P CAPITAL ANNOUNCES NAV OF P CAPITAL PARTNERS IV
PRESS RELEASE Stockholm, 7 October 2021 P Capital today announces that, at the close of business on 30 September 2021, the Net Asset Value, per participation loan debentures of P Capital Partners IV, is EUR 103.87 for series A1. Ordinary income of EUR 2.16 per series A1 participation loan debentures will be distributed to debenture holders on 21 October 2021. P Capital Partners IV’s assets are composed of 97.9 per cent privately issued corporate loans and 2.1 per cent publicly traded corporate bonds. P Capital is an active credit investor and loan provider to Northern and