, as applicable, for the estimated remaining life of the Series I and Series II Class S Shares, Class F-S Shares, Class P-S Shares and Class T-S Shares as of the date of such Transactional NAV.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 


The following table provides a breakdown of total Transactional Net Asset Value and Transactional Net Asset Value per share by class as of July 31, 2026 ($ in thousands, except shares and per share data):

 

Type

 

Monthly Transactional Net Asset Value

 

 

Number of Outstanding Shares

 

 

Transactional Net Asset Value per share as of July 31, 2026

 

Series I

 

 

 

 

 

 

 

 

 

A-I Shares

 

$

40,994

 

 

 

1,630,670

 

 

$

25.14

 

F-I Shares

 

$

116,591

 

 

 

4,609,664

 

 

$

25.29

 

F-S Shares

 

$

3

 

 

 

110

 

 

$

25.46

 

P-I Shares

 

$

570

 

 

 

22,894

 

 

$

24.90

 

P-S Shares

 

$

8,921

 

 

 

358,411

 

 

$

24.89

 

E Shares

 

$

158

 

 

 

6,215

 

 

$

25.48

 

T-I Shares

 

$

48,287

 

 

 

1,893,518

 

 

$

25.50

 

T-S Shares

 

$

74,920

 

 

 

2,945,332

 

 

$

25.44

 

I Shares

 

$

22,409

 

 

 

881,101

 

 

$

25.43

 

S Shares

 

$

128

 

 

 

5,004

 

 

$

25.58

 

V Shares

 

$

1

 

 

 

40

 

 

$

25.70

 

Series II

 

 

 

 

 

 

 

 

 

A-I Shares

 

$

80,327

 

 

 

3,194,091

 

 

$

25.15

 

F-I Shares

 

$

437,420

 

 

 

17,263,767

 

 

$

25.34

 

F-S Shares

 

$

71

 

 

 

2,820

 

 

$

25.28

 

P-I Shares

 

$

1,373

 

 

 

53,177

 

 

$

25.82

 

P-S Shares

 

$

218,616

 

 

 

8,585,500

 

 

$

25.46

 

E Shares

 

$

54,621

 

 

 

2,200,461

 

 

$

24.82

 

T-I Shares

 

$

155,638

 

 

 

6,060,572

 

 

$

25.68

 

T-S Shares

 

$

171,319

 

 

 

6,716,212

 

 

$

25.51

 

I Shares

 

$

342,772

 

 

 

13,385,361

 

 

$

25.61

 

S Shares

 

$

565

 

 

 

22,013

 

 

$

25.65

 

BD Shares

 

$

213,797

 

 

 

8,336,185

 

 

$

25.65

 

V Shares

 

$

1

 

 

 

40

 

 

$

25.60

 

Total

 

$

1,989,502

 

 

 

78,173,158

 

 

 

 

 

 

Reconciliation of Transactional Net Asset Value to GAAP Net Asset Value

 

The following table reconciles Transactional Net Asset Value to GAAP Net Asset Value as of July 31, 2026 ($ in thousands):

 

 

 

As of July 31, 2026

 

GAAP Net Asset Value

 

$

1,976,189

 

Adjustment:

 

 

 

Accrued shareholder servicing fees and distribution fees (1)

 

 

13,313

 

Transactional Net Asset Value

 

$

1,989,502

 

 

(1) Represents an adjustment to reflect Shareholder servicing fees and distribution fees related to Series I and Series II Class S Shares, Class F-S, Class P-S Shares and Class T-S Shares sold as they are accrued on a monthly basis.