PennantPark Investment Corporation announced that its estimated net asset value $(NAV)$ per share as of December 31, 2025, is between $6.97 and $7.02. This is a decrease from the NAV per share of $7.11 reported as of September 30, 2025. The decline is attributed to distributions in excess of net investment income, including a one-time non-recurring net expense related to the company's amended credit facility. These figures are preliminary estimates and have not been audited or reviewed by the company's independent accounting firm.
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