CNL Strategic Capital LLC

01/26/2026 | Press release | Distributed by Public on 01/26/2026 16:28

Material Event (Form 8-K)

Item 8.01 Other Events.

Determination of Net Asset Value for Outstanding Shares for the month ended December 31, 2025

On January 26, 2026, the board of directors (the "Board") determined the Company's net asset value per share for each share class in a manner consistent with the Company's valuation policy, as described under "Determination of Net Asset Value" in the Company's Prospectus. This table provides the Company's aggregate net asset value and net asset value per share for its Class FA, Class A, Class T, Class D, Class I, and Class S shares as of December 31, 2025 (in thousands, except per share data):

Month Ended

December 31, 2025

Class FA Class A

Class T

Class D

Class I

Class S

Total
Net Asset Value $ 160,072 $ 344,908 $ 82,816 $ 115,767 $ 641,400 $ 73,394 $ 1,418,357
Number of Outstanding Shares 3,724 9,026 2,171 3,051 16,598 1,688 36,258
Net Asset Value, Per Share $ 42.98 $ 38.21 $ 38.15 $ 37.94 $ 38.64 $ 43.48
Net Asset Value, Per Share Prior Month $ 42.54 $ 37.93 $ 37.81 $ 37.63 $ 38.45 $ 43.08
Increase/Decrease in Net Asset Value, Per Share from Prior Month $ 0.44 $ 0.28 $ 0.34 $ 0.31 $ 0.19 $ 0.40

The change in the Company's net asset value per share for each applicable share class for the month ended December 31, 2025 was primarily driven by the increases in the fair value of eleven out of eighteen of the Company's portfolio company investments. The fair value of six of the Company's portfolio company investments decreased during the same period. The fair value of one of the Company's portfolio company investments did not change. As of December 31, 2025, the Company had total assets of approximately $1.5 billion.

Public Offering Price Adjustment

On January 26, 2026, the Board approved the new per share public offering price for each share class in the Company's offering. The new public offering prices will be effective as of January 30, 2026 and will be used for the Company's next monthly closing for subscriptions on January 30, 2026. The purchase price for Class A, Class T, Class D, and Class I shares purchased under our distribution reinvestment plan will be equal to the net asset value per share for each share class as of December 31, 2025. The following table provides the new public offering prices and applicable upfront selling commissions and dealer manager fees for each share class available in this offering:

Class A

Class T

Class D

Class I

Public Offering Price, Per Share $41.76 $40.05 $37.94 $38.64
Selling Commissions, Per Share $2.51 $1.20
Dealer Manager Fees, Per Share $1.04 $0.70

We have also posted this information on our website at www.cnlstrategiccapital.com. A subscriber may also obtain this information by calling us by telephone at (866) 650-0650.

Declaration of Distributions

On January 26, 2026, the Board declared cash distributions on the outstanding shares of all classes of our common shares based on a monthly record date, as set forth below:

Declared Distribution Per Share for Each Share Class
Distribution
Record Date
Distribution
Payment Date
Class FA Class A Class T Class D Class I Class S
February 26, 2026 February 27, 2026 $0.104167 $0.104167 $0.083333 $0.093750 $0.104167 $0.104167
CNL Strategic Capital LLC published this content on January 26, 2026, and is solely responsible for the information contained herein. Distributed via EDGAR on January 26, 2026 at 22:28 UTC. If you believe the information included in the content is inaccurate or outdated and requires editing or removal, please contact us at [email protected]