Pennantpark Investment CORP 8-K filings

Current reports — the filing a company makes when something happens that shareholders need to know about before the next quarterly report.

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PennantPark Investment Corporation reported a decrease in net investment income and NAV per share for Q3 2026, though significant realized gains provided a partial offset.
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PennantPark Investment Corporation declared a monthly distribution of $0.08 per share for August 2026, comprising a base and supplemental dividend.
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PennantPark Investment Corporation declared its monthly distribution of $0.08 per share for June 2026, comprising a $0.04 base dividend and a $0.04 supplemental dividend.
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PennantPark Investment Corporation declared a monthly distribution of $0.08 per share for May 2026, comprising a $0.04 base dividend and a $0.04 supplemental dividend.
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PennantPark Investment Corporation has announced a monthly distribution of $0.08 per share for April 2026, consisting of a base and supplemental dividend.
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PennantPark Investment Corporation announced first fiscal quarter results for December 31, 2025, showing a decline in net asset value per share and net investment income, alongside a strategic dividend structure adjustment and credit facility improvements.
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PennantPark Investment Corporation announced the results of its annual stockholders meeting, including the election of two Class I directors and the ratification of its independent auditor.
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PennantPark Investment Corporation has issued $75 million in 7.00% Senior Unsecured Notes due 2029 through a private placement to a qualified institutional investor.
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PennantPark Investment Corporation announced preliminary Q4 2025 financial estimates, including a significant equity sale gain and an improved credit facility, alongside a slight decrease in NAV per share.
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PennantPark Investment Corporation announced the schedule for its first fiscal quarter ended December 31, 2025 earnings release and conference call.
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PennantPark Investment Corporation announced a monthly distribution of $0.08 per share for January 2026, payable on February 2, 2026.
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PennantPark Investment Corporation announced the sale of a significant equity investment for a $63.1 million gain and an upsize of its credit facility to $535 million with extended maturity and reduced pricing.
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PennantPark Investment Corporation announced a monthly distribution of $0.08 per share for December 2025, payable in January 2026.
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PennantPark Investment Corporation announced its financial results for the fourth quarter and fiscal year ended September 30, 2025, showing a decrease in net asset value per share and net investment income, despite an increase in distributions declared.
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PennantPark Investment Corporation announced its regular monthly distribution of $0.08 per share for November 2025, payable on December 1, 2025.
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PennantPark Investment Corporation filed an 8-K/A to disclose that audited financial statements for its portfolio company, JF Holdings Corp., should not be relied upon due to non-GAAP accounting and auditor independence issues.
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PennantPark Investment Corporation announced the schedule for its fourth fiscal quarter 2025 earnings release and conference call.
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PennantPark Investment Corporation announced its monthly distribution of $0.08 per share for October 2025, payable on November 3, 2025.
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PennantPark Investment Corporation reported a decline in net asset value and net investment income per share for the third quarter ended June 30, 2025, while focusing on a strategic shift towards debt investments.
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PennantPark Investment Corporation announced monthly distributions of $0.08 per share for August and September 2025, payable to shareholders of record.
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PennantPark Investment Corporation announced the schedule for its third fiscal quarter 2025 earnings release and subsequent conference call.
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PennantPark Investment Corporation announced a monthly distribution of $0.08 per share for July 2025, payable on August 1, 2025.
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PennantPark Investment Corporation announced that audited financial statements for its unconsolidated portfolio company, JF Holdings Corp., previously filed as an amendment to its Annual Report, should no longer be relied upon due to accounting principle non-compliance.
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PennantPark Investment Corporation announced its regular monthly distribution of $0.08 per share for June 2025, maintaining its consistent shareholder payout.
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PennantPark Investment Corporation reports its financial results for the second quarter ended March 31, 2025, highlighting key portfolio metrics and financial performance.
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PennantPark Investment Corporation declares a monthly distribution of $0.08 per share for May 2025.
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Frank Galea resigns as Chief Compliance Officer of PennantPark Investment Corporation, with Gerald Cummins appointed as his replacement, effective April 15, 2025.
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PennantPark Investment Corporation (PNNT) will release its second fiscal quarter 2025 results on May 12, 2025, and host a conference call on May 13, 2025.
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PennantPark Investment Corporation declares a monthly distribution of $0.08 per share for April 2025.
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PennantPark Investment Corporation declares a monthly distribution of $0.08 per share for March 2025.