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Stone Point Credit Income Fund issued and sold 933,048.462 common shares, par value $0.001 per share, at a net asset value of $24.8299 for an aggregate offering price of $23,167,500.00 on March 1, 2026, pursuant to subscription agreements with accredited investors, exempt from Securities Act registration under Section 4(a)(2), Rule 506 of Regulation D, and Regulation S.
Event Type
Disclosure
Mandatory
Variant
8-K
. Unregistered Sale of Equity Securities. On March 1, 2026 (with the final number of shares being determined on March 20, 2026), Stone Point Credit Income Fund