10/01/2025 | Press release | Distributed by Public on 10/01/2025 14:34
Item 3.02. |
Unregistered Sales of Equity Securities.
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Number of Units Sold(2)
|
Aggregate Consideration
|
|||||||
Class A-1a
|
956,752
|
$
|
27,427,500
|
|||||
Class I-1
|
156,604
|
$
|
4,550,000
|
(1) |
The Fund invests generally alongside another vehicle that is managed by Stonepeak-Plus Infrastructure Fund Advisors LLC, its investment advisor (the "Investment Advisor"), is organized outside of the United States, and has substantially similar investment objectives and strategies with the Fund (the Fund and such other vehicle, together, "SP+ INFRA").
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(2) |
The number of Units sold by the Fund was finalized on September 26, 2025, following the calculation of the Fund's transactional net asset value ("Transactional NAV") per Unit for each class of the Fund as of August 31, 2025. The purchase price for each of Class A-1a and Class I-1 Units of the Fund as of September 1, 2025 is the Transactional NAV per Unit for the respective class as of August 31, 2025. See Item 8.01 below for more information on the Fund's Transactional NAV.
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Item 8.01. |
Other Events.
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Transactional NAV
as of August 31, 2025
|
||||
Class A-1a
|
$
|
28.67
|
||
Class A-1b
|
$
|
28.68
|
||
Class A-1c
|
$
|
28.70
|
||
Class F-1
|
$
|
28.70
|
||
Class I-1
|
$
|
29.05
|
||
Class X
|
$
|
29.16
|