PNNT 10-Q Quarterly Report June 30, 2024 | Alphaminr
PENNANTPARK INVESTMENT CORP

PNNT 10-Q Quarter ended June 30, 2024

PENNANTPARK INVESTMENT CORP
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10-Q
False --09-30 0001383414 Q3 MD 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Tower Arch Infolinks Media, LP Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Crane 1 Services, Inc. - Revolver Maturity 08/16/2027 Personal, Food and Miscellaneous Services Current Coupon 10.19% Basis Point Spread Above Index 3M SOFR+486 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Applied Technical Services, LLC Maturity 12/29/2026 Industry Environmental Services Current Coupon 11.25% Basis Point Spread Above Index SOFR+590 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC - Revolver Maturity 12/29/2026 Environmental Services Current Coupon 13.25% Basis Point Spread Above Index 3M SOFR+475 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Exigo Intermediate II, LLC Maturity 03/15/2027 Business Services Current Coupon 11.69% Basis Point Spread Above Index 3M SOFR+635 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% ITC Rumba, LLC (Cano Health, LLC) Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Radius Aerospace, Inc. - Revolver Maturity 03/31/2025 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sargent & Greenleaf Inc. - Revolver Maturity 12/20/2024 Electronics Current Coupon 11.94% (PIK 1.0%) Basis Point Spread Above Index 3M SOFR+650 2023-10-01 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesTwoMember 2021-10-01 2021-10-31 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HW Holdco, LLC(Revolver) Maturity 12/10/2024 Media 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:MailsouthIncMember 2023-09-30 0001383414 pnnt:TwoThousandTwentySixTwoNotesPayableMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Quantic Electronics, LLC - Unfunded Revolver Maturity 08/17/2026 Aerospace and Defense 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Second Lien Secured Debt—0% Mailsouth Inc Maturity 04/23/2025 Printing and Publishing 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Imagine Acquisitionco, LLC Maturity 11/15/2027 Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Lash OpCo, LLC Maturity 2/18/2027 Industry Consumer Products Current Coupon 8.06% Basis Point Spread Above Index SOFR+275 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Recteq, LLC Maturity 1/29/2026 Industry Consumer Products Current Coupon 12.54% Basis Point Spread Above Index SOFR+700 2022-10-01 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:FlockFinancialLLCMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name MOREgroup Holdings, LLC Maturity 01/16/30 Industry Business Services Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Integrity Marketing Acquisition, LLC - Revolver, Maturity 08/31/2025, Industry Insurance 2024-06-30 0001383414 Liabilities in Excess of Other Assets—(168.5%) 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PlayPower, Inc. Maturity 05/10/2026 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 10.95% Basis Point Spread Above Index 3M SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Wildcat Buyerco, Inc. (Revolver) Maturity 02/27/2026 Electronics Current Coupon 10.17% Basis Point Spread Above Index 3M SOFR+585 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% HV Watterson Holdings, LLC Business Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Infolinks Media Buyco, LLC Maturity 11/01/26 Industry Media Current Coupon 10.83% Basis Point Spread Above Index SOFR+605 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rural Sourcing Holdings, Inc. – Revolver Maturity 06/15/2029 Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Integrity Marketing Acquisition, LLC - Unfunded Term Loan, Maturity 08/31/2025, Industry Insurance 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Icon Partners V C, L.P. Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OES Co-Invest, LP Class A Diversified Conglomerate Service 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Halo Buyer, Inc. Maturity 07/06/2026 Consumer Products Current Coupon 13.69% Basis Point Spread Above Index 1M SOFR+835 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LJ Avalon Holdings, LLC - Revolver Maturity 01/31/2030 Environmental Services 2023-09-30 0001383414 us-gaap:FairValueMeasuredAtNetAssetValuePerShareMember pnnt:TruistCreditFacilityMember 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:FirstLienMember pnnt:ValuationTechniqueMarketComparableMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ORL Acquisition, Inc. Maturity 09/3/2027 Business Services Current Coupon 14.73% (PIK 7.5%) Basis Point Spread Above Index 3M SOFR+940 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Applied Technical Services, LLC (Revolver) Maturity 12/29/2026 Environmental Services Current Coupon 13.25% Basis Point Spread Above Index 3M SOFR+475 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OHCP V BC COI, L.P. Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Meadowlark Acquirer, LLC Maturity 12/10/2027 Business Services Current Coupon 10.66% Basis Point Spread Above Index 3M SOFR+550 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name PL Acquisitionco, LLC Maturity 11/9/2027 Industry Retail Current Coupon 12.44% Basis Point Spread Above Index SOFR+710 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Radius Aerospace, Inc. Maturity 03/31/25 Industry Aerospace and Defense Current Coupon 11.29% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:MinimumMember pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SubordinatedDebtOrCorporateNotesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC Midco, LLC Maturity 06/26/2029 Diversified Conglomerate Service Current Coupon 11.09% Basis Point Spread Above Index 3M SOFR +575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mineola 212, LLC, Maturity 06/04/2025, Industry Buildings and Real Estate, Current Coupon 13.00%, 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MOREGroup Holdings, Inc. Unfunded Term Loan Maturity 01/16/2026, Industry Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% NORA Acquisition, LLC Maturity 08/31/2029 Healthcare, Education and Childcare Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR+635 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Hancock Claims Consultants Investors, LLC - Class A Preferred Equity Insurance 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Smartronix, LLC Maturity 11/23/2028 Aerospace and Defense Current Coupon 11.58% Basis Point Spread Above Index 3M SOFR+600 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Graffiti Buyer, Inc. Maturity 08/10/2023 Distribution 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% HPA SPQ Aggregator LP- Common Equity Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Ad.net Acquisition, LLC - Revolver Maturity 05/07/2026 Media 2024-06-30 0001383414 pnnt:WalkerEdisonFurnitureCompanyLLCMember us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name CF512, Inc. Maturity 08/20/26 Industry Media Current Coupon 11.60% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Apex Service Partners, LLC Term Loan B Maturity 07/31/2025 Industry Personal, Food and Miscellaneous Services Current Coupon 11.11% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name TPC US Parent, LLC Maturity 11/24/2025 Industry Food Current Coupon 10.95% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Meadowlark Acquirer, LLC Term Loan II Maturity 12/10/2027 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Subordinated Debt/Corporate Notes—10.7% Express Wash Acquisition Company, LLC Maturity 01/15/2029 Auto Sector Current Coupon 15.15% Basis Point Spread Above Index 3M SOFR+976 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TWD Parent Holdings, LLC (The Vertex Companies, LLC) Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% TWD Parent Holdings, LLC Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Atlas Investment Aggregator, LLC Telecommunications 2023-09-30 0001383414 pnnt:SubordinatedNotesMember 2024-06-30 0001383414 us-gaap:FairValueMeasuredAtNetAssetValuePerShareMember pnnt:DebtInvestmentsMember 2024-06-30 0001383414 Qualifying Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Dr. Squatch, LLC Maturity 08/27/2026 Personal and Non-Durable Consumer Products 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Cartessa Aesthetics, LLC Maturity 6/14/2028 Industry Distribution Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Medina Health, LLC - Revolver, Maturity 10/20/2028, Industry Healthcare, Education and Childcare 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Megawatt Acquisitionco, Inc. Maturity 03/01/30 Industry Business Services Current Coupon 10.58% Basis Point Spread Above Index SOFR+525 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Arcfield Acquisition Corp. Maturity 08/03/2029 Industry Aerospace and Defense Current Coupon 10.78% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name ETE Intermediate II, LLC Maturity 05/29/29 Industry Personal, Food and Miscellaneous Services Current Coupon 11.89% Basis Point Spread Above Index SOFR+650 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LSF9 Atlantis Holdings, LLC Maturity 03/31/2029 Retail Current Coupon 12.64% Basis Point Spread Above Index 3M SOFR+725 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Mars Acquisition Holdings Corp. Maturity 5/14/2026 Industry Media Current Coupon 10.98% Basis Point Spread Above Index SOFR+565 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Bioderm, Inc. Maturity 1/31/2028 Industry Healthcare, Education and Childcare Current Coupon 11.83% Basis Point Spread Above Index SOFR+650 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% of Net Assets 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Beta Plus Technologies, Inc. Maturity 07/01/2029 Industry Business Services Current Coupon 11.14% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Omnia Exterior Solutions, LLC Maturity 12/29/2029 Diversified Conglomerate Service Current Coupon 10.83% Basis Point Spread Above Index 3M SOFR+550 2024-06-30 0001383414 pnnt:TelecommunicationsMember 2024-06-30 0001383414 us-gaap:FinancingReceivables30To59DaysPastDueMember 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% TWD Parent Holdings, LLC Business Services 2022-10-01 2023-09-30 0001383414 Cash and Cash Equivalents—7.7% 2023-09-30 0001383414 pnnt:LongTermCreditFacilityMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name S101 Holdings Inc. Maturity 12/29/2026 Industry Electronics Current Coupon 11.45% Basis Point Spread Above Index SOFR+615 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% ORL Holdco, Inc. Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% BioDerm, Inc. (Revolver) Maturity 01/31/2028 Healthcare, Education and Childcare Current Coupon 11.81% Basis Point Spread Above Index 1M SOFR+650 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Carisk Buyer, Inc Maturity 11/30/2029 Industry Education Current Coupon 10.84% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MOREGroup Holdings, Inc. Unfunded Revolver Maturity 01/16/2030, Industry Business Services 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% System Planning and Analysis, Inc. - Unfunded Revolver Maturity 08/16/2027 Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Omnia Exterior Solutions, LLC - Unfunded Term Loan 2 Maturity 12/29/2025 Diversified Conglomerate Service 2023-10-01 2024-06-30 0001383414 pnnt:PennantParkTSOSeniorLoanFundIILPMember 2022-10-01 2023-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Ad.net Acquisition, LLC Maturity 5/7/2026 Industry Media Current Coupon 11.60% Basis Point Spread Above Index SOFR+600 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% System Planning and Analysis, Inc. - (Revolver) (f/k/a Management Consulting & Research, LLC) Maturity 08/16/2027 Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Connatix Buyer, Inc. - Revolver Maturity 07/13/2027 Media 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember 2021-04-01 2021-04-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Graffiti Buyer, Inc. Maturity 08/10/2023 Distribution 2023-09-30 0001383414 Related Party PSLF Total Cash and Cash Equivalents 2023-09-30 0001383414 Qualifying Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Smartronix, LLC - Unfunded Revolver Maturity 11/23/2027 Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TransGo, LLC Revolver Maturity 12/29/2028 Machinery 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Meadowlark Acquirer, LLC, Maturity 12/10/2027, Industry Business Services, Current Coupon 11.23%, Basis Point Spread Above Index 3M SOFR+590 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Watchtower Intermediate, LLC Maturity 12/01/2029 Electronics Current Coupon 11.33% Basis Point Spread Above Index 3M SOFR +600 2023-10-01 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesTwoMember 2023-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityFundsMember 2023-09-30 0001383414 pnnt:HealthcareEducationAndChildcareMember 2023-09-30 0001383414 srt:OtherCurrencyMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% ENC Parent Corporation Maturity 08/19/2029 Business Services Current Coupon 13.10% Basis Point Spread Above Index 3M SOFR+776 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carnegie Dartlet, LLC - Unfunded Term Loan Maturity 02/07/2030 Education 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TransGo, LLC Maturity 12/29/2028 Machinery Current Coupon 11.34% Basis Point Spread Above Index 3M SOFR +600 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. (Revolver) Maturity 09/28/2027 Distribution Current Coupon 11.04% Basis Point Spread Above Index 3M SOFR+565 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Atlas Purchaser, Inc Maturity 05/07/2029 Telecommunications Current Coupon 14.66% Basis Point Spread Above Index 3M SOFR+900 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. - Unfunded Term Loan Maturity 09/17/2026 Distribution 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Sales Benchmark Index LLC Maturity 1/3/2025 Industry Business Services Current Coupon 11.59% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SBI Holdings Investments LLC (Sales Benchmark Index LLC) Business Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Lightspeed Buyer Inc. Maturity 2/3/2026 Industry Healthcare, Education and Childcare Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HW Holdco, LLC, Maturity 05/10/2026, Industry Media 2024-06-30 0001383414 2024-04-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Spendmend Holdings LLC Maturity 03/01/2028 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% System Planning and Analysis, Inc. - Unfunded Term Loan Maturity 08/16/2027 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:DebtInvestmentsMember 2022-10-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Graffiti Buyer, Inc. (Revolver) Maturity 08/10/2027 Distribution Current Coupon 11.77% Basis Point Spread Above Index 3M L+560 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Research Now Group, LLC and Dynata, LLC-DIP Maturity 08/06/24 Industry Business Services Current Coupon 14.21% Basis Point Spread Above Index SOFR+886 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Anteriad, LLC (f/k/a MeritDirect, LLC) - Funded Revolver Maturity 06/30/2026 Media Current Coupon 11.18% Basis Point Spread Above Index 3M SOFR+580 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Five Star Buyer, Inc. Maturity 02/23/28 Industry Hotels, Motels, Inns and Gaming Current Coupon 12.43% Basis Point Spread Above Index SOFR+700 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% U.S. Government Securities—19.9% 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name MBS Holdings, Inc. Maturity 04/16/27 Industry Telecommunications Current Coupon 11.22% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, ITI Holdings, Inc., Maturity 03/03/2028, Industry Business Services, Current Coupon 10.98%, Basis Point Spread Above Index 3M SOFR+565 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Dr. Squatch, LLC (Revolver) Maturity 08/31/2027 Personal and Non-Durable Consumer Products 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name EDS Buyer, LLC Maturity 01/10/29 Industry Aerospace and Defense Current Coupon 11.64% Basis Point Spread Above Index SOFR+625 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name TPC US Parent, LLC Maturity 11/24/2025 Industry Food Current Coupon 10.95% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Cartessa Aesthetics, LLC Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HW Holdco, LLC(Revolver) Maturity 12/10/2024 Media Current Coupon 11.82% Basis Point Spread Above Index 3M L+640 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Spendmend Holdings LLC - (Revolver) Maturity 03/01/2028 Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Broder Bros., Co. Maturity 12/04/2025 Industry Personal and Non-Durable Consumer Products Current Coupon 11.60% Basis Point Spread Above Index SOFR+626 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Anteriad, LLC (f/k/a MeritDirect, LLC) - Revolver Maturity 06/30/2026 Media 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% K2 Pure Solutions NoCal, L.P. (Revolver) Maturity 12/20/2023 Chemicals, Plastics and Rubber 2023-09-30 0001383414 2023-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:MeasurementInputEbitdaMultipleMember pnnt:FirstLienMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:PennantParkSeniorLoanFundLLCMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Megawatt Acquisition Partners, LLC - Preferred A Electronics 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% AH Newco Equity holdings, LLC Healthcare, Education and Childcare Current Coupon 6.00% 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Ad.net Holdings, Inc. Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MBS Holdings, Inc. (Revolver) Maturity 04/16/2027 Telecommunications 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Simplicity Financial Marketing Group Holdings, Inc Maturity 12/02/2026 Industry Banking, Finance, Insurance & Real Estate Current Coupon 11.71% Basis Point Spread Above Index SOFR+640 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:TruistCreditFacilityMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HV Watterson Holdings, LLC - (Revolver) Maturity 12/17/2026 Business Services Current Coupon 11.79% Basis Point Spread Above Index 3M L+625 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Blackhawk Industrial Distribution, Inc. Maturity 09/17/2026 Distribution Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+640 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Exigo Intermediate II, LLC (Revolver) Maturity 03/15/2027 Business Services 2023-10-01 2024-06-30 0001383414 us-gaap:EquityFundsMember 2024-06-30 0001383414 us-gaap:FairValueInputsLevel2Member 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infinity Home Services Holdco, Inc. Maturity 12/28/2028 Personal, Food and Miscellaneous Services Current Coupon 12.24% Basis Point Spread Above Index 3M SOFR+685 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% WCP Ivyrehab QP CF Feeder, LP - Unfunded Healthcare, Education and Childcare 2024-06-30 0001383414 2024-03-31 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Kinetic Purchaser, LLC - Revolver, Maturity 11/10/2026, Industry Consumer Products 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Connatix Buyer, Inc. (Revolver) Maturity 07/13/2027 Media 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Exigo Intermediate II, LLC Maturity 03/15/27 Industry Business Services Current Coupon 11.17% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Meadowlark Title, LLC Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name MBS Holdings, Inc. Maturity 4/16/2027 Industry Telecommunications Current Coupon 11.27% Basis Point Spread Above Index SOFR+585 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Compex Legal Services, Inc. (Revolver) Maturity 02/07/2025 Business Services Current Coupon 10.94% Basis Point Spread Above Index 3M SOFR+555 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% A1 Garage Merger Sub, LLC - Revolver Maturity 12/22/2028 Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Mars Acquisition Holdings Corp. Maturity 05/14/2026 Media Current Coupon 11.04% Basis Point Spread Above Index 3M SOFR+565 2023-12-31 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% Express Wash Acquisition Company, LLC Maturity 01/15/2029 Auto Sector Current Coupon 17.60% (PIK 12.0%) Basis Point Spread Above Index 3M SOFR+1226 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TCG 3.0 Jogger Co-Invest, LP - Common Equity Media 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% AMCSI Crash Co-Invest, LP Auto Sector 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Common Equity/Partnership Interests/Warrants—0.0% Walker Edison Furniture Home and Office Furnishings 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sigma Defense Systems, LLC Maturity 12/18/2025 Telecommunications Current Coupon 14.04% Basis Point Spread Above Index 3M SOFR+865 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember srt:MaximumMember 2022-10-01 2023-06-30 0001383414 pnnt:WalkerEdisonFurnitureCompanyLLCMember us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% BioDerm, Inc. Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HV Watterson Holdings, LLC - (Revolver) Maturity 12/17/2026 Business Services Current Coupon 11.79% Basis Point Spread Above Index 3M L+625 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Dr. Squatch, LLC Maturity 8/31/2027 Industry Personal and Non-Durable Consumer Product Current Coupon 11.18% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Imagine Topco, LP Preferred Business Services Current Coupon 8.00% 2024-06-30 0001383414 Investments—256.5% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sargent & Greenleaf Inc. (Revolver) Maturity 12/20/2024 Electronics Current Coupon 12.92% Basis Point Spread Above Index 1M SOFR+650 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember 2024-04-01 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Common Equity/Partnership Interests/Warrants—0.0% 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Meadowlark Acquirer, LLC Maturity 12/10/2027 Industry Business Services Current Coupon 11.23% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 us-gaap:FairValueInputsLevel2Member pnnt:DebtInvestmentsMember 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Preferred Equity—5.4% Flock Financial Class B Preferred Equity Financial Services 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel1Member pnnt:TruistCreditFacilityMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Owl Acquisition, LLC Maturity 2/4/2028 Industry Education Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% NORA Parent Holdings, LLC Healthcare, Education and Childcare 2023-09-30 0001383414 pnnt:SBADebenturesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Subordinated Debt/Corporate Notes—10.7% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% EDS Buyer, LLC Maturity 12/22/2028 Aerospace and Defense Current Coupon 11.64% Basis Point Spread Above Index 3M SOFR+625 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Magnolia Topco LP - Class A Common Equity Auto Sector 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% LJ Avalon, LP Environmental Services 2024-06-30 0001383414 pnnt:IncentiveFeePaymentConditionThreeMember 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:LongTermCreditFacilityMember 2024-06-30 0001383414 Cash and Cash Equivalents—12.0% 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Blackhawk Industrial Distribution, Inc. Maturity 9/17/2026 Industry Distribution Current Coupon 11.66% Basis Point Spread Above Index SOFR+640 2023-10-01 2024-06-30 0001383414 2023-04-01 2023-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Common Equity—12.8% AKW Holdings Limited Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% JF Intermediate, LLC Distribution 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Global Holdings InterCo LLC Maturity 03/16/26 Industry Banking, Finance, Insurance & Real Estate Current Coupon 11.96% Basis Point Spread Above Index SOFR+650 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Lash OpCo, LLC Maturity 02/18/27 Industry Consumer Products Current Coupon 12.13% Basis Point Spread Above Index SOFR+700 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Riverpoint Medical, LLC (Revolver) Maturity 06/20/2025 Healthcare, Education and Childcare Current Coupon 10.42% Basis Point Spread Above Index 3M SOFR+510 2023-09-30 0001383414 pnnt:InvestmentsCostMember pnnt:SubordinatedDebtOrCorporateNotesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Dr. Squatch, LLC Maturity 08/31/2027 Personal and Non-Durable Consumer Products Current Coupon 11.17 Basis Point Spread Above Index 3M SOFR+585 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Exigo Intermediate II, LLC Maturity 03/15/27 Industry Business Services Current Coupon 11.17% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 2023-03-31 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Watchtower Buyer, LLC Maturity 12/01/2029 Industry Consumer Products Current Coupon 11.33% Basis Point Spread Above Index SOFR+600 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name ACP Avenu Buyer, LLC Maturity 10/02/2029 Industry Business Services Current Coupon 10.55% Basis Point Spread Above Index SOFR+525 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Preferred Equity—5.4% 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Rancho Health MSO, Inc. Maturity 12/18/2025 Industry Healthcare, Education and Childcare Current Coupon 10.92% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Arcfield Acquisition Corp. - Revolver Maturity 08/04/2028 Aerospace and Defense 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Burgess Point Purchaser Corporation Maturity 09/26/2029 Industry Auto Sector Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Spendmend Holdings LLC - Unfunded Term Loan Maturity 03/01/2025 Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% MDI Aggregator, LP Chemical, Plastics and Rubber 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. - Unfunded Term Loan Maturity 09/17/2026 Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Meadowlark Acquirer, LLC (Revolver) Maturity 12/10/2027 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HV Watterson Holdings, LLC - Revolver One, Maturity 12/17/2026, Industry Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% FedHC InvestCo II LP Aerospace and Defense 2024-06-30 0001383414 pnnt:TruistCreditFacilityMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Summit Behavioral Healthcare, LLC Maturity 11/24/2028 Industry Healthcare, Education and Childcare Current Coupon 9.60% Basis Point Spread Above Index SOFR+425 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Sigma Defense Systems, LLC Maturity 12/18/2027 Industry Telecommunications Current Coupon 12.49% Basis Point Spread Above Index SOFR+715 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% First Lien Secured Debt—2.1% 2023-09-30 0001383414 pnnt:EducationMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Zips Car Wash, LLC Maturity 3/1/2024 Industry Business Services Current Coupon 12.67% Basis Point Spread Above Index SOFR+725 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Mars Intermediate Holdings II, Inc Media 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Signature Systems Holding Company Maturity 5/3/2024 Industry Chemicals, Plastics and Rubber Current Coupon 12.04% Basis Point Spread Above Index SOFR+650 2022-10-01 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:MailsouthIncMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Cartessa Aesthetics, LLC Maturity 06/14/28 Industry Distribution Current Coupon 11.39% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lash OpCo, LLC, Maturity 02/18/2027, Industry Consumer Products, Current Coupon 13.18%, (PIK 5.1%) Basis Point Spread Above Index 1M SOFR+785 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ox Two, LLC (Revolver) Maturity 05/18/2026 Building Materials 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Vertex Companies, LLC (Revolver) Maturity 08/30/2027 Business Services Current Coupon 11.67% Basis Point Spread Above Index 1M SOFR+635 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% StellPen Holdings, LLC (CF512, Inc.) Media 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Subordinated Debt—20.4% PennantPark Senior Loan Fund, LLC Maturity 07/31/2027 Financial Services Current Coupon 13.37% Basis Point Spread Above Index 3M L+800 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Municipal Emergency Services, Inc. - Revolver Maturity 09/28/2027 Distribution 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Fairbanks Morse Defense Maturity 06/17/28 Industry Aerospace and Defense Current Coupon 10.40% Basis Point Spread Above Index SOFR+475 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Second Lien Secured Debt—0% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infolinks Media Buyco, LLC Maturity 11/01/2023 Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rancho Health MSO, Inc. (Revolver) Maturity 12/18/2025 Healthcare, Education and Childcare Current Coupon 11.24% Basis Point Spread Above Index 3M SOFR+575 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name The Vertex Companies, LLC Maturity 8/31/2027 Industry Business Services Current Coupon 11.70% Basis Point Spread Above Index SOFR+635 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OES Co-Invest, LP Class A Diversified Conglomerate Service 2023-10-01 2024-06-30 0001383414 pnnt:SBADebenturesMember 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkCloViiMember pnnt:ClassDMember us-gaap:SecuredOvernightFinancingRateSofrOvernightIndexSwapRateMember us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Preferred Equity/Partnership Interests—5.6% Cascade Environmental Holdings, LLC (Preferred) Environmental Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Mars Acquisition Holdings Corp. Maturity 05/14/2026 Media Current Coupon 11.04% Basis Point Spread Above Index 3M SOFR+565 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Exigo, LLC Business Services 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityFundsMember 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% IHS Parent Holdngs, L.P. Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MBS Holdings, Inc. - Revolver, Maturity 04/16/2027, Industry Telecommunications 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ledge Lounger, Inc. Maturity 11/09/2026 Consumer Products Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+625 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Urology Management Holdings, Inc. - Unfunded Term Loan Maturity 02/01/2024 Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—145.6% First Lien Secured Debt—93.2% Blackhawk Industrial Distribution, Inc. Maturity 09/17/2026 Distribution Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+640 One 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MDI Buyer, Inc. (Revolver) Maturity 07/25/2028 Chemicals, Plastics and Rubber Current Coupon 10.92% Basis Point Spread Above Index 3M SOFR+600 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Municipal Emergency Services, Inc. Maturity 10/01/2027 Industry Distribution Current Coupon 10.49% Basis Point Spread Above Index SOFR+515 2023-10-01 2024-06-30 0001383414 Related Party PSLF Investments and Cash Equivalents - 841.3% 2023-09-30 0001383414 srt:MaximumMember pnnt:IncentiveFeePaymentConditionTwoMember 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsCostMember pnnt:SubordinatedNotesInPSLFMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Amsive Holding Corporation (f/k/a Vision Purchaser Corporation) Maturity 06/10/2025 Industry Media Current Coupon 11.79% Basis Point Spread Above Index SOFR+675 2022-10-01 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:JfIntermediateLlcMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Seaway Buyer, LLC - Revolver Maturity 06/13/2029 Chemicals, Plastics and Rubber Current Coupon 11.48% Basis Point Spread Above Index 3M SOFR+615 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name HV Watterson Holdings, LLC Maturity 12/17/2026 Industry Business Services Current Coupon 11.73% Basis Point Spread Above Index SOFR+615 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infolinks Media Buyco, LLC, Maturity 11/01/2026, Industry Media, Current Coupon 10.84%, Basis Point Spread Above Index 3M SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Gauge ETE Blocker, LLC - Promissory Note Maturity 05/19/2029 Personal, Food and Miscellaneous Services Current Coupon 12.56% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% SBI Holdings Investments LLC (Sales Benchmark Index LLC) Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Inventus Power, Inc. - Revolver, Maturity 06/30/2025, Industry Electronics 2024-06-30 0001383414 pnnt:ElectronicsMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% A1 Garage Merger Sub, LLC - Unfunded Term Loan Maturity 12/21/2024 Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 pnnt:BuildingMaterialsMember 2023-09-30 0001383414 pnnt:TruistCreditFacilityMember 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:DebtInvestmentsMember 2023-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Owl Acquisition, LLC Maturity 2/4/2028 Industry Education Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. (Revolver) Maturity 09/28/2027 Distribution Current Coupon 11.04% Basis Point Spread Above Index 3M SOFR+565 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Compex Legal Services, Inc. - Revolver Maturity 02/07/2025 Business Services Current Coupon 10.88% Basis Point Spread Above Index 3M SOFR+555 2024-06-30 0001383414 pnnt:ClassDMember pnnt:PennantParkCloViiMember us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sargent & Greenleaf Inc. - Revolver Maturity 12/20/2024 Electronics 2024-06-30 0001383414 Related Party PSLF Liabilities in Excess of Other Assets — 716.9% 2024-06-30 0001383414 2022-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Compex Legal Services, Inc. - Revolver Maturity 02/07/2025 Business Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Carnegie Dartlet, LLC Maturity 02/07/2030 Industry Healthcare, Education and Childcare Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Icon Partners V C, L.P. Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Hills Distribution, Inc Maturity 11/08/29 Industrial Distribution Current Coupon 11.33% Basis Point Spread Above Index SOFR+600 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Pacific Purchaser, LLC Maturity 10/2/2028 Industry Business Services Current Coupon 11.26% Basis Point Spread Above Index SOFR+600 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Kinetic Purchaser, LLC Maturity 11/10/2027 Industry Consumer Products, Current Coupon 11.48% Basis Point Spread Above Index SOFR+615 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% WCP Ivyrehab QP CF Feeder, LP - Unfunded Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Ox Two, LLC (New Issue) Maturity 5/18/2026 Industry Distribution Current Coupon 11.85% Basis Point Spread Above Index SOFR+651 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Seaway Topco, LP Chemicals, Plastics and Rubber 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% A1 Garage Merger Sub, LLC - Unfunded Term Loan Maturity 12/21/2024 Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Compex Legal Services, Inc. Maturity 02/09/2026 Business Services Current Coupon 10.94% Basis Point Spread Above Index 3M SOFR+555 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Magnolia Topco LP - Class A Auto Sector 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% RTIC Subsidiary Holdings, LLC Maturity 05/03/2029 Consumer Products Current Coupon 11.09% Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember 2023-04-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% ORL Holdco, Inc. Business Services 2024-06-30 0001383414 srt:MaximumMember us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name DRS Holdings III, Inc. Maturity 11/3/2025 Industry Consumer Products Current Coupon 11.73% Basis Point Spread Above Index SOFR+640 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% First Lien Secured Debt—2.1% Walker Edison Furniture Company LLC Maturity 03/31/2027 Home and Office Furnishings Current Coupon 12.18% Basis Point Spread Above Index SOFR+685 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PL Acquisitionco, LLC - Revolver Maturity 11/09/2027 Retail 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Tyto Athene, LLC (New Issue) - Revolver Maturity 04/01/2026 Aerospace and Defense Current Coupon 10.99% Basis Point Spread Above Index 3M SOFR +565 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Five Star Buyer, Inc. Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 12.50 Basis Point Spread Above Index 3M SOFR+710 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Cowboy Parent LLC (Blackhawk Industrial Distribution, Inc.) Distribution 2023-09-30 0001383414 pnnt:SeniorSecuritiesMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Subordinated Debt/Corporate Notes—10.7% Express Wash Acquisition Company, LLC Maturity 01/15/2029 Auto Sector Current Coupon 15.15% Basis Point Spread Above Index 3M SOFR+976 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Integrated Data Services - Unfunded Revolver Maturity 08/01/2029 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—145.6% First Lien Secured Debt—93.2% Integrity Marketing Acquisition, LLC(Revolver) Maturity 08/31/2025 Insurance 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Schlesinger Global, Inc. (Revolver) Maturity 07/14/2025 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sigma Defense Systems, LLC – Revolver Maturity 12/18/2027 Telecommunications 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MDI Buyer, Inc. (Revolver) Maturity 07/25/2028 Chemicals, Plastics and Rubber 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MBS Holdings, Inc. - Revolver, Maturity 04/16/2027, Industry Telecommunications 2024-06-30 0001383414 pnnt:BusinessServicesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Vertex Companies, LLC (Revolver) Maturity 08/30/2027 Business Services Current Coupon 11.67% Basis Point Spread Above Index 1M SOFR+635 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% FedHC InvestCo LP Aerospace and Defense One 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Blackhawk Industrial Distribution, Inc. Maturity 09/17/24 Industry Distribution Current Coupon 11.79% Basis Point Spread Above Index SOFR+625 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Hancock Roofing and Construction L.L.C. Maturity 12/31/2026 Insurance Coupon 10.92% Basis Point Spread Above Index 1M L+550 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MDI Buyer, Inc. - Revolver One, Maturity 07/25/2028, Industry Chemicals, Plastics and Rubber 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Meadowlark Acquirer, LLC Term Loan I Maturity 12/10/2027 Business Services 2022-10-01 2023-09-30 0001383414 pnnt:EquityInterestsInPSLFMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Imagine Topco, LP Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Imagine Acquisitionco, LLC Maturity 11/15/27 Industry Business Services Current Coupon 10.72% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Avenu Buyer, LLC Maturity 10/02/2029 Business Services Current Coupon 10.57% Basis Point Spread Above Index 3M SOFR+525 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% AG Investco LP Business Services One 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% NEPRT Parent Holdings, LLC (Recteq, LLC) Consumer Products 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:LongTermCreditFacilityMember 2022-10-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LJ Avalon Holdings, LLC - Unfunded Term Loan Maturity 07/31/2024 Environmental Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% QuantiTech InvestCo II LP Aerospace and Defense 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Skopima Consilio Parent, LLC Maturity 05/17/2028 Industry Business Service Current Coupon 9.96% Basis Point Spread Above Index SOFR+450 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesPayableMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Sales Benchmark Index LLC Maturity 1/03/2025 Industry Business Services Current Coupon 11.53% Basis Point Spread Above Index SOFR+620 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Integrity Marketing Acquisition, LLC, Maturity 08/27/2026, Industry Insurance, Current Coupon 11.48%, Basis Point Spread Above Index 3M SOFR+615 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:EquityInPSLFMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% CF512, Inc. (Revolver) Maturity 08/20/2026 Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rural Sourcing Holdings, Inc. (Revolver) Maturity 06/15/2029 Business Services 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Seaway Buyer, LLC (Revolver) Maturity 06/13/2029 Chemicals, Plastics and Rubber 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LAV Gear Holdings, Inc., Maturity 10/31/2025, Industry Leisure, Amusement, Motion Pictures, Entertainment, Current Coupon 11.76%, Basis Point Spread Above Index 1M SOFR+643 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Ad.net Acquisition, LLC Maturity 5/7/2026 Industry Media Current Coupon 11.60% Basis Point Spread Above Index SOFR+600 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AG Investco LP Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lash OpCo, LLC (Revolver) Maturity 08/16/2026 Consumer Products Current Coupon 12.15% Basis Point Spread Above Index 1M SOFR+700 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Infinity Home Services Holdco, Inc. Maturity 12/28/2028 Industry Personal, Food and Miscellaneous Services Current Coupon 12.18% Basis Point Spread Above Index SOFR+685 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name DRI Holding Inc. Maturity 12/21/28 Industry Media Current Coupon 10.67% Basis Point Spread Above Index SOFR+525 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% BioDerm, Inc. - Revolver Maturity 01/31/2028 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Quantic Electronics, LLC Maturity 11/19/2026 Industry Aerospace and Defense Current Coupon 11.68% Basis Point Spread Above Index SOFR+635 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Subordinated Debt/Corporate Notes—10.7% Flock Financial, LLC Maturity 05/26/2027 Financial Services Current Coupon 14.50% 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkCloViiMember pnnt:ClassA1BMember us-gaap:PrivatePlacementMember 2023-07-26 2023-07-26 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lash OpCo, LLC - Revolver, Maturity 08/16/2026, Industry Consumer Products, Current Coupon 13.18%, (PIK 5.1%) Basis Point Spread Above Index 1M SOFR+785 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% DRS Holdings III, Inc. Maturity 11/03/2025 Consumer Products Current Coupon 11.69%, Basis Point Spread Above Index 3M SOFR+635 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% EDS Buyer, LLC - (Revolver) Maturity 12/22/2028 Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Liabilities in Excess of Other Assets—(168.5%) of Net Assets 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Five Star Buyer, Inc. Maturity 02/23/28 Industry Hotels, Motels, Inns and Gaming Current Coupon 12.43% Basis Point Spread Above Index SOFR+700 2022-10-01 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-04-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OSP Embedded Aggregator, LP Aerospace and Defense 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name The Vertex Companies, LLC Maturity 8/31/2027 Industry Business Services Current Coupon 11.70% Basis Point Spread Above Index SOFR+635 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Seaway Buyer, LLC Maturity 06/13/2029 Chemicals, Plastics and Rubber Current Coupon 11.48% Basis Point Spread Above Index 3M SOFR+615 2023-10-01 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% First Lien Secured Debt—9.8% AKW Holdings Limited Maturity 3/15/2027 Industry Healthcare, Education and Childcare Current Coupon 12.21% Basis Point Spread Above Index 3M L+700 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Exigo Intermediate II, LLC Maturity 03/15/2027 Business Services Current Coupon 11.17% Basis Point Spread Above Index 3M SOFR+585 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name K2 Pure Solutions NoCal, L.P. Maturity 12/20/23 Industry Chemicals, Plastics and Rubber Current Coupon 13.42% Basis Point Spread Above Index SOFR+800 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% EDS Buyer, LLC (Revolver) Loan Maturity 12/22/2028 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 pnnt:ConsumerProductsMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% LEP Pequod Holdings, LP Financial Services 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Common Equity/Partnership Interests/Warrants—2.4% Walker Edison Furniture Home and Office Furnishings 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% HV Watterson Holdings, LLC Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carnegie Dartlet, LLC - Unfunded Revolver Maturity 02/07/2030 Education 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LSF9 Atlantis Holdings, LLC Maturity 03/31/2029 Retail Current Coupon 12.64% Basis Point Spread Above Index 3M SOFR+725 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Second Lien Secured Debt—0% Mailsouth Inc Maturity 04/23/2025 Printing and Publishing 2023-09-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% eCommission Holding Corporation Financial Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HV Watterson Holdings, LLC Maturity 12/17/2026 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Graffiti Buyer, Inc. (Revolver) Maturity 08/10/2027 Distribution 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Connatix Parent, LLC, Industry Media 2024-06-30 0001383414 pnnt:InvestmentsCostMember pnnt:FirstLienMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Radius Aerospace, Inc. Maturity 3/31/2025 Industry Aerospace and Defense Current Coupon 11.38% Basis Point Spread Above Index SOFR+575Related Party PSLF First Lien Secured Debt - 803.6 Issuer Name Radius Aerospace, Inc. Maturity 3/31/2025 Industry Aerospace and Defense Current Coupon 11.38% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PCS MIDCO INC - Unfunded Revolver Maturity 03/01/2030 Financial Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Five Star Parent Holdings, LLC Leisure, Amusement, Motion Pictures, Entertainment 2024-06-30 0001383414 nvestments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Kentucky Racing Holdco, LLC (Warrants) Hotels, Motels, Inns and Gaming 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ITI Holdings, Inc. (Revolver) Maturity 03/03/2028 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lash OpCo, LLC Maturity 02/18/2027 Consumer Products Current Coupon 11.88% Basis Point Spread Above Index 1M SOFR+700 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Holdco Sands Intermediate, LLC Maturity 11/23/2028 Aerospace and Defense Coupon 11.32% Basis Point Spread Above Index 6M L+585 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Wildcat Buyerco, Inc. (Revolver) Maturity 02/27/2026 Electronics Current Coupon 10.17% Basis Point Spread Above Index 3M SOFR+585 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Compex Legal Services, Inc. (Revolver) Maturity 02/07/2025 Business Services 2022-10-01 2023-09-30 0001383414 pnnt:NonControlledAffiliatedInvestmentsMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Compex Legal Services, Inc. Maturity 02/09/2026 Business Services Current Coupon 10.94% Basis Point Spread Above Index 3M SOFR+555 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pacific Purchaser, LLC - Revolver Maturity 09/30/2028 Business Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Medina Health, LLC Maturity 10/20/2028 Industry Healthcare, Education and Childcare Current Coupon 11.58% Basis Point Spread Above Index SOFR+625 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Holdco Sands Intermediate, LLC Maturity 11/23/28 Industry Aerospace and Defense Current Coupon 11.32% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Magnolia Topco LP - Class A Preferred Equity Auto Sector 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Municipal Emergency Services, Inc. - Unfunded Term Loan B Maturity 12/16/2024 Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies -173.9% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Broder Bros., Co. Maturity 12/04/2025 Consumer Products Current Coupon 11.65% Basis Point Spread Above Index 3M SOFR+626 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% GCOM InvestCo LP Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Delta InvestCo LP (Sigma Defense Systems, LLC) Telecommunications One 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Rural Sourcing Holdings, Inc. (HPA SPQ Merger Sub, Inc.) Maturity 6/16/2029 Industry Professional Services Current Coupon 11.52% Basis Point Spread Above Index SOFR+625 2023-09-30 0001383414 us-gaap:FairValueInputsLevel1Member pnnt:USGovernmentSecuritiesMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Quantic Electronics, LLC Maturity 11/19/26 Industry Aerospace and Defense Current Coupon 11.74% Basis Point Spread Above Index SOFR+625 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Research Now Group, Inc. and Dynata, LLC Maturity 12/20/2024 Business Services 2023-10-01 2024-06-30 0001383414 Affiliated Investments 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lash OpCo, LLC (Revolver) Maturity 08/16/2026 Consumer Products Current Coupon 12.15% Basis Point Spread Above Index 1M SOFR+700 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Broder Bros., Co. Maturity 12/04/25 Industry Personal and Non-Durable Consumer Products Current Coupon 11.50% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Berwick Industrial Park Maturity 11/02/2023 Buildings and Real Estate Current Coupon 11.50% 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% Walker Edison Furniture Company, LLC - Unfunded Term Loan Maturity 03/01/2029 Home and Office Furnishings 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Delta InvestCo LP (Sigma Defense Systems, LLC), Industry Telecommunications 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Lash OpCo, LLC Maturity 02/18/27 Industry Consumer Products Current Coupon 12.13% Basis Point Spread Above Index SOFR+700 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Five Star Buyer, Inc. Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 12.42% Basis Point Spread Above Index 3M SOFR+710 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% QuantiTech InvestCo LP Aerospace and Defense One 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% Express Wash Acquisition Company, LLC Maturity 01/15/2029 Auto Sector Current Coupon 17.60% (PIK 12.0%) Basis Point Spread Above Index 3M SOFR+1226 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Crane 1 Services, Inc. - Revolver Maturity 08/16/2027 Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TWS Acquisition Corporation Maturity 06/16/2025 Education Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR +640 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ETE Intermediate II, LLC (Revolver) Maturity 05/25/2029 Personal, Food and Miscellaneous Services 2024-06-30 0001383414 pnnt:ControlledAffiliatedInvestmentsMember 2024-04-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infolinks Media Buyco, LLC Maturity 11/01/2026 Media Current Coupon 11.17% Basis Point Spread Above Index 1M SOFR+585 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% TWD Parent Holdings, LLC (The Vertex Companies, LLC) Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carnegie Dartlet, LLC Maturity 02/07/2030 Education Current Coupon 10.84% Basis Point Spread Above Index 3M SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% of Net Assets 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name NBH Group LLC Maturity 08/19/26 Industry Healthcare, Education and Childcare Current Coupon 10.93% Basis Point Spread Above Index SOFR+525 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Halo Buyer, Inc. Maturity 07/06/2026 Consumer Products Current Coupon 13.67% Basis Point Spread Above Index 1M SOFR+835 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% MDI Aggregator, LP Chemicals, Plastics and Rubber 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Schlesinger Global, Inc. - Revolver Maturity 07/14/2025 Business Services Current Coupon 13.69% (PIK 5.6%) Basis Point Spread Above Index 3M SOFR+835 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Mars Intermediate Holdings II, Inc Media 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Amsive Holding Corporation (f/k/a Vision Purchaser Corporation) Maturity 6/10/2025 Industry Media Current Coupon 11.73% Basis Point Spread Above Index SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% 2024-06-30 0001383414 Related Party PSLF Total Investments 783.7% 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Solutionreach, Inc. Maturity 7/17/2025 Industry Communication Current Coupon 12.37% Basis Point Spread Above Index SOFR+700 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AMCSI Crash Co-Invest, LP, Industry Auto Sector 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Apex Service Partners, LLC Term Loan C Maturity 07/31/2025 Personal, Food and Miscellaneous Services Current Coupon 10.79% Basis Point Spread Above Index 3M SOFR+525 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name TCG 3.0 Jogger Acquisitionco, Inc. Maturity 01/23/2029 Industry Media Current Coupon 11.84% Basis Point Spread Above Index SOFR+650 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% ORL Holdco, Inc. Business Services 2023-09-30 0001383414 Total Investments and Cash Equivalents—268.5% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC Midco, LLC - Unfunded Term Loan Maturity 06/26/2026 Diversified Conglomerate Service 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TPC Holding Company, LP Food 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Aftermarket Drivetrain Products Holdings, LLC Machinery 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% StellPen Holdings, LLC (CF512, Inc.) Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Shiftkey, LLC Maturity 06/21/2027 Business Services Current Coupon 11.35% Basis Point Spread Above Index 3M SOFR+601 2023-10-01 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% First Lien Secured Debt—9.8% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% IHS Parent Holdings, L.P. Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% QuantiTech InvestCo II LP Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Alpine Acquisition Corp II Maturity 11/30/2026 Industry Containers, Packaging and Glass Current Coupon 11.43% Basis Point Spread Above Index SOFR+610 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Graffiti Buyer, Inc. - Revolver Maturity 08/10/2027 Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Tower Arch Infolinks Media, LP Media 1 2023-10-01 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesTwoMember 2021-11-01 2021-11-01 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Delta InvestCo LP One (Sigma Defense Systems, LLC), Industry Telecommunications 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name TWS Acquisition Corporation Maturity 6/06/2025 Industry Education Current Coupon 11.80% Basis Point Spread Above Index SOFR+625 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Team Services Group, LLC Maturity 11/24/2028 Industry Healthcare, Education and Childcare Current Coupon 10.50% Basis Point Spread Above Index SOFR+515 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% AH Newco Equity holdings, LLC Healthcare, Education and Childcare Current Coupon 6.00% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Hancock Claims Consultants Investors, LLC Insurance 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Research Now Group, LLC and Dynata, LLC Maturity 12/20/2024 Industry Business Services Current Coupon 11.13% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Non-controlled Investments 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LJ Avalon Holdings, LLC, Maturity 02/01/2030, Industry Environmental Services, Current Coupon 10.58%, Basis Point Spread Above Index 1M SOFR+525 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Meadowlark Title, LLC Business Services 2023-10-01 2024-06-30 0001383414 us-gaap:SecuredOvernightFinancingRateSofrOvernightIndexSwapRateMember pnnt:TruistCreditFacilityMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name BlueHalo Financing Holdings, LLC Maturity 10/31/2025 Industry Aerospace and Defense Current Coupon 10.09% Basis Point Spread Above Index SOFR+475 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Magnolia Topco LP - Class B Preferred Equity Auto Sector 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% TPC Holding Company, LP Food 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Hancock Claims Consultants Investors, LLC Insurance 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Magnolia Topco LP - Class A Preferred Equity Auto Sector 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Questex, LLC (Revolver) Maturity 09/09/2024 Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sargent & Greenleaf Inc. - Revolver Maturity 12/20/2024 Electronics Current Coupon 11.94% (PIK 1.0%) Basis Point Spread Above Index 3M SOFR+650 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Municipal Emergency Services, Inc. Distribution 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LJ Avalon Holdings, LLC - Revolver, Maturity 01/31/2030, Industry Environmental Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TCG 3.0 Jogger Acquisitionco, Inc. Maturity 1/26/2029 Media Current Coupon 11.84% Basis Point Spread Above Index 3M SOFR +650 2023-10-01 2024-06-30 0001383414 Net Assets—100.0% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Berwick Industrial Park Maturity 05/02/2024 Buildings and Real Estate Current Coupon 11.50% 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Dr. Squatch, LLC Maturity 8/31/2027 Industry Personal and Non-Durable Consumer Product Current Coupon 11.18% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Ocean Sound Discovery Equity, LP (Holdco Sands Intermediate, LLC) Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Sales Benchmark Index LLC Maturity 1/3/2025 Industry Business Services Current Coupon 11.59% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% ORL Holdco, Inc. Business Services 2022-10-01 2023-09-30 0001383414 nvestments in Non-Controlled, Affiliated Portfolio Companies—10.9% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HV Watterson Holdings, LLC Maturity 12/17/2026 Business Services 2022-10-01 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2022-10-01 2023-06-30 0001383414 pnnt:BusinessServicesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infinity Home Services Holdco, Inc.- Unfunded Term Loan Maturity 12/28/2023 Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Apex Service Partners, LLC Maturity 07/31/2025 Personal, Food and Miscellaneous Services Current Coupon 10.77% Basis Point Spread Above Index 3M SOFR+525 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PCS MIDCO INC Maturity 03/01/2030 Financial Services Current Coupon 11.10% Basis Point Spread Above Index 1M SOFR+575 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityMethodInvestmentsMember us-gaap:MeasurementInputEbitdaMultipleMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2023-09-30 0001383414 Related Party PSLF Total Investments and Cash Equivalents - 841.3% 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Municipal Emergency Services, Inc. Maturity 10/01/2027 Industry Distribution Current Coupon 10.49% Basis Point Spread Above Index SOFR+515 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infinity Home Services Holdco, Inc.(Revolver) Maturity 12/28/2028 Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 srt:MaximumMember pnnt:TruistCreditFacilityMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—145.6% First Lien Secured Debt—93.2% Blackhawk Industrial Distribution, Inc. Maturity 09/17/2026 Distribution Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+640 One 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Icon Partners V C, L.P. Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% GMP Hills, LP - Common Equity Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% AMCSI Crash Co-Invest, LP Auto Sector One 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Megawatt Acquisition Partners, LLC - Preferred A Electronics 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sargent & Greenleaf Inc. (Revolver) Maturity 12/20/2024 Electronics Current Coupon 12.92% Basis Point Spread Above Index 1M SOFR+650 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Alpine Acquisition Corp II Maturity 11/30/2026 Industry Containers, Packaging and Glass Current Coupon 11.26% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% QuantiTech InvestCo LP Aerospace and Defense One 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SBI Holdings Investments LLC (Sales Benchmark Index LLC) Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TPC Holding Company, LP Food 2023-10-01 2024-06-30 0001383414 pnnt:TruistCreditFacilityMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% HPA SPQ Aggregator LP- Common Equity Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Loving Tan Intermediate II, Inc. (Revolver) Maturity 05/31/2028 Consumer Products 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:DebtInvestmentsMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Tyto Athene, LLC Maturity 04/03/2028 Industry Aerospace and Defense Current Coupon 10.95% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Hancock Roofing and Construction L.L.C. Maturity 12/31/26 Industry Insurance Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Wildcat Buyerco, Inc. (Revolver) Maturity 02/27/2026 Electronics 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Kinetic Purchaser, LLC Consumer Products 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Graffiti Buyer, Inc. Maturity 08/10/2027 Industry Distribution Current Coupon 10.93% Basis Point Spread Above Index SOFR+560 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ITI Holdings, Inc. (Revolver) Maturity 03/03/2028 Business Services Current Coupon 10.70% Basis Point Spread Above Index 1M SOFR+560 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge Lash Coinvest LLC Consumer Products 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% CF512, Inc. Maturity 08/20/2026 Media Current Coupon 11.59% Basis Point Spread Above Index 3M SOFR+600 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Skopima Consilio Parent, LLC Maturity 5/17/2028 Industry Business Services Current Coupon 9.93% Basis Point Spread Above Index SOFR+450 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Spendmend Holdings LLC - Funded Revolver Maturity 03/01/2028 Business Services Current Coupon 11.20% Basis Point Spread Above Index 1M SOFR+565 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% NBH Group LLC (Revolver) Maturity 08/19/2026 Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TCG 3.0 Jogger Acquisitionco, Inc. Unfunded Revolver Maturity 1/26/2029 Media 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% K2 Pure Solutions NoCal, L.P. Maturity 12/20/2023 Chemicals, Plastics and Rubber Current Coupon 13.42% Basis Point Spread Above Index 1M SOFR+810 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SecondLienMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Aegis Technologies Group, LLC Maturity 10/31/2025 Aerospace and Defense Current Coupon 11.66% Basis Point Spread Above Index 3M SOFR+665 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Municipal Emergency Services, Inc. Maturity 10/01/27 Industry Distribution Current Coupon 11.04% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Tower Arch Infolinks Media, LP Media 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. (Revolver) Maturity 09/28/2027 Distribution 2022-10-01 2023-09-30 0001383414 Cash and Cash Equivalents—7.7% BlackRock Federal FD Institutional 30 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% TAC LifePort Holdings, LLC Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Seaway Buyer, LLC Maturity 6/13/2029 Industry Chemicals, Plastics and Rubber Current Coupon 11.48% Basis Point Spread Above Index SOFR+615 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, ITI Holdings, Inc. - Revolver One, Maturity 03/03/2028, Industry Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HW Holdco, LLC, Maturity 05/10/2026, Industry Media, Current Coupon 11.68%, Basis Point Spread Above Index 3M SOFR+640 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Aeronix, Inc. - Revolver Maturity 12/12/2028 Aerospace and Defense 2024-06-30 0001383414 ontrolled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Burgess Point Purchaser Corporation Maturity 07/28/2030 Auto Sector Current Coupon 14.42% Basis Point Spread Above Index 3M SOFR+915 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkCloViiMember srt:SubsidiariesMember 2023-07-26 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember srt:MaximumMember pnnt:SubordinatedDebtOrCorporateNotesMember 2024-06-30 0001383414 pnnt:PennantParkCloViiMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Vertex Companies, LLC Maturity 08/30/2027 Business Services Current Coupon 11.93% Basis Point Spread Above Index 1M SOFR+635 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Dr. Squatch, LLC Funded Revolver Maturity 08/31/2027 Personal and Miscellaneous Services Current Coupon 11.19% Basis Point Spread Above Index 3M SOFR+585 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% IHS Parent Holdings, L.P. Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sigma Defense Systems, LLC (Revolver) Maturity 12/18/2025 Telecommunications Current Coupon 14.04% Basis Point Spread Above Index 3M SOFR+865 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Delta InvestCo LP (Sigma Defense Systems, LLC) Telecommunications One 2023-09-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% HEC Purchaser Corp. Maturity 06/17/2029 Healthcare, Education and Childcare Current Coupon 10.84% Basis Point Spread Above Index 3M SOFR+550 2024-06-30 0001383414 Related Party PSLF Members Equity - 100% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beacon Behavioral Support Service, LLC Maturity 06/21/2029 Healthcare, Education and Childcare Current Coupon 10.85% Basis Point Spread Above Index 3M SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Atlas Investment Aggregator, LLC Telecommunications 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC Midco, LLC - Unfunded Revolver Maturity 06/26/2029 Diversified Conglomerate Service 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Five Star Buyer, Inc. - Unfunded Term Loan Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Bluebird Group LLC Maturity 07/27/2026 Business Services Current Coupon 12.79% Basis Point Spread Above Index 3M SOFR+740 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% HPA SPQ Aggregator LP- Common Equity Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Applied Technical Services, LLC Maturity 12/29/2026 Industry Environmental Services Current Coupon 11.51% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Neptune Flood Incorporated Maturity 05/09/29 Industry Financial Services Current Coupon 11.97% Basis Point Spread Above Index SOFR+660 2022-10-01 2023-09-30 0001383414 Controlled Affiliated Investments 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge Schlesinger Coinvest, LLC Business Services 2022-10-01 2023-09-30 0001383414 pnnt:TwoThousandAndTwentySixNotesTwoMember 2023-09-30 0001383414 Cash and Cash Equivalents—7.7% Non-Money Market Cash 2023-09-30 0001383414 Cash and Cash Equivalents—7.7% of Net Assets 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Mars Acquisition Holdings Corp. Maturity 05/14/26 Industry Media Current Coupon 11.04% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Altamira Intermediate Company II, Inc. Aerospace and Defense 2023-09-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:SubordinatedDebtOrCorporateNotesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infinity Home Services Holdco, Inc. Maturity 12/28/2028 Personal, Food and Miscellaneous Services Current Coupon 12.24% Basis Point Spread Above Index 3M SOFR+685 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. Maturity 09/28/2027 Distribution Current Coupon 11.05% Basis Point Spread Above Index 3M SOFR+565 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% AG Investco LP Business Services One 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ad.net Acquisition, LLC (Revolver) Maturity 05/07/2026 Media Current Coupon 11.65% Basis Point Spread Above Index 3M SOFR+626 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% First Lien Secured Debt—20.8% MidOcean JF Holdings Corp. Maturity 07/31/2026 Distribution Current Coupon 11.38% Basis Point Spread Above Index 3M SOFR+605 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% NORA Parent Holdings, LLC Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Gauge Schlesinger Coinvest, LLC - Class A-2 Preferred Equity Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Gauge Loving Tan, LP - Common Equity Consumer Products 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% ORL Holdco, Inc Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pacific Purchaser, LLC - Unfunded Term Loan Maturity 09/30/2028 Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Schlesinger Global, Inc. - Revolver Maturity 07/14/2025 Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Ledge Lounger, Inc., Maturity 11/09/2026, Industry Consumer Products, Current Coupon 11.98%, Basis Point Spread Above Index 3M SOFR+665 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Imagine Acquisitionco, LLC Maturity 11/15/27 Industry Business Services Current Coupon 10.72% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% First Lien Secured Debt—2.1% Walker Edison Furniture Company LLC - Junior Revolver Maturity 03/31/2027 Home and Office Furnishings Current Coupon 11.68% Basis Point Spread Above Index SOFR+685 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityMethodInvestmentsMember srt:MinimumMember us-gaap:MeasurementInputEbitdaMultipleMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% A1 Garage Merger Sub, LLC Maturity 12/22/2028 Personal, Food and Miscellaneous Services Current Coupon 11.44% Basis Point Spread Above Index 3M SOFR+610 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rancho Health MSO, Inc. - Unfunded Term Loan Maturity 12/18/2025 Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name NORA Acquisition, LLC Maturity 08/31/2029 Industry Healthcare, Education and Childcare, Current Coupon 11.68% Basis Point Spread Above Index SOFR+635 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Electro Rent Corporation Maturity 01/17/24 Industry Electronics Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:WeightedAverageMember pnnt:MeasurementInputMarketYieldMember pnnt:FirstLienMember pnnt:ValuationTechniqueMarketComparableMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% ITC Infusion Co-invest, LP Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember us-gaap:FairValueMeasuredAtNetAssetValuePerShareMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Wildcat Buyerco, Inc. Maturity 02/27/2027 Industry Electronics Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Delta InvestCo LP One (Sigma Defense Systems, LLC), Industry Telecommunications 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% AFC Dell Holding Corp. Maturity 04/09/2027 Distribution Current Coupon 11.75% Basis Point Spread Above Index 3M SOFR+640 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Gauge Lash Coinvest LLC Consumer Products 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Watchtower Intermediate, LLC Maturity 12/01/2029 Electronics Current Coupon 11.33% Basis Point Spread Above Index 3M SOFR +600 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Tyto Athene, LLC (Revolver) Maturity 04/01/2026 Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Loving Tan Intermediate II, Inc. - Revolver One, Maturity 05/31/2028, Industry Consumer Products 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% FedHC InvestCo LP One Aerospace and Defense One 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Reception Purchaser, LLC Maturity 02/28/2028 Transportation Current Coupon 11.48% Basis Point Spread Above Index 3M SOFR+615 2023-10-01 2024-06-30 0001383414 pnnt:DiversifiedConglomerateServiceMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Altamira Intermediate Company II, Inc., Industry Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% AFC Dell Holding Corp. Maturity 04/09/2027 Distribution Current Coupon 11.75% Basis Point Spread Above Index 3M SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% ACP Big Top Holdings, L.P. - Common Equity Manufacturing/Basic Industry 2023-10-01 2024-06-30 0001383414 pnnt:TwoThousandTwentySixNotesPayableMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% KL Stockton Co-Invest LP (Any Hour Services) Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Signature CR Intermediate Holdco, Inc. Chemicals, Plastics and Rubber 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name ETE Intermediate II, LLC Maturity 05/29/29 Industry Personal, Food and Miscellaneous Services Current Coupon 11.89% Basis Point Spread Above Index SOFR+650 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Imagine Topco, LP Business Services Current Coupon 8.00% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% KL Stockton Co-Invest LP (Any Hour Services) Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% QuantiTech LLC Maturity 02/04/2027 Aerospace and Defense Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR+635 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name LAV Gear Holdings, Inc. Maturity 10/31/2025 Industry Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 11.72% Basis Point Spread Above Index SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Quad (U.S.) Co-Invest, L.P. Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—145.6% First Lien Secured Debt—93.2% Ledge Lounger, Inc. (Revolver) Maturity 11/09/2026 Consumer Products 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Urology Partners Co., L.P. Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Team Services Group, LLC Maturity 12/18/2028 Healthcare, Education and Childcare Current Coupon 14.58% Basis Point Spread Above Index 3M SOFR+943 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Quad (U.S.) Co-Invest, L.P. Business Services 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Common Equity—12.8% PennantPark Senior Loan Fund, LLC Financial Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Reception Purchaser, LLC Maturity 02/28/2028 Transportation Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+615 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Anteriad Holdings, LP (f/k/a Merit Direct Holdings, LP) Media 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name SpendMend Holdings. LLC Maturity 3/1/2028 Industry Business Services Current Coupon 11.04% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Zips Car Wash, LLC Maturity 12/31/2024 Industry Business Services Current Coupon 12.69% Basis Point Spread Above Index SOFR+725 2024-06-30 0001383414 pnnt:TruistCreditFacilityMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Cartessa Aesthetics, LLC Maturity 6/14/2028 Industry Distribution Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Ad.net Holdings, Inc. Media 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Arcfield Acquisition Corp. (Revolver) Maturity 08/04/2028 Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Teneo Holdings LLC Maturity 7/18/2025 Industry Financial Services Current Coupon 10.67% Basis Point Spread Above Index SOFR+525 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ox Two, LLC (Revolver) Maturity 05/18/2026 Building Materials 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Apex Service Partners, LLC Term Loan B Maturity 07/31/2025 Industry Personal, Food and Miscellaneous Services Current Coupon 11.11% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% ACP Big Top Holdings, L.P. - Common Equity Manufacturing/Basic Industry 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% First Lien Secured Debt—2.1% Walker Edison Furniture Company LLC Maturity 03/31/2027 Home and Office Furnishings Current Coupon 12.18% Basis Point Spread Above Index SOFR+685 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Lorient Peregrine Investment, LP Business Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Riverside Assessments, LLC Maturity 3/10/2025 Industry Education Current Coupon 11.29% Basis Point Spread Above Index SOFR+625 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Medina Health, LLC - Revolver, Maturity 10/20/2028, Industry Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Gauge ETE Blocker, LLC - Promissory Note Maturity 05/19/2029 Personal, Food and Miscellaneous Services Current Coupon 12.56% 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ORL Acquisition, Inc. - Revolver Maturity 09/03/2027 Business Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Pacific Purchaser, LLC Maturity 10/2/2028 Industry Business Services Current Coupon 11.26% Basis Point Spread Above Index SOFR+600 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% TWD Parent Holdings, LLC (The Vertex Companies, LLC) Business Services 2023-10-01 2024-06-30 0001383414 pnnt:SBADebenturesMember pnnt:SBICIIMember 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:TwoThousandAndTwentySixNotesTwoMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% RTIC Parent Holdings, LLC - Class C Preferred Equity Consumer Products 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name IG Investments Holdings, LLC Maturity 09/22/28 Industry Business Services Current Coupon 11.45% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% DRS Holdings III, Inc. (Revolver) Maturity 11/03/2025 Consumer Products 2023-09-30 0001383414 pnnt:InvestmentsCostMember pnnt:EquityInPSLFMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% BioDerm, Inc. (Revolver) Maturity 01/31/2028 Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Five Star Parent Holdings, LLC Leisure, Amusement, Motion Pictures, Entertainment 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% FedHC InvestCo LP Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HW Holdco, LLC Maturity 12/10/2024 Media Current Coupon 11.28% Basis Point Spread Above Index 3M L+640 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name The Vertex Companies, LLC Maturity 08/31/2027 Industry Business Services Current Coupon 11.48% Basis Point Spread Above Index SOFR+610 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Meadowlark Acquirer, LLC Term Loan II Maturity 12/10/2027 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HW Holdco, LLC, Maturity 05/10/2026, Industry Media 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name ACP Falcon Buyer, Inc. Maturity 08/01/2029 Industry Business Services Current Coupon 10.80% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Eval Home Health Solutions Intermediate, LLC Maturity 05/10/2030 Healthcare, Education and Childcare Current Coupon 11.09% Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% First Lien Secured Debt—20.8% MidOcean JF Holdings Corp. Maturity 07/31/2026 Distribution Current Coupon 11.38% Basis Point Spread Above Index 3M SOFR+605 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name MAG DS Corp. Maturity 04/01/27 Industry Aerospace and Defense Current Coupon 10.99% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name IG Investments Holdings, LLC Maturity 9/22/2028 Industry Business Services Current Coupon 11.43% Basis Point Spread Above Index SOFR+600 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rural Sourcing Holdings, Inc. - Unfunded Term Loan Maturity 06/15/2029 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% TPC Holding Company, LP Food 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember us-gaap:FairValueInputsLevel2Member 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name MAG DS Corp. Maturity 4/1/2027 Industry Aerospace and Defense Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Graffiti Buyer, Inc. Maturity 08/10/27 Industry Distribution Current Coupon 10.99% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% NORA Acquisition, LLC (Revolver) Maturity 08/31/2029 Healthcare, Education and Childcare 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Magenta Buyer, LLC Maturity 7/31/2028 Industry Software Current Coupon 10.59% Basis Point Spread Above Index SOFR+526 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Vertex Companies, LLC (Revolver) Maturity 08/30/2027 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% New Medina Health, LLC Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Anteriad, LLC (f/k/a MeritDirect, LLC) (Revolver) Maturity 05/23/2024 Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% QuantiTech InvestCo LP Aerospace and Defense One 2024-06-30 0001383414 us-gaap:RevolvingCreditFacilityMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% OHCP V BC COI, L.P. Distribution 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Wildcat Buyerco, Inc. Maturity 02/27/2027 Industry Electronics Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember srt:MinimumMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SubordinatedDebtOrCorporateNotesMember 2023-09-30 0001383414 Investments—256.5% of Net Assets 2024-06-30 0001383414 Related Party PSLF Cash and Cash Equivalents - 38.8% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TWS Acquisition Corporation - Revolver Maturity 06/16/2025 Education 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% BioDerm, Inc. (Revolver) Maturity 01/31/2028 Healthcare, Education and Childcare Current Coupon 11.81% Basis Point Spread Above Index 1M SOFR+650 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% Walker Edison Furniture Company LLC Maturity 03/01/2029 Home and Office Furnishings 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. - Revolver Maturity 09/17/2026 Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rancho Health MSO, Inc. - Unfunded Term Loan Maturity 12/18/2025 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% WCP Ivyrehab QP CF Feeder, LP Healthcare, Education and Childcare 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember srt:MaximumMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Radius Aerospace, Inc. Maturity 03/31/25 Industry Aerospace and Defense Current Coupon 11.29% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Reception Purchaser, LLC Maturity 4/28/2028 Industry Transportation Current Coupon 11.48% Basis Point Spread Above Index SOFR+615 2023-10-01 2024-06-30 0001383414 pnnt:ClassCMember pnnt:PennantParkCloViiMember us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% First Lien Secured Debt—2.1% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Dr. Squatch, LLC Maturity 08/31/2027 Personal and Non-Durable Consumer Products Current Coupon 11.23% Basis Point Spread Above Index 3M SOFR+585 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% S101 Holdings, Inc. – Unfunded Term Loan 2 Maturity 12/15/2024 Electronics 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Five Star Buyer, Inc. Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 12.50 Basis Point Spread Above Index 3M SOFR+710 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% A1 Garage Equity, LLC Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Related Party PSLF Cash and Cash Equivalents - 38.8% Issuer Name BlackRock Federal FD Institutional 30 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityFundsMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% AG Investco LP Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF Total Investments 803.6% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Wildcat Buyerco, Inc. Maturity 02/27/2026 Electronics Current Coupon 10.57% Basis Point Spread Above Index 3M SOFR+515 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Five Star Buyer, Inc. Maturity 02/23/2028 Industry Hotels, Motels, Inns and Gaming Current Coupon 12.47% Basis Point Spread Above Index SOFR+700 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentAdministratorMember 2022-10-01 2023-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name The Bluebird Group LLC Maturity 07/27/2026 Industry Business Services Current Coupon 11.98% Basis Point Spread Above Index SOFR+665 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PCS MIDCO INC - Funded Revolver Maturity 03/01/2030 Financial Services Current Coupon 11.10% Basis Point Spread Above Index 1M SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% RFMG Parent, LP (Rancho Health MSO, Inc.) Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OHCP V BC COI, L.P. One Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% FedHC InvestCo LP Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Kinetic Purchaser, LLC Consumer Products 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Applied Technical Services, LLC Maturity 12/29/2026 Industry Environmental Services Current Coupon 11.51% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:WeightedAverageMember pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SubordinatedDebtOrCorporateNotesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Exigo, LLC, Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Mars Intermediate Holdings II, Inc. Media 2024-06-30 0001383414 pnnt:PennantParkTSOSeniorLoanFundIILPMember 2022-01-01 2022-01-31 0001383414 pnnt:TruistCreditFacilityMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Meadowlark Acquirer, LLC Maturity 12/10/2027 Industry Business Services Current Coupon 11.23% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name ACP Falcon Buyer, Inc. Maturity 08/01/2029 Industry Business Services Current Coupon 10.80% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Transgo, LLC Maturity 12/29/2028 Industry Auto Sector Current Coupon 11.34% Basis Point Spread Above Index SOFR+600 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lash OpCo, LLC (Revolver) Maturity 08/16/2026 Consumer Products 2022-10-01 2023-09-30 0001383414 pnnt:InvestmentsCostMember pnnt:SecondLienMember 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Common Equity—12.8% 2023-09-30 0001383414 us-gaap:FairValueInputsLevel2Member pnnt:TruistCreditFacilityMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Vertex Companies, LLC Maturity 08/30/2027 Business Services Current Coupon 11.69% Basis Point Spread Above Index 1M SOFR +635 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Anteriad, LLC (f/k/a MeritDirect, LLC) - Funded Revolver Maturity 06/30/2026 Media Current Coupon 11.18% Basis Point Spread Above Index 3M SOFR+580 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Spendmend Holdings LLC - Revolver Maturity 03/01/2028 Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% UniVista Insurance Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Integrity Marketing Acquisition, LLC Maturity 08/27/26 Industry Insurance Current Coupon 11.50% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Radius Aerospace, Inc. - Revolver Maturity 03/31/2025 Aerospace and Defense 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember us-gaap:EquityMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lightspeed Buyer Inc. Maturity 02/03/2026 Healthcare, Education and Childcare Current Coupon 10.67% Basis Point Spread Above Index 1M SOFR+535 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Eval Home Health Solutions Intermediate, LLC Maturity 05/10/2030 Healthcare, Education and Childcare Current Coupon 11.09% Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 pnnt:PennantParkTSOSeniorLoanFundIILPMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Gauge ETE Blocker, LLC - Common Equity Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Seaway Buyer, LLC Maturity 06/13/2029 Chemicals, Plastics and Rubber Current Coupon 11.48% Basis Point Spread Above Index 3M SOFR+615 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Simplicity Financial Marketing Group Holdings Inc. Maturity 12/02/2026 Financial Services Current Coupon 11.67% Basis Point Spread Above Index 3M SOFR+625 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Hancock Roofing and Construction L.L.C. Maturity 12/31/2026 Insurance Current Coupon 10.94% Basis Point Spread Above Index 1M SOFR+560 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% SP L2 Holdings, LLC Consumer Products 2022-10-01 2023-09-30 0001383414 pnnt:DebtInvestmentsMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% KL Stockton Co-Invest LP (Any Hour Services) Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AMCSI Crash Co-Invest, LP One, Industry Auto Sector 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name EDS Buyer, LLC Maturity 01/10/29 Industry Aerospace and Defense Current Coupon 11.64% Basis Point Spread Above Index SOFR+625 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Tower Arch Infolinks Media, LP Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pragmatic Institute, LLC Maturity 07/06/2028 Business Services Current Coupon 11.17% Basis Point Spread Above Index 3M SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Lorient Peregrine Investment, LP Business Services 2024-06-30 0001383414 Investments and Cash Equivalents—227.1% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Safe Haven Defense MidCo, LLC Safe Haven Defense MidCo, LLC Building Materials 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Schlesinger Global, Inc. (Revolver) Maturity 07/14/2025 Business Services 2022-10-01 2023-09-30 0001383414 pnnt:InvestmentsCostMember us-gaap:EquityMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Apex Service Partners, LLC Term Loan C Maturity 07/31/2025 Personal, Food and Miscellaneous Services Current Coupon 10.79% Basis Point Spread Above Index 3M SOFR+525 2023-09-30 0001383414 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Confluent Health, LLC Maturity 11/30/2028 Healthcare, Education and Childcare Current Coupon 12.82% Basis Point Spread Above Index 3M SOFR+750 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rancho Health MSO, Inc. Maturity 12/18/2025 Healthcare, Education and Childcare Current Coupon 11.22% Basis Point Spread Above Index 3M SOFR+575 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name MAG DS Corp. Maturity 4/1/2027 Industry Aerospace and Defense Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% LEP Pequod Holdings, LP Financial Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Kinetic Purchaser, LLC Consumer Products 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Cartessa Aesthetics, LLC - Revolver Maturity 06/14/2028 Distribution Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Athletico Holdings, LLC Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name NBH Group LLC Maturity 08/19/26 Industry Healthcare, Education and Childcare Current Coupon 10.93% Basis Point Spread Above Index SOFR+525 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mars Acquisition Holdings Corp. - Revolver, Maturity 05/14/2026, Industry Media, Current Coupon 10.98%, Basis Point Spread Above Index 3M SOFR+565 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Apex Service Partners, LLC - Term Loan C Maturity 07/31/2025 Industry Personal, Food and Miscellaneous Services Current Coupon 10.76% Basis Point Spread Above Index SOFR+525 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OHCP V BC COI, L.P. Distribution 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name SpendMend Holdings, LLC Maturity 03/01/2028 Industry Business Services Current Coupon 10.98% Basis Point Spread Above Index SOFR+565 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% FedHC InvestCo LP One Aerospace and Defense One 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% NBH Group LLC (Revolver) Maturity 08/19/2026 Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Safe Haven Defense US LLC - Term Loan Maturity 05/23/2029 Building Materials Current Coupon 10.58% Basis Point Spread Above Index 3M SOFR+525 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rancho Health MSO, Inc. - Revolver Maturity 12/18/2025 Healthcare, Education and Childcare Current Coupon 10.90% Basis Point Spread Above Index 3M SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Imagine Acquisitionco, LLC - Revolver, Maturity 11/15/2027, Industry Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Quantic Electronics, LLC Maturity 11/19/2026 Aerospace and Defense Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR+635 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Arcfield Acquisition Corp. (Revolver) Maturity 08/04/2028 Aerospace and Defense 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% A1 Garage Equity, LLC Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% QuantiTech InvestCo LP Aerospace and Defense 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Schlesinger Global, Inc. Maturity 07/14/2025 Business Services Current Coupon 13.69% (PIK 5.6%) Basis Point Spread Above Index 3M SOFR+835 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name LJ Avalon Holdings, LLC Maturity 01/31/30 Industry Environmental Services Current Coupon 11.77% Basis Point Spread Above Index SOFR+665 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Confluent Health, LLC Maturity 11/30/2028 Healthcare, Education and Childcare Current Coupon 12.82% Basis Point Spread Above Index 3M SOFR+750 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Solutionreach, Inc. - Revolver Maturity 07/17/2025 Communications 2024-06-30 0001383414 Non-Qualifying Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Confluent Health, LLC Maturity 11/30/2028 Healthcare, Education and Childcare Current Coupon 12.84% Basis Point Spread Above Index 3M SOFR+750 2023-10-01 2024-06-30 0001383414 pnnt:NonControlledNonAffiliatedInvestmentsMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Mars Intermediate Holdings II, Inc Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Reception Purchaser, LLC Maturity 02/28/2028 Transportation Current Coupon 11.48% Basis Point Spread Above Index 3M SOFR+615 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TAC LifePort Holdings, LLC Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rancho Health MSO, Inc. - Revolver Maturity 12/18/2025 Healthcare, Education and Childcare Current Coupon 10.90% Basis Point Spread Above Index 3M SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% ORL Holdco, Inc Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Anteriad, LLC (f/k/a MeritDirect, LLC) Maturity 06/30/2026 Media Current Coupon 11.23% Basis Point Spread Above Index 3M SOFR+590 2023-10-01 2024-06-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember srt:MaximumMember 2023-04-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Smartronix, LLC - Unfunded Revolver Maturity 11/23/2027 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, NP Riverhead Industrial, LLC Maturity 05/24/2025 Buildings and Real Estate Current Coupon 14.50% 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Reception Purchaser, LLC Maturity 4/28/2028 Industry Transportation Current Coupon 11.48% Basis Point Spread Above Index SOFR+615 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Burgess Point Holdings, LP Auto Sector 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesTwoMember 2021-10-31 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Urology Partners Co., L.P. Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% FedHC InvestCo LP Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Gauge ETE Blocker, LLC - Common Equity Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Common Equity/Partnership Interests/Warrants—2.4% JF Intermediate, LLC Distribution 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Anteriad Holdings, LP (f/k/a Merit Direct Holdings, LP) Media 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Infolinks Media Buyco, LLC Maturity 11/01/26 Industry Media Current Coupon 10.83% Basis Point Spread Above Index SOFR+605 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—145.6% First Lien Secured Debt—93.2% LAV Gear Holdings, Inc. Maturity 10/31/2024 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 11.79% (PIK 5.50%) Basis Point Spread Above Index 1M SOFR+640 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% GMP Hills, LP - Common Equity Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Common Equity/Partnership Interests/Warrants—0.0% Cascade Environmental Holdings, LLC Environmental Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carisk Buyer, Inc. - Revolver Maturity 12/01/2029 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 pnnt:SBADebenturesMember 2023-10-01 2024-06-30 0001383414 pnnt:SBADebenturesMember pnnt:GroupOfSBICMember 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:FirstLienMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Anteriad, LLC (f/k/a MeritDirect, LLC) Maturity 06/30/2026 Media Current Coupon 11.23% Basis Point Spread Above Index 3M SOFR+590 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% BioDerm, Inc. - Revolver Maturity 01/31/2028 Healthcare, Education and Childcare Current Coupon 11.82% Basis Point Spread Above Index 3M SOFR+650 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Crane 1 Services, Inc. (Revolver) Maturity 08/16/2027 Personal, Food and Miscellaneous Services Current Coupon 10.90% Basis Point Spread Above Index 3M SOFR+551 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Best Practice Associates LLC Maturity 06/29/2027 Aerospace and Defense Current Coupon 14.48% Basis Point Spread Above Index 3M SOFR+915 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Graffiti Buyer, Inc. Maturity 08/10/2027 Industry Distribution Current Coupon 10.93% Basis Point Spread Above Index 3M SOFR+560 2024-06-30 0001383414 pnnt:InvestmentsCostMember pnnt:SubordinatedNotesInPSLFMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name DRS Holdings III, Inc. Maturity 11/03/25 Industry Consumer Products Current Coupon 11.77% Basis Point Spread Above Index SOFR+640 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Applied Technical Services, LLC - Unfunded Term Loan 3 Maturity 12/29/2026 Industry Environmental Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Safe Haven Defense US LLC - Term Loan Maturity 05/23/2029 Building Materials Current Coupon 10.58% Basis Point Spread Above Index 3M SOFR+525 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pequod Merger Sub, Inc. - Unfunded Term Loan Maturity 12/02/2026 Financial Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Simplicity Financial Marketing Group Holdings Inc. - Unfunded Revolver Maturity 12/02/2026 Financial Services 2023-10-01 2024-06-30 0001383414 pnnt:AKWHoldingsLimitedMember us-gaap:InvestmentAffiliatedIssuerControlledMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Magnolia Topco LP - Class B Auto Sector 2024-06-30 0001383414 us-gaap:FinancingReceivables30To59DaysPastDueMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HV Watterson Holdings, LLC - Revolver, Maturit 12/17/2026, Industry Business Services, Current Coupon 11.73%, Basis Point Spread Above Index 1M SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Cartessa Aesthetics, LLC - (Revolver) Maturity 06/14/2028 Distribution One 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% AH Newco Equity holdings, LLC Healthcare, Education and Childcare Current Coupon 6.00% 2023-09-30 0001383414 pnnt:EquityInterestsInPSLFMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Meadowlark Acquirer, LLC Maturity 12/10/27 Industry Business Services Current Coupon 10.58% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LJ Avalon Holdings, LLC - Revolver, Maturity 01/31/2030, Industry Environmental Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Kinetic Purchaser, LLC Consumer Products 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Research Now Group, LLC and Dynata, LLC Maturity 12/20/2024 Industry Business Services Current Coupon 0.00% Basis Point Spread Above Index SOFR+576 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:WeightedAverageMember pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SecondLienMember 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:TruistCreditFacilityMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Ironclad Holdco, LLC (Applied Technical Services, LLC) Other Media 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infolinks Media Buyco, LLC Maturity 11/01/2023 Media 2023-09-30 0001383414 pnnt:TruistCreditFacilityMember 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name A1 Garage Merger Sub, LLC Maturity 12/22/2028 Industry Personal, Food and Miscellaneous Services Current Coupon 11.84% Basis Point Spread Above Index SOFR+650 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Watchtower Intermediate, LLC. - Revolver Maturity 12/01/2029 Electronics 2024-06-30 0001383414 pnnt:DebtInvestmentsMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ad.net Acquisition, LLC (Revolver) Maturity 05/07/2026 Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Loving Tan Intermediate II, Inc., Maturity 05/31/2028, Industry Consumer Products, Current Coupon 12.34%, Basis Point Spread Above Index 3M SOFR+700 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Broder Bros., Co. Maturity 12/04/2025 Consumer Products Current Coupon 11.60% Basis Point Spread Above Index 3M SOFR+626 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% Beacon Behavioral Holdings LLC Maturity 06/21/2030 Healthcare, Education and Childcare Current Coupon 15.00% 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mars Acquisition Holdings Corp. - Revolver One, Maturity 05/14/2026, Industry Media 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% NXOF Holdings, Inc. (Tyto Athene, LLC) Aerospace and Defense 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember srt:MaximumMember pnnt:SubordinatedDebtOrCorporateNotesMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Lightspeed Buyer Inc. Maturity 02/03/26 Industry Healthcare, Education and Childcare Current Coupon 10.67% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Omnia Exterior Solutions, LLC Maturity 12/29/2029 Diversified Conglomerate Service Current Coupon 10.83% Basis Point Spread Above Index 3M SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Recteq, LLC (Revolver) Maturity 01/29/2026 Consumer Products 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Compex Legal Services, Inc. (Revolver) Maturity 02/07/2025 Business Services Current Coupon 10.94% Basis Point Spread Above Index 3M SOFR+555 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Solutionreach, Inc. (Revolver) Maturity 07/17/2025 Communications 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Eval Home Health Solutions Intermediate, LLC (Revolver) Maturity 05/10/2030 Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% TPC Holding Company, LP Food 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Anteriad, LLC (f/k/a MeritDirect, LLC) Maturity 05/23/2024 Industry Media Current Coupon 12.04% Basis Point Spread Above Index SOFR+650 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name PCS Midco, Inc. Maturity 03/01/30 Industry Financial Services Current Coupon 11.10% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lash OpCo, LLC, Maturity 02/18/2027, Industry Consumer Products, Current Coupon 13.18%, (PIK 5.1%) Basis Point Spread Above Index 1M SOFR+785 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Vertex Companies, LLC - Revolver Maturity 08/30/2027 Business Services Current Coupon 11.44% Basis Point Spread Above Index 3M SOFR +610 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name BlueHalo Financing Holdings, LLC Maturity 10/31/2025 Industry Aerospace and Defense Current Coupon 10.09% Basis Point Spread Above Index SOFR+475 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% WCP Ivyrehab QP CF Feeder, LP Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% TAC LifePort Holdings, LLC Aerospace and Defense 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Riverpoint Medical, LLC (Revolver) Maturity 06/20/2025 Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Atlas Investment Aggregator, LLC Telecommunications 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:TruistCreditFacilityMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MBS Holdings, Inc. (Revolver) Maturity 04/16/2027 Telecommunications 2023-09-30 0001383414 pnnt:BuildingsAndRealEstateMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Go Dawgs Capital III, LP (American Insulated Glass, LLC) Building Materials 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. - Unfunded Term Loan A Maturity 06/16/2023 Distribution 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PCS MIDCO INC Maturity 03/01/2030 Financial Services Current Coupon 11.10% Basis Point Spread Above Index 1M SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MDI Buyer, Inc. Maturity 07/25/2028 Chemicals, Plastics and Rubber Current Coupon 11.27% Basis Point Spread Above Index 3M SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pragmatic Institute, LL (Revolver) Maturity 07/06/2028 Business Services Current Coupon 11.17% Basis Point Spread Above Index 3M SOFR+575 2023-09-30 0001383414 pnnt:PersonalAndNonDurableConsumerProductsMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% TWD Parent Holdings, LLC (The Vertex Companies, LLC) Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name One Stop Mailing, LLC Maturity 05/07/27 Industry Transportation Current Coupon 11.68% Basis Point Spread Above Index SOFR+625 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Arcfield Acquisition Corp. Maturity 08/03/2029 Industry Aerospace and Defense Current Coupon 10.78% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 pnnt:ChemicalsPlasticsAndRubberMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pacific Purchaser, LLC - Revolver Maturity 09/30/2028 Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% EDS Buyer, LLC - Unfunded Term Loan Maturity 12/22/2028 Aerospace and Defense 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc. - Revolver One, Maturity/Expiration 12/28/2028, Industry Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Pragmatic Institute, LLC Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Inventus Power, Inc. Maturity 06/30/2025 Industry Consumer Products Current Coupon 12.96% Basis Point Spread Above Index SOFR+761 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% LEP Pequod Holdings, LP - Common Equity Financial Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Pequod Merger Sub, Inc. Maturity 12/02/26 Industry Banking, Finance, Insurance & Real Estate Current Coupon 11.79% Basis Point Spread Above Index SOFR+640 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Recteq, LLC - Revolver Maturity 01/29/2026 Consumer Products 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Crane 1 Services, Inc. Maturity 08/16/2027 Industry Personal, Food and Miscellaneous Services Current Coupon 10.35% Basis Point Spread Above Index SOFR+551 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TWS Acquisition Corporation Maturity 06/16/2025 Education Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR +640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Wildcat Buyerco, Inc. - Unfunded Term Loan Maturity 02/27/2027 Electronics 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Exigo Intermediate II, LLC Maturity 03/15/2027 Business Services Current Coupon 11.17% Basis Point Spread Above Index 3M SOFR+585 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Falcon Buyer, Inc -Revolver Maturity 10/02/2029 Business Services 2024-06-30 0001383414 pnnt:EducationMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Safe Haven Defense US LLC - Revolver Maturity 05/23/2029 Building Materials 2024-06-30 0001383414 pnnt:AutoSectorMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% OHCP V BC COI, L.P. Distribution One 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% ENC Parent Corporation Maturity 08/19/2029 Business Services Current Coupon 13.10% Basis Point Spread Above Index 3M SOFR+776 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% QuantiTech InvestCo LP Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Meadowlark Acquirer, LLC, Maturity 12/10/2027, Industry Business Services, Current Coupon 11.23%, Basis Point Spread Above Index 3M SOFR+590 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% Walker Edison Furniture Company, LLC - Unfunded Term Loan Maturity 03/01/2029 Home and Office Furnishings 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% CF512, Inc. (Revolver) Maturity 08/20/2026 Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Ironclad Holdco, LLC (Applied Technical Services, LLC) Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% North Haven Saints Equity Holdings, LP Business Services 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel1Member 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sigma Defense Systems, LLC (Revolver) Maturity 12/18/2025 Telecommunications Current Coupon 14.04% Basis Point Spread Above Index 3M SOFR+865 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—145.6% First Lien Secured Debt—93.2% Ledge Lounger, Inc. (Revolver) Maturity 11/09/2026 Consumer Products 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% GCOM InvestCo LP Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, NORA Acquisition, LLC - Revolver Maturity 08/31/2029 Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Municipal Emergency Services, Inc Maturity 09/28/2027 Distribution Current Coupon 10.50% Basis Point Spread Above Index 3M SOFR+515 2024-06-30 0001383414 pnnt:InvestmentAdministratorMember 2023-04-01 2023-06-30 0001383414 us-gaap:FairValueInputsLevel3Member 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% WCP Ivyrehab QP CF Feeder, LP Healthcare, Education and Childcare 2023-09-30 0001383414 pnnt:ControlledAffiliatedInvestmentsMember 2022-10-01 2023-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name TPC Canada Parent, Inc. and TPC US Parent, LLC Maturity 11/24/2025 Industry Food Current Coupon 10.68% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% NORA Acquisition, LLC (Revolver) Maturity 08/31/2029 Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name ACP Avenu Buyer, LLC Maturity 10/02/2029 Industry Business Services Current Coupon 10.55% Basis Point Spread Above Index SOFR+525 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Graffiti Buyer, Inc. - Unfunded Term Loan Maturity 08/10/2027 Distribution 2023-10-01 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% First Lien Secured Debt—20.8% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PL Acquisitionco, LLC - Revolver Maturity 11/09/2027 Retail 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MDI Buyer, Inc. - Revolver One, Maturity 07/25/2028, Industry Chemicals, Plastics and Rubber 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Consello Pacific Aggregator, LLC, Industry Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Exigo Intermediate II, LLC Maturity 03/15/2027 Business Services Current Coupon 11.69% Basis Point Spread Above Index 3M SOFR+635 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MOREGroup Holdings, Inc. Maturity 01/16/2030, Industry Business Services, Current Coupon 11.08%, Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Urology Partners Co., L.P. Healthcare, Education and Childcare 2024-06-30 0001383414 pnnt:NonControlledNonAffiliatedInvestmentsMember 2023-04-01 2023-06-30 0001383414 Non-Affiliated Investments 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ITI Holdings, Inc. (Revolver) Maturity 03/03/2028 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TCG 3.0 Jogger Co-Invest, LP - Common Equity Media 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Loving Tan Intermediate II, Inc. Maturity 05/31/2028 Consumer Products Current Coupon 12.39% Basis Point Spread Above Index 3M SOFR+700 2023-09-30 0001383414 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ad.net Acquisition, LLC (Revolver) Maturity 05/07/2026 Media Current Coupon 11.65% Basis Point Spread Above Index 3M SOFR+626 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Go Dawgs Capital III, LP (American Insulated Glass, LLC) Building Materials 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Cartessa Aesthetics, LLC - (Revolver) Maturity 06/14/2028 Distribution Current Coupon 11.39% Basis Point Spread Above Index 3M SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Berwick Industrial Park Maturity 05/02/2024 Buildings and Real Estate Current Coupon 11.50% 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Five Star Buyer, Inc. Maturity 02/23/2028 Industry Hotels, Motels, Inns and Gaming Current Coupon 12.47% Basis Point Spread Above Index SOFR+700 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% SSC Dominion Holdings, LLC Class B (US Dominion, Inc.) Electronics 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Crane 1 Services, Inc. (Revolver) Maturity 08/16/2027 Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Falcon Buyer, Inc - Revolver Maturity 10/02/2029 Business Services One 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Exigo Intermediate II, LLC (Revolver) Maturity 03/15/2027 Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name A1 Garage Merger Sub, LLC Maturity 12/22/2028 Industry Personal, Food and Miscellaneous Services Current Coupon 11.84% Basis Point Spread Above Index SOFR+650 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Reception Purchaser, LLC Maturity 4/28/2028 Industry Transportation Current Coupon 11.54% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% DRS Holdings III, Inc. (Revolver) Maturity 11/03/2025 Consumer Products 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC - Revolver Maturity 12/29/2026 Environmental Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% ITC Rumba, LLC (Cano Health, LLC) Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% AFC Acquisitions, Inc. Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Wildcat Parent, LP (Wildcat Buyerco, Inc.) Electronics 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Arcfield Acquisition Corp. (Revolver) Maturity 08/03/2029 Aerospace and Defense Current Coupon 11.62% Basis Point Spread Above Index 1M SOFR+615 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkCloViiMember 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Preferred Equity/Partnership Interests—6.4% Cascade Environmental Holdings, LLC Environmental Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Holdco Sands Intermediate, LLC Maturity 11/23/28 Industry Aerospace and Defense Current Coupon 11.32% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 us-gaap:FairValueInputsLevel2Member pnnt:USGovernmentSecuritiesMember 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Common Equity/Partnership Interests/Warrants—0.0% Walker Edison Furniture Home and Office Furnishings 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SecondLienMember srt:MaximumMember 2024-06-30 0001383414 pnnt:InsuranceMember 2023-09-30 0001383414 Minimum Qualifying Assets 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name DRI Holding Inc. Maturity 12/21/2028 Industry Media Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Vertex Companies, LLC (Revolver) Maturity 08/30/2027 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Ad.net Holdings, Inc. Media 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name EDS Buyer, LLC Maturity 1/10/2029 Industry Aerospace and Defense Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 pnnt:PennantParkCloViiMember pnnt:ClassCMember us-gaap:SecuredOvernightFinancingRateSofrOvernightIndexSwapRateMember us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Sargent & Greenleaf Inc. Maturity 12/20/2024 Industry Electronics Current Coupon 12.92% Basis Point Spread Above Index SOFR+750 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name MBS Holdings, Inc. Maturity 04/16/27 Industry Telecommunications Current Coupon 11.22% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 pnnt:BuildingsAndRealEstateMember 2024-06-30 0001383414 pnnt:EnvironmentalServicesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Exigo Intermediate II, LLC (Revolver) Maturity 03/15/2027 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Watchtower Holdings, LLC Electronics 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Seaway Buyer, LLC Maturity 06/13/2029 Chemicals, Plastics and Rubber Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+605 2022-10-01 2023-09-30 0001383414 Gauge Loving Tan, LP - Common Equity 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name System Planning and Analysis, Inc. (f/k/a Management Consulting & Research, LLC) Maturity 08/16/2027 Industry Aerospace and Defense Current Coupon 11.16% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Crane 1 Services, Inc. (Revolver) Maturity 08/16/2027 Personal, Food and Miscellaneous Services Current Coupon 10.90% Basis Point Spread Above Index 3M SOFR+551 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Wildcat Buyerco, Inc. - Revolver Maturity 02/27/2027 Electronics 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Meadowlark Title, LLC Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name One Stop Mailing, LLC Maturity 05/07/27 Industry Transportation Current Coupon 11.68% Basis Point Spread Above Index SOFR+625 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HV Watterson Holdings, LLC - (Revolver) Maturity 12/17/2026 Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Recteq, LLC Maturity 1/29/2026 Industry Consumer Products Current Coupon 12.54% Basis Point Spread Above Index SOFR+700 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% OSP Embedded Purchaser, LLC - Revolver Maturity 12/15/2029 Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HV Watterson Holdings, LLC - Revolver, Maturit 12/17/2026, Industry Business Services, Current Coupon 11.73%, Basis Point Spread Above Index 1M SOFR+640 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC - Revolver Maturity 12/29/2026 Environmental Services Current Coupon 13.25% Basis Point Spread Above Index 3M SOFR+475 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beta Plus Technologies, Inc. Maturity 07/01/2029 Business Services Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name STV Group Incorporated Maturity 12/11/2026 Industry Transportation Current Coupon 10.67% Basis Point Spread Above Index SOFR+525 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Preferred Equity/Partnership Interests—5.6% Cascade Environmental Holdings, LLC - Series B Environmental Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Graffiti Buyer, Inc. Maturity 08/10/2023 Distribution Current Coupon 10.98% Basis Point Spread Above Index 3M SOFR+560 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% KL Stockton Co-Invest LP (Any Hour Services) Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Any Hour Services (Revolver) Maturity 07/21/2027 Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Summit Behavioral Healthcare, LLC Maturity 11/24/2028 Industry Healthcare, Education and Childcare Current Coupon 10.43% Basis Point Spread Above Index SOFR+475 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Teneo Holdings LLC Maturity 03/13/2031 Industry Business Services Current Coupon 10.09% Basis Point Spread Above Index SOFR+475 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Any Hour Services (Revolver) Maturity 07/21/2027 Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Bluebird Group LLC Maturity 07/27/2026 Business Services Current Coupon 12.79% Basis Point Spread Above Index 3M SOFR+740 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Compex Legal Services, Inc. - Revolver Maturity 02/07/2025 Business Services Current Coupon 10.88% Basis Point Spread Above Index 3M SOFR+555 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Any Hour Services Maturity 07/21/2027 Industry Personal, Food and Miscellaneous Services Current Coupon 11.22% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Imagine Topco, LP Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% TWS Acquisition Corporation (Revolver) Maturity 06/16/2025 Education 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—145.6% First Lien Secured Debt—93.2% Integrity Marketing Acquisition, LLC(Revolver) Maturity 08/31/2025 Insurance 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% A1 Garage Merger Sub, LLC Maturity 12/22/2028 Personal, Food and Miscellaneous Services Current Coupon 11.99% Basis Point Spread Above Index 3M SOFR+660 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% North Haven Saints Equity Holdings, LP Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Connatix Parent, LLC Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% North Haven Saints Equity Holdings, LP Business Services 2024-06-30 0001383414 pnnt:InvestmentAdministratorMember 2024-04-01 2024-06-30 0001383414 srt:MinimumMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Magnolia Topco LP - Class A Preferred Equity Auto Sector 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Tyto Athene, LLC Maturity 4/3/2028 Industry Aerospace and Defense Current Coupon 10.90% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Applied Technical Services, LLC Maturity 12/29/2026 Environmental Services Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+615 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Any Hour Services Maturity 07/21/2027 Personal, Food and Miscellaneous Services Current Coupon 11.22% Basis Point Spread Above Index 3M SOFR+585 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Preferred Equity/Partnership Interests—5.6% Cascade Environmental Holdings, LLC (Preferred) Environmental Services 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:JfIntermediateLlcMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Burgess Point Purchaser Corporation Maturity 09/26/29 Industry Auto Sector Current Coupon 10.67% Basis Point Spread Above Index SOFR+525 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% A1 Garage Merger Sub, LLC - Revolver Maturity 12/22/2028 Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Medina Health, LLC Maturity 10/20/2028 Industry Healthcare, Education and Childcare Current Coupon 11.58% Basis Point Spread Above Index SOFR+625 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name DRS Holdings III, Inc. Maturity 11/03/25 Industry Consumer Products Current Coupon 11.77% Basis Point Spread Above Index SOFR+640 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% First Lien Secured Debt—2.1% Walker Edison Furniture Company LLC - Junior Revolver Maturity 03/31/2027 Home and Office Furnishings Current Coupon 11.68% Basis Point Spread Above Index SOFR+685 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Applied Technical Services, LLC (Revolver) Maturity 12/29/2026 Environmental Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Simplicity Financial Marketing Group Holdings, Inc Maturity 12/02/2026 Industry Banking, Finance, Insurance & Real Estate Current Coupon 11.71% Basis Point Spread Above Index SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Simplicity Financial Marketing Group Holdings Inc. - Unfunded Term Loan Maturity 02/09/2026 Financial Services 2024-06-30 0001383414 us-gaap:EquityFundsMember us-gaap:FairValueInputsLevel1Member 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, NBH Group LLC - Revolver Maturity 08/19/2026 Healthcare, Education and Childcare 2024-06-30 0001383414 Affiliated Investments 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Imagine Topco, LP Business Services 2024-06-30 0001383414 Liabilities in Excess of Other Assets—(127.1%) 2023-09-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Graffiti Buyer, Inc. - Revolver Maturity 08/10/2027 Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infinity Home Services Holdco, Inc.(Revolver) Maturity 12/28/2028 Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% QuantiTech InvestCo LP Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc. - Revolver, Maturity/Expiration 12/28/2028, Industry Personal, Food and Miscellaneous Services, Current Coupon 14.25%, Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember pnnt:SeniorSecuredRevolvingCreditFacilityMember srt:SubsidiariesMember 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Preferred Equity/Partnership Interests—5.6% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) Media 2023-09-30 0001383414 Related Party PSLF Liabilities in Excess of Other Assets — (741.3)% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Halo Buyer, Inc. Maturity 07/06/2026 Consumer Products Current Coupon 13.69% Basis Point Spread Above Index 1M SOFR+835 2024-06-30 0001383414 pnnt:RAMEnergyLLCMember us-gaap:InvestmentAffiliatedIssuerControlledMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% NXOF Holdings, Inc. (Tyto Athene, LLC) Aerospace and Defense 2023-09-30 0001383414 pnnt:DistributionMember 2024-06-30 0001383414 srt:MinimumMember us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Ledge Lounger, Inc. - Revolver, Maturity 11/09/2026, Industry Consumer Products, Current Coupon 11.98%, Basis Point Spread Above Index 3M SOFR+665 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Cartessa Aesthetics, LLC Distribution 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member 2022-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Five Star Buyer, Inc. - Revolver Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beta Plus Technologies, Inc. Maturity 07/01/2029 Business Services Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Integrity Marketing Acquisition, LLC Maturity 08/27/26 Industry Insurance Current Coupon 11.50% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Kinetic Purchaser, LLC Maturity 11/10/27 Industry Consumer Products Current Coupon 11.54% Basis Point Spread Above Index SOFR+615 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beacon Behavioral Support Service, LLC - Unfunded Term Loan Maturity 12/21/2025 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% GCOM InvestCo LP Business Services 2023-10-01 2024-06-30 0001383414 Cash and Cash Equivalents—12.0% Non-Money Market Cash 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Team Services Group, LLC Maturity 11/24/2028 Healthcare, Education and Childcare Current Coupon 10.75% Basis Point Spread Above Index SOFR+515 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Omnia Exterior Solutions, LLC - Revolver Maturity 12/29/2029 Diversified Conglomerate Service 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lash OpCo, LLC Maturity 02/18/2027 Consumer Products Current Coupon 11.88% Basis Point Spread Above Index 1M SOFR+700 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LAV Gear Holdings, Inc. Maturity 10/31/2024 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 11.79% (PIK 5.50%) Basis Point Spread Above Index 1M SOFR+640 2022-10-01 2023-09-30 0001383414 pnnt:LongTermCreditFacilityMember 2022-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Crane 1 Acquisition Parent Holdings, L.P. Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 pnnt:NonControlledNonAffiliatedInvestmentsMember 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:ValuationTechniqueMarketComparableMember pnnt:FirstLienMember pnnt:MeasurementInputBrokerOrDealerBidsOrQuotesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AMCSI Crash Co-Invest, LP, Industry Auto Sector 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Blackhawk Industrial Distribution, Inc. Maturity 09/17/2026 Distribution 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Cartessa Aesthetics, LLC - (Revolver) Maturity 06/14/2028 Distribution Current Coupon 11.39% Basis Point Spread Above Index 3M SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Loving Tan Intermediate II, Inc. - Revolver, Maturity 05/31/2028, Industry Consumer Products, Current Coupon 12.34%, Basis Point Spread Above Index 3M SOFR+700 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember 2021-11-01 2021-11-01 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Common Equity/Partnership Interests/Warrants—0.0% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Icon Partners V C, L.P. Business Services One 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Arcfield Acquisition Corp Maturity 08/03/2029 Industry Aerospace and Defense Current Coupon 11.58% Basis Point Spread Above Index SOFR+625 2024-06-30 0001383414 us-gaap:FairValueInputsLevel2Member pnnt:TwoThousandAndTwentySixNotesTwoMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Rancho Health MSO, Inc. Maturity 12/18/2025 Industry Healthcare, Education and Childcare Current Coupon 10.92% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Riverpoint Medical, LLC (Revolver) Maturity 06/20/2025 Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Dr. Squatch, LLC Funded Revolver Maturity 08/31/2027 Personal and Miscellaneous Services Current Coupon 11.19% Basis Point Spread Above Index 3M SOFR+585 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% QuantiTech LLC Maturity 02/04/2027 Aerospace and Defense Current Coupon 15.44% Basis Point Spread Above Index 3M SOFR+1010 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% HEC Purchaser Corp. Maturity 06/17/2029 Healthcare, Education and Childcare Current Coupon 10.84% Basis Point Spread Above Index 3M SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC US Parent, LLC Maturity 11/22/2025 Food Current Coupon 10.93% Basis Point Spread Above Index 3M SOFR +560 2024-06-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember srt:SubsidiariesMember 2022-03-31 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% UniVista Insurance Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Preferred Equity/Partnership Interests—5.6% Cascade Environmental Holdings, LLC - Series B Environmental Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Duraco Specialty Tapes LLC Maturity 06/30/24 Industry Manufacturing / Basic Industries Current Coupon 11.93% Basis Point Spread Above Index SOFR+650 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Kentucky Racing Holdco, LLC (Warrants) Hotels, Motels, Inns and Gaming 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rural Sourcing Holdings, Inc. Maturity 06/15/2029 Business Services Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Urology Management Holdings. Inc. Maturity 6/15/2026 Industry Healthcare, Education and Childcare Current Coupon 11.79% Basis Point Spread Above Index SOFR+625 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% FedHC InvestCo II LP Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Cartessa Aesthetics, LLC - Revolver Maturity 06/14/2028 Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Compex Legal Services, Inc. Maturity 02/07/2025 Business Services Current Coupon 10.87% Basis Point Spread Above Index 3M SOFR+555 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Ironclad Holdco, LLC (Applied Technical Services, LLC) Other Media 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Kinetic Purchaser, LLC, Maturity 11/10/2027, Industry Consumer Products, Current Coupon 11.48%, Basis Point Spread Above Index 3M SOFR+615 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityMethodInvestmentsMember us-gaap:MeasurementInputEbitdaMultipleMember srt:MaximumMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Aftermarket Drivetrain Products Holdings, LLC Machinery 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% Walker Edison Furniture Company LLC Maturity 03/01/2029 Home and Office Furnishings 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Tower Arch Infolinks Media, LP Media 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lash OpCo, LLC - Revolver One, Maturity 08/16/2026, Industry Consumer Products 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Carnegie Holdco, LLC - Common Equity Education 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% StellPen Holdings, LLC (CF512, Inc.) Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Lightspeed Investment Holdco LLC Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sigma Defense Systems, LLC Maturity 12/18/2027 Telecommunications Current Coupon 12.46% Basis Point Spread Above Index 1M SOFR+715Sigma Defense Systems, LLC Maturity 12/18/2027 Telecommunications Current Coupon 12.49% Basis Point Spread Above Index 1M SOFR+715 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% OSP Embedded Purchaser, LLC Maturity 12/15/2029 Aerospace and Defense Current Coupon 11.18% Basis Point Spread Above Index 3M SOFR+585 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Gauge Lash Coinvest, LLC - Preferred Equity Consumer Products 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Common Equity—12.8% PennantPark Senior Loan Fund, LLC Financial Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) Media 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel2Member pnnt:USGovernmentSecuritiesMember 2024-06-30 0001383414 pnnt:InvestmentsCostMember pnnt:EquityInPSLFMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Crane 1 Acquisition Parent Holdings, L.P., Industry Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Cartessa Aesthetics, LLC - Revolver Maturity 06/14/2028 Distribution Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Crane 1 Acquisition Parent Holdings, L.P. Personal, Food and Miscellaneous Services 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:ValuationTechniqueMarketComparableMember pnnt:SecondLienMember pnnt:MeasurementInputBrokerOrDealerBidsOrQuotesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Municipal Emergency Services, Inc. - Unfunded Term Loan A Maturity 12/16/2024 Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Urology Management Holdings, Inc. Maturity 06/15/2026 Healthcare , Education and Childcare Current Coupon 11.76% Basis Point Spread Above Index 3M SOFR +650 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Skopima Consilio Parent, LLC Maturity 05/17/2028 Industry Business Service Current Coupon 9.96% Basis Point Spread Above Index SOFR+450 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infolinks Media Buyco, LLC, Maturity 11/01/2026, Industry Media, Current Coupon 10.84%, Basis Point Spread Above Index 3M SOFR+550 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Municipal Emergency Services, Inc. Maturity 10/01/27 Industry Distribution Current Coupon 11.04% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, ITI Holdings, Inc. - Revolver, Maturity 03/03/2028, Industry Business Services, Current Coupon 13.00%, Basis Point Spread Above Index 3M SOFR+450 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pragmatic Institute, LLC Maturity 07/06/2028 Business Services Current Coupon 11.17% Basis Point Spread Above Index 3M SOFR+575 2023-09-30 0001383414 pnnt:InvestmentsCostMember pnnt:USGovernmentSecuritiesMember 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Subordinated Debt—27.9% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carisk Buyer, Inc. - Revolver Maturity 12/01/2029 Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Ledge Lounger, Inc. - Revolver One, Maturity 11/09/2026, Industry Consumer Products 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name S101 Holdings Inc. Maturity 12/29/2026 Industry Electronics Current Coupon 11.45% Basis Point Spread Above Index SOFR+615 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Athletico Holdings, LLC Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Big Top Holdings, LLC - Unfunded Revolver Maturity 02/07/2030 Manufacturing Basic Industry 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:USGovernmentSecuritiesMember 2024-06-30 0001383414 us-gaap:FinancingReceivables30To59DaysPastDueMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Smartronix, LLC Maturity 11/23/2028 Industry Aerospace and Defense Current Coupon 11.33% Basis Point Spread Above Index SOFR+600 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Integrated Data Services - Unfunded Revolver Maturity 08/01/2029 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Medina Health, LLC, Maturity 10/20/2028, Industry Healthcare, Education and Childcare, Current Coupon 11.58%, Basis Point Spread Above Index 3M SOFR+625 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Megawatt Acquisition Partners, LLC Electronics 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Ox Two, LLC (New Issue) Maturity 05/18/26 Industry Distribution Current Coupon 12.90% Basis Point Spread Above Index SOFR+725 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% OSP Embedded Purchaser, LLC Maturity 12/15/2029 Aerospace and Defense Current Coupon 11.18% Basis Point Spread Above Index 3M SOFR+585 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% Beacon Behavioral Holdings LLC Maturity 06/21/2030 Healthcare, Education and Childcare Current Coupon 15.00% 2024-06-30 0001383414 pnnt:AerospaceAndDefenseMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HW Holdco, LLC(Revolver) Maturity 12/10/2024 Media Current Coupon 11.82% Basis Point Spread Above Index 3M L+640 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Broder Bros., Co. Maturity 12/04/25 Industry Personal and Non-Durable Consumer Products Current Coupon 11.50% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Megawatt Acquisitionco, Inc. - Unfunded Revolver, Maturity 03/01/2030, Industry Electronics 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rancho Health MSO, Inc. Maturity 12/18/2025 Healthcare, Education and Childcare Current Coupon 10.90% Basis Point Spread Above Index 3M SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Seaway Buyer, LLC (Revolver) Maturity 06/13/2029 Chemicals, Plastics and Rubber Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+605 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Quantic Electronics, LLC - Unfunded Revolver Maturity 08/17/2026 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PCS MIDCO INC - Unfunded Revolver Maturity 03/01/2030 Financial Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carisk Buyer, Inc. - Unfunded Term Loan Maturity 12/01/2029 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 pnnt:ControlledAffiliatedInvestmentsMember 2023-04-01 2023-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Common Equity/Partnership Interests/Warrants—2.4% Cascade Environmental Holdings, LLC Environmental Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% System Planning and Analysis, Inc. - Unfunded Term Loan Maturity 08/16/2027 Aerospace and Defense 2024-06-30 0001383414 2024-08-07 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Sales Benchmark Index LLC Maturity 1/03/2025 Industry Business Services Current Coupon 11.53% Basis Point Spread Above Index SOFR+620 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Blackhawk Industrial Distribution, Inc. Maturity 9/17/2026 Industry Distribution Current Coupon 11.66% Basis Point Spread Above Index SOFR+640 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Burgess Point Purchaser Corporation Maturity 09/26/2029 Industry Auto Sector Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ORL Acquisition, Inc. Maturity 09/03/2027 Business Services Current Coupon 12.84% Basis Point Spread Above Index 3M SOFR+725 2022-10-01 2023-09-30 0001383414 pnnt:WalkerEdisonFurnitureCompanyLLCMember us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:WeightedAverageMember pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SecondLienMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name LJ Avalon Holdings, LLC Maturity 1/31/2030 Industry Environmental Services Current Coupon 11.74% Basis Point Spread Above Index SOFR+625 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Magnolia Topco LP - Class B Preferred Equity Auto Sector 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% CF512, Inc. Maturity 08/20/2026 Media Current Coupon 11.59% Basis Point Spread Above Index 3M SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Radius Aerospace, Inc. (Revolver) Maturity 03/31/2025 Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Riverside Assessments, LLC Maturity 3/10/2025 Industry Education Current Coupon 11.29% Basis Point Spread Above Index SOFR+625 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Riverside Assessments, LLC Maturity 03/10/2025 Education Current Coupon 11.24% Basis Point Spread Above Index 3M SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% EDS Buyer, LLC (Revolver) Loan Maturity 12/22/2028 Aerospace and Defense 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:SubordinatedNotesInPSLFMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Anteriad, LLC (f/k/a MeritDirect, LLC) - Revolver Maturity 06/30/2026 Media 2023-10-01 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% HPA SPQ Aggregator LP- Common Equity Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Schlesinger Global, Inc. (Revolver) Maturity 07/14/2025 Business Services Current Coupon 12.52% (PIK 0.5%) Basis Point Spread Above Index 3M SOFR+775 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Quantic Electronics, LLC (Revolver) Maturity 11/19/2026 Aerospace and Defense Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR+635 2022-10-01 2023-09-30 0001383414 pnnt:USGovernmentSecuritiesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% NORA Parent Holdings, LLC Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Research Now Group, Inc. and Dynata, LLC Maturity 12/20/2024 Business Services Current Coupon 11.13% Basis Point Spread Above Index 3M SOFR+576 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% DRS Holdings III, Inc. Maturity 11/03/2025 Consumer Products Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+640 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Arcfield Acquisition Corp. - Revolver Maturity 08/04/2028 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ORL Acquisition, Inc. - Revolver Maturity 09/03/2027 Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. Maturity 09/17/2026 Distribution Current Coupon 11.73% (PIK 2.0%) Basis Point Spread Above Index 3M SOFR+640 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Cartessa Aesthetics, LLC Maturity 06/14/2028 Distribution Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Bluebird Group LLC (Revolver) Maturity 07/27/2026 Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Lightspeed Buyer Inc. Maturity 2/3/2026 Industry Healthcare, Education and Childcare Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rancho Health MSO, Inc. (Revolver) Maturity 12/18/2025 Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% PCS Parent, LP Financial Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Falcon Buyer, Inc -Revolver Maturity 10/02/2029 Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PMS MIDCO INC - Unfunded Term Loan Maturity 03/01/2026 Financial Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge Schlesinger Coinvest, LLC Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Applied Technical Services, LLC Maturity 12/29/2026 Environmental Services Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+615 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Connatix Buyer, Inc. (Revolver) Maturity 07/13/2027 Media 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkCloViiMember pnnt:ClassBMember us-gaap:SecuredOvernightFinancingRateSofrOvernightIndexSwapRateMember us-gaap:PrivatePlacementMember 2023-07-26 0001383414 us-gaap:FairValueInputsLevel2Member pnnt:TwoThousandAndTwentySixNotesTwoMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HW Holdco, LLC Maturity 12/10/2024 Media Current Coupon 11.28% Basis Point Spread Above Index 3M L+640 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pragmatic Institute, LLC Unfunded Term Loan Maturity 07/06/2028 Business Services 2022-10-01 2023-09-30 0001383414 pnnt:AKWHoldingsLimitedMember us-gaap:InvestmentAffiliatedIssuerControlledMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Megawatt Acquisition Partners, LLC Electronics 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ox Two, LLC Maturity 05/18/2026 Building Materials Current Coupon 12.90% Basis Point Spread Above Index 1M SOFR+725 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% BioDerm, Inc. Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AG Investco LP Business Services One 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Rural Sourcing Holdings, Inc. (HPA SPQ Merger Sub, Inc.) Maturity 6/16/2029 Industry Professional Services Current Coupon 11.02% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% BlueHalo Financing Holdings, LLC Maturity 10/31/2025 Aerospace and Defense Current Coupon 10.08% Basis Point Spread Above Index 3M SOFR+475 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name PL Acquisitionco, LLC Maturity 11/9/2027 Industry Retail Current Coupon 12.44% Basis Point Spread Above Index SOFR+710 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% RTIC Subsidiary Holdings, LLC - Revolver Maturity 05/03/2029 Consumer Products 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Seaway Topco, LP Chemicals, Plastics and Rubber 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Team Services Group, LLC Maturity 11/24/2028 Industry Healthcare, Education and Childcare Current Coupon 10.50% Basis Point Spread Above Index SOFR+515 2023-10-01 2024-06-30 0001383414 pnnt:ControlledAndNonControlledAffiliatesMember 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% First Lien Secured Debt—2.1% Walker Edison Furniture Company, LLC - Unfunded Term Loan Maturity 03/31/2027 Home and Office Furnishings 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% System Planning and Analysis, Inc. Maturity 08/16/2027 Aerospace and Defense Current Coupon 11.16% Basis Point Spread Above Index 3M SOFR+590 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% ORL Holdco, Inc. Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Athletico Holdings, LLC Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Tyto Athene, LLC (New Issue) - Revolver Maturity 04/01/2026 Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beacon Behavioral Support Service, LLC - Revolver Maturity 06/21/2029 Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Inventus Power, Inc. (Revolver) Maturity 06/30/2025 Electronics 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ITI Holdings, Inc. Maturity 03/03/2028 Business Services Current Coupon 11.06% Basis Point Spread Above Index 3M SOFR+615 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember srt:SubsidiariesMember pnnt:SeniorSecuredRevolvingCreditFacilityMember 2022-02-09 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Municipal Emergency Services, Inc. Distribution 2024-06-30 0001383414 Minimum Qualifying Assets 2024-06-30 0001383414 pnnt:PennantParkTSOSeniorLoanFundIILPMember 2024-04-01 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% First Lien Secured Debt—20.8% AKW Holdings Limited Maturity 03/15/2027 Healthcare, Education and Childcare Current Coupon 12.32% Basis Point Spread Above Index 3M SOFR+700 (PIK 6.8) 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Integrity Marketing Acquisition, LLC Maturity 08/27/26 Industry Insurance Current Coupon 11.57% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkTSOSeniorLoanFundIILPMember 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SecondLienMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Urology Management Holdings, Inc. Maturity 06/15/2026 Industry Healthcare, Education and Childcare Current Coupon 11.76% Basis Point Spread Above Index SOFR+625 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Anteriad LLC (f/k/a MeritDirect) Maturity 6/30/2026 Industry Media Current Coupon 11.23% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Infinity Home Services Holdco, Inc. Maturity 12/28/2028 Industry Personal, Food and Miscellaneous Services Current Coupon 12.18% Basis Point Spread Above Index SOFR+685 2024-06-30 0001383414 pnnt:EquityDistributionAgreementsMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Seaway Buyer, LLC Maturity 6/13/2029 Industry Chemicals, Plastics and Rubber Current Coupon 11.54% Basis Point Spread Above Index SOFR+605 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Five Star Buyer, Inc. Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 12.42% Basis Point Spread Above Index 3M SOFR+710 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rancho Health MSO, Inc. - Unfunded Term Loan Maturity 12/18/2025 Healthcare, Education and Childcare 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Anteriad, LLC (f/k/a MeritDirect, LLC) Maturity 05/23/2024 Industry Media Current Coupon 12.04% Basis Point Spread Above Index SOFR+650 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Solutionreach, Inc. Maturity 7/17/2025 Industry Communication Current Coupon 12.37% Basis Point Spread Above Index SOFR+700 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Reception Purchaser, LLC Maturity 4/28/2028 Industry Transportation Current Coupon 11.54% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TransGo, LLC Revolver Maturity 12/29/2028 Machinery 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Bluebird Group LLC Maturity 7/27/2026 Business Services Current Coupon 11.98% Basis Point Spread Above Index 3M SOFR +665 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carnegie Dartlet, LLC - Unfunded Term Loan Maturity 02/07/2030 Education 2023-10-01 2024-06-30 0001383414 us-gaap:EquityFundsMember us-gaap:FairValueInputsLevel1Member 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% QuantiTech InvestCo II LP Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OHCP V BC COI, L.P. One Distribution 2023-10-01 2024-06-30 0001383414 pnnt:NonControlledNonAffiliatedInvestmentsMember 2024-04-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name PlayPower, Inc. Maturity 05/08/26 Industry Consumer Products Current Coupon 10.92% Basis Point Spread Above Index SOFR+565 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Blackhawk Industrial Distribution, Inc. (Revolver) Maturity 09/17/2026 Distribution 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% PennantPark Senior Loan Fund, LLC Financial Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name TCG 3.0 Jogger Acquisitionco, Inc. Maturity 01/23/2029 Industry Media Current Coupon 11.84% Basis Point Spread Above Index SOFR+650 2024-06-30 0001383414 2018-01-01 2019-02-04 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Holdco Sands Intermediate, LLC Maturity 11/23/2028 Aerospace and Defense Coupon 11.32% Basis Point Spread Above Index 6M L+585 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Common Equity—12.8% MSpark, LLC Printing and Publishing 2022-10-01 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsCostMember pnnt:USGovernmentSecuritiesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% A1 Garage Merger Sub, LLC Maturity 12/22/2028 Personal, Food and Miscellaneous Services Current Coupon 11.99% Basis Point Spread Above Index 3M SOFR+660 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name DRI Holding Inc. Maturity 12/21/28 Industry Media Current Coupon 10.67% Basis Point Spread Above Index SOFR+525 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Common Equity/Partnership Interests/Warrants—2.4% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Simplicity Financial Marketing Group Holdings Inc. - Unfunded Term Loan Maturity 02/09/2026 Financial Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Tyto Athene, LLC (New Issue) - Revolver Maturity 04/01/2026 Aerospace and Defense Current Coupon 10.99% Basis Point Spread Above Index 3M SOFR +565 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityFundsMember 2022-09-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityMethodInvestmentsMember srt:MinimumMember us-gaap:MeasurementInputEbitdaMultipleMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% BlueHalo Financing Holdings, LLC Maturity 10/31/2025 Aerospace and Defense Current Coupon 10.08% Basis Point Spread Above Index 3M SOFR+475 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Imagine Topco, LP Preferred Business Services Current Coupon 8.00% 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Wildcat Buyerco, Inc. Maturity 2/27/2026 Industry Electronics Current Coupon 10.54% Basis Point Spread Above Index SOFR+515 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Vertex Companies, LLC - Revolver Maturity 08/30/2027 Business Services Current Coupon 11.44% Basis Point Spread Above Index 3M SOFR +610 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Applied Technical Services, LLC (Revolver) Maturity 12/29/2026 Environmental Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. - Revolver Maturity 09/17/2026 Distribution Current Coupon 11.73% Basis Point Spread Above Index 3M SOFR+640 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% OHCP V BC COI, L.P. Distribution One 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Medina Health, LLC, Maturity 10/20/2028, Industry Healthcare, Education and Childcare, Current Coupon 11.58%, Basis Point Spread Above Index 3M SOFR+625 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% NEPRT Parent Holdings, LLC (Recteq, LLC) Consumer Products 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge ETE Blocker, LLC - Common Equity Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name LAV Gear Holdings, Inc. Maturity 10/31/2025 Industry Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 11.72% Basis Point Spread Above Index SOFR+640 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Kinetic Purchaser, LLC Maturity 11/10/2027 Consumer Products Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+615 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Dr. Squatch, LLC Maturity 08/31/27 Industry Personal and Non-Durable Consumer Products Current Coupon 11.24% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% Walker Edison Furniture Company LLC - Junior Revolver Maturity 03/01/2029 Home and Office Furnishings 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% WCP Ivyrehab Coinvestment, LP Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Dr. Squatch, LLC Maturity 08/31/2027 Personal and Non-Durable Consumer Products Current Coupon 11.23% Basis Point Spread Above Index 3M SOFR+585 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Preferred Equity/Partnership Interests—6.4% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Seaway Buyer, LLC Maturity 06/13/2029 Chemicals, Plastics and Rubber Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+605 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Dr. Squatch, LLC Maturity 08/31/27 Industry Personal and Non-Durable Consumer Products Current Coupon 11.24% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name CF512, Inc. Maturity 08/20/26 Industry Media Current Coupon 11.60% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name ETE Intermediate II, LLC Maturity 5/29/2029 Industry Personal, Food and Miscellaneous Services Current Coupon 11.85% Basis Point Spread Above Index SOFR+650 2023-10-01 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:FlockFinancialLLCMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Riverpoint Medical, LLC - Revolver Maturity 06/20/2025 Healthcare, Education and Childcare Current Coupon 10.93% Basis Point Spread Above Index 3M SOFR+560 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Big Top Holdings, LLC - Unfunded Revolver Maturity 02/07/2030 Manufacturing Basic Industry 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% HV Watterson Holdings, LLC Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Lightspeed Buyer Inc. Maturity 02/03/26 Industry Healthcare, Education and Childcare Current Coupon 10.67% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Solutionreach, Inc. - Revolver Maturity 07/17/2025 Communications 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% U.S. Government Securities—19.9% U.S. Treasury Bill Maturity 10/19/2023 Short-Term U.S. Government Securities Current Coupon 5.31% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. - Unfunded Term Loan B Maturity 12/16/2024 Distribution 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% S101 Holdings, Inc. - Term Loan C Maturity 12/29/2026 Electronics Current Coupon 11.45% Basis Point Spread Above Index 3M SOFR+615 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Beta Plus Technologies, Inc. Maturity 07/01/2029 Industry Business Services Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% A1 Garage Merger Sub, LLC - Unfunded Term Loan Maturity 12/21/2024 Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Seaway Buyer, LLC (Revolver) Maturity 06/13/2029 Chemicals, Plastics and Rubber 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityMethodInvestmentsMember us-gaap:MeasurementInputEbitdaMultipleMember srt:MaximumMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2024-06-30 0001383414 srt:MaximumMember pnnt:IncentiveFeePaymentConditionOneMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name LAV Gear Holdings, Inc. Maturity 10/31/24 Industry Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 11.46% Basis Point Spread Above Index SOFR+565 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc., Maturity/Expiration 12/28/2028, Industry Personal, Food and Miscellaneous Services, Current Coupon 12.19%, Basis Point Spread Above Index 3M SOFR+685 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Atlas Purchaser, Inc. - Third Out Maturity 05/06/2028 Telecommunication Current Coupon 12.46% Basis Point Spread Above Index 3M SOFR+700 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Gauge Schlesinger Coinvest, LLC - Class A-2 Preferred Equity Business Services 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-09-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Hancock Roofing and Construction L.L.C. - Revolver, Maturity 12/31/2026, Industry Insurance 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name PlayPower, Inc. Maturity 05/08/26 Industry Consumer Products Current Coupon 10.92% Basis Point Spread Above Index SOFR+565 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ORL Acquisition, Inc. Maturity 09/03/2027 Business Services Current Coupon 12.84% Basis Point Spread Above Index 3M SOFR+725 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% S101 Holdings, Inc. - Term Loan B Maturity 12/29/2026 Electronics Current Coupon 11.45% Basis Point Spread Above Index 3M SOFR+615 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Anteriad, LLC (f/k/a MeritDirect, LLC) Maturity 05/23/2024 Media Current Coupon 12.04% Basis Point Spread Above Index 3M SOFR+665 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Kinetic Purchaser, LLC Maturity 11/10/2027 Industry Consumer Products, Current Coupon 11.48% Basis Point Spread Above Index SOFR+615 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Global Holdings InterCo LLC Maturity 03/16/2026 Industry Banking, Finance, Insurance & Real Estate Current Coupon 11.48% Basis Point Spread Above Index SOFR+610 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name The Bluebird Group LLC Maturity 7/27/2026 Industry Business Services Current Coupon 12.79% Basis Point Spread Above Index SOFR+725 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Hancock Roofing and Construction L.L.C. Maturity 12/31/2026 Insurance Coupon 10.92% Basis Point Spread Above Index 1M L+550 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Riverpoint Medical, LLC - Revolver Maturity 06/20/2025 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Hancock Claims Consultants Investors, LLC Insurance 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% S101 Holdings, Inc. - Term Loan B Maturity 12/29/2026 Electronics Current Coupon 11.45% Basis Point Spread Above Index 3M SOFR+615 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Bluebird Group LLC - Revolver Maturity 7/27/2026 Business Services 2023-10-01 2024-06-30 0001383414 pnnt:AerospaceAndDefenseMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Wildcat Parent, LP (Wildcat Buyerco, Inc.) Electronics 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Lariat ecoserv Co-Invest Holdings, LLC Environmental Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Wildcat Buyerco, Inc. Maturity 02/27/2026 Electronics Current Coupon 10.57% Basis Point Spread Above Index 3M SOFR+515 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Cowboy Parent LLC (Blackhawk Industrial Distribution, Inc.) Distribution 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Preferred Equity—5.4% Flock Financial Class A Preferred Equity Financial Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Ad.net Holdings, Inc. Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carnegie Dartlet, LLC - Unfunded Revolver Maturity 02/07/2030 Education 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Best Practice Associates LLC Maturity 06/29/2027 Aerospace and Defense Current Coupon 14.54% Basis Point Spread Above Index 3M SOFR+915 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Mars Intermediate Holdings II, Inc. Media 2023-10-01 2024-06-30 0001383414 pnnt:PennantParkCloViiMember pnnt:ClassA2Member us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Five Star Parent Holdings, LLC Leisure, Amusement, Motion Pictures, Entertainment 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:SecondLienMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Magnolia Topco LP - Class A Auto Sector 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infolinks Media Buyco, LLC Maturity 11/01/2026 Media Current Coupon 11.17% Basis Point Spread Above Index 1M SOFR+585 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Carnegie Holdco, LLC - Common Equity Education 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HV Watterson Holdings, LLC - (Revolver) Maturity 12/17/2026 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Ascensus Holdings, Inc. Maturity 08/02/2028 Financial Services Current Coupon 12.03% Basis Point Spread Above Index 3M SOFR+676 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Apex Service Partners, LLC - Term Loan C Maturity 07/31/2025 Industry Personal, Food and Miscellaneous Services Current Coupon 10.76% Basis Point Spread Above Index SOFR+525 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Spendmend Holdings LLC Maturity 03/01/2028 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lash OpCo, LLC - Revolver One, Maturity 08/16/2026, Industry Consumer Products 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Lorient Peregrine Investments, LP Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ips Car Wash, LLC Maturity 12/31/2024 Auto Sector Current Coupon 12.68% (PIK 1.5%) Basis Point Spread Above Index 3M SOFR +735 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityFundsMember 2024-06-30 0001383414 pnnt:TransportationMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Municipal Emergency Services, Inc. - Revolver Maturity 09/28/2027 Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Burgess Point Holdings, LP Auto Sector 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HV Watterson Holdings, LLC Maturity 12/17/2026 Business Services Coupon 11.79% Basis Point Spread Above Index 1M L+625 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% EDS Buyer, LLC Maturity 12/22/2028 Aerospace and Defense Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name HW Holdco, LLC Maturity 5/10/2026 Industry Media Current Coupon 11.70% Basis Point Spread Above Index SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% BioDerm, Inc. Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MDI Buyer, Inc. - Revolver, Maturity 07/25/2028, Industry Chemicals, Plastics and Rubber, Current Coupon 10.82%, Basis Point Spread Above Index 3M SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, ITI Holdings, Inc. - Revolver One, Maturity 03/03/2028, Industry Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% QuantiTech InvestCo LP Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% FedHC InvestCo LP Aerospace and Defense 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Kinetic Purchaser, LLC (Revolver) Maturity 11/10/2026 Consumer Products 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MBS Holdings, Inc. (Revolver) Maturity 04/16/2027 Telecommunications Current Coupon 11.17% Basis Point Spread Above Index 1M SOFR+585 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% AMCSI Crash Co-Invest, LP Auto Sector 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% ENC Parent Corporation Maturity 08/19/2029 Business Services Current Coupon 13.15% Basis Point Spread Above Index 3M SOFR+776 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Burgess Point Purchaser Corporation Maturity 09/26/29 Industry Auto Sector Current Coupon 10.67% Basis Point Spread Above Index SOFR+525 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember pnnt:SeniorSecuredRevolvingCreditFacilityMember srt:SubsidiariesMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Gauge Schlesinger Coinvest, LLC - Class A-2 Preferred Equity Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Tyto Athene, LLC Maturity 04/03/2028 Industry Aerospace and Defense Current Coupon 10.95% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rural Sourcing Holdings, Inc. (Revolver) Maturity 06/15/2029 Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Sigma Defense Systems, LLC Maturity 12/18/2027 Industry Telecommunications Current Coupon 12.49% Basis Point Spread Above Index SOFR+715 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Quantic Electronics, LLC - Funded Revolver Maturity 08/17/2026 Aerospace and Defense Current Coupon 11.70% Basis Point Spread Above Index 3M SOFR+635 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% PennantPark Senior Loan Fund, LLC 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OSP Embedded Aggregator, LP Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name One Stop Mailing, LLC Maturity 5/7/2027 Industry Transportation Current Coupon 11.71% Basis Point Spread Above Index SOFR+636 2023-10-01 2024-06-30 0001383414 2017-12-31 2017-12-31 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% PL Acquisition co, LLC - Preferred Equity Retail 2024-06-30 0001383414 pnnt:SBADebenturesMember pnnt:SBICMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Lariat ecoserv Co-Invest Holdings, LLC Environmental Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Omnia Exterior Solutions, LLC Maturity 12/29/2029 Industry Diversified Conglomerate Service Current Coupon 10.83% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 nvestments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Kentucky Racing Holdco, LLC (Warrants) Hotels, Motels, Inns and Gaming 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TAC LifePort Holdings, LLC Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Integrity Marketing Acquisition, LLC Maturity 08/27/2026 Insurance Current Coupon 11.41% Basis Point Spread Above Index 3M SOFR+615 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mineola 212, LLC, Maturity 06/04/2025, Industry Buildings and Real Estate, Current Coupon 13.00%, 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HV Watterson Holdings, LLC - Revolver One, Maturity 12/17/2026, Industry Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Ironclad Holdco, LLC (Applied Technical Services, LLC) Environmental Services 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:MinimumMember pnnt:MeasurementInputMarketYieldMember pnnt:FirstLienMember pnnt:ValuationTechniqueMarketComparableMember 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:PennantParkSeniorLoanFundLLCMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% K2 Pure Solutions NoCal, L.P. Maturity 12/20/2023 Chemicals, Plastics and Rubber Current Coupon 13.42% Basis Point Spread Above Index 1M SOFR+810 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Kentucky Racing Holdco, LLC (Warrants) Hotels, Motels, Inns and Gaming 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name DRS Holdings III, Inc. Maturity 11/3/2025 Industry Consumer Products Current Coupon 11.73% Basis Point Spread Above Index SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) Media 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. - Unfunded Term Loan A Maturity 06/16/2023 Distribution 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% RTIC Parent Holdings, LLC - Class A Preferred Equity Consumer Products 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Radius Aerospace, Inc. (Revolver) Maturity 03/31/2025 Aerospace and Defense Current Coupon 11.29% Basis Point Spread Above Index 3M SOFR+575 2023-09-30 0001383414 pnnt:PennantParkTSOSeniorLoanFundIILPMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF Total Investments and Cash Equivalents - 842.5% 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Adweek Purchaser, LLC Maturity 05/30/2027 Printing and Publishing Current Coupon 12.33% Basis Point Spread Above Index 3M SOFR+700 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name TPC Canada Parent, Inc. and TPC US Parent, LLC Maturity 11/24/2025 Industry Food Current Coupon 10.68% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 ontrolled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Burgess Point Purchaser Corporation Maturity 07/28/2030 Auto Sector Current Coupon 14.42% Basis Point Spread Above Index 3M SOFR+915 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc. (CAD), Maturity/Expiration 12/28/2028, Industry Personal, Food and Miscellaneous Services, Current Coupon 10.96%, Basis Point Spread Above Index 3M SOFR+600 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, NBH Group LLC - Revolver Maturity 08/19/2026 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Holdco Sands Intermediate, LLC(Revolver) Maturity 11/23/2027 Aerospace and Defense 2022-10-01 2023-09-30 0001383414 pnnt:CascadeEnvironmentalHoldingsLLCMember us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:FirstLienMember srt:MaximumMember 2024-06-30 0001383414 pnnt:DistributionMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC US Parent, LLC Maturity 11/22/2025 Food Current Coupon 10.93% Basis Point Spread Above Index 3M SOFR +560 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Hancock Roofing and Construction L.L.C.(Revolver) Maturity 12/31/2026 Insurance 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% of Net Assets 2023-09-30 0001383414 pnnt:NonControlledNonAffiliatedInvestmentsMember 2022-10-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% EDS Buyer, LLC - Unfunded Term Loan Maturity 12/22/2028 Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pragmatic Institute, LLC - Revolver Maturity 07/06/2028 Business Services Current Coupon 12.85% (PIK 12.8%) Basis Point Spread Above Index 3M SOFR+750 2024-06-30 0001383414 pnnt:OtherMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Recteq, LLC (Revolver) Maturity 01/29/2026 Consumer Products 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Meadowlark Acquirer, LLC Term Loan I Maturity 12/10/2027 Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Rancho Health MSO, Inc. Maturity 12/18/25 Industry Healthcare, Education and Childcare Current Coupon 11.22% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Delta InvestCo LP (Sigma Defense Systems, LLC) Telecommunications 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PCS MIDCO INC - Funded Revolver Maturity 03/01/2030 Financial Services Current Coupon 11.10% Basis Point Spread Above Index 1M SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HW Holdco, LLC, Maturity 05/10/2026, Industry Media, Current Coupon 11.68%, Basis Point Spread Above Index 3M SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Tyto Athene, LLC (Revolver) Maturity 04/01/2026 Aerospace and Defense 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% NORA Parent Holdings, LLC Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Blackhawk Industrial Distribution, Inc. Maturity 09/17/2026 Distribution Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+640 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc. - 1st Amendment Unfunded Term Loan, Maturity 11/17/2025, Industry Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% RFMG Parent, LP (Rancho Health MSO, Inc.) Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Cartessa Aesthetics, LLC Maturity 06/14/28 Industry Distribution Current Coupon 11.39% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:WeightedAverageMember us-gaap:EquityMethodInvestmentsMember us-gaap:MeasurementInputEbitdaMultipleMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Spendmend Holdings LLC - (Revolver) Maturity 03/01/2028 Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF Liabilities in Excess of Other Assets — 716.9% 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Pragmatic Institute, LLC Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% CF512, Inc. - Revolver Maturity 08/20/2026 Media Current Coupon 10.97% Basis Point Spread Above Index 3M SOFR+565 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% AH Newco Equity holdings, LLC Healthcare, Education and Childcare Current Coupon 6.00% 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, NP Riverhead Industrial, LLC Maturity 05/24/2025 Buildings and Real Estate Current Coupon 14.50% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MDI Buyer, Inc. - Revolver, Maturity 07/25/2028, Industry Chemicals, Plastics and Rubber, Current Coupon 10.82%, Basis Point Spread Above Index 3M SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% DRS Holdings III, Inc. - Revolver Maturity 11/03/2025 Consumer Products 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% PL Acquisition co, LLC - Preferred Equity Business Services Retail 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Pink Lily Holdco, LLC Retail 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% EDS Buyer, LLC Maturity 12/22/2028 Aerospace and Defense Current Coupon 11.64% Basis Point Spread Above Index 3M SOFR+625 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% Walker Edison Furniture Company LLC - Junior Revolver Maturity 03/01/2029 Home and Office Furnishings 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Dr. Squatch, LLC (Revolver) Maturity 08/31/2027 Personal and Non-Durable Consumer Products 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Infinity Home Services Holdco, Inc. Maturity 12/28/28 Industry Personal, Food and Miscellaneous Services Current Coupon 12.24% Basis Point Spread Above Index SOFR+685 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name HV Watterson Holdings, LLC Maturity 12/17/2026 Industry Business Services Current Coupon 11.73% Basis Point Spread Above Index SOFR+615 2024-06-30 0001383414 Controlled Affiliated Investments 2024-06-30 0001383414 us-gaap:EquityFundsMember us-gaap:FairValueMeasuredAtNetAssetValuePerShareMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Omnia Exterior Solutions, LLC Maturity 12/29/2029 Industry Diversified Conglomerate Service Current Coupon 10.83% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentAdministratorMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% FedHC InvestCo II LP Aerospace and Defense 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Crane 1 Services, Inc. - Revolver Maturity 08/16/2027 Personal, Food and Miscellaneous Services Current Coupon 10.19% Basis Point Spread Above Index 3M SOFR+486 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Preferred Equity/Partnership Interests—6.4% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, IG Investment Holdings LLC, Maturity 09/22/2028, Industry Business Services, Current Coupon 11.33%, Basis Point Spread Above Index 3M SOFR+600 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Watchtower Intermediate, LLC. - Unfunded Term Loan Maturity 12/01/2025 Electronics 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Tower Arch Infolinks Media, LP Media 1 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Ox Two, LLC - Revolver Maturity 05/18/2026 Building Materials 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Wildcat Parent, LP (Wildcat Buyerco, Inc.) Electronics 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Gauge Loving Tan, LP - Common Equity Consumer Products 2023-10-01 2024-06-30 0001383414 pnnt:BuildingMaterialsMember 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:PennantParkSeniorLoanFundLLCMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% NXOF Holdings, Inc. (Tyto Athene, LLC) Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Quantic Electronics, LLC (Revolver) Maturity 11/19/2026 Aerospace and Defense Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR+635 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:MailsouthIncMember 2023-10-01 2024-06-30 0001383414 pnnt:TruistCreditFacilityMember 2023-04-01 2023-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Bioderm, Inc. Maturity 01/31/28 Industry Healthcare, Education and Childcare Current Coupon 11.83% Basis Point Spread Above Index SOFR+650 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% AMCSI Crash Co-Invest, LP Auto Sector One 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Duraco Specialty Tapes LLC Maturity 06/30/24 Industry Manufacturing / Basic Industries Current Coupon 11.93% Basis Point Spread Above Index SOFR+650 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Connatix Parent, LLC Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Municipal Emergency Services, Inc Maturity 09/28/2027 Distribution Current Coupon 10.50% Basis Point Spread Above Index 3M SOFR+515 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% WCP Ivyrehab Coinvestment, LP Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 pnnt:PennantParkCloViiMember pnnt:ClassA1AMember us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Signature CR Intermediate Holdco, Inc. Chemicals, Plastics and Rubber 2022-10-01 2023-09-30 0001383414 us-gaap:MoneyMarketFundsMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% EDS Topco, LP Aerospace and Defense 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:SubordinatedNotesInPSLFMember 2023-09-30 0001383414 pnnt:IncentiveFeePaymentConditionOneMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Apex Service Partners, LLC (Revolver) Maturity 07/31/2025 Personal, Food and Miscellaneous Services Current Coupon 10.79% Basis Point Spread Above Index 3M SOFR+525 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pequod Merger Sub, Inc. (Revolver) Maturity 12/02/2026 Financial Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Owl Acquisition, LLC Maturity 02/04/28 Industry Education Current Coupon 10.80% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueMeasuredAtNetAssetValuePerShareMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Infolinks Media Buyco, LLC Maturity 11/01/26 Industry Media Current Coupon 11.17% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Municipal Emergency Services, Inc. Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Aegis Technologies Group, LLC Maturity 10/31/2025 Aerospace and Defense Current Coupon 11.66% Basis Point Spread Above Index 3M SOFR+665 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember srt:SubsidiariesMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Watchtower Holdings, LLC Electronics 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Affinion Group Holdings, Inc. (Warrants) Maturity 04/10/2024 Consumer Products 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% BioDerm, Inc. Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Lightspeed Investment Holdco LLC Healthcare, Education and Childcare 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Amsive Holding Corporation (f/k/a Vision Purchaser Corporation) Maturity 6/10/2025 Industry Media Current Coupon 11.73% Basis Point Spread Above Index SOFR+640 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Loving Tan Intermediate II, Inc. - Revolver One, Maturity 05/31/2028, Industry Consumer Products 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:SecondLienMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name PL Acquisitionco, LLC Maturity 11/09/27 Industry Retail Current Coupon 12.42% Basis Point Spread Above Index SOFR+700 2023-09-30 0001383414 pnnt:PersonalAndNonDurableConsumerProductsMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Riverpoint Medical, LLC Maturity 6/20/2025 Industry Healthcare, Education and Childcare Current Coupon 10.54% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Quantic Electronics, LLC Maturity 11/19/2026 Aerospace and Defense Current Coupon 11.68% Basis Point Spread Above Index 3M SOFR+635 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Bioderm, Inc. Maturity 1/31/2028 Industry Healthcare, Education and Childcare Current Coupon 11.83% Basis Point Spread Above Index SOFR+650 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rural Sourcing Holdings, Inc. – Unfunded Term Loan Maturity 06/27/2026 Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Ironclad Holdco, LLC (Applied Technical Services, LLC) Environmental Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Ledge Lounger, Inc. - Revolver One, Maturity 11/09/2026, Industry Consumer Products 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge TVC Coinvest, LLC (TVC Enterprises, LLC) Transportation 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Eval Home Health Solutions Intermediate, LLC (Revolver) Maturity 05/10/2030 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name The Bluebird Group LLC Maturity 07/27/2026 Industry Business Services Current Coupon 11.98% Basis Point Spread Above Index SOFR+665 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Questex, LLC Maturity 09/09/2024 Media Current Coupon 9.81% Basis Point Spread Above Index 3M SOFR+425 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issue 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pragmatic Institute, LLC Maturity 07/06/2028 Business Services Current Coupon 12.85% (PIK 12.8%) Basis Point Spread Above Index 3M SOFR+750 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% eCommission Holding Corporation, Industry Financial Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Connatix Buyer, Inc. Maturity 07/13/27 Industry Media Current Coupon 11.16% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name MBS Holdings, Inc. Maturity 4/16/2027 Industry Telecommunications Current Coupon 11.27% Basis Point Spread Above Index SOFR+585 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rural Sourcing Holdings, Inc. – Revolver Maturity 06/15/2029 Business Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Applied Technical Services, LLC - Unfunded Term Loan 3 Maturity 12/29/2026 Industry Environmental Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Urology Management Holdings, Inc. Maturity 06/15/2026 Industry Healthcare, Education and Childcare Current Coupon 11.76% Basis Point Spread Above Index SOFR+625 2024-06-30 0001383414 Related Party PSLF Investments and Cash Equivalents - 842.5% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% ORL Holdco, Inc. Business Services 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:FirstLienMember pnnt:ValuationTechniqueMarketComparableMember pnnt:MeasurementInputBrokerOrDealerBidsOrQuotesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sales Benchmark Index LLC - Revolver Maturity 01/03/2025 Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Quantic Electronics, LLC Maturity 11/19/2026 Aerospace and Defense Current Coupon 11.68% Basis Point Spread Above Index 3M SOFR+635 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% A1 Garage Equity, LLC Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Applied Technical Services, LLC Maturity 12/29/2026 Industry Environmental Services Current Coupon 11.25% Basis Point Spread Above Index SOFR+590 2024-06-30 0001383414 us-gaap:EquityFundsMember us-gaap:FairValueMeasuredAtNetAssetValuePerShareMember 2023-09-30 0001383414 us-gaap:MoneyMarketFundsMember 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% PennantPark Senior Loan Fund, LLC Financial Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% PL Acquisition co, LLC - Preferred Equity Business Services Retail 2023-09-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Hancock Roofing and Construction L.L.C. Maturity 12/31/2026 Insurance Current Coupon 10.94% Basis Point Spread Above Index 1M SOFR+560 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc. - Revolver, Maturity/Expiration 12/28/2028, Industry Personal, Food and Miscellaneous Services, Current Coupon 14.25%, Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Seaway Topco, LP Chemicals, Plastics and Rubber 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ETE Intermediate II, LLC (Revolver) Maturity 5/25/2029 Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Hills Distribution, Inc. - Unfunded Term Loan Maturity 11/07/2025 Distribution 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Fairbanks Morse Defense Maturity 6/17/2028 Industry Aerospace and Defense Current Coupon 10.35% Basis Point Spread Above Index SOFR+475 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityMethodInvestmentsMember us-gaap:MeasurementInputEbitdaMultipleMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% FedHC InvestCo LP Aerospace and Defense One 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Big Top Holdings, LLC Maturity 02/28/2030 Industry Manufacturing / Basic Industries Current Coupon 11.58% Basis Point Spread Above Index SOFR+625 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name System Planning and Analysis, Inc. (f/k/a Management Consulting & Research, LLC) Maturity 8/16/2027 Aerospace and Defense Current Coupon 11.49% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% pendmend Holdings LLC Maturity 03/01/2028 Business Services Current Coupon 10.98% Basis Point Spread Above Index 3M SOFR +565 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name TWS Acquisition Corporation Maturity 6/06/2025 Industry Education Current Coupon 11.80% Basis Point Spread Above Index SOFR+625 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Seaway Topco, LP Chemicals, Plastics and Rubber 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:DebtInvestmentsMember 2022-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name A1 Garage Merger Sub, LLC Maturity 12/22/2028 Industry Personal, Food and Miscellaneous Services Current Coupon 10.83% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Hancock Roofing and Construction L.L.C. Maturity 12/31/26 Industry Insurance Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Connatix Buyer, Inc. Maturity 07/13/27 Industry Media Current Coupon 11.16% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Kinetic Purchaser, LLC (Revolver) Maturity 11/10/2026 Consumer Products 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Alpine Acquisition Corp II Maturity 11/30/2026 Industry Containers, Packaging and Glass Current Coupon 11.43% Basis Point Spread Above Index SOFR+610 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% TWD Parent Holdings, LLC (The Vertex Companies, LLC) Business Services 2024-06-30 0001383414 us-gaap:FairValueInputsLevel2Member 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge Loving Tan, LP - Common Equity Consumer Products 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LJ Avalon Holdings, LLC - Unfunded Term Loan Maturity 07/31/2024 Environmental Services 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkCloViiMember us-gaap:SecuredOvernightFinancingRateSofrOvernightIndexSwapRateMember pnnt:ClassA1AMember us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Schlesinger Global, Inc. Maturity 07/14/2025 Business Services Current Coupon 13.15% Basis Point Spread Above Index 3M SOFR+775 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Broder Bros., Co. Maturity 12/04/2025 Consumer Products Current Coupon 11.60% Basis Point Spread Above Index 3M SOFR+626 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Integrity Marketing Acquisition, LLC- Unfunded Term Loan Maturity 08/31/2025 Insurance 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name DRI Holding Inc. Maturity 12/21/2028 Industry Media Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Sargent & Greenleaf Inc. Maturity 12/20/2024 Industry Electronics Current Coupon 11.92% Basis Point Spread Above Index SOFR+650 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lightspeed Buyer Inc. Maturity 02/03/2026 Healthcare, Education and Childcare Current Coupon 10.67% Basis Point Spread Above Index 1M SOFR+535 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Best Practice Associates LLC Maturity 06/29/2027 Aerospace and Defense Current Coupon 14.54% Basis Point Spread Above Index 3M SOFR+915 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sales Benchmark Index LLC (Revolver) Maturity 01/03/2025 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pequod Merger Sub, Inc. (Revolver) Maturity 12/02/2026 Financial Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Atlas Purchaser, Inc Maturity 05/07/2029 Telecommunications Current Coupon 14.66% Basis Point Spread Above Index 3M SOFR+900 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Dr. Squatch, LLC Maturity 08/27/2026 Personal and Non-Durable Consumer Products 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Hancock Roofing and Construction L.L.C. - Revolver, Maturity 12/31/2026, Industry Insurance 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mars Acquisition Holdings Corp., Maturity 05/14/2026, Industry Media, Current Coupon 10.98%, Basis Point Spread Above Index 3M SOFR+565 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Lariat ecoserv Co-Invest Holdings, LLC Environmental Services 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Preferred Equity—5.4% Flock Financial Class A Preferred Equity Financial Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Owl Acquisition, LLC Maturity 02/04/28 Industry Education Current Coupon 10.80% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Inventus Power, Inc. (Revolver) Maturity 06/30/2025 Electronics 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, IG Investment Holdings LLC, Maturity 09/22/2027, Industry Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Omnia Exterior Solutions, LLC - Revolver Maturity 12/29/2029 Diversified Conglomerate Service 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mars Acquisition Holdings Corp. - Revolver One, Maturity 05/14/2026, Industry Media 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Magnolia Topco LP - Class B Preferred Equity Auto Sector 2024-06-30 0001383414 pnnt:HealthcareEducationAndChildcareMember 2024-06-30 0001383414 Investments—219.4% 2023-09-30 0001383414 pnnt:SeniorSecuritiesMember 2019-02-05 2019-02-05 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% OHCP V BC COI, L.P. Distribution 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% EDS Topco, LP Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Exigo, LLC Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc., Maturity/Expiration 12/28/2028, Industry Personal, Food and Miscellaneous Services, Current Coupon 12.19%, Basis Point Spread Above Index 3M SOFR+685 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Riverpoint Medical, LLC Maturity 6/21/2025 Industry Healthcare Education and Childcare Current Coupon 10.78% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:JfIntermediateLlcMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% WCP Ivyrehab QP CF Feeder, LP - Unfunded Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Graffiti Buyer, Inc. (Revolver) Maturity 08/10/2027 Distribution 2022-10-01 2023-09-30 0001383414 pnnt:TwoThousandAndTwentySixNotesTwoMember us-gaap:FairValueMeasuredAtNetAssetValuePerShareMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% US Government Securities—12.2% U.S. Treasury Bill Maturity 07/23/2024 Short-Term U.S. Government Securities Current Coupon 5.24% 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Hills Distribution, Inc. - Unfunded Term Loan Maturity 11/07/2025 Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SSC Dominion Holdings, LLC - Class B (US Dominion, Inc.) Electronics 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name LJ Avalon Holdings, LLC Maturity 1/31/2030 Industry Environmental Services Current Coupon 11.74% Basis Point Spread Above Index SOFR+625 2024-06-30 0001383414 pnnt:CascadeEnvironmentalHoldingsLLCMember us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, NORA Acquisition, LLC Maturity 08/31/2029 Healthcare, Education and Childcare Current Coupon 11.68% Basis Point Spread Above Index 3M SOFR+635 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Icon Partners V C, L.P. Business Services One 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Ad.net Acquisition, LLC Maturity 05/07/2026 Industry Media Current Coupon 11.65% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beacon Behavioral Support Service, LLC - Unfunded Term Loan Maturity 12/21/2025 Healthcare, Education and Childcare 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Recteq, LLC Maturity 1/29/2026 Industry Consumer Products Current Coupon 12.49% Basis Point Spread Above Index SOFR+715 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Crane 1 Services, Inc. Maturity 08/16/27 Industry Personal, Food and Miscellaneous Services Current Coupon 10.90% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% K2 Pure Solutions NoCal, L.P. (Revolver) Maturity 12/20/2023 Chemicals, Plastics and Rubber 2022-10-01 2023-09-30 0001383414 pnnt:ControlledAndNonControlledAffiliatesMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% PennantPark Senior Loan Fund, LLC 2023-09-30 0001383414 pnnt:TwoThousandTwentySixNotesPayableMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Spendmend Holdings LLC - Revolver Maturity 03/01/2028 Business Services Current Coupon 10.98% Basis Point Spread Above Index 3M SOFR +565 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Shiftkey, LLC Maturity 06/21/2027 Business Services Current Coupon 11.40% Basis Point Spread Above Index 3M SOFR+601 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Anteriad LLC (f/k/a MeritDirect) Maturity 6/30/2026 Industry Media Current Coupon 11.23% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Cash and Cash Equivalents—12.0% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Magnolia Topco LP - Class A Common Equity Auto Sector 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Blackhawk Industrial Distribution, Inc. Maturity 09/17/24 Industry Distribution Current Coupon 11.79% Basis Point Spread Above Index SOFR+625 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember srt:MaximumMember 2024-04-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TCG 3.0 Jogger Acquisitionco, Inc. Maturity 1/26/2029 Media Current Coupon 11.84% Basis Point Spread Above Index 3M SOFR +650 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HV Watterson Holdings, LLC Maturity 12/17/2026 Business Services Coupon 11.79% Basis Point Spread Above Index 1M L+625 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% A1 Garage Merger Sub, LLC Maturity 12/22/2028 Personal, Food and Miscellaneous Services Current Coupon 11.44% Basis Point Spread Above Index 3M SOFR+610 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SecondLienMember srt:MaximumMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Magnolia Topco LP - Class B Common Equity Auto Sector 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Research Now Group, LLC and Dynata, LLC-DIP Maturity 08/06/24 Industry Business Services Current Coupon 14.21% Basis Point Spread Above Index SOFR+886 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Subordinated Debt/Corporate Notes—10.7% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) Media 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Magnolia Topco LP - Class B Common Equity Auto Sector 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% LJ Avalon, LP Environmental Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Vertex Companies, LLC - Revolver Maturity 08/30/2027 Business Services 2024-06-30 0001383414 srt:MinimumMember pnnt:IncentiveFeePaymentConditionThreeMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% PennantPark-TSO Senior Loan Fund II, LP Financial Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Cowboy Parent LLC (Blackhawk Industrial Distribution, Inc.), Industry Distribution 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Neptune Flood Incorporated Maturity 05/09/29 Industry Financial Services Current Coupon 11.97% Basis Point Spread Above Index SOFR+660 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Loving Tan Intermediate II, Inc. Maturity 05/31/2028 Consumer Products Current Coupon 12.39% Basis Point Spread Above Index 3M SOFR+700 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Delta InvestCo LP (Sigma Defense Systems, LLC), Industry Telecommunications 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Radius Aerospace, Inc. (Revolver) Maturity 03/31/2025 Aerospace and Defense Current Coupon 11.29% Basis Point Spread Above Index 3M SOFR+575 2022-10-01 2023-09-30 0001383414 pnnt:PersonalFoodAndMiscellaneousServicesMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name MOREgroup Holdings, LLC Maturity 01/16/30 Industry Business Services Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Five Star Buyer, Inc. - Unfunded Revolver Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Omnia Exterior Solutions, LLC - Unfunded Term Loan 2 Maturity 12/29/2025 Diversified Conglomerate Service 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% WCP Ivyrehab QP CF Feeder, LP Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AG Investco LP Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Vertex Companies, LLC - Revolver Maturity 08/30/2027 Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Halo Buyer, Inc. Maturity 07/06/2026 Consumer Products Current Coupon 13.67% Basis Point Spread Above Index 1M SOFR+835 2022-10-01 2023-09-30 0001383414 pnnt:SeniorSecuritiesMember 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Infinity Home Services Holdco, Inc.- Unfunded Term Loan Maturity 12/28/2023 Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Smartronix, LLC Maturity 11/23/2028 Industry Aerospace and Defense Current Coupon 11.33% Basis Point Spread Above Index SOFR+600 2024-06-30 0001383414 Gauge Loving Tan, LP - Common Equity 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% First Lien Secured Debt—2.1% Walker Edison Furniture Company, LLC - Unfunded Term Loan Maturity 03/31/2027 Home and Office Furnishings 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% PL Acquisitionco, LLC (Revolver) Maturity 11/09/2027 Retail 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TransGo, LLC Maturity 12/29/2028 Machinery Current Coupon 11.34% Basis Point Spread Above Index 3M SOFR +600 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% AFC Acquisitions, Inc. Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Research Now Group, Inc. and Dynata, LLC Maturity 12/20/2024 Business Services 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Subordinated Debt—27.9% PennantPark Senior Loan Fund, LLC Maturity 7/31/2027 Financial Services Current Coupon 13.33 Basis Point Spread Above Index 3M SOFR+800 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:USGovernmentSecuritiesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AMCSI Crash Co-Invest, LP One, Industry Auto Sector 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Any Hour Services Maturity 07/21/2027 Industry Personal, Food and Miscellaneous Services Current Coupon 11.22% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Gauge Schlesinger Coinvest, LLC - Class A-2 Preferred Equity Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pacific Purchaser, LLC - Unfunded Term Loan Maturity 09/30/2028 Business Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Rural Sourcing Holdings, Inc. (HPA SPQ Merger Sub, Inc.) Maturity 6/16/2029 Industry Professional Services Current Coupon 11.02% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Graffiti Buyer, Inc. (Revolver) Maturity 08/10/2027 Distribution Current Coupon 11.77% Basis Point Spread Above Index 3M L+560 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ORL Acquisition, Inc. (Revolver) Maturity 09/03/2027 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Altamira Intermediate Company II, Inc. Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rancho Health MSO, Inc. - Unfunded Term Loan Maturity 12/18/2025 Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Meadowlark Acquirer, LLC - Unfunded Revolver, Maturity 12/10/2027, Industry Business Services 2024-06-30 0001383414 Related Party PSLF Members Equity - 100.0%Related Party PSLF Members Equity - 100.0% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% FedHC InvestCo II LP Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AG Investco LP Business Services One 2023-10-01 2024-06-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember srt:MaximumMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Fairbanks Morse Defense Maturity 06/17/28 Industry Aerospace and Defense Current Coupon 10.40% Basis Point Spread Above Index SOFR+475 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Magenta Buyer, LLC Maturity 7/31/2028 Industry Software Current Coupon 10.59% Basis Point Spread Above Index SOFR+526 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name The Vertex Companies, LLC Maturity 08/31/2027 Industry Business Services Current Coupon 11.48% Basis Point Spread Above Index SOFR+610 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Inventus Power, Inc. Maturity 06/30/2025 Industry Consumer Products Current Coupon 12.96% Basis Point Spread Above Index SOFR+761 2023-10-01 2024-06-30 0001383414 pnnt:NonControlledNonAffiliatedInvestmentsMember 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:TwoThousandAndTwentySixNotesMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name CF512, Inc. Maturity 8/20/2026 Industry Media Current Coupon 11.54% Basis Point Spread Above Index SOFR+619 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Dr. Squatch, LLC Maturity 08/31/2027 Personal and Non-Durable Consumer Products Current Coupon 11.17 Basis Point Spread Above Index 3M SOFR+585 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% RTIC Parent Holdings, LLC - Class D Preferred Equity Consumer Products 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MDI Buyer, Inc., Maturity 07/25/2028, Industry Chemicals, Plastics and Rubber, Current Coupon 11.34%, Basis Point Spread Above Index 3M SOFR+600 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Crane 1 Services, Inc. (Revolver) Maturity 08/16/2027 Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Connatix Parent, LLC, Industry Media 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Seaway Buyer, LLC Maturity 6/13/2029 Industry Chemicals, Plastics and Rubber Current Coupon 11.54% Basis Point Spread Above Index SOFR+605 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pragmatic Institute, LLC - Revolver Maturity 07/06/2028 Business Services Current Coupon 12.85% (PIK 12.8%) Basis Point Spread Above Index 3M SOFR+750 2023-10-01 2024-06-30 0001383414 Related Party PSLF Cash and Cash Equivalents - 57.6% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Icon Partners V C, L.P. Business Services One 2023-09-30 0001383414 pnnt:InvestmentsCostMember pnnt:SecondLienMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Avenu Buyer, LLC - Unfunded Term Loan Maturity 04/02/2025 Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% IHS Parent Holdngs, L.P. Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Radius Aerospace, Inc. - Revolver Maturity 03/31/2025 Aerospace and Defense Current Coupon 11.24% Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ledge Lounger, Inc. Maturity 11/09/2026 Consumer Products Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+625 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Subordinated Debt/Corporate Notes—10.7% Flock Financial, LLC Maturity 05/26/2027 Financial Services Current Coupon 14.50% 2023-09-30 0001383414 us-gaap:DomesticCountryMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% MDI Aggregator, LP Chemicals, Plastics and Rubber 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PlayPower, Inc. Maturity 05/10/2026 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 10.95% Basis Point Spread Above Index 3M SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% LJ Avalon, LP Environmental Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Mars Intermediate Holdings II, Inc. Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Questex, LLC (Revolver) Maturity 09/09/2024 Media 2023-09-30 0001383414 Non-Affiliated Investments 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember pnnt:FlockFinancialLLCMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% PL Acquisitionco, LLC (Revolver) Maturity 11/09/2027 Retail 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% DRS Holdings III, Inc. - Revolver Maturity 11/03/2025 Consumer Products 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Ad.net Acquisition, LLC Maturity 05/07/2026 Industry Media Current Coupon 11.65% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Municipal Emergency Services, Inc. - Unfunded Term Loan A Maturity 12/16/2024 Distribution 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:SubordinatedDebtOrCorporateNotesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Graffiti Buyer, Inc. Maturity 08/10/2023 Distribution Current Coupon 10.98% Basis Point Spread Above Index 3M SOFR+560 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Burgess Point Holdings, LP Auto Sector 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name LAV Gear Holdings, Inc. Maturity 10/31/24 Industry Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 11.46% Basis Point Spread Above Index SOFR+565 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name PlayPower, Inc. Maturity 05/08/26 Industry Consumer Products Current Coupon 10.96% Basis Point Spread Above Index SOFR+565 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sigma Defense Systems, LLC Maturity 12/18/2027 Telecommunications Current Coupon 12.46% Basis Point Spread Above Index 1M SOFR+715Sigma Defense Systems, LLC Maturity 12/18/2027 Telecommunications Current Coupon 12.49% Basis Point Spread Above Index 1M SOFR+715 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Inventus Power, Inc. - Revolver, Maturity 06/30/2025, Industry Electronics 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Compex Legal Services, Inc. (Revolver) Maturity 02/07/2025 Business Services 2023-09-30 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, NORA Acquisition, LLC - Revolver Maturity 08/31/2029 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Adweek Purchaser, LLC Maturity 05/30/2027 Printing and Publishing 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Riverpoint Medical, LLC (Revolver) Maturity 06/20/2025 Healthcare, Education and Childcare Current Coupon 10.42% Basis Point Spread Above Index 3M SOFR+510 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name IG Investments Holdings, LLC Maturity 09/22/28 Industry Business Services Current Coupon 11.45% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rancho Health MSO, Inc. - Revolver Maturity 12/18/2025 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Wildcat Buyerco, Inc. - Unfunded Term Loan Maturity 02/27/2027 Electronics 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC Midco, LLC - Unfunded Revolver Maturity 06/26/2029 Diversified Conglomerate Service 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% HV Watterson Holdings, LLC Business Services 2023-09-30 0001383414 pnnt:MediaMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Five Star Parent Holdings, LLC Leisure, Amusement, Motion Pictures, Entertainment 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. - Unfunded Term Loan B Maturity 12/16/2024 Distribution 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Hancock Roofing and Construction L.L.C. Maturity 12/31/2026 Industry Insurance Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Simplicity Financial Marketing Group Holdings Inc. Maturity 12/02/2026 Financial Services Current Coupon 11.67% Basis Point Spread Above Index 3M SOFR+625 2023-10-01 2024-06-30 0001383414 pnnt:TelecommunicationsMember 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:WeightedAverageMember pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SubordinatedDebtOrCorporateNotesMember 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Subordinated Debt—20.4% PennantPark Senior Loan Fund, LLC Maturity 07/31/2027 Financial Services Current Coupon 13.37% Basis Point Spread Above Index 3M L+800 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Amsive Holding Corporation (f/k/a Vision Purchaser Corporation) Maturity 06/10/2025 Industry Media Current Coupon 11.79% Basis Point Spread Above Index SOFR+675 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sigma Defense Systems, LLC (Revolver) Maturity 12/18/2025 Telecommunications 2022-10-01 2023-09-30 0001383414 pnnt:SubordinatedNotesMember 2023-09-30 0001383414 pnnt:IncentiveFeePaymentConditionTwoMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Ad.net Acquisition, LLC - Revolver Maturity 05/07/2026 Media 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% A1 Garage Merger Sub, LLC (Revolver) Maturity 12/22/2028 Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Seaway Buyer, LLC - Revolver Maturity 06/13/2029 Chemicals, Plastics and Rubber 2023-10-01 2024-06-30 0001383414 us-gaap:ErrorCorrectionOtherMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Zips Car Wash, LLC Maturity 03/01/2024 Auto Sector Current Coupon 12.67% Basis Point Spread Above Index 1M SOFR+735 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% RTIC Parent Holdings, LLC - Class C Preferred Equity Consumer Products 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC Maturity 12/29/2026 Environmental Services Current Coupon 11.23% Basis Point Spread Above Index 3M SOFR+585 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ETE Intermediate II, LLC (Revolver) Maturity 05/25/2029 Personal, Food and Miscellaneous Services Current Coupon 11.83% Basis Point Spread Above Index 3M SOFR+650 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SSC Dominion Holdings, LLC - Class B (US Dominion, Inc.) Electronics 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:WeightedAverageMember us-gaap:EquityMethodInvestmentsMember us-gaap:MeasurementInputEbitdaMultipleMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Crane 1 Services, Inc. Maturity 08/16/2027 Industry Personal, Food and Miscellaneous Services Current Coupon 10.35% Basis Point Spread Above Index SOFR+551 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Bioderm, Inc. Maturity 01/31/28 Industry Healthcare, Education and Childcare Current Coupon 11.83% Basis Point Spread Above Index SOFR+650 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Connatix Buyer, Inc. Maturity 7/13/2027 Industry Media Current Coupon 11.11% Basis Point Spread Above Index SOFR+576 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Megawatt Acquisitionco, Inc. - Unfunded Revolver, Maturity 03/01/2030, Industry Electronics 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name HV Watterson Holdings, LLC Maturity 12/17/26 Industry Business Services Current Coupon 11.79% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Wildcat Buyerco, Inc. LLC Maturity 02/27/2027 Electronics Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Mars Acquisition Holdings Corp. Maturity 5/14/2026 Industry Media Current Coupon 10.98% Basis Point Spread Above Index SOFR+565 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Inception Fertility Ventures, LLC Maturity 12/07/2023 Healthcare, Education and Childcare Coupon 12.49% Basis Point Spread Above Index 3M SOFR+715 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel1Member pnnt:TwoThousandAndTwentySixNotesTwoMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% QuantiTech InvestCo LP Aerospace and Defense One 2023-10-01 2024-06-30 0001383414 2022-10-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Ox Two, LLC Maturity 05/18/2026 Building Materials Current Coupon 11.85% Basis Point Spread Above Index 1M SOFR+651 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Watchtower Intermediate, LLC. - Revolver Maturity 12/01/2029 Electronics 2023-10-01 2024-06-30 0001383414 2019-02-05 2019-02-05 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember 2022-10-01 2023-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SubordinatedDebtOrCorporateNotesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% HV Watterson Holdings, LLC Maturity 12/17/2026 Business Services Current Coupon 11.73% Basis Point Spread Above Index 1M SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% EDS Buyer, LLC Maturity 12/22/2028 Aerospace and Defense Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sigma Defense Systems, LLC Maturity 12/18/2025 Telecommunications Current Coupon 14.04% Basis Point Spread Above Index 3M SOFR+865 2022-10-01 2023-09-30 0001383414 pnnt:TransportationMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Lorient Peregrine Investments, LP Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name A1 Garage Merger Sub, LLC Maturity 12/22/2028 Industry Personal, Food and Miscellaneous Services Current Coupon 10.83% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% IG Investments Holdings, LLC (Revolver) Maturity 09/22/2027 Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Imagine Acquisitionco, LLC Maturity 11/15/2027 Industry Business Services Current Coupon 10.43% Basis Point Spread Above Index SOFR+510 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SV Aero Holdings, LLC Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Exigo Intermediate II, LLC Maturity 3/15/2027 Industry Business Services Current Coupon 11.69% Basis Point Spread Above Index SOFR+625 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Teneo Holdings LLC Maturity 03/13/2031 Industry Business Services Current Coupon 10.09% Basis Point Spread Above Index SOFR+475 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Halo Buyer, Inc. Maturity 06/30/2025 Consumer Products Current Coupon 9.94% Basis Point Spread Above Index 3M SOFR+460 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Seaway Buyer, LLC - Revolver Maturity 06/13/2029 Chemicals, Plastics and Rubber Current Coupon 11.48% Basis Point Spread Above Index 3M SOFR+615 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% Schlesinger Global, LLC - Promissory Note Maturity 07/26/2024 Business Services Current Coupon 12.33% Basis Point Spread Above Index 3M SOFR+700 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Ox Two, LLC - Revolver Maturity 05/18/2026 Building Materials 2023-10-01 2024-06-30 0001383414 us-gaap:ErrorCorrectionOtherMember 2021-10-01 2022-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name System Planning and Analysis, Inc. (f/k/a Management Consulting & Research, LLC) Maturity 08/16/2027 Industry Aerospace and Defense Current Coupon 11.16% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Solutionreach, Inc. Maturity 07/17/2025 Industry Communications Current Coupon 12.48% Basis Point Spread Above Index SOFR+700 2024-06-30 0001383414 Liabilities in Excess of Other Assets—(127.1%) of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% eCommission Holding Corporation, Industry Financial Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Ironclad Holdco, LLC (Applied Technical Services, LLC) Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Ad.net Holdings, Inc. Media 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Common Equity—12.8% AKW Holdings Limited Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Imagine Acquisitionco, LLC Maturity 11/15/2027 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% EvAL Home Health Solutions, LLC - Preferred Equity Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge ETE Blocker, LLC - Common Equity Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% QuantiTech LLC Maturity 02/04/2027 Aerospace and Defense Current Coupon 15.44% Basis Point Spread Above Index 3M SOFR+1010 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Affinion Group Holdings, Inc. (Warrants) Maturity 04/10/2024 Consumer Products 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% RTIC Parent Holdings, LLC - Class A Preferred Equity Consumer Products 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rural Sourcing Holdings, Inc. - Unfunded Term Loan Maturity 06/15/2029 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Five Star Buyer, Inc. - Unfunded Term Loan Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% A1 Garage Merger Sub, LLC - Unfunded Term Loan Maturity 12/21/2024 Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Quantic Electronics, LLC Maturity 11/19/26 Industry Aerospace and Defense Current Coupon 11.74% Basis Point Spread Above Index SOFR+625 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Neptune Flood Incorporated (Revolver) Maturity 05/09/2029 Insurance 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Avenu Buyer, LLC - Revolver Maturity 10/02/2029 Business Services Current Coupon 10.58% Basis Point Spread Above Index 3M SOFR+525 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Pragmatic Institute, LLC Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sigma Defense Systems, LLC – Revolver Maturity 12/18/2027 Telecommunications 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lash OpCo, LLC - Revolver, Maturity 08/16/2026, Industry Consumer Products, Current Coupon 13.18%, (PIK 5.1%) Basis Point Spread Above Index 1M SOFR+785 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Ad.net Holdings, Inc. Media 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Cartessa Aesthetics, LLC - Revolver Maturity 06/14/2028 Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Cartessa Aesthetics, LLC Distribution 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Electro Rent Corporation Maturity 01/17/24 Industry Electronics Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Integrity Marketing Acquisition, LLC - Unfunded Term Loan, Maturity 08/31/2025, Industry Insurance 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, ITI Holdings, Inc. - Revolver, Maturity 03/03/2028, Industry Business Services, Current Coupon 13.00%, Basis Point Spread Above Index 3M SOFR+450 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC Midco, LLC Maturity 06/26/2029 Diversified Conglomerate Service Current Coupon 11.09% Basis Point Spread Above Index 3M SOFR +575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pragmatic Institute, LLC Unfunded Term Loan Maturity 07/06/2028 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Bluebird Group LLC - Revolver Maturity 7/27/2026 Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Preferred Equity/Partnership Interests—6.4% Cascade Environmental Holdings, LLC - Series B Environmental Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Rancho Health MSO, Inc. Maturity 12/18/25 Industry Healthcare, Education and Childcare Current Coupon 11.22% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Investments and Cash Equivalents—268.5% 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:EquityFundsMember 2022-10-01 2023-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name One Stop Mailing, LLC Maturity 5/7/2027 Industry Transportation Current Coupon 11.71% Basis Point Spread Above Index SOFR+636 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carnegie Dartlet, LLC Maturity 02/07/2030 Education Current Coupon 10.84% Basis Point Spread Above Index 3M SOFR+550 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsCostMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Carisk Buyer, Inc Maturity 11/30/2029 Industry Education Current Coupon 10.84% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Integrity Marketing Acquisition, LLC Maturity 08/27/26 Industry Insurance Current Coupon 11.57% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rural Sourcing Holdings, Inc. – Unfunded Term Loan Maturity 06/27/2026 Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% U.S. Government Securities—19.9% U.S. Treasury Bill Maturity 10/19/2023 Short-Term U.S. Government Securities Current Coupon 5.31% 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Avenu Buyer, LLC Maturity 10/02/2029 Business Services Current Coupon 10.57% Basis Point Spread Above Index 3M SOFR+525 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TWD Parent Holdings, LLC (The Vertex Companies, LLC) Business Services 2023-10-01 2024-06-30 0001383414 pnnt:AKWHoldingsLimitedMember us-gaap:InvestmentAffiliatedIssuerControlledMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Integrity Marketing Acquisition, LLC- Unfunded Term Loan Maturity 08/31/2025 Insurance 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Reception Purchaser, LLC Maturity 02/28/2028 Transportation Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+615 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OceanSound Discovery Equity, LP (Holdco Sands Intermediate, LLC) Aerospace and Defense 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember srt:MinimumMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SecondLienMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% NXOF Holdings, Inc. (Tyto Athene, LLC) Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Urology Management Holdings, Inc. Maturity 06/15/2026 Healthcare , Education and Childcare Current Coupon 11.76% Basis Point Spread Above Index 3M SOFR +650 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Common Equity/Partnership Interests/Warrants—0.0% Cascade Environmental Holdings, LLC Environmental Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MDI Buyer, Inc. Maturity 07/25/2028 Chemicals, Plastics and Rubber Current Coupon 11.27% Basis Point Spread Above Index 3M SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Municipal Emergency Services, Inc. Distribution 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% Ascensus Holdings, Inc. Maturity 08/02/2028 Financial Services Current Coupon 12.03% Basis Point Spread Above Index 3M SOFR+676 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pequod Merger Sub, Inc. - Unfunded Term Loan Maturity 12/02/2026 Financial Services 2022-10-01 2023-09-30 0001383414 pnnt:USGovernmentSecuritiesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Riverside Assessments, LLC Maturity 03/10/2025 Education Current Coupon 11.24% Basis Point Spread Above Index 3M SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rural Sourcing Holdings, Inc. Maturity 06/15/2029 Business Services Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% AKW Holdings Limited - Common Equity Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Urology Partners Co., L.P. Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% JF Intermediate, LLC Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Consello Pacific Aggregator, LLC, Industry Business Services 2023-10-01 2024-06-30 0001383414 pnnt:EquityDistributionAgreementsMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Alpine Acquisition Corp II Maturity 11/30/2026 Industry Containers, Packaging and Glass Current Coupon 11.26% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Cowboy Parent LLC (Blackhawk Industrial Distribution, Inc.), Industry Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Tower Arch Infolinks Media, LP Media One 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name MAG DS Corp. Maturity 04/01/27 Industry Aerospace and Defense Current Coupon 10.99% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Apex Service Partners, LLC (Revolver) Maturity 07/31/2025 Personal, Food and Miscellaneous Services Current Coupon 10.79% Basis Point Spread Above Index 3M SOFR+525 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% PennantPark-TSO Senior Loan Fund II, LP Financial Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% Schlesinger Global, LLC - Promissory Note Maturity 07/26/2024 Business Services Current Coupon 12.33% Basis Point Spread Above Index 3M SOFR+700 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Megawatt Acquisitionco, Inc. - Revolver, Maturity 03/01/2030, Industry Electronics, Current Coupon 10.59%, Basis Point Spread Above Index 3M SOFR+525 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Magenta Buyer, LLC Maturity 07/31/28 Industry Software Current Coupon 10.63% Basis Point Spread Above Index SOFR+500 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rancho Health MSO, Inc. Maturity 12/18/2025 Healthcare, Education and Childcare Current Coupon 11.22% Basis Point Spread Above Index 3M SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC - Unfunded Term Loan Maturity 07/17/2025 Environmental Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Burgess Point Holdings, LP Auto Sector 2023-10-01 2024-06-30 0001383414 Net Assets—100.0% 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Wildcat Buyerco, Inc. Maturity 2/27/2026 Industry Electronics Current Coupon 10.54% Basis Point Spread Above Index SOFR+515 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Broder Bros., Co. Maturity 12/04/2025 Industry Personal and Non-Durable Consumer Products Current Coupon 11.60% Basis Point Spread Above Index SOFR+626 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lightspeed Buyer Inc. - Revolver, Maturity/Expiration 02/03/2026, Industry Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% New Medina Health, LLC Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Avenu Buyer, LLC - Unfunded Term Loan Maturity 04/02/2025 Business Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name NORA Acquisition, LLC Maturity 08/31/2029 Industry Healthcare, Education and Childcare, Current Coupon 11.68% Basis Point Spread Above Index SOFR+635 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember 2021-04-30 0001383414 pnnt:ChemicalsPlasticsAndRubberMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Cartessa Aesthetics, LLC Maturity 06/14/2028 Distribution Current Coupon 11.39% Basis Point Spread Above Index 3M SOFR+600 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% A1 Garage Merger Sub, LLC (Revolver) Maturity 12/22/2028 Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% StellPen Holdings, LLC (CF512, Inc.) Media 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Pequod Merger Sub, Inc. Maturity 12/02/26 Industry Banking, Finance, Insurance & Real Estate Current Coupon 11.79% Basis Point Spread Above Index SOFR+640 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lightspeed Buyer Inc. - Revolver, Maturity/Expiration 02/03/2026, Industry Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Imagine Acquisitionco, LLC - Revolver, Maturity 11/15/2027, Industry Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% NXOF Holdings, Inc. (Tyto Athene, LLC) Aerospace and Defense 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Kinetic Purchaser, LLC Maturity 11/10/2027 Consumer Products Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+615 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LAV Gear Holdings, Inc. Maturity 10/31/2024 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 11.79% (PIK 5.50%) Basis Point Spread Above Index 1M SOFR+640 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Gauge Lash Coinvest, LLC - Preferred Equity Consumer Products 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Carisk Parent, L.P. - Common Equity Healthcare, Education and Childcare 2024-06-30 0001383414 pnnt:InvestmentsCostMember us-gaap:EquityMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Teneo Holdings LLC Maturity 7/18/2025 Industry Financial Services Current Coupon 10.67% Basis Point Spread Above Index SOFR+525 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Neptune Flood Incorporated (Revolver) Maturity 05/09/2029 Insurance 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Vertex Companies, LLC Maturity 08/30/2027 Business Services Current Coupon 11.93% Basis Point Spread Above Index 1M SOFR+635 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sales Benchmark Index LLC - Revolver Maturity 01/03/2025 Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Signature Systems Holding Company (Revolver) Maturity 05/03/2024 Chemicals, Plastics and Rubber 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Athletico Holdings, LLC Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Connatix Buyer, Inc. - Revolver Maturity 07/13/2027 Media 2023-10-01 2024-06-30 0001383414 pnnt:ControlledAffiliatedInvestmentsMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Ox Two, LLC Maturity 05/18/2026 Building Materials Current Coupon 11.85% Basis Point Spread Above Index 1M SOFR+651 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pragmatic Institute, LLC Maturity 07/06/2028 Business Services Current Coupon 12.85% (PIK 12.8%) Basis Point Spread Above Index 3M SOFR+750 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Graffiti Buyer, Inc. Maturity 08/10/2027 Industry Distribution Current Coupon 10.93% Basis Point Spread Above Index SOFR+560 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% QuantiTech InvestCo II LP Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Wildcat Parent, LP (Wildcat Buyerco, Inc.) Electronics 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Spendmend Holdings LLC - Unfunded Term Loan Maturity 03/01/2025 Business Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Team Services Group, LLC Maturity 11/24/2028 Healthcare, Education and Childcare Current Coupon 10.75% Basis Point Spread Above Index SOFR+515 2022-10-01 2023-09-30 0001383414 Related Party PSLF Members Equity - 100% 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Gauge ETE Blocker, LLC - Promissory Note Maturity 05/19/2029 Personal, Food and Miscellaneous Services Current Coupon 12.56% 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember us-gaap:EquityMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lightspeed Buyer Inc. (Revolver) Maturity 02/03/2026 Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Preferred Equity/Partnership Interests—6.4% Cascade Environmental Holdings, LLC - Series B Environmental Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Imagine Topco, LP Business Services Current Coupon 8.00% 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ox Two, LLC Maturity 05/18/2026 Building Materials Current Coupon 12.90% Basis Point Spread Above Index 1M SOFR+725 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel1Member pnnt:DebtInvestmentsMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Zips Car Wash, LLC Maturity 12/31/2024 Industry Business Services Current Coupon 12.69% Basis Point Spread Above Index SOFR+725 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Ledge Lounger, Inc. - Revolver, Maturity 11/09/2026, Industry Consumer Products, Current Coupon 11.98%, Basis Point Spread Above Index 3M SOFR+665 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Magnolia Topco LP - Class B Preferred Equity Auto Sector 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Cartessa Aesthetics, LLC Distribution 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name NBH Group LLC Maturity 8/19/2026 Industry Healthcare, Education and Childcare Current Coupon 11.18% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Ox Two, LLC (New Issue) Maturity 5/18/2026 Industry Distribution Current Coupon 11.85% Basis Point Spread Above Index SOFR+651 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MDI Buyer, Inc., Maturity 07/25/2028, Industry Chemicals, Plastics and Rubber, Current Coupon 11.34%, Basis Point Spread Above Index 3M SOFR+600 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name TWS Acquisition Corporation Maturity 06/06/2025 Industry Education Current Coupon 11.74% Basis Point Spread Above Index SOFR+625 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Tyto Athene, LLC (New Issue) - Revolver Maturity 04/01/2026 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Related Party PSLF Cash and Cash Equivalents - 57.6% Issuer Name BlackRock Federal FD Institutional 30 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% DRS Holdings III, Inc. Maturity 11/03/2025 Consumer Products Current Coupon 11.69%, Basis Point Spread Above Index 3M SOFR+635 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Lariat ecoserv Co-Invest Holdings, LLC Environmental Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% North Haven Saints Equity Holdings, LP Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Lash OpCo, LLC Maturity 2/18/2027 Industry Consumer Products Current Coupon 8.06% Basis Point Spread Above Index SOFR+275 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Mars Acquisition Holdings Corp. Maturity 05/14/2026 Media Current Coupon 11.04% Basis Point Spread Above Index 3M SOFR+565 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Quad (U.S.) Co-Invest, L.P. Business Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name SpendMend Holdings. LLC Maturity 3/1/2028 Industry Business Services Current Coupon 11.04% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MBS Holdings, Inc. (Revolver) Maturity 04/16/2027 Telecommunications Current Coupon 11.17% Basis Point Spread Above Index 1M SOFR+585 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Inception Fertility Ventures, LLC Maturity 12/31/24 Industry Healthcare, Education and Childcare Current Coupon 12.50% Basis Point Spread Above Index SOFR+715 2022-10-01 2023-09-30 0001383414 Non-Qualifying Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Wildcat Buyerco, Inc. (Revolver) Maturity 02/27/2026 Electronics 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Schlesinger Global, Inc. (Revolver) Maturity 07/14/2025 Business Services Current Coupon 12.52% (PIK 0.5%) Basis Point Spread Above Index 3M SOFR+775 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% NXOF Holdings, Inc. (Tyto Athene, LLC) Aerospace and Defense 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name LJ Avalon Holdings, LLC Maturity 01/31/30 Industry Environmental Services Current Coupon 11.77% Basis Point Spread Above Index SOFR+665 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LJ Avalon Holdings, LLC Maturity 07/31/2024 Environmental Services Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+640 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Mars Acquisition Holdings Corp. (Revolver) Maturity 05/14/2026 Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, IG Investment Holdings LLC, Maturity 09/22/2027, Industry Business Services 2024-06-30 0001383414 pnnt:PennantParkCloViiMember us-gaap:SecuredOvernightFinancingRateSofrOvernightIndexSwapRateMember pnnt:ClassA2Member us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% pendmend Holdings LLC Maturity 03/01/2028 Business Services Current Coupon 10.98% Basis Point Spread Above Index 3M SOFR +565 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Meadowlark Acquirer, LLC (Revolver) Maturity 12/10/2027 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC Midco, LLC - Unfunded Term Loan Maturity 06/26/2026 Diversified Conglomerate Service 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:DebtInvestmentsMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Infinity Home Services Holdco, Inc. Maturity 12/28/28 Industry Personal, Food and Miscellaneous Services Current Coupon 12.24% Basis Point Spread Above Index SOFR+685 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Safe Haven Defense MidCo, LLC Safe Haven Defense MidCo, LLC Building Materials 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Pink Lily Holdco, LLC Retail 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Icon Partners V C, L.P. Business Services One 2023-10-01 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesTwoMember 2021-10-31 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Solutionreach, Inc. Maturity 07/17/2025 Industry Communications Current Coupon 12.48% Basis Point Spread Above Index SOFR+700 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% NXOF Holdings, Inc. (Tyto Athene, LLC) Aerospace and Defense 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:LongTermCreditFacilityMember 2022-09-30 0001383414 pnnt:USGovernmentSecuritiesMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name AFC - Dell Holding Corp Maturity 04/09/2027 Industry Distribution Current Coupon 11.75% Basis Point Spread Above Index SOFR+640 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Imagine Acquisitionco, LLC Maturity 11/15/2027 Industry Business Services Current Coupon 10.43% Basis Point Spread Above Index SOFR+510 2024-06-30 0001383414 pnnt:LongTermCreditFacilityMember 2023-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Apex Service Partners, LLC Maturity 07/31/2025 Industry Personal, Food and Miscellaneous Services Current Coupon 10.52% Basis Point Spread Above Index SOFR+525 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Atlas Investment Aggregator, LLC Telecommunications 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% CF512, Inc. Maturity 08/20/2026 Media Current Coupon 11.53% Basis Point Spread Above Index 3M SOFR+619 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SP L2 Holdings ,LLC Consumer Products 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name STV Group Incorporated Maturity 12/11/2026 Industry Transportation Current Coupon 10.67% Basis Point Spread Above Index SOFR+525 2023-09-30 0001383414 pnnt:PennantParkCloViiMember pnnt:ClassA1BMember us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Applied Technical Services, LLC (Revolver) Maturity 12/29/2026 Environmental Services Current Coupon 13.25% Basis Point Spread Above Index 3M SOFR+475 2023-09-30 0001383414 vestments in Controlled, Affiliated Portfolio Companies—43.0% Common Equity—12.8% of Net Assets 2023-09-30 0001383414 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Riverpoint Medical, LLC - Revolver Maturity 06/20/2025 Healthcare, Education and Childcare Current Coupon 10.93% Basis Point Spread Above Index 3M SOFR+560 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Cartessa Aesthetics, LLC Maturity 06/14/2028 Distribution Current Coupon 11.39% Basis Point Spread Above Index 3M SOFR+600 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Fairbanks Morse Defense Maturity 6/17/2028 Industry Aerospace and Defense Current Coupon 10.35% Basis Point Spread Above Index SOFR+475 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Blackhawk Industrial Distribution, Inc. Maturity 09/17/2026 Distribution 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% PennantPark-TSO Senior Loan Fund II, LP Financial Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Crane 1 Services, Inc. Maturity 08/16/27 Industry Personal, Food and Miscellaneous Services Current Coupon 10.90% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Subordinated Debt—27.9% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% RFMG Parent, LP (Rancho Health MSO, Inc.) Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Best Practice Associates LLC Maturity 06/29/2027 Aerospace and Defense Current Coupon 14.48% Basis Point Spread Above Index 3M SOFR+915 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% US Government Securities—12.2% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PMS MIDCO INC - Unfunded Term Loan Maturity 03/01/2026 Financial Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Tyto Athene, LLC Maturity 4/3/2028 Industry Aerospace and Defense Current Coupon 10.90% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Megawatt Acquisitionco, Inc. Maturity 03/01/30 Industry Business Services Current Coupon 10.58% Basis Point Spread Above Index SOFR+525 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Hancock Roofing and Construction L.L.C. Maturity 12/31/2026 Industry Insurance Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Zips Car Wash, LLC Maturity 03/01/2024 Auto Sector Current Coupon 12.67% Basis Point Spread Above Index 1M SOFR+735 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MOREGroup Holdings, Inc. Unfunded Revolver Maturity 01/16/2030, Industry Business Services 2023-10-01 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesTwoMember 2021-10-01 2021-10-31 0001383414 us-gaap:InvestmentAffiliatedIssuerControlledMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name EDS Buyer, LLC Maturity 1/10/2029 Industry Aerospace and Defense Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sigma Defense Systems, LLC - Revolver Maturity 12/18/2027 Telecommunications Current Coupon 12.49% Basis Point Spread Above Index 1M SOFR+715 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Lightspeed Investment Holdco LLC Healthcare, Education and Childcare 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Arcfield Acquisition Corp Maturity 08/03/2029 Industry Aerospace and Defense Current Coupon 11.58% Basis Point Spread Above Index SOFR+625 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Seaway Buyer, LLC - Revolver Maturity 06/13/2029 Chemicals, Plastics and Rubber 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name IG Investments Holdings, LLC Maturity 9/22/2028 Industry Business Services Current Coupon 11.43% Basis Point Spread Above Index SOFR+600 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beacon Behavioral Support Service, LLC Maturity 06/21/2029 Healthcare, Education and Childcare Current Coupon 10.85% Basis Point Spread Above Index 3M SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Loving Tan Intermediate II, Inc. (Revolver) Maturity 05/31/2028 Consumer Products Current Coupon 12.39% Basis Point Spread Above Index 3M SOFR+700 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Beta Plus Technologies, Inc. Maturity 07/01/2029 Industry Business Services Current Coupon 11.14% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 pnnt:ControlledAffiliatedInvestmentsMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% GCOM InvestCo LP Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Adweek Purchaser, LLC Maturity 05/30/2027 Printing and Publishing 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Beta Plus Technologies, Inc. Maturity 07/01/2029 Business Services Current Coupon 11.14% Basis Point Spread Above Index 3M SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% HV Watterson Holdings, LLC Maturity 12/17/2026 Business Services Current Coupon 11.73% Basis Point Spread Above Index 1M SOFR+640 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member 2022-10-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% RTIC Subsidiary Holdings, LLC - Revolver Maturity 05/03/2029 Consumer Products 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Integrated Data Services - Term Loan Maturity 08/01/2029 Business Services Current Coupon 11.87% Basis Point Spread Above Index 3M SOFR+650 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Spendmend Holdings LLC Maturity 03/01/2028 Business Services Current Coupon 11.04% Basis Point Spread Above Index 1M SOFR+565 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. Maturity 09/28/2027 Distribution Current Coupon 11.05% Basis Point Spread Above Index 3M SOFR+565 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Common Equity/Partnership Interests/Warrants—2.4% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beacon Behavioral Support Service, LLC - Revolver Maturity 06/21/2029 Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% 2023-09-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:FirstLienMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Beta Plus Technologies, Inc. Maturity 07/01/2029 Business Services Current Coupon 11.14% Basis Point Spread Above Index 3M SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% RTIC Parent Holdings, LLC - Class D Preferred Equity Consumer Products 2024-06-30 0001383414 pnnt:DiversifiedConglomerateServiceMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% RFMG Parent, LP (Rancho Health MSO, Inc.) Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Spendmend Holdings LLC - Revolver Maturity 03/01/2028 Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Mars Intermediate Holdings II, Inc Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% NEPRT Parent Holdings, LLC (Recteq, LLC) Consumer Products 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TPCN Holding, LLC - Common Equity Diversified Conglomerate Service 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Loving Tan Intermediate II, Inc. (Revolver) Maturity 05/31/2028 Consumer Products Current Coupon 12.39% Basis Point Spread Above Index 3M SOFR+700 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ORL Acquisition, Inc. (Revolver) Maturity 09/03/2027 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% First Lien Secured Debt—20.8% AKW Holdings Limited Maturity 03/15/2027 Healthcare, Education and Childcare Current Coupon 12.32% Basis Point Spread Above Index 3M SOFR+700 (PIK 6.8) 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC - Revolver Maturity 12/29/2026 Environmental Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ips Car Wash, LLC Maturity 12/31/2024 Auto Sector Current Coupon 12.68% (PIK 1.5%) Basis Point Spread Above Index 3M SOFR +735 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ORL Acquisition, Inc. Maturity 09/3/2027 Business Services Current Coupon 14.73% (PIK 7.5%) Basis Point Spread Above Index 3M SOFR+940 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, ITI Holdings, Inc., Maturity 03/03/2028, Industry Business Services, Current Coupon 10.98%, Basis Point Spread Above Index 3M SOFR+565 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Halo Buyer, Inc. Maturity 06/30/2025 Consumer Products Current Coupon 9.94% Basis Point Spread Above Index 3M SOFR+460 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Five Star Buyer, Inc. - Revolver Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Riverpoint Medical, LLC - Revolver Maturity 06/20/2025 Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Lightspeed Investment Holdco LLC Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Team Services Group, LLC Maturity 12/18/2028 Healthcare, Education and Childcare Current Coupon 14.58% Basis Point Spread Above Index 3M SOFR+943 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name System Planning and Analysis, Inc. (f/k/a Management Consulting & Research, LLC) Maturity 8/16/2027 Aerospace and Defense Current Coupon 11.49% Basis Point Spread Above Index SOFR+600 2023-09-30 0001383414 Cash and Cash Equivalents—12.0% BlackRock Federal FD Institutional 30 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Apex Service Partners, LLC Maturity 07/31/2025 Personal, Food and Miscellaneous Services Current Coupon 10.77% Basis Point Spread Above Index 3M SOFR+525 2023-09-30 0001383414 pnnt:TruistCreditFacilityMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name ETE Intermediate II, LLC Maturity 5/29/2029 Industry Personal, Food and Miscellaneous Services Current Coupon 11.85% Basis Point Spread Above Index SOFR+650 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Subordinated Debt—27.9% PennantPark Senior Loan Fund, LLC Maturity 7/31/2027 Financial Services Current Coupon 13.33 Basis Point Spread Above Index 3M SOFR+800 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% TPC Holding Company, LP Food 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Tower Arch Infolinks Media, LP Media One 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Wildcat Buyerco, Inc. - Revolver Maturity 02/27/2027 Electronics 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TCG 3.0 Jogger Acquisitionco, Inc. Unfunded Revolver Maturity 1/26/2029 Media 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Infogroup Parent Holdings, Inc. (Data Axle, Inc.) Other Media 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Global Holdings InterCo LLC Maturity 03/16/2026 Industry Banking, Finance, Insurance & Real Estate Current Coupon 11.48% Basis Point Spread Above Index SOFR+610 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Ocean Sound Discovery Equity, LP (Holdco Sands Intermediate, LLC) Aerospace and Defense 2023-09-30 0001383414 pnnt:EnvironmentalServicesMember 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Subordinated Debt—27.9% Flock Financial, LLC Maturity 10/19/2027 Financial Services Current Coupon 14.5% (PIK 14.5%) 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Ad.net Acquisition, LLC (Revolver) Maturity 05/07/2026 Media 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Seaway Buyer, LLC Maturity 6/13/2029 Industry Chemicals, Plastics and Rubber Current Coupon 11.48% Basis Point Spread Above Index SOFR+615 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Imagine Acquisitionco, LLC (Revolver) Maturity 11/15/2027 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Common Equity/Partnership Interests/Warrants—2.4% Walker Edison Furniture Home and Office Furnishings 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Vertex Companies, LLC Maturity 08/30/2027 Business Services Current Coupon 11.69% Basis Point Spread Above Index 1M SOFR +635 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Urology Management Holdings, Inc. - Unfunded Term Loan Maturity 02/01/2024 Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 srt:OtherCurrencyMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LJ Avalon Holdings, LLC - Unfunded Term Loan, Maturity 07/31/2024, Industry Environmental Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% PCS Parent, LP Financial Services 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Graffiti Buyer, Inc. Maturity 08/10/2027 Industry Distribution Current Coupon 10.93% Basis Point Spread Above Index 3M SOFR+560 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Ad.net Holdings, Inc. Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LJ Avalon Holdings, LLC Maturity 07/31/2024 Environmental Services Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+640 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Blackhawk Industrial Distribution, Inc. (Revolver) Maturity 09/17/2026 Distribution 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Skopima Consilio Parent, LLC Maturity 5/17/2028 Industry Business Services Current Coupon 9.93% Basis Point Spread Above Index SOFR+450 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ETE Intermediate II, LLC (Revolver) Maturity 05/25/2029 Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mars Acquisition Holdings Corp. - Revolver, Maturity 05/14/2026, Industry Media, Current Coupon 10.98%, Basis Point Spread Above Index 3M SOFR+565 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Spendmend Holdings LLC - Revolver Maturity 03/01/2028 Business Services Current Coupon 10.98% Basis Point Spread Above Index 3M SOFR +565 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Any Hour Services Maturity 07/21/2027 Personal, Food and Miscellaneous Services Current Coupon 11.22% Basis Point Spread Above Index 3M SOFR+585 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Simplicity Financial Marketing Group Holdings Inc. - Unfunded Revolver Maturity 12/02/2026 Financial Services 2024-06-30 0001383414 us-gaap:EquityFundsMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Transgo, LLC Maturity 12/29/2028 Industry Auto Sector Current Coupon 11.34% Basis Point Spread Above Index SOFR+600 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Broder Bros., Co. Maturity 12/04/2025 Consumer Products Current Coupon 11.65% Basis Point Spread Above Index 3M SOFR+626 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ITI Holdings, Inc. Maturity 03/03/2028 Business Services Current Coupon 11.06% Basis Point Spread Above Index 3M SOFR+615 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% CF512, Inc. - Revolver Maturity 08/20/2026 Media Current Coupon 10.97% Basis Point Spread Above Index 3M SOFR+565 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc. - 1st Amendment Unfunded Term Loan, Maturity 11/17/2025, Industry Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sigma Defense Systems, LLC (Revolver) Maturity 12/18/2025 Telecommunications 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TWS Acquisition Corporation - Revolver Maturity 06/16/2025 Education 2023-10-01 2024-06-30 0001383414 pnnt:NonControlledAffiliatedInvestmentsMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name The Aegis Technologies Group, LLC Maturity 10/31/2025 Industry Aerospace and Defense Current Coupon 12.04% Basis Point Spread Above Index SOFR+650 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LJ Avalon Holdings, LLC - Unfunded Term Loan, Maturity 07/31/2024, Industry Environmental Services 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Connatix Buyer, Inc. Maturity 7/13/2027 Industry Media Current Coupon 11.11% Basis Point Spread Above Index SOFR+576 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Burgess Point Purchaser Corporation Maturity 07/28/2030 Auto Sector Current Coupon 14.44% Basis Point Spread Above Index 3M SOFR+910 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Municipal Emergency Services, Inc. - Unfunded Term Loan B Maturity 12/16/2024 Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Recteq, LLC - Revolver Maturity 01/29/2026 Consumer Products 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Burgess Point Purchaser Corporation Maturity 07/28/2030 Auto Sector Current Coupon 14.44% Basis Point Spread Above Index 3M SOFR+910 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Preferred Equity/Partnership Interests—6.4% Cascade Environmental Holdings, LLC Environmental Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Anteriad, LLC (f/k/a MeritDirect, LLC) Maturity 05/23/2024 Media Current Coupon 12.04% Basis Point Spread Above Index 3M SOFR+665 2023-09-30 0001383414 pnnt:AutoSectorMember 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Preferred Equity—5.4% of Net Assets 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name TWS Acquisition Corporation Maturity 06/06/2025 Industry Education Current Coupon 11.74% Basis Point Spread Above Index SOFR+625 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Atlas Purchaser, Inc. - Fourth Out Maturity 05/06/2028 Telecommunication Current Coupon 12.46% Basis Point Spread Above Index 3M SOFR+700 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% ITC Infusion Co-invest, LP Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Graffiti Buyer, Inc. - Unfunded Term Loan Maturity 08/10/2027 Distribution 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lightspeed Buyer Inc., Maturity/Expiration 02/03/2026, Industry Healthcare, Education and Childcare, Current Coupon 10.69%, Basis Point Spread Above Index 1M SOFR+535 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% OSP Embedded Purchaser, LLC - Revolver Maturity 12/15/2029 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sargent & Greenleaf Inc. - Revolver Maturity 12/20/2024 Electronics 2023-10-01 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% AKW Holdings Limited - Common Equity Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% SSC Dominion Holdings, LLC Class B (US Dominion, Inc.) Electronics 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel2Member us-gaap:EquityFundsMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name HW Holdco, LLC Maturity 5/10/2026 Industry Media Current Coupon 11.70% Basis Point Spread Above Index SOFR+640 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge Lash Coinvest LLC Consumer Products 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Loving Tan Intermediate II, Inc. - Revolver, Maturity 05/31/2028, Industry Consumer Products, Current Coupon 12.34%, Basis Point Spread Above Index 3M SOFR+700 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% S101 Holdings, Inc. – Unfunded Term Loan 2 Maturity 12/15/2024 Electronics 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:LongTermCreditFacilityMember 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Shiftkey, LLC Maturity 06/21/2027 Business Services Current Coupon 11.40% Basis Point Spread Above Index 3M SOFR+601 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Recteq, LLC Maturity 1/29/2026 Industry Consumer Products Current Coupon 12.49% Basis Point Spread Above Index SOFR+715 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Shiftkey, LLC Maturity 06/21/2027 Business Services Current Coupon 11.35% Basis Point Spread Above Index 3M SOFR+601 2024-06-30 0001383414 pnnt:CascadeEnvironmentalHoldingsLLCMember us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% ITC Infusion Co-invest, LP Healthcare, Education and Childcare 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name CF512, Inc. Maturity 8/20/2026 Industry Media Current Coupon 11.54% Basis Point Spread Above Index SOFR+619 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MOREGroup Holdings, Inc. Maturity 01/16/2030, Industry Business Services, Current Coupon 11.08%, Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Atlas Purchaser, Inc. - Fourth Out Maturity 05/06/2028 Telecommunication Current Coupon 12.46% Basis Point Spread Above Index 3M SOFR+700 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% LEP Pequod Holdings, LP - Common Equity Financial Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% EDS Topco, LP Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Meadowlark Acquirer, LLC Maturity 12/10/2027 Business Services Current Coupon 10.66% Basis Point Spread Above Index 3M SOFR+550 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Big Top Holdings, LLC Maturity 02/28/2030 Industry Manufacturing / Basic Industries Current Coupon 11.58% Basis Point Spread Above Index SOFR+625 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Imagine Topco, LP Business Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Urology Management Holdings. Inc. Maturity 6/15/2026 Industry Healthcare, Education and Childcare Current Coupon 11.79% Basis Point Spread Above Index SOFR+625 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Schlesinger Global, Inc. - Revolver Maturity 07/14/2025 Business Services 2024-06-30 0001383414 us-gaap:FairValueMeasuredAtNetAssetValuePerShareMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SP L2 Holdings ,LLC Consumer Products 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:DebtInvestmentsMember 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:LongTermCreditFacilityMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OceanSound Discovery Equity, LP (Holdco Sands Intermediate, LLC) Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Kinetic Purchaser, LLC Maturity 11/10/27 Industry Consumer Products Current Coupon 11.54% Basis Point Spread Above Index SOFR+615 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ITI Holdings, Inc. (Revolver) Maturity 03/03/2028 Business Services Current Coupon 10.70% Basis Point Spread Above Index 1M SOFR+560 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—145.6% First Lien Secured Debt—93.2% Inventus Power, Inc. Maturity 06/30/2025 Electronics Current Coupon 12.93% Basis Point Spread Above Index 1M SOFR+761 2023-09-30 0001383414 Total Investments and Cash Equivalents—227.1% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Signature CR Intermediate Holdco, Inc. Chemicals, Plastics and Rubber Current Coupon 12.00% 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% 2024-06-30 0001383414 pnnt:PennantParkCloViiMember pnnt:ClassBMember us-gaap:PrivatePlacementMember 2023-07-26 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc. (CAD), Maturity/Expiration 12/28/2028, Industry Personal, Food and Miscellaneous Services, Current Coupon 10.96%, Basis Point Spread Above Index 3M SOFR+600 2023-10-01 2024-06-30 0001383414 us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember 2024-04-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Apex Service Partners, LLC (Revolver) Maturity 07/31/2025 Personal, Food and Miscellaneous Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% US Government Securities—24.2% of Net Assets 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name K2 Pure Solutions NoCal, L.P. Maturity 12/20/23 Industry Chemicals, Plastics and Rubber Current Coupon 13.42% Basis Point Spread Above Index SOFR+800 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Spendmend Holdings LLC - Funded Revolver Maturity 03/01/2028 Business Services Current Coupon 11.20% Basis Point Spread Above Index 1M SOFR+565 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember srt:MinimumMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SecondLienMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% PL Acquisition co, LLC - Preferred Equity Retail 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC - Unfunded Term Loan Maturity 07/17/2025 Environmental Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Gauge Lash Coinvest LLC Consumer Products 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:MinimumMember pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:FirstLienMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name NBH Group LLC Maturity 8/19/2026 Industry Healthcare, Education and Childcare Current Coupon 11.18% Basis Point Spread Above Index SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Loving Tan Intermediate II, Inc., Maturity 05/31/2028, Industry Consumer Products, Current Coupon 12.34%, Basis Point Spread Above Index 3M SOFR+700 2024-06-30 0001383414 pnnt:TruistCreditFacilityMember 2022-10-01 2023-06-30 0001383414 pnnt:ControlledAffiliatedInvestmentsMember 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Hills Distribution, Inc Maturity 11/08/29 Industrial Distribution Current Coupon 11.33% Basis Point Spread Above Index SOFR+600 2024-06-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember srt:MaximumMember 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name AFC - Dell Holding Corp Maturity 04/09/2027 Industry Distribution Current Coupon 11.75% Basis Point Spread Above Index SOFR+640 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. Maturity 09/17/2026 Distribution Current Coupon 11.73% (PIK 2.0%) Basis Point Spread Above Index 3M SOFR+640 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Aeronix, Inc. - Term Loan Maturity 12/18/2028 Industry Aerospace and Defense Current Coupon 10.83% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 pnnt:EquityDistributionAgreementsMember 2024-06-04 2024-06-04 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Kinetic Purchaser, LLC - Revolver, Maturity 11/10/2026, Industry Consumer Products 2023-10-01 2024-06-30 0001383414 pnnt:USGovernmentSecuritiesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MDI Buyer, Inc. (Revolver) Maturity 07/25/2028 Chemicals, Plastics and Rubber Current Coupon 10.92% Basis Point Spread Above Index 3M SOFR+600 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Radius Aerospace, Inc. - Revolver Maturity 03/31/2025 Aerospace and Defense Current Coupon 11.24% Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:SubordinatedDebtOrCorporateNotesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rancho Health MSO, Inc. Maturity 12/18/2025 Healthcare, Education and Childcare Current Coupon 10.90% Basis Point Spread Above Index 3M SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Integrity Marketing Acquisition, LLC, Maturity 08/27/2026, Industry Insurance, Current Coupon 11.48%, Basis Point Spread Above Index 3M SOFR+615 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. - Revolver Maturity 09/17/2026 Distribution 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Falcon Buyer, Inc - Revolver Maturity 10/02/2029 Business Services One 2024-06-30 0001383414 pnnt:InvestmentsCostMember pnnt:FirstLienMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Research Now Group, LLC and Dynata, LLC Maturity 12/20/2024 Industry Business Services Current Coupon 0.00% Basis Point Spread Above Index SOFR+576 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% BioDerm, Inc. - Revolver Maturity 01/31/2028 Healthcare, Education and Childcare 2024-06-30 0001383414 2022-12-31 2022-12-31 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% S101 Holdings, Inc. - Term Loan C Maturity 12/29/2026 Electronics Current Coupon 11.45% Basis Point Spread Above Index 3M SOFR+615 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—145.6% First Lien Secured Debt—93.2% Inventus Power, Inc. Maturity 06/30/2025 Electronics Current Coupon 12.93% Basis Point Spread Above Index 1M SOFR+761 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Megawatt Acquisitionco, Inc. - Revolver, Maturity 03/01/2030, Industry Electronics, Current Coupon 10.59%, Basis Point Spread Above Index 3M SOFR+525 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Magnolia Topco LP - Class B Auto Sector 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rancho Health MSO, Inc. - Revolver Maturity 12/18/2025 Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) Media 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% The Bluebird Group LLC (Revolver) Maturity 07/27/2026 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Integrity Marketing Acquisition, LLC - Revolver, Maturity 08/31/2025, Industry Insurance 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsCostMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% BioDerm, Inc. - Revolver Maturity 01/31/2028 Healthcare, Education and Childcare Current Coupon 11.82% Basis Point Spread Above Index 3M SOFR+650 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Carisk Parent, L.P. - Common Equity Healthcare, Education and Childcare 2023-10-01 2024-06-30 0001383414 pnnt:SeniorSecuritiesMember 2019-02-06 2019-02-06 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Infogroup Parent Holdings, Inc. (Data Axle, Inc.) Other Media 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Mars Acquisition Holdings Corp. Maturity 05/14/26 Industry Media Current Coupon 11.04% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name HV Watterson Holdings, LLC Maturity 12/17/26 Industry Business Services Current Coupon 11.79% Basis Point Spread Above Index SOFR+600 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Beta Plus Technologies, Inc. Maturity 07/01/2029 Industry Business Services Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Questex, LLC Maturity 09/09/2024 Media Current Coupon 9.81% Basis Point Spread Above Index 3M SOFR+425 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Pragmatic Institute, LLC Business Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Magenta Buyer, LLC Maturity 07/31/28 Industry Software Current Coupon 10.63% Basis Point Spread Above Index SOFR+500 2023-09-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:EquityInPSLFMember 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:ValuationTechniqueMarketComparableMember pnnt:TruistCreditFacilityMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Holdco Sands Intermediate, LLC(Revolver) Maturity 11/23/2027 Aerospace and Defense 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Sargent & Greenleaf Inc. Maturity 12/20/2024 Industry Electronics Current Coupon 12.92% Basis Point Spread Above Index SOFR+750 2023-09-30 0001383414 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TPCN Holding, LLC - Common Equity Diversified Conglomerate Service 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Signature Systems Holding Company (Revolver) Maturity 05/03/2024 Chemicals, Plastics and Rubber 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Loving Tan Intermediate II, Inc. (Revolver) Maturity 05/31/2028 Consumer Products 2022-10-01 2023-09-30 0001383414 pnnt:EquityDistributionAgreementsMember 2024-04-01 2024-06-30 0001383414 pnnt:ConsumerProductsMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Research Now Group, Inc. and Dynata, LLC Maturity 12/20/2024 Business Services Current Coupon 11.13% Basis Point Spread Above Index 3M SOFR+576 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge Loving Tan, LP - Common Equity Consumer Products 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% eCommission Holding Corporation Financial Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% CF512, Inc. Maturity 08/20/2026 Media Current Coupon 11.53% Basis Point Spread Above Index 3M SOFR+619 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Quantic Electronics, LLC - Funded Revolver Maturity 08/17/2026 Aerospace and Defense Current Coupon 11.70% Basis Point Spread Above Index 3M SOFR+635 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Pink Lily Holdco, LLC Retail 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Carnegie Dartlet, LLC Maturity 02/07/2030 Industry Healthcare, Education and Childcare Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:LongTermCreditFacilityMember 2023-10-01 2024-06-30 0001383414 pnnt:InsuranceMember 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Riverpoint Medical, LLC Maturity 6/20/2025 Industry Healthcare, Education and Childcare Current Coupon 10.54% Basis Point Spread Above Index SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lightspeed Buyer Inc., Maturity/Expiration 02/03/2026, Industry Healthcare, Education and Childcare, Current Coupon 10.69%, Basis Point Spread Above Index 1M SOFR+535 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Berwick Industrial Park Maturity 11/02/2023 Buildings and Real Estate Current Coupon 11.50% 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member srt:WeightedAverageMember pnnt:MeasurementInputMarketYieldMember pnnt:FirstLienMember pnnt:ValuationTechniqueMarketComparableMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rancho Health MSO, Inc. (Revolver) Maturity 12/18/2025 Healthcare, Education and Childcare 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Icon Partners V C, L.P. Business Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Global Holdings InterCo LLC Maturity 03/16/26 Industry Banking, Finance, Insurance & Real Estate Current Coupon 11.96% Basis Point Spread Above Index SOFR+650 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% US Government Securities—12.2% U.S. Treasury Bill Maturity 07/23/2024 Short-Term U.S. Government Securities Current Coupon 5.24% 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Quantic Electronics, LLC Maturity 11/19/2026 Industry Aerospace and Defense Current Coupon 11.68% Basis Point Spread Above Index SOFR+635 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Pragmatic Institute, LL (Revolver) Maturity 07/06/2028 Business Services Current Coupon 11.17% Basis Point Spread Above Index 3M SOFR+575 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Cartessa Aesthetics, LLC Maturity 06/14/2028 Distribution Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Hancock Roofing and Construction L.L.C.(Revolver) Maturity 12/31/2026 Insurance 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name PL Acquisitionco, LLC Maturity 11/09/27 Industry Retail Current Coupon 12.42% Basis Point Spread Above Index SOFR+700 2022-10-01 2023-09-30 0001383414 pnnt:TruistCreditFacilityMember 2022-10-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% IG Investments Holdings, LLC (Revolver) Maturity 09/22/2027 Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% UniVista Insurance Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lightspeed Buyer Inc. (Revolver) Maturity 02/03/2026 Healthcare, Education and Childcare 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Apex Service Partners, LLC Maturity 07/31/2025 Industry Personal, Food and Miscellaneous Services Current Coupon 10.52% Basis Point Spread Above Index SOFR+525 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Radius Aerospace, Inc. (Revolver) Maturity 03/31/2025 Aerospace and Defense 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Inception Fertility Ventures, LLC Maturity 12/31/24 Industry Healthcare, Education and Childcare Current Coupon 12.50% Basis Point Spread Above Index SOFR+715 2023-09-30 0001383414 pnnt:ControlledAndNonControlledAffiliatesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% MDI Aggregator, LP Chemical, Plastics and Rubber 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Quantic Electronics, LLC Maturity 11/19/2026 Aerospace and Defense Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR+635 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Spendmend Holdings LLC Maturity 03/01/2028 Business Services Current Coupon 11.04% Basis Point Spread Above Index 1M SOFR+565 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Avenu Buyer, LLC - Revolver Maturity 10/02/2029 Business Services Current Coupon 10.58% Basis Point Spread Above Index 3M SOFR+525 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Rural Sourcing Holdings, Inc. (HPA SPQ Merger Sub, Inc.) Maturity 6/16/2029 Industry Professional Services Current Coupon 11.52% Basis Point Spread Above Index SOFR+625 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Meadowlark Acquirer, LLC - Unfunded Revolver, Maturity 12/10/2027, Industry Business Services 2023-10-01 2024-06-30 0001383414 Non-controlled Investments 2024-06-30 0001383414 pnnt:PennantParkTSOSeniorLoanFundIILPMember 2023-04-01 2023-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Confluent Health, LLC Maturity 11/30/2028 Healthcare, Education and Childcare Current Coupon 12.84% Basis Point Spread Above Index 3M SOFR+750 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Municipal Emergency Services, Inc. (Revolver) Maturity 09/28/2027 Distribution 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% RTIC Subsidiary Holdings, LLC Maturity 05/03/2029 Consumer Products Current Coupon 11.09% Basis Point Spread Above Index 3M SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, IG Investment Holdings LLC, Maturity 09/22/2028, Industry Business Services, Current Coupon 11.33%, Basis Point Spread Above Index 3M SOFR+600 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% NORA Acquisition, LLC Maturity 08/31/2029 Healthcare, Education and Childcare Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR+635 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Infolinks Media Buyco, LLC Maturity 11/01/26 Industry Media Current Coupon 11.17% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Subordinated Debt—20.4% 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Subordinated Debt—27.9% Flock Financial, LLC Maturity 10/19/2027 Financial Services Current Coupon 14.5% (PIK 14.5%) 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Ledge Lounger, Inc., Maturity 11/09/2026, Industry Consumer Products, Current Coupon 11.98%, Basis Point Spread Above Index 3M SOFR+665 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Exigo Intermediate II, LLC (Revolver) Maturity 03/15/2027 Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% MDI Buyer, Inc. (Revolver) Maturity 07/25/2028 Chemicals, Plastics and Rubber 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Preferred Equity/Partnership Interests—5.6% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Magnolia Topco LP - Class A Preferred Equity Auto Sector 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Hancock Claims Consultants Investors, LLC - Class A Preferred Equity Insurance 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% PennantPark-TSO Senior Loan Fund II, LP Financial Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carisk Buyer, Inc. - Unfunded Term Loan Maturity 12/01/2029 Healthcare, Education and Childcare 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% AG Investco LP Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% LJ Avalon Holdings, LLC - Revolver Maturity 01/31/2030 Environmental Services 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% First Lien Secured Debt—9.8% AKW Holdings Limited Maturity 3/15/2027 Industry Healthcare, Education and Childcare Current Coupon 12.21% Basis Point Spread Above Index 3M L+700 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Exigo, LLC, Business Services 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Summit Behavioral Healthcare, LLC Maturity 11/24/2028 Industry Healthcare, Education and Childcare Current Coupon 10.43% Basis Point Spread Above Index SOFR+475 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Seaway Buyer, LLC (Revolver) Maturity 06/13/2029 Chemicals, Plastics and Rubber Current Coupon 11.54% Basis Point Spread Above Index 3M SOFR+605 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:FirstLienMember pnnt:ValuationTechniqueMarketComparableMember srt:MaximumMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% TPC Holding Company, LP Food 2023-10-01 2024-06-30 0001383414 2018-01-01 2018-01-01 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Crane 1 Acquisition Parent Holdings, L.P., Industry Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 pnnt:MediaMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Integrated Data Services - Term Loan Maturity 08/01/2029 Business Services Current Coupon 11.87% Basis Point Spread Above Index 3M SOFR+650 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% NXOF Holdings, Inc. (Tyto Athene, LLC) Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Riverpoint Medical, LLC Maturity 6/21/2025 Industry Healthcare Education and Childcare Current Coupon 10.78% Basis Point Spread Above Index SOFR+550 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% ETE Intermediate II, LLC (Revolver) Maturity 5/25/2029 Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Exigo Intermediate II, LLC Maturity 3/15/2027 Industry Business Services Current Coupon 11.69% Basis Point Spread Above Index SOFR+625 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% EDS Buyer, LLC - (Revolver) Maturity 12/22/2028 Aerospace and Defense 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Atlas Purchaser, Inc. - Third Out Maturity 05/06/2028 Telecommunication Current Coupon 12.46% Basis Point Spread Above Index 3M SOFR+700 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sargent & Greenleaf Inc. (Revolver) Maturity 12/20/2024 Electronics 2022-10-01 2023-09-30 0001383414 pnnt:PennantParkSeniorLoanFundLLCMember 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ETE Intermediate II, LLC (Revolver) Maturity 05/25/2029 Personal, Food and Miscellaneous Services Current Coupon 11.83% Basis Point Spread Above Index 3M SOFR+650 2023-10-01 2024-06-30 0001383414 pnnt:TruistCreditFacilityMember 2024-04-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name The Bluebird Group LLC Maturity 7/27/2026 Industry Business Services Current Coupon 12.79% Basis Point Spread Above Index SOFR+725 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% System Planning and Analysis, Inc. - Unfunded Revolver Maturity 08/16/2027 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Cartessa Aesthetics, LLC - (Revolver) Maturity 06/14/2028 Distribution One 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Inception Fertility Ventures, LLC Maturity 12/07/2023 Healthcare, Education and Childcare Coupon 12.49% Basis Point Spread Above Index 3M SOFR+715 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Crane 1 Services, Inc. - Revolver Maturity 08/16/2027 Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc. - Revolver One, Maturity/Expiration 12/28/2028, Industry Personal, Food and Miscellaneous Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. - Revolver Maturity 09/17/2026 Distribution Current Coupon 11.73% Basis Point Spread Above Index 3M SOFR+640 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Integrity Marketing Acquisition, LLC Maturity 08/27/2026 Insurance Current Coupon 11.41% Basis Point Spread Above Index 3M SOFR+615 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% BioDerm, Inc. (Revolver) Maturity 01/31/2028 Healthcare, Education and Childcare 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name HW Holdco, LLC Maturity 12/10/24 Industry Media Current Coupon 11.70% Basis Point Spread Above Index SOFR+625 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name The Aegis Technologies Group, LLC Maturity 10/31/2025 Industry Aerospace and Defense Current Coupon 12.04% Basis Point Spread Above Index SOFR+650 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Common Equity—12.8% MSpark, LLC Printing and Publishing 2023-09-30 0001383414 us-gaap:FinancingReceivables30To59DaysPastDueMember 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember us-gaap:FairValueInputsLevel2Member 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LAV Gear Holdings, Inc., Maturity 10/31/2025, Industry Leisure, Amusement, Motion Pictures, Entertainment, Current Coupon 11.76%, Basis Point Spread Above Index 1M SOFR+643 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Quad (U.S.) Co-Invest, L.P. Business Services 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% NEPRT Parent Holdings, LLC (Recteq, LLC) Consumer Products 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Summit Behavioral Healthcare, LLC Maturity 11/24/2028 Industry Healthcare, Education and Childcare Current Coupon 9.60% Basis Point Spread Above Index SOFR+425 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Watchtower Buyer, LLC Maturity 12/01/2029 Industry Consumer Products Current Coupon 11.33% Basis Point Spread Above Index SOFR+600 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Solutionreach, Inc. (Revolver) Maturity 07/17/2025 Communications 2023-09-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember 2021-04-01 2021-04-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Kinetic Purchaser, LLC, Maturity 11/10/2027, Industry Consumer Products, Current Coupon 11.48%, Basis Point Spread Above Index 3M SOFR+615 2024-06-30 0001383414 Investments—219.4% of Net Assets 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% First Lien Secured Debt—9.8% 2023-09-30 0001383414 us-gaap:FairValueInputsLevel1Member 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, NORA Acquisition, LLC Maturity 08/31/2029 Healthcare, Education and Childcare Current Coupon 11.68% Basis Point Spread Above Index 3M SOFR+635 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Compex Legal Services, Inc. - Revolver Maturity 02/07/2025 Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Schlesinger Global, Inc. Maturity 07/14/2025 Business Services Current Coupon 13.69% (PIK 5.6%) Basis Point Spread Above Index 3M SOFR+835 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember us-gaap:FairValueInputsLevel1Member 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Aeronix, Inc. - Revolver Maturity 12/12/2028 Aerospace and Defense 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% EDS Topco, LP Aerospace and Defense 2023-09-30 0001383414 pnnt:ElectronicsMember 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Radius Aerospace, Inc. Maturity 3/31/2025 Industry Aerospace and Defense Current Coupon 11.38% Basis Point Spread Above Index SOFR+575Related Party PSLF First Lien Secured Debt - 803.6 Issuer Name Radius Aerospace, Inc. Maturity 3/31/2025 Industry Aerospace and Defense Current Coupon 11.38% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Signature Systems Holding Company Maturity 5/3/2024 Industry Chemicals, Plastics and Rubber Current Coupon 12.04% Basis Point Spread Above Index SOFR+650 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name PCS Midco, Inc. Maturity 03/01/30 Industry Financial Services Current Coupon 11.10% Basis Point Spread Above Index SOFR+575 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LJ Avalon Holdings, LLC, Maturity 02/01/2030, Industry Environmental Services, Current Coupon 10.58%, Basis Point Spread Above Index 1M SOFR+525 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Bluebird Group LLC Maturity 7/27/2026 Business Services Current Coupon 11.98% Basis Point Spread Above Index 3M SOFR +665 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Sargent & Greenleaf Inc. Maturity 12/20/2024 Industry Electronics Current Coupon 11.92% Basis Point Spread Above Index SOFR+650 2023-10-01 2024-06-30 0001383414 pnnt:TwoThousandTwentySixTwoNotesPayableMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Imagine Acquisitionco, LLC (Revolver) Maturity 11/15/2027 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Safe Haven Defense US LLC - Revolver Maturity 05/23/2029 Building Materials 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Mars Intermediate Holdings II, Inc. Media 2022-10-01 2023-09-30 0001383414 us-gaap:FairValueInputsLevel3Member pnnt:MeasurementInputMarketYieldMember pnnt:FirstLienMember pnnt:ValuationTechniqueMarketComparableMember 2024-06-30 0001383414 us-gaap:DomesticCountryMember 2024-04-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Smartronix, LLC Maturity 11/23/2028 Aerospace and Defense Current Coupon 11.58% Basis Point Spread Above Index 3M SOFR+600 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsFairValueMember pnnt:USGovernmentSecuritiesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MOREGroup Holdings, Inc. Unfunded Term Loan Maturity 01/16/2026, Industry Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% QuantiTech LLC Maturity 02/04/2027 Aerospace and Defense Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR+635 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% HW Holdco, LLC(Revolver) Maturity 12/10/2024 Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC Maturity 12/29/2026 Environmental Services Current Coupon 11.23% Basis Point Spread Above Index 3M SOFR+585 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Meadowlark Acquirer, LLC Maturity 12/10/27 Industry Business Services Current Coupon 10.58% Basis Point Spread Above Index SOFR+550 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Five Star Buyer, Inc. - Unfunded Revolver Maturity 02/23/2028 Leisure, Amusement, Motion Pictures, Entertainment 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SV Aero Holdings, LLC Aerospace and Defense 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesTwoMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Mars Acquisition Holdings Corp. (Revolver) Maturity 05/14/2026 Media 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% System Planning and Analysis, Inc. - (Revolver) (f/k/a Management Consulting & Research, LLC) Maturity 08/16/2027 Aerospace and Defense 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% EvAL Home Health Solutions, LLC - Preferred Equity Healthcare, Education and Childcare 2024-06-30 0001383414 us-gaap:FairValueInputsLevel3Member us-gaap:MeasurementInputDiscountForLackOfMarketabilityMember us-gaap:EquityMethodInvestmentsMember pnnt:ValuationTechniqueEnterpriseMarketValueMember 2023-09-30 0001383414 pnnt:TwoThousandsAndTwentySixNotesTwoPayableMember 2023-10-01 2024-06-30 0001383414 pnnt:InvestmentsCostMember pnnt:SubordinatedDebtOrCorporateNotesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% DRS Holdings III, Inc. Maturity 11/03/2025 Consumer Products Current Coupon 11.79% Basis Point Spread Above Index 3M SOFR+640 2023-09-30 0001383414 pnnt:USGovernmentSecuritiesMember us-gaap:FairValueMeasuredAtNetAssetValuePerShareMember 2024-06-30 0001383414 pnnt:FinancialServicesMember 2024-06-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% Preferred Equity—5.4% Flock Financial Class B Preferred Equity Financial Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Altamira Intermediate Company II, Inc., Industry Aerospace and Defense 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Common Equity/Partnership Interests/Warrants—2.4% Cascade Environmental Holdings, LLC Environmental Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% SBI Holdings Investments LLC (Sales Benchmark Index LLC) Business Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sargent & Greenleaf Inc. (Revolver) Maturity 12/20/2024 Electronics 2023-09-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Hancock Claims Consultants Investors, LLC Insurance 2024-06-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—10.9% Common Equity/Partnership Interests/Warrants—2.4% JF Intermediate, LLC Distribution 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% Signature CR Intermediate Holdco, Inc. Chemicals, Plastics and Rubber Current Coupon 12.00% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Second Lien Secured Debt—16.0% ENC Parent Corporation Maturity 08/19/2029 Business Services Current Coupon 13.15% Basis Point Spread Above Index 3M SOFR+776 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Rancho Health MSO, Inc. (Revolver) Maturity 12/18/2025 Healthcare, Education and Childcare Current Coupon 11.24% Basis Point Spread Above Index 3M SOFR+575 2023-09-30 0001383414 pnnt:OtherMember 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—75.8% First Lien Secured Debt—20.8% of Net Assets 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Watchtower Intermediate, LLC. - Unfunded Term Loan Maturity 12/01/2025 Electronics 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Research Now Group, LLC and Dynata, LLC Maturity 12/20/2024 Industry Business Services Current Coupon 11.13% Basis Point Spread Above Index SOFR+550 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Compex Legal Services, Inc. Maturity 02/07/2025 Business Services Current Coupon 10.87% Basis Point Spread Above Index 3M SOFR+555 2024-06-30 0001383414 pnnt:TwoThousandAndTwentySixNotesMember 2021-04-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% SP L2 Holdings, LLC Consumer Products 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Gauge TVC Coinvest, LLC (TVC Enterprises, LLC) Transportation 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Ox Two, LLC (New Issue) Maturity 05/18/26 Industry Distribution Current Coupon 12.90% Basis Point Spread Above Index SOFR+725 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Schlesinger Global, Inc. Maturity 07/14/2025 Business Services Current Coupon 13.15% Basis Point Spread Above Index 3M SOFR+775 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Preferred Equity/Partnership Interests—2.6% TPC Holding Company, LP Food 2022-10-01 2023-09-30 0001383414 Investments in Controlled, Affiliated Portfolio Companies—43.0% Subordinated Debt—20.4% of Net Assets 2023-09-30 0001383414 Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% of Net Assets 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name HW Holdco, LLC Maturity 12/10/24 Industry Media Current Coupon 11.70% Basis Point Spread Above Index SOFR+625 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mars Acquisition Holdings Corp., Maturity 05/14/2026, Industry Media, Current Coupon 10.98%, Basis Point Spread Above Index 3M SOFR+565 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name SpendMend Holdings, LLC Maturity 03/01/2028 Industry Business Services Current Coupon 10.98% Basis Point Spread Above Index SOFR+565 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Gauge ETE Blocker, LLC - Promissory Note Maturity 05/19/2029 Personal, Food and Miscellaneous Services Current Coupon 12.56% 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% TWS Acquisition Corporation (Revolver) Maturity 06/16/2025 Education 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% A1 Garage Equity, LLC Personal, Food and Miscellaneous Services 2023-10-01 2024-06-30 0001383414 pnnt:FinancialServicesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% WCP Ivyrehab QP CF Feeder, LP - Unfunded Healthcare, Education and Childcare 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Sales Benchmark Index LLC (Revolver) Maturity 01/03/2025 Business Services 2022-10-01 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Adweek Purchaser, LLC Maturity 05/30/2027 Printing and Publishing Current Coupon 12.33% Basis Point Spread Above Index 3M SOFR+700 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Meadowlark Title, LLC Business Services 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% LJ Avalon, LP Environmental Services 2022-10-01 2023-09-30 0001383414 Related Party PSLF Members Equity - 100.0% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sigma Defense Systems, LLC - Revolver Maturity 12/18/2027 Telecommunications Current Coupon 12.49% Basis Point Spread Above Index 1M SOFR+715 2023-10-01 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name PlayPower, Inc. Maturity 05/08/26 Industry Consumer Products Current Coupon 10.96% Basis Point Spread Above Index SOFR+565 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% System Planning and Analysis, Inc. Maturity 08/16/2027 Aerospace and Defense Current Coupon 11.16% Basis Point Spread Above Index 3M SOFR+590 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Pink Lily Holdco, LLC Retail 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Schlesinger Global, Inc. - Revolver Maturity 07/14/2025 Business Services Current Coupon 13.69% (PIK 5.6%) Basis Point Spread Above Index 3M SOFR+835 2024-06-30 0001383414 Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Aeronix, Inc. - Term Loan Maturity 12/18/2028 Industry Aerospace and Defense Current Coupon 10.83% Basis Point Spread Above Index SOFR+550 2023-10-01 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Apex Service Partners, LLC (Revolver) Maturity 07/31/2025 Personal, Food and Miscellaneous Services 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—159.2% First Lien Secured Debt—93.2% 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Wildcat Buyerco, Inc. LLC Maturity 02/27/2027 Electronics Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Ad.net Holdings, Inc. Media 2024-06-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Anteriad, LLC (f/k/a MeritDirect, LLC) (Revolver) Maturity 05/23/2024 Media 2022-10-01 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt – 783.7% Issuer Name Graffiti Buyer, Inc. Maturity 08/10/27 Industry Distribution Current Coupon 10.99% Basis Point Spread Above Index SOFR+575 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Arcfield Acquisition Corp. (Revolver) Maturity 08/03/2029 Aerospace and Defense Current Coupon 11.62% Basis Point Spread Above Index 1M SOFR+615 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% Common Equity/Partnership Interests/Warrants—23.0% Delta InvestCo LP (Sigma Defense Systems, LLC) Telecommunications 2023-09-30 0001383414 Related Party PSLF First Lien Secured Debt - 783.7% Issuer Name Zips Car Wash, LLC Maturity 3/1/2024 Industry Business Services Current Coupon 12.67% Basis Point Spread Above Index SOFR+725 2023-09-30 0001383414 pnnt:PersonalFoodAndMiscellaneousServicesMember 2023-09-30 0001383414 Investments in Non-Controlled, Non-Affiliated Portfolio Companies—165.4% First Lien Secured Debt—93.2% Lash OpCo, LLC (Revolver) Maturity 08/16/2026 Consumer Products 2023-09-30 xbrli:pure iso4217:USD xbrli:shares xbrli:shares iso4217:CAD iso4217:GBP pnnt:Portfolio iso4217:USD

•]`

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

FORM 10-Q

(Mark One)

QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

FOR THE QUARTERLY PERIOD ENDED JUNE 30, 2024

OR

TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

FOR THE TRANSITION PERIOD FROM TO

COMMISSION FILE NUMBER: 814-00736

PENNANTPARK INVESTMENT CORPORATION

(Exact name of registrant as specified in its charter)

MARYLAND

20-8250744

(State or other jurisdiction of incorporation or organization)

(I.R.S. Employer Identification No.)

1691 Michigan Avenue ,

Miami Beach , Florida

33139

(Address of principal executive offices)

(Zip Code)

( 786 ) 297-9500

(Registrant’s Telephone Number, Including Area Code)

None

(Former name, former address and former fiscal year, if changed since last report)

Securities registered pursuant to Section 12(b) of the Act:

Title of Each Class

Trading Symbol(s)

Name of Each Exchange on Which Registered

Common Stock, par value $0.001 per share

PNNT

The New York Stock Exchange

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes No ☐

Indicate by check mark whether the registrant has submitted electronically every Interactive Data File required to be submitted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit such files). Yes ☒ No ☐

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, a smaller reporting company, or an emerging growth company. See the definitions of “large accelerated filer,” “accelerated filer,” “smaller reporting company,” and “emerging growth company” in Rule 12b-2 of the Exchange Act.

Large accelerated filer

Accelerated filer

Non-accelerated filer

Smaller reporting company

Emerging growth company

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act). Yes No ☐

The number of shares of the registrant’s common stock, $0.001 par value per share, outstanding as of August 7, 2024 was 65,296,094 .


PENNANTPARK INVESTMENT CORPORATION

FORM 10-Q FOR THE QUARTER ENDED JUNE 30, 2024

TABLE OF CONTENTS

PART I. CONSOLIDATED FINANCIAL INFORMATION

Item 1. Consolidated Financial Statements

Consolidated Statements of Assets and Liabilities as of June 30, 2024 (unaudited) and September 30, 2023

4

Consolidated Statements of Operations for the three and nine months ended June 30, 2024 and 2023 (unaudited)

5

Consolidated Statements of Changes in Net Assets for the three and nine months ended June 30, 2024 and 2023 (unaudited)

6

Consolidated Statements of Cash Flows for the nine months ended June 30, 2024 and 2023 (unaudited)

7

Consolidated Schedules of Investments as of June 30, 2024 (unaudited) and September 30, 2023

8

Notes to Consolidated Financial Statements (unaudited)

23

Report of Independent Registered Public Accounting Firm (PCAOB ID 49)

42

Item 2. Management’s Discussion and Analysis of Financial Condition and Results of Operations

44

Item 3. Quantitative and Qualitative Disclosures About Market Risk

58

Item 4. Controls and Procedures

59

PART II. OTHER INFORMATION

Item 1. Legal Proceedings

60

Item 1A. Risk Factors

60

Item 2. Unregistered Sales of Equity Securities and Use of Proceeds

60

Item 3. Defaults Upon Senior Securities

60

Item 4. Mine Safety Disclosures

60

Item 5. Other Information

60

Item 6. Exhibits

61

SIGNATURES

62

2


PART I—CONSOLIDATED F INANCIAL INFORMATION

We are filing this Quarterly Report on Form 10-Q (the "Report"), in compliance with Rule 13a-13 as promulgated by the Securities and Exchange Commission, or the SEC, under the Securities Exchange Act of 1934, as amended, or the Exchange Act. In this Report, except where context suggest otherwise, the terms “Company,” “we,” “our” or “us” refers to PennantPark Investment Corporation and its consolidated subsidiaries; “PennantPark Investment” refers to only PennantPark Investment Corporation; “our SBIC Fund” refers collectively to our consolidated subsidiaries, PennantPark SBIC II LP, or SBIC II, and its general partner, PennantPark SBIC GP II, LLC; “Funding I” refers to PennantPark Investment Funding I, LLC, a wholly-owned subsidiary prior to deconsolidation on July 31, 2020; “Taxable Subsidiary” refers collectively to our consolidated subsidiaries, PNNT Investment Holdings II, LLC and PNNT Investment Holdings, LLC; “PSLF” refers to PennantPark Senior Loan Fund, LLC, an unconsolidated joint venture; “PTSF II” refers to PennantPark-TSO Senior Loan Fund II, LP, an unconsolidated limited partnership; “PennantPark Investment Advisers” or “Investment Adviser” refers to PennantPark Investment Advisers, LLC; “PennantPark Investment Administration” or “Administrator” refers to PennantPark Investment Administration, LLC; “SBA” refers to the Small Business Administration; “SBIC” refers to a small business investment company under the Small Business Investment Act of 1958, as amended; “BNP Credit Facility” refers to our revolving credit facility with BNP Paribas prior to deconsolidation of Funding I; “Truist Credit Facility” refers to our multi-currency, senior secured revolving credit facility with Truist Bank, as amended and restated; “2026 Notes” refers to our 4.50% Notes due May 2026; “2026 Notes-2” refers to our 4.00% Notes due November 2026; “BDC” refers to a business development company under the Investment Company Act of 1940, as amended, or the “1940 Act”; “SBCAA” refers to the Small Business Credit Availability Act; “Code” refers to the Internal Revenue Code of 1986, as amended; and “RIC” refers to a regulated investment company under the Code. References to our portfolio, our investments and our business include investments we make through SBIC II and other consolidated subsidiaries.

3


Item 1. Consolidated Financial Statements

PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED STATEMENTS O F ASSETS AND LIABILITIES

(In thousands, except share and per share data)

June 30, 2024

September 30, 2023

(unaudited)

Assets

Investments at fair value

Non-controlled, non-affiliated investments (amortized cost—$ 854,364 and $ 816,754 , respectively)

$

854,027

$

830,808

Non-controlled, affiliated investments (amortized cost—$ 56,193 and $ 55,787 , respectively)

33,274

54,771

Controlled, affiliated investments (amortized cost—$ 342,429 and $ 245,386 , respectively)

372,574

216,068

Total investments (amortized cost—$ 1,252,986 and $ 1,117,927 , respectively)

1,259,875

1,101,647

Cash and cash equivalents (cost—$ 59,151 and $ 38,784 , respectively)

59,152

38,775

Interest receivable

5,568

6,820

Distribution receivable

7,964

5,079

Due from affiliates

139

Prepaid expenses and other assets

4,656

Total assets

1,332,698

1,156,977

Liabilities

Truist Credit Facility payable, at fair value (cost—$ 450,456 and $ 212,420 , respectively)

446,554

206,940

2026 Notes payable, net (par— $ 150,000 )

148,345

147,669

2026 Notes-2 payable, net (par— $ 165,000 )

162,866

162,226

Payable for investment purchased

64,551

99,949

Distributions payable

5,224

13,697

Base management fee payable

4,216

3,915

Incentive fee payable

3,345

3,310

Accounts payable and accrued expenses

3,218

6,754

Interest payable on debt

3,124

6,231

Due to affiliates

33

4,099

Total liabilities

841,476

654,790

Commitments and contingencies (See Note 11)

Net assets

Common stock, 65,296,094 and 65,224,500 shares issued and outstanding, respectively
Par value $
0.001 per share and 100,000,000 shares authorized

65

65

Paid-in capital in excess of par value

746,768

746,466

Accumulated deficit

( 255,611

)

( 244,344

)

Total net assets

$

491,222

$

502,187

Total liabilities and net assets

$

1,332,698

$

1,156,977

Net asset value per share

$

7.52

$

7.70

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

4


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED STATEM ENTS OF OPERATIONS (Unaudited)

(In thousands, except per share data)

Three Months Ended June 30,

Nine Months Ended June 30,

2024

2023

2024

2023

Investment income:

From non-controlled, non-affiliated investments:

Interest

$

17,383

$

23,189

$

61,353

$

72,179

Payment-in-kind

1,904

5

2,093

16

Dividend income

977

11,786

2,292

12,917

Other income

392

595

2,595

1,428

From non-controlled, affiliated investments:

Interest

81

Payment-in-kind

297

347

310

From controlled, affiliated investments:

Interest

7,966

4,392

19,389

10,898

Payment-in-kind

995

361

2,484

2,150

Dividend income

7,387

4,386

16,765

11,344

Total investment income

37,004

45,011

107,318

111,323

Expenses:

Interest and expenses on debt

11,482

10,139

32,906

30,455

Base management fee

4,216

3,993

12,357

12,635

Incentive fee

3,345

4,870

9,684

10,591

General and administrative expenses

1,030

1,032

3,623

2,707

Administrative services expenses

450

840

1,189

1,373

Expenses before provision for taxes

20,523

20,874

59,759

57,761

Provision for taxes on net investment income

735

1,181

1,902

3,631

Net expenses

21,258

22,055

61,661

61,392

Net investment income

15,746

22,956

45,657

49,931

Realized and unrealized gain (loss) on investments and debt:

Net realized gain (loss) on investments and debt:

Non-controlled, non-affiliated investments

( 1,590

)

( 5,193

)

( 444

)

( 15,742

)

Non-controlled and controlled, affiliated investments

( 5,305

)

( 35,474

)

( 133,098

)

Debt extinguishment

( 289

)

Provision for taxes on realized gain on investments

( 1,700

)

( 177

)

( 2,417

)

Net realized gain (loss) on investments and debt

( 6,895

)

( 6,893

)

( 36,095

)

( 151,546

)

Net change in unrealized appreciation (depreciation) on:

Non-controlled, non-affiliated investments

( 1,614

)

13,056

( 15,412

)

( 33,513

)

Non-controlled and controlled, affiliated investments

( 3,483

)

223

38,592

90,634

Provision for taxes on unrealized appreciation (depreciation) on investments

( 680

)

896

Debt appreciation (depreciation)

( 8

)

( 8,393

)

( 1,578

)

( 2,474

)

Net change in unrealized appreciation (depreciation) on investments and debt

( 5,105

)

4,886

20,922

55,543

Net realized and unrealized gain (loss) from investments and debt

( 12,000

)

( 2,007

)

( 15,173

)

( 96,003

)

Net increase (decrease) in net assets resulting from operations

$

3,746

$

20,949

$

30,484

$

( 46,072

)

Net increase (decrease) in net assets resulting from operations per common share

$

0.06

$

0.32

$

0.47

$

( 0.71

)

Net investment income per common share

$

0.24

$

0.35

$

0.70

$

0.77

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

5


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED STATEMENTS OF CHANGES IN NET ASSETS (Unaudited)

(In thousands, except share data)

Three Months Ended June 30,

Nine Months Ended June 30,

2024

2023

2024

2023

Net increase (decrease) in net assets resulting from operations:

Net investment income

$

15,746

$

22,956

$

45,657

$

49,931

Net realized gain (loss) on investments and debt

( 6,895

)

( 5,193

)

( 35,918

)

( 149,129

)

Net change in unrealized appreciation (depreciation) on investments

( 5,097

)

13,279

23,180

57,121

Net change in provision for taxes on net realized gain (loss) on investments

( 1,700

)

( 177

)

( 2,417

)

Net change in provision for taxes on unrealized appreciation (depreciation) on investments

( 680

)

896

Net change in unrealized (appreciation) depreciation on debt

( 8

)

( 8,393

)

( 1,578

)

( 2,474

)

Net increase (decrease) in net assets resulting from operations

3,746

20,949

30,484

( 46,072

)

Distributions to stockholders:

Distribution of net investment income

( 14,355

)

( 13,045

)

( 41,751

)

( 35,874

)

Total distributions to stockholders

( 14,355

)

( 13,045

)

( 41,751

)

( 35,874

)

Capital Transactions:

Public offering

552

552

Offering costs

( 250

)

( 250

)

Net increase in net assets resulting from capital transactions

302

302

Net increase (decrease) in net assets

( 10,307

)

7,904

( 10,965

)

( 81,946

)

Net assets:

Beginning of period

501,529

495,715

502,187

585,565

End of period

$

491,222

$

503,619

$

491,222

$

503,619

Capital share activity:

Shares issued from public offering

71,594

71,594

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

6


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED STATEM ENTS OF CASH FLOWS (Unaudited)

(In thousands)

Nine Months Ended June 30,

2024

2023

Cash flows from operating activities:

Net increase (decrease) in net assets resulting from operations

$

30,484

$

( 46,072

)

Adjustments to reconcile net increase (decrease) in net assets resulting from
operations to net cash provided by (used in) operating activities:

Net change in net unrealized (appreciation) depreciation on investments

( 23,180

)

( 57,121

)

Net change in unrealized appreciation (depreciation) on debt

1,578

2,474

Net realized (gain) loss on investments

35,918

148,840

Debt extinguishment realized loss

289

Net accretion of discount and amortization of premium

( 2,102

)

( 5,210

)

Purchases of investments

( 752,062

)

( 214,355

)

Payment-in-kind income

( 4,924

)

( 2,476

)

Proceeds from dispositions of investments

589,390

280,467

Amortization of deferred financing costs

1,316

1,341

(Increase) decrease in:

Interest receivable

1,252

( 1,377

)

Receivables from investments sold

13,864

Distribution receivable

( 2,885

)

( 2,659

)

Due from affiliate

( 139

)

Prepaid expenses and other assets

3,386

( 8,000

)

Increase (decrease) in:

Due to affiliate

( 4,066

)

1,774

Payable for investments purchased

( 35,398

)

-

Interest payable on debt

( 3,107

)

( 3,464

)

Base management fee payable, net

301

( 856

)

Incentive fee payable

35

4,870

Deferred tax liability

( 896

)

Accounts payable and accrued expenses

( 3,536

)

4,288

Net cash provided by (used in) operating activities

( 167,739

)

115,721

Cash flows from financing activities:

Proceeds from public offering

$

552

$

Offering costs

( 250

)

Distributions paid to stockholders

( 50,222

)

( 32,612

)

Repayments under SBA debetures

( 20,000

)

Borrowings under Truist Credit Facility

423,036

122,500

Repayments under Truist Credit Facility

( 185,000

)

( 194,000

)

Net cash provided by (used in) financing activities

188,116

( 124,112

)

Net increase (decrease) in cash equivalents

20,377

( 8,391

)

Effect of exchange rate changes on cash

-

275

Cash and cash equivalents, beginning of period

38,775

54,775

Cash and cash equivalents, end of period

$

59,152

$

46,659

Supplemental disclosure of cash flow information:

Interest paid

$

34,697

$

32,578

Taxes paid

$

6,308

$

1,900

Non-cash exchanges and conversions

$

28,835

$

15,720

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

7


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDU LE OF INVESTMENTS (Unaudited)

JUNE 30, 2024

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

Investments in Non-Controlled, Non-Affiliated Portfolio Companies— 173.9 % of Net Assets (1), (2)

First Lien Secured Debt— 115.7 % of Net Assets

A1 Garage Merger Sub, LLC

12/22/2028

Personal, Food and Miscellaneous Services

11.44

%

3M SOFR+ 610

5,105

$

5,042

$

5,105

A1 Garage Merger Sub, LLC - Unfunded Term Loan (8)

12/21/2024

Personal, Food and Miscellaneous Services

1,788

27

A1 Garage Merger Sub, LLC - Revolver (8)

12/22/2028

Personal, Food and Miscellaneous Services

2,532

ACP Avenu Buyer, LLC

10/02/2029

Business Services

10.57

%

3M SOFR+ 525

1,247

1,230

1,209

ACP Avenu Buyer, LLC - Unfunded Term Loan (8)

04/02/2025

Business Services

1,799

( 29

)

ACP Avenu Buyer, LLC - Revolver

10/02/2029

Business Services

10.58

%

3M SOFR+ 525

149

149

145

ACP Avenu Buyer, LLC - Revolver (8)

10/02/2029

Business Services

1,069

( 32

)

ACP Falcon Buyer, Inc. - Revolver (8)

08/01/2029

Business Services

2,533

Ad.net Acquisition, LLC - Revolver (8)

05/07/2026

Media

444

Adweek Purchaser, LLC

05/30/2027

Printing and Publishing

12.33

%

3M SOFR+ 700

2,000

1,961

1,960

Adweek Purchaser, LLC - Unfunded Term Loan (8)

11/30/2025

Printing and Publishing

400

Aeronix, Inc. - Revolver (8)

12/12/2028

Aerospace and Defense

2,489

AFC Dell Holding Corp.

04/09/2027

Distribution

11.75

%

3M SOFR+ 640

13,340

13,340

13,206

Atlas Purchaser, Inc. - Third Out

05/06/2028

Telecommunications

12.46

%

3M SOFR+ 700

8,840

7,440

7,717

Atlas Purchaser, Inc. - Fourth Out

05/06/2028

Telecommunications

12.46

%

3M SOFR+ 700

4,760

655

652

Anteriad Holdings Inc (fka MeritDirect)

06/30/2026

Media

11.23

%

3M SOFR+ 590

1,189

1,184

1,189

Anteriad, LLC (f/k/a MeritDirect, LLC) - Funded Revolver

06/30/2026

Media

11.18

%

3M SOFR+ 585

230

230

230

Anteriad, LLC (f/k/a MeritDirect, LLC) - Revolver (8)

06/30/2026

Media

1,382

Applied Technical Services, LLC

12/29/2026

Environmental Services

11.23

%

3M SOFR+ 585

1,991

1,976

1,961

Applied Technical Services, LLC - Unfunded Term Loan (8)

07/17/2025

Environmental Services

2,637

( 13

)

Applied Technical Services LLC - Revolver

12/29/2026

Environmental Services

13.25

%

3M SOFR+ 475

1,081

1,081

1,065

Applied Technical Services, LLC - Revolver (8)

12/29/2026

Environmental Services

721

( 11

)

Arcfield Acquisition Corp. - Revolver (8)

08/04/2028

Aerospace and Defense

3,521

( 18

)

Beacon Behavioral Support Service, LLC

06/21/2029

Healthcare, Education and Childcare

10.85

%

3M SOFR+ 550

15,000

14,775

14,775

Beacon Behavioral Support Service, LLC - Unfunded Term Loan (8)

12/21/2025

Healthcare, Education and Childcare

6,143

Beacon Behavioral Support Service, LLC - Revolver (8)

06/21/2029

Healthcare, Education and Childcare

1,206

Berwick Industrial Park

05/02/2024

Buildings and Real Estate

11.50

%

4,000

4,062

3,972

Beta Plus Technologies, Inc.

07/01/2029

Business Services

11.08

%

3M SOFR+ 575

4,925

4,855

4,827

Big Top Holdings, LLC - Unfunded Revolver (8)

02/07/2030

Manufacturing/Basic Industry

1,155

( 9

)

BioDerm, Inc. - Revolver

01/31/2028

Healthcare, Education and Childcare

11.82

%

3M SOFR+ 650

589

589

582

BioDerm, Inc. - Revolver (8)

01/31/2028

Healthcare, Education and Childcare

482

( 6

)

Blackhawk Industrial Distribution, Inc.

09/17/2026

Distribution

11.73

%

3M SOFR+ 640

6,295

6,251

6,247

(PIK 2.0 %)

Blackhawk Industrial Distribution, Inc. - Unfunded Term Loan (8)

09/17/2026

Distribution

2,368

( 24

)

BlackHawk Industrial Distribution, Inc. - Revolver

09/17/2026

Distribution

11.73

%

3M SOFR+ 640

1,487

1,487

1,480

Blackhawk Industrial Distribution, Inc. - Revolver (8)

09/17/2026

Distribution

1,945

( 10

)

BlueHalo Financing Holdings, LLC

10/31/2025

Aerospace and Defense

10.08

%

3M SOFR+ 475

1,112

1,097

1,096

Broder Bros., Co.

12/04/2025

Consumer Products

11.60

%

3M SOFR+ 626

9,589

9,589

9,589

Carisk Buyer, Inc. - Unfunded Term Loan (8)

12/01/2029

Healthcare, Education and Childcare

4,813

24

Carisk Buyer, Inc. - Revolver (8)

12/01/2029

Healthcare, Education and Childcare

1,750

( 9

)

Carnegie Dartlet, LLC

02/07/2030

Education

10.84

%

3M SOFR+ 550

12,968

12,776

12,773

Carnegie Dartlet, LLC - Unfunded Term Loan (8)

02/07/2026

Education

10,017

( 50

)

Carnegie Dartlet, LLC - Unfunded Revolver (8)

02/07/2030

Education

3,339

( 50

)

Cartessa Aesthetics, LLC

06/14/2028

Distribution

11.08

%

3M SOFR+ 575

28,810

28,385

28,810

Cartessa Aesthetics, LLC - Revolver

06/14/2028

Distribution

11.08

%

3M SOFR+ 575

1,265

1,265

1,265

Cartessa Aesthetics, LLC - Revolver (8)

06/14/2028

Distribution

2,297

CF512, Inc.

08/20/2026

Media

11.53

%

3M SOFR+ 619

6,542

6,488

6,444

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

8


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) —(Continued)

JUNE 30, 2024

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

CF512, Inc. - Revolver (8)

08/20/2026

Media

909

$

( 14

)

Compex Legal Services, Inc.

02/09/2026

Business Services

10.88

%

3M SOFR+ 555

941

935

941

Compex Legal Services, Inc. - Revolver

02/07/2025

Business Services

10.88

%

3M SOFR+ 555

459

459

459

Compex Legal Services, Inc. - Revolver (8)

02/07/2025

Business Services

197

Confluent Health, LLC

11/30/2028

Healthcare, Education and Childcare

12.84

%

3M SOFR+ 750

1,975

1,854

1,975

Connatix Buyer, Inc. - Revolver (8)

07/13/2027

Media

1,875

( 38

)

Crane 1 Services, Inc. - Revolver

08/16/2027

Personal, Food and Miscellaneous Services

10.19

%

3M SOFR+ 486

287

283

287

Crane 1 Services, Inc. - Revolver (8)

08/16/2027

Personal, Food and Miscellaneous Services

435

( 1

)

Dr. Squatch, LLC

08/31/2027

Personal and Non-Durable Consumer Products

11.17

%

3M SOFR+ 585

8,142

8,079

8,142

Dr. Squatch, LLC - Funded Revolver

08/31/2027

Personal, Food and Miscellaneous Services

11.19

%

3M SOFR+ 585

2,326

2,326

2,326

DRS Holdings III, Inc.

11/03/2025

Consumer Products

11.69

%

3M SOFR+ 635

6

6

6

DRS Holdings III, Inc. - Revolver (8)

11/03/2025

Consumer Products

1,783

( 7

)

EDS Buyer, LLC

12/22/2028

Aerospace and Defense

11.08

%

3M SOFR+ 575

17,292

17,073

17,033

EDS Buyer, LLC - Revolver Loan (8)

12/22/2028

Aerospace and Defense

1,915

( 29

)

ETE Intermediate II, LLC - Revolver

05/25/2029

Personal, Food and Miscellaneous Services

11.83

%

3M SOFR+ 650

1,215

1,215

1,215

ETE Intermediate II, LLC - Revolver (8)

05/25/2029

Personal, Food and Miscellaneous Services

442

Eval Home Health Solutions Intermediate, LLC

05/10/2030

Healthcare, Education and Childcare

11.09

%

3M SOFR+ 575

7,980

7,861

7,860

Eval Home Health Solutions Intermediate, LLC - Revolver (8)

05/10/2030

Healthcare, Education and Childcare

822

( 12

)

Exigo Intermediate II, LLC

03/15/2027

Business Services

11.69

%

3M SOFR+ 635

24,189

23,959

24,008

Exigo Intermediate II, LLC - Revolver (8)

03/15/2027

Business Services

1,856

( 14

)

Five Star Buyer, Inc.

02/23/2028

Leisure, Amusement, Motion Pictures, Entertainment

12.50

%

3M SOFR+ 710

196

196

195

Five Star Buyer, Inc. - Revolver (8)

02/23/2028

Leisure, Amusement, Motion Pictures, Entertainment

741

( 6

)

Gauge ETE Blocker, LLC - Promissory Note

05/19/2029

Personal, Food and Miscellaneous Services

12.56

%

215

215

215

Graffiti Buyer, Inc.

08/10/2027

Distribution

10.93

%

3M SOFR+ 560

884

877

875

Graffiti Buyer, Inc. - Unfunded Term Loan (8)

08/10/2027

Distribution

1,079

( 3

)

Graffiti Buyer, Inc. - Revolver (8)

08/10/2027

Distribution

769

( 8

)

Halo Buyer, Inc.

06/30/2025

Consumer Products

9.94

%

3M SOFR+ 460

1,660

1,502

1,498

Hancock Roofing and Construction L.L.C.

12/31/2026

Insurance

10.94

%

1M SOFR+ 560

680

680

639

Hancock Roofing and Construction L.L.C. - Revolver (8)

12/31/2026

Insurance

70

( 4

)

HEC Purchaser Corp.

06/17/2029

Healthcare, Education and Childcare

10.84

%

3M SOFR+ 550

8,000

7,900

7,900

Hills Distribution, Inc. - Unfunded Term Loan (8)

11/07/2025

Distribution

9,144

HV Watterson Holdings, LLC

12/17/2026

Business Services

11.73

%

1M SOFR+ 640

276

275

264

HV Watterson Holdings, LLC - Revolver

12/17/2026

Business Services

11.73

%

1M SOFR+ 640

1,200

1,200

1,146

HV Watterson Holdings, LLC - Revolver (8)

12/17/2026

Business Services

50

( 2

)

HW Holdco, LLC

05/10/2026

Media

11.68

%

3M SOFR+ 640

11,182

11,153

11,182

HW Holdco, LLC - Revolver (8)

05/10/2026

Media

3,387

IG Investment Holdings LLC

09/22/2028

Business Services

11.33

%

3M SOFR+ 600

105

104

103

IG Investments Holdings, LLC - Revolver (8)

09/22/2027

Business Services

722

( 13

)

Imagine Acquisitionco, LLC - Revolver (8)

11/15/2027

Business Services

1,685

( 8

)

Infinity Home Services Holdco, Inc.

12/28/2028

Personal, Food and Miscellaneous Services

12.19

%

3M SOFR+ 685

3,749

3,739

3,749

Infinity Home Services Holdco, Inc. (CAD) (11)

12/28/2028

Personal, Food and Miscellaneous Services

10.96

%

3M SOFR+ 600

CAD 2,562

1,845

1,845

Infinity Home Services Holdco, Inc. - 1st Amendment Unfunded Term Loan (8)

11/17/2025

Personal, Food and Miscellaneous Services

8,241

( 21

)

Infinity Home Services Holdco, Inc. - Revolver

12/28/2028

Personal, Food and Miscellaneous Services

14.25

%

3M SOFR+ 575

194

194

194

Infinity Home Services Holdco, Inc. - Revolver (8)

12/28/2028

Personal, Food and Miscellaneous Services

1,098

Infolinks Media Buyco, LLC

11/01/2026

Media

10.84

%

3M SOFR+ 550

2,697

2,669

2,670

Integrity Marketing Acquisition, LLC

08/27/2026

Insurance

11.48

%

3M SOFR+ 615

10,597

10,564

10,544

Integrity Marketing Acquisition, LLC - Unfunded Term Loan (8)

08/31/2025

Insurance

1,614

Integrity Marketing Acquisition, LLC - Revolver (8)

08/31/2025

Insurance

160

Inventus Power, Inc. - Revolver (8)

06/30/2025

Electronics

1,729

( 35

)

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

9


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)—(Continued)

JUNE 30, 2024

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

ITI Holdings, Inc.

03/03/2028

Business Services

10.98

%

3M SOFR+ 565

8,770

$

8,662

$

8,770

ITI Holdings, Inc. - Revolver

03/03/2028

Business Services

13.00

%

3M SOFR+ 450

1,180

1,180

1,180

ITI Holdings, Inc. - Revolver (8)

03/03/2028

Business Services

310

Kinetic Purchaser, LLC

11/10/2027

Consumer Products

11.48

%

3M SOFR+ 615

3,099

3,019

3,099

Kinetic Purchaser, LLC - Revolver (8)

11/10/2026

Consumer Products

4,854

Lash OpCo, LLC

02/18/2027

Consumer Products

13.18

%

1M SOFR+ 785

2,865

2,831

2,836

(PIK 5.1 %)

Lash OpCo, LLC - Revolver

08/16/2026

Consumer Products

13.18

%

1M SOFR+ 785

2,650

2,650

2,624

(PIK 5.1 %)

Lash OpCo, LLC - Revolver (8)

08/16/2026

Consumer Products

317

( 3

)

LAV Gear Holdings, Inc.

10/31/2025

Leisure, Amusement, Motion Pictures, Entertainment

11.76

%

1M SOFR+ 643

2,037

2,037

2,013

Ledge Lounger, Inc.

11/09/2026

Consumer Products

11.98

%

3M SOFR+ 665

9,016

8,921

8,835

Ledge Lounger, Inc. - Revolver

11/09/2026

Consumer Products

11.98

%

3M SOFR+ 665

644

644

631

Ledge Lounger, Inc. - Revolver (8)

11/09/2026

Consumer Products

1,288

( 26

)

Lightspeed Buyer Inc.

02/03/2026

Healthcare, Education and Childcare

10.69

%

1M SOFR+ 535

2,181

2,173

2,181

Lightspeed Buyer Inc. - Revolver (8)

02/03/2026

Healthcare, Education and Childcare

1,166

LJ Avalon Holdings, LLC

02/01/2030

Environmental Services

10.58

%

1M SOFR+ 525

569

561

569

LJ Avalon Holdings, LLC - Unfunded Term Loan (8)

07/31/2024

Environmental Services

3,313

26

LJ Avalon Holdings, LLC - Revolver (8)

01/31/2030

Environmental Services

587

Loving Tan Intermediate II, Inc.

05/31/2028

Consumer Products

12.34

%

3M SOFR+ 700

4,950

4,864

4,913

Loving Tan Intermediate II, Inc. - Revolver

05/31/2028

Consumer Products

12.34

%

3M SOFR+ 700

347

347

344

Loving Tan Intermediate II, Inc. - Revolver (8)

05/31/2028

Consumer Products

284

( 2

)

Mars Acquisition Holdings Corp.

05/14/2026

Media

10.98

%

3M SOFR+ 565

2,814

2,784

2,814

Mars Acquisition Holdings Corp. - Revolver

05/14/2026

Media

10.98

%

3M SOFR+ 565

806

806

806

Mars Acquisition Holdings Corp. - Revolver (8)

05/14/2026

Media

403

MBS Holdings, Inc. - Revolver (8)

04/16/2027

Telecommunications

694

MDI Buyer, Inc.

07/25/2028

Chemicals, Plastics and Rubber

11.34

%

3M SOFR+ 600

19,982

19,722

19,686

MDI Buyer, Inc. - Revolver

07/25/2028

Chemicals, Plastics and Rubber

10.82

%

3M SOFR+ 550

1,381

1,381

1,360

MDI Buyer, Inc. - Revolver (8)

07/25/2028

Chemicals, Plastics and Rubber

846

( 4

)

Meadowlark Acquirer, LLC

12/10/2027

Business Services

11.23

%

3M SOFR+ 590

1,927

1,911

1,879

Meadowlark Acquirer, LLC - Unfunded Revolver (8)

12/10/2027

Business Services

1,685

( 42

)

Medina Health, LLC

10/20/2028

Healthcare, Education and Childcare

11.58

%

3M SOFR+ 625

9,900

9,745

9,900

Medina Health, LLC - Revolver (8)

10/20/2028

Healthcare, Education and Childcare

2,774

Megawatt Acquisitionco, Inc. - Revolver

03/01/2030

Electronics

10.59

%

3M SOFR+ 525

390

390

390

Megawatt Acquisitionco, Inc. - Unfunded Revolver (8)

03/01/2030

Electronics

1,467

Mineola 212, LLC

06/24/2025

Buildings and Real Estate

13.00

%

3,500

3,483

3,483

MOREGroup Holdings, Inc.

01/16/2030

Business Services

11.08

%

3M SOFR+ 575

12,469

12,296

12,344

MOREGroup Holdings, Inc. - Unfunded Term Loan (8)

01/16/2026

Business Services

6,124

MOREGroup Holdings, Inc. - Unfunded Revolver (8)

01/16/2030

Business Services

3,675

( 37

)

Municipal Emergency Services, Inc.

09/28/2027

Distribution

10.50

%

3M SOFR+ 515

786

786

786

Municipal Emergency Services, Inc. - Unfunded Term Loan A (8)

12/16/2024

Distribution

464

Municipal Emergency Services, Inc. - Unfunded Term Loan B (8)

12/16/2024

Distribution

2,510

Municipal Emergency Services, Inc. - Revolver (8)

09/28/2027

Distribution

1,880

NBH Group LLC - Revolver (8)

08/19/2026

Healthcare, Education and Childcare

1,163

( 58

)

NORA Acquisition, LLC

08/31/2029

Healthcare, Education and Childcare

11.68

%

3M SOFR+ 635

5,459

5,359

5,459

NORA Acquisition, LLC - Revolver (8)

08/31/2029

Healthcare, Education and Childcare

2,707

NP Riverhead Industrial, LLC

05/24/2025

Buildings and Real Estate

14.50

%

5,000

4,978

4,975

Omnia Exterior Solutions, LLC

12/29/2029

Diversified Conglomerate Service

10.83

%

3M SOFR+ 550

6,294

6,260

6,199

Omnia Exterior Solutions, LLC - Unfunded Term Loan 2 (8)

12/29/2025

Diversified Conglomerate Service

1,400

( 7

)

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

10


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) —(Continued)

JUNE 30, 2024

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

Omnia Exterior Solutions, LLC - Revolver (8)

12/29/2029

Diversified Conglomerate Service

1,400

$

( 21

)

ORL Acquisition, Inc.

09/03/2027

Business Services

14.73

%

3M SOFR+ 940

4,107

4,056

3,203

(PIK 7.5 %)

ORL Acquisition, Inc. - Revolver (8)

09/03/2027

Business Services

149

( 33

)

OSP Embedded Purchaser, LLC

12/15/2029

Aerospace and Defense

11.18

%

3M SOFR+ 585

6,468

6,359

6,280

OSP Embedded Purchaser, LLC - Revolver (8)

12/15/2029

Aerospace and Defense

1,477

( 43

)

Ox Two, LLC

05/18/2026

Building Materials

11.85

%

1M SOFR+ 651

13,460

13,363

13,460

Ox Two, LLC - Revolver (8)

05/18/2026

Building Materials

2,419

Pacific Purchaser, LLC - Unfunded Term Loan (8)

09/30/2028

Business Services

2,747

58

Pacific Purchaser, LLC - Revolver (8)

09/30/2028

Business Services

1,373

8

PCS MIDCO INC

03/01/2030

Financial Services

11.10

%

1M SOFR+ 575

468

463

463

PCS MIDCO INC - Unfunded Term Loan (8)

03/01/2026

Financial Services

3,955

PCS MIDCO INC - Funded Revolver

03/01/2030

Financial Services

11.10

%

1M SOFR+ 575

308

308

305

PCS MIDCO INC - Unfunded Revolver (8)

03/01/2030

Financial Services

1,454

( 15

)

PlayPower, Inc.

05/10/2026

Leisure, Amusement, Motion Pictures, Entertainment

10.95

%

3M SOFR+ 550

5,246

4,959

5,167

PL Acquisitionco, LLC - Revolver (8)

11/09/2027

Retail

3,236

( 647

)

Pragmatic Institute, LLC (7)

07/06/2028

Business Services

12.85

%

3M SOFR+ 750

35,762

35,134

22,977

(PIK 12.8 %)

Pragmatic Institute, LLC - Revolver (7)

07/06/2028

Business Services

12.82

%

3M SOFR+ 750

4,938

4,905

3,173

(PIK 12.8 %)

Quantic Electronics, LLC

11/19/2026

Aerospace and Defense

11.68

%

3M SOFR+ 635

1,472

1,465

1,457

Quantic Electronics, LLC - Funded Revolver

08/17/2026

Aerospace and Defense

11.70

%

3M SOFR+ 635

264

264

263

Quantic Electronics, LLC - Unfunded Revolver (8)

08/17/2026

Aerospace and Defense

264

( 3

)

Radius Aerospace, Inc. - Revolver

03/31/2025

Aerospace and Defense

11.24

%

3M SOFR+ 575

631

631

618

Radius Aerospace, Inc. - Revolver (8)

03/31/2025

Aerospace and Defense

1,596

( 32

)

Rancho Health MSO, Inc.

12/18/2025

Healthcare, Education and Childcare

10.90

%

3M SOFR+ 550

362

362

362

Rancho Health MSO, Inc. - Unfunded Term Loan (8)

12/18/2025

Healthcare, Education and Childcare

210

Rancho Health MSO, Inc. - Revolver

12/18/2025

Healthcare, Education and Childcare

10.90

%

3M SOFR+ 550

210

210

210

Rancho Health MSO, Inc. - Revolver (8)

12/18/2025

Healthcare, Education and Childcare

315

Reception Purchaser, LLC

02/28/2028

Transportation

11.48

%

3M SOFR+ 615

10,818

9,633

8,654

Recteq, LLC - Revolver (8)

01/29/2026

Consumer Products

1,127

( 17

)

Research Now Group, LLC and Dynata, LLC (6)

12/20/2024

Business Services

124

124

105

Riverpoint Medical, LLC - Revolver

06/20/2025

Healthcare, Education and Childcare

10.93

%

3M SOFR+ 560

182

182

182

Riverpoint Medical, LLC - Revolver (8)

06/20/2025

Healthcare, Education and Childcare

182

RTIC Subsidiary Holdings, LLC

05/03/2029

Consumer Products

11.09

%

3M SOFR+ 575

30,000

29,554

29,400

RTIC Subsidiary Holdings, LLC - Revolver (8)

05/03/2029

Consumer Products

5,422

( 108

)

Rural Sourcing Holdings, Inc.

06/15/2029

Business Services

11.08

%

3M SOFR+ 575

1,143

1,126

1,132

Rural Sourcing Holdings, Inc. - Unfunded Term Loan (8)

06/27/2026

Business Services

1,146

( 6

)

Rural Sourcing Holdings, Inc. - Revolver (8)

06/15/2029

Business Services

860

( 9

)

S101 Holdings, Inc. - Term Loan B

12/29/2026

Electronics

11.45

%

3M SOFR+ 615

2,265

2,244

2,243

S101 Holdings, Inc. - Term Loan C

12/29/2026

Electronics

11.45

%

3M SOFR+ 615

356

352

352

S101 Holdings, Inc. - Unfunded Term Loan 2 (8)

12/15/2024

Electronics

4,955

Safe Haven Defense US LLC - Term Loan

05/23/2029

Building Materials

10.58

%

3M SOFR+ 525

9,000

8,865

8,865

Safe Haven Defense US LLC - Revolver (8)

05/23/2029

Building Materials

1,114

Sales Benchmark Index LLC - Revolver (8)

01/03/2025

Business Services

732

Sargent & Greenleaf Inc. - Revolver

12/20/2024

Electronics

11.94

%

3M SOFR+ 650

457

457

457

(PIK 1.0 %)

Sargent & Greenleaf Inc. - Revolver (8)

12/20/2024

Electronics

155

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

11


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) —(Continued)

JUNE 30, 2024

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

Schlesinger Global, Inc.

07/14/2025

Business Services

13.69

%

3M SOFR+ 835

4,811

$

4,788

$

4,739

(PIK 5.6 %)

Schlesinger Global, Inc. - Revolver

07/14/2025

Business Services

13.69

%

3M SOFR+ 835

32

32

31

(PIK 5.6 %)

Schlesinger Global, Inc. - Revolver (8)

07/14/2025

Business Services

8

Seaway Buyer, LLC

06/13/2029

Chemicals, Plastics and Rubber

11.48

%

3M SOFR+ 615

4,716

4,660

4,563

Seaway Buyer, LLC - Revolver

06/13/2029

Chemicals, Plastics and Rubber

11.48

%

3M SOFR+ 615

313

313

302

Seaway Buyer, LLC - Revolver (8)

06/13/2029

Chemicals, Plastics and Rubber

2,814

( 91

)

Shiftkey, LLC

06/21/2027

Business Services

11.35

%

3M SOFR+ 601

17,640

17,516

16,917

Sigma Defense Systems, LLC

12/18/2027

Telecommunications

12.49

%

1M SOFR+ 715

25,901

25,331

25,642

Sigma Defense Systems, LLC - Revolver

12/18/2027

Telecommunications

12.49

%

1M SOFR+ 715

1,701

1,701

1,684

Sigma Defense Systems, LLC - Revolver (8)

12/18/2027

Telecommunications

1,984

( 20

)

Simplicity Financial Marketing Group Holdings Inc.

12/02/2026

Financial Services

11.67

%

3M SOFR+ 625

3,420

3,414

3,380

Simplicity Financial Marketing Group Holdings Inc. - Unfunded Term Loan (8)

02/09/2026

Financial Services

5,310

( 53

)

Simplicity Financial Marketing Group Holdings Inc. - Unfunded Revolver (8)

12/02/2026

Financial Services

1,043

( 13

)

Smartronix, LLC

11/23/2028

Aerospace and Defense

11.58

%

3M SOFR+ 600

5,579

5,493

5,579

Smartronix, LLC - Unfunded Revolver (8)

11/23/2027

Aerospace and Defense

3,941

Solutionreach, Inc. - Revolver (8)

07/17/2025

Communications

833

Spendmend Holdings LLC

03/01/2028

Business Services

10.98

%

3M SOFR+ 565

284

282

284

Spendmend Holdings LLC - Unfunded Term Loan (8)

03/01/2025

Business Services

2,497

19

Spendmend Holdings LLC - Revolver

03/01/2028

Business Services

10.98

%

3M SOFR+ 565

561

561

561

Spendmend Holdings LLC - Revolver (8)

03/01/2028

Business Services

841

System Planning and Analysis, Inc.

08/16/2027

Aerospace and Defense

11.16

%

3M SOFR+ 590

1,286

1,277

1,286

System Planning and Analysis, Inc. - Unfunded Term Loan (8)

08/16/2027

Aerospace and Defense

7,068

53

System Planning and Analysis, Inc. - Unfunded Revolver (8)

08/16/2027

Aerospace and Defense

2,925

TCG 3.0 Jogger Acquisitionco, Inc.

01/26/2029

Media

11.84

%

3M SOFR+ 650

8,978

8,833

8,888

TCG 3.0 Jogger Acquisitionco, Inc. - Unfunded Revolver (8)

01/26/2029

Media

1,725

( 17

)

The Bluebird Group LLC

07/27/2026

Business Services

11.98

%

3M SOFR+ 665

2,539

2,512

2,539

The Bluebird Group LLC - Revolver (8)

07/27/2026

Business Services

734

The Vertex Companies, LLC

08/30/2027

Business Services

11.69

%

3M SOFR+ 635

184

181

186

The Vertex Companies, LLC - Revolver

08/30/2027

Business Services

11.44

%

3M SOFR+ 610

361

361

361

The Vertex Companies, LLC - Revolver (8)

08/30/2027

Business Services

379

TPC US Parent, LLC

11/22/2025

Food

10.93

%

3M SOFR+ 560

5,985

5,917

5,985

TPCN Midco, LLC

06/26/2029

Diversified Conglomerate Service

11.09

%

3M SOFR+ 575

4,000

3,940

3,940

TPCN Midco, LLC - Unfunded Term Loan (8)

06/26/2026

Diversified Conglomerate Service

5,894

TPCN Midco, LLC - Unfunded Revolver (8)

06/26/2029

Diversified Conglomerate Service

1,160

TransGo, LLC

12/29/2028

Machinery

11.34

%

3M SOFR+ 600

4,790

4,722

4,790

TransGo, LLC - Revolver (8)

12/29/2028

Machinery

2,775

TWS Acquisition Corporation

06/16/2025

Education

11.74

%

3M SOFR+ 640

638

637

638

TWS Acquisition Corporation - Revolver (8)

06/16/2025

Education

1,644

Tyto Athene, LLC (New Issue) - Revolver

04/01/2026

Aerospace and Defense

10.99

%

3M SOFR+ 565

160

160

149

Tyto Athene, LLC (New Issue) - Revolver (8)

04/01/2026

Aerospace and Defense

204

( 14

)

Urology Management Holdings, Inc.

06/15/2026

Healthcare, Education and Childcare

11.76

%

3M SOFR+ 650

7,201

7,201

7,151

Watchtower Intermediate, LLC

12/01/2029

Electronics

11.33

%

3M SOFR+ 600

12,319

12,140

12,208

Watchtower Intermediate, LLC. - Unfunded Term Loan (8)

12/01/2025

Electronics

2100

5

Watchtower Intermediate, LLC. - Revolver (8)

12/01/2029

Electronics

6,300

( 57

)

Wildcat Buyerco, Inc.

02/27/2027

Electronics

11.08

%

3M SOFR+ 575

4,597

4,558

4,597

Wildcat Buyerco, Inc. - Unfunded Term Loan (8)

02/27/2027

Electronics

2,737

27

Wildcat Buyerco, Inc. - Revolver (8)

02/27/2027

Electronics

551

Zips Car Wash, LLC

12/31/2024

Auto Sector

12.68

%

3M SOFR+ 735

2,596

2,589

2,499

(PIK 1.5 %)

Total First Lien Secured Debt

584,995

568,266

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

12


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) —(Continued)

JUNE 30, 2024

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

Second Lien Secured Debt— 13.3 % of Net Assets

Best Practice Associates LLC

06/29/2027

Aerospace and Defense

14.48

%

3M SOFR+ 915

17,825

$

17,601

$

17,290

Burgess Point Purchaser Corporation

07/28/2030

Auto Sector

14.44

%

3M SOFR+ 910

8,000

7,689

7,920

ENC Parent Corporation

08/19/2029

Business Services

13.10

%

3M SOFR+ 776

7,500

7,445

6,375

Halo Buyer, Inc.

07/06/2026

Consumer Products

13.69

%

1M SOFR+ 835

32,500

32,284

31,850

QuantiTech LLC

02/04/2027

Aerospace and Defense

15.44

%

3M SOFR+ 1010

150

148

150

Team Services Group, LLC

12/18/2028

Healthcare, Education and Childcare

14.58

%

3M SOFR+ 943

2,000

1,998

1,990

Total Second Lien Secured Debt

67,165

65,575

Subordinated Debt/Corporate Notes— 5.4 % of Net Assets

Beacon Behavioral Holdings LLC

06/21/2030

Healthcare, Education and Childcare

15.00

%

3,105

3,058

3,058

Express Wash Acquisition Company, LLC

01/15/2029

Auto Sector

17.60

%

3M SOFR+ 1226

23,217

22,633

23,333

(PIK 12.0 %)

Schlesinger Global, LLC - Promissory Note

07/26/2024

Business Services

12.33

%

3M SOFR+ 700

Total Subordinated Debt/Corporate Notes

25,691

26,391

Preferred Equity/Partnership Interests— 3.0 % of Net Assets (6)

Ad.net Holdings, Inc.

Media

2,400

240

248

AFC Acquisitions, Inc. Preferred Equity (10)

Distribution

507

780

920

AH Newco Equityholdings, LLC

Healthcare, Education and Childcare

6.00

%

211

500

505

Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) (10)

Media

1,135

1,135

1,304

Cartessa Aesthetics, LLC (10)

Distribution

3,562,500

3,563

5,969

Gauge Schlesinger Coinvest, LLC - Class A-2 Preferred Equity

Business Services

1

1

1

EvAL Home Health Solutions, LLC - Preferred Equity (10)

Healthcare, Education and Childcare

272,771

453

453

Hancock Claims Consultants Investors, LLC - Class A Preferred Equity (10)

Insurance

48,049

31

38

Imagine Topco, LP Preferred

Business Services

8.00

%

743,826

744

835

Magnolia Topco LP - Class A Preferred Equity (10)

Auto Sector

1,545

1,545

1,660

Magnolia Topco LP - Class B Preferred Equity (10)

Auto Sector

1,018

643

187

Mars Intermediate Holdings II, Inc.

Media

414

414

600

Megawatt Acquisition Partners, LLC - Preferred A

Electronics

5,349

535

493

NXOF Holdings, Inc. (Tyto Athene, LLC)

Aerospace and Defense

160

160

136

ORL Holdco, Inc.

Business Services

575

57

PL Acquisitionco, LLC - Preferred Equity

Retail

37

37

RTIC Parent Holdings, LLC - Class A Preferred Equity (10)

Consumer Products

5

5

RTIC Parent Holdings, LLC - Class C Preferred Equity (10)

Consumer Products

10,624

699

1,029

RTIC Parent Holdings, LLC - Class D Preferred Equity (10)

Consumer Products

11,276

113

119

TPC Holding Company, LP

Food

219

219

345

TWD Parent Holdings, LLC (The Vertex Companies, LLC)

Business Services

30

30

34

Total Preferred Equity/Partnership Interests

11,904

14,876

Common Equity/Partnership Interests/Warrants— 24.2 % of Net Assets (6)

A1 Garage Equity, LLC (10)

Personal, Food and Miscellaneous Services

2,193,038

2,193

2,639

ACP Big Top Holdings, L.P. - Common Equity

Manufacturing/Basic Industry

773,800

774

819

Ad.net Holdings, Inc.

Media

2,667

27

Aftermarket Drivetrain Products Holdings, LLC

Machinery

1,645

1,645

1,988

AG Investco LP (10)

Business Services

805,164

805

992

AG Investco LP (8), (10)

Business Services

194,836

Altamira Intermediate Company II, Inc.

Aerospace and Defense

125,000

125

137

AMCSI Crash Co-Invest, LP

Auto Sector

2,489,777

2,490

2,940

AMCSI Crash Co-Invest, LP (8)

Auto Sector

510,223

Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) (10)

Media

1,135

Athletico Holdings, LLC (10)

Healthcare, Education and Childcare

9,357

10,000

8,715

Atlas Investment Aggregator, LLC

Telecommunications

1,700,000

1,613

BioDerm, Inc.

Healthcare, Education and Childcare

1,312

1,312

1,093

Burgess Point Holdings, LP

Auto Sector

680

680

609

Carnegie Holdco, LLC - Common Equity (10)

Education

1,680,300

1,663

1,680

Carisk Parent, L.P. - Common Equity

Healthcare, Education and Childcare

169,231

169

176

Connatix Parent, LLC

Media

57,416

632

359

Consello Pacific Aggregator, LLC (10)

Business Services

782,891

745

762

Cowboy Parent LLC (Blackhawk Industrial Distribution, Inc.)

Distribution

27,778

3,015

5,686

Crane 1 Acquisition Parent Holdings, L.P.

Personal, Food and Miscellaneous Services

113

104

197

Delta InvestCo LP (Sigma Defense Systems, LLC) (10)

Telecommunications

913,649

878

1,606

Delta InvestCo LP (Sigma Defense Systems, LLC) (8), (10)

Telecommunications

227,395

eCommission Holding Corporation (12)

Financial Services

80

1,005

2,441

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

13


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) —(Continued)

JUNE 30, 2024

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

EDS Topco, LP

Aerospace and Defense

937,500

$

938

$

1,174

Exigo, LLC

Business Services

1,458,333

1,458

1,561

FedHC InvestCo LP (10)

Aerospace and Defense

14,578

489

1,318

FedHC InvestCo LP (8), (10)

Aerospace and Defense

5,150

FedHC InvestCo II LP (10)

Aerospace and Defense

20,882

2,175

1,994

Five Star Parent Holdings, LLC

Leisure, Amusement, Motion Pictures, Entertainment

655,714

656

715

Gauge ETE Blocker, LLC - Common Equity

Personal, Food and Miscellaneous Services

374,444

374

326

Gauge Lash Coinvest LLC

Consumer Products

992,792

651

3,634

Gauge Loving Tan, LP - Common Equity

Consumer Products

462,827

463

435

Gauge Schlesinger Coinvest LLC

Business Services

9

10

6

GCOM InvestCo LP

Business Services

2,434

1,003

476

GMP Hills, LP - Common Equity

Distribution

3,747,470

3,747

3,785

Hancock Claims Consultants Investors, LLC (10)

Insurance

450,000

450

32

HPA SPQ Aggregator LP- Common Equity

Business Services

750,399

750

672

HV Watterson Holdings, LLC

Business Services

1,600,000

1,600

636

Icon Partners V C, L.P.

Business Services

1,122,549

1,123

1,124

Icon Partners V C, L.P. (8)

Business Services

377,451

IHS Parent Holdings, L.P.

Personal, Food and Miscellaneous Services

1,218,045

1,218

1,534

Imagine Topco, LP

Business Services

743,826

Infogroup Parent Holdings, Inc. (Data Axle, Inc.)

Other Media

181,495

2,040

2,554

Ironclad Holdco, LLC (Applied Technical Services, LLC) (10)

Environmental Services

4,859

504

758

ITC Infusion Co-invest, LP (10)

Healthcare, Education and Childcare

162,445

1,645

2,312

Kentucky Racing Holdco, LLC (Warrants) (10)

Hotels, Motels, Inns and Gaming

161,252

1,842

Kinetic Purchaser, LLC

Consumer Products

1,308,814

1,309

1,836

KL Stockton Co-Invest LP (Any Hour Services) (10)

Personal, Food and Miscellaneous Services

382,353

385

957

Lariat ecoserv Co-Invest Holdings, LLC (10)

Environmental Services

363,656

16

LEP Pequod Holdings, LP - Common Equity

Financial Services

350

865

927

Lightspeed Investment Holdco LLC

Healthcare, Education and Childcare

273,143

273

906

LJ Avalon, LP

Environmental Services

851,087

851

1,004

Lorient Peregrine Investment, LP

Business Services

335,590

4,530

4,452

Magnolia Topco LP - Class A (10)

Auto Sector

1,545,460

Magnolia Topco LP - Class B (10)

Auto Sector

1,017,840

Mars Intermediate Holdings II, Inc.

Media

414

224

MDI Aggregator, LP

Chemicals, Plastics and Rubber

30,993

3,103

3,355

Meadowlark Title, LLC (10)

Business Services

815,385

802

Megawatt Acquisition Partners, LLC

Electronics

594

59

52

Municipal Emergency Services, Inc.

Distribution

3,920,145

3,984

6,390

NEPRT Parent Holdings, LLC (Recteq, LLC) (10)

Consumer Products

1,299

1,250

97

New Medina Health, LLC (10)

Healthcare, Education and Childcare

1,429,480

1,429

1,782

NORA Parent Holdings, LLC (10)

Healthcare, Education and Childcare

1,257

1,248

1,280

North Haven Saints Equity Holdings, LP (10)

Business Services

351,553

352

426

NXOF Holdings, Inc. (Tyto Athene, LLC)

Aerospace and Defense

3,261

3

OceanSound Discovery Equity, LP (Holdco Sands Intermediate, LLC) (10)

Aerospace and Defense

98,286

983

957

OES Co-Invest, LP Class A

Diversified Conglomerate Service

840

840

840

OHCP V BC COI, L.P.

Distribution

694,943

695

551

OHCP V BC COI, L.P. (8)

Distribution

55,057

( 11

)

ORL Holdco, Inc.

Business Services

638

6

OSP Embedded Aggregator, LP

Aerospace and Defense

870,536

871

714

PCS Parent, LP

Financial Services

421,304

421

421

PennantPark-TSO Senior Loan Fund II, LP (12)

Financial Services

8,415,794

8,416

8,737

Pink Lily Holdco, LLC (10)

Retail

1,044

1,044

Pragmatic Institute, LLC

Business Services

1,918,047

1,918

Quad (U.S.) Co-Invest, L.P.

Business Services

2,958,706

2,959

3,725

QuantiTech InvestCo LP (10)

Aerospace and Defense

712

68

402

QuantiTech InvestCo LP (8), (10)

Aerospace and Defense

955

QuantiTech InvestCo II LP (10)

Aerospace and Defense

40

24

24

RFMG Parent, LP (Rancho Health MSO, Inc.)

Healthcare, Education and Childcare

1,050,000

1,050

1,288

Safe Haven Defense MidCo, LLC (10)

Building Materials

227

227

227

SBI Holdings Investments LLC (Sales Benchmark Index LLC)

Business Services

36,585

366

331

Seaway Topco, LP

Chemicals, Plastics and Rubber

2,981

2,981

2,097

SP L2 Holdings, LLC

Consumer Products

881,966

882

159

SSC Dominion Holdings, LLC - Class B (US Dominion, Inc.)

Electronics

36

36

4,242

StellPen Holdings, LLC (CF512, Inc.)

Media

153,846

154

149

SV Aero Holdings, LLC (10)

Aerospace and Defense

25

219

333

TAC LifePort Holdings, LLC (10)

Aerospace and Defense

254,206

239

434

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

14


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) —(Continued)

JUNE 30, 2024

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

TCG 3.0 Jogger Co-Invest, LP - Common Equity

Media

6,475

$

1,252

$

1,068

Tower Arch Infolinks Media, LP (10)

Media

542,000

251

844

Tower Arch Infolinks Media, LP (8), (10)

Media

353,444

TPC Holding Company, LP (9)

Food

11,527

12

140

TPCN Holdings, LLC - Common Equity (9)

Diversified Conglomerate Service

473,400

473

473

TWD Parent Holdings, LLC (The Vertex Companies, LLC)

Business Services

608

1

9

UniVista Insurance (10)

Business Services

400

338

742

Urology Partners Co., L.P.

Healthcare, Education and Childcare

1,111,111

1,111

1,078

Watchtower Holdings, LLC (10)

Electronics

12,419

1,242

1,297

WCP Ivyrehab Coinvestment, LP (10)

Healthcare, Education and Childcare

208

208

189

WCP Ivyrehab QP CF Feeder, LP (10)

Healthcare, Education and Childcare

3,754

3,793

3,416

WCP Ivyrehab QP CF Feeder, LP - Unfunded (8), (10)

Healthcare, Education and Childcare

246

( 22

)

Wildcat Parent, LP (Wildcat Buyerco, Inc.)

Electronics

2,314

98

826

Total Common Equity/Partnership Interests/Warrants

104,790

119,111

US Government Securities— 12.2 % of Net Assets

U.S. Treasury Bill (5)

07/23/2024

Short-Term U.S. Government Securities

5.24

%

60,000

59,820

59,808

Total US Government Securities

59,820

59,808

Total Investments in Non-Controlled, Non-Affiliated Portfolio Companies

854,365

854,027

Investments in Non-Controlled, Affiliated Portfolio Companies— 6.8 % of Net Assets (1), (2)

First Lien Secured Debt— 1.2 % of Net Assets

Walker Edison Furniture Company LLC (6)

03/01/2029

Home and Office Furnishings

9,930

9,512

2,880

Walker Edison Furniture Company, LLC - Unfunded Term Loan (6), (8)

03/01/2029

Home and Office Furnishings

708

( 503

)

Walker Edison Furniture Company LLC - Junior Revolver (6)

03/01/2029

Home and Office Furnishings

3,333

3,333

3,333

Total First Lien Secured Debt

12,845

5,710

Preferred Equity/Partnership Interests— 5.6 % of Net Assets(6)

Cascade Environmental Holdings, LLC (Preferred)

Environmental Services

5,887,236

32,791

26,304

Cascade Environmental Holdings, LLC - Series B

Environmental Services

918

918

1,260

Total Preferred Equity/ Partnership Interests

33,709

27,564

Common Equity/Partnership Interests/Warrants— 0.0 % of Net Assets (6)

Cascade Environmental Holdings, LLC

Environmental Services

7,444,347

$

2,852

$

-

Walker Edison Furniture

Home and Office Furnishings

72,917

6,786

Total Common Equity/Partnership Interests/Warrants

9,638

Total Investments in Non-Controlled, Affiliated Portfolio Companies

56,192

33,274

Investments in Controlled, Affiliated Portfolio Companies— 75.8 % of Net Assets (1), (2)

First Lien Secured Debt— 20.8 % of Net Assets

AKW Holdings Limited (9), (11), (12)

03/15/2027

Healthcare, Education and Childcare

12.32

%

3M SOFR+ 700

£

41,869

57,286

52,926

(PIK 6.8 )

MidOcean JF Holdings Corp.

07/31/2026

Distribution

11.38

%

3M SOFR+ 605

49,750

49,172

49,004

Total First Lien Secured Debt

106,458

101,930

Second Lien Secured Debt— 0.0 % of Net Assets

Total Second Lien Secured Debt

Subordinated Debt— 27.9 % of Net Assets

Flock Financial, LLC (6), (12)

10/19/2027

Financial Services

14.5

%

21,398

21,398

21,398

(PIK 14.5 %)

PennantPark Senior Loan Fund, LLC (12)

7/31/2027

Financial Services

13.33

%

3M SOFR+ 800

115,886

115,886

115,886

Total Subordinated Debt

137,284

137,284

Preferred Equity— 5.4 % of Net Assets (6)

Flock Financial Class A Preferred Equity (12)

Financial Services

2,047,727

7,313

7,313

Flock Financial Class B Preferred Equity (12)

Financial Services

5,409,091

19,318

19,318

Total Preferred Equity

26,631

26,631

Common Equity— 21.7 % of Net Assets (6)

AKW Holdings Limited - Common Equity (9), (11), (12)

Healthcare, Education and Childcare

£

950

132

4,418

JF Intermediate, LLC

Distribution

43,918

4,488

32,593

PennantPark Senior Loan Fund, LLC (12)

Financial Services

67,373,319

67,436

69,718

Total Common Equity

72,056

106,729

Total Investments in Controlled, Affiliated Portfolio Companies

342,429

372,574

Total Investments— 256.5 % of Net Assets

1,252,986

1,259,875

Cash and Cash Equivalents— 12.0 % of Net Assets

BlackRock Federal FD Institutional 30

47,300

47,300

Non-Money Market Cash

11,851

11,852

Total Cash and Cash Equivalents

59,151

59,152

Total Investments and Cash Equivalents— 268.5 % of Net Assets

1,312,137

$

1,319,027

Liabilities in Excess of Other Assets—( 168.5 %) of Net Assets

( 827,805

)

Net Assets— 100.0 %

`

$

491,222

(1)
The provisions of the 1940 Act classify investments based on the level of control that we maintain in a particular portfolio company. As defined in the 1940 Act, a company is generally presumed to be “non-controlled” when we own 25 % or less of the portfolio company’s voting securities and “controlled” when we own more than 25 % of the portfolio company’s voting securities.
(2)
The provisions of the 1940 Act classify investments further based on the level of ownership that we maintain in a particular portfolio company. As defined in the 1940 Act, a company is generally deemed as “non-affiliated” when we own less than 5 % of a portfolio company’s voting securities and “affiliated” when we own 5 % or more of a portfolio company’s voting securities.

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

15


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) —(Continued)

JUNE 30, 2024

(In thousands, except share data)

(3)
Valued based on our accounting policy (See Note 2).
(4)
Represents floating rate instruments that accrue interest at a predetermined spread relative to an index, typically the applicable Secured Overnight Financing Rate (SOFR), or Prime rate (P), or
Sterling Overnight Index Average (SONIA). The spread may change based on the type of rate used. The terms in the Schedule of Investments disclose the actual interest rate in effect as of the reporting
period. SOFR loans are typically indexed to a 30-day, 90-day or 180-day SOFR rates (1M S, 3M S, or 6M S, respectively) at the borrower’s option. SONIA loans are typically indexed daily for GBP loans
with a quarterly frequency payment. All securities are subject to a SOFR or Prime rate floor where a spread is provided, unless noted. The spread provided includes payment-in-kind or "PIK" interest and other fee rates, if any.
(5)
The security was not valued using significant unobservable inputs. The value of all other securities was determined using significant unobservable inputs (See Note 5).
(6)
Non-income producing securities.
(7)
Partial non-accrual PIK securities
(8)
Represents the purchase of a security with delayed settlement or a revolving line of credit that is currently an unfunded investment. This security does not earn a basis point spread above an index while it is unfunded.
(9)
Non-U.S. company or principal place of business outside the United States.
(10)
I nvestment is held through our Taxable Subsidiary (See Note 1).
(11)
Par / Shares amount is denominated in British Pounds (£) and in Canadian (CAD) as denoted.
(12)
The investment is treated as a non-qualifying asset under Section 55(a) of the 1940 Act. Under the 1940 Act, we may not acquire any non-qualifying asset unless, at the time the acquisition is made, qualifying assets represent at least 70 % of our total assets. As of June 30, 2024 , qualifying assets represent 77 % of the Company’s total assets and non-qualifying assets represent 23 % of the Company’s total assets.

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

16


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS

September 30, 2023

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

Investments in Non-Controlled, Non-Affiliated Portfolio Companies— 165.4 % of Net Assets (1), (2)

First Lien Secured Debt— 93.2 % of Net Assets

A1 Garage Merger Sub, LLC

12/22/2028

Personal, Food and Miscellaneous Services

11.99

%

3M SOFR+ 660

5,144

$

5,073

$

5,119

A1 Garage Merger Sub, LLC - Unfunded Term Loan

12/21/2024

Personal, Food and Miscellaneous Services

1,788

18

A1 Garage Merger Sub, LLC (Revolver) (7)

12/22/2028

Personal, Food and Miscellaneous Services

2,532

( 13

)

Ad.net Acquisition, LLC (Revolver)

05/07/2026

Media

11.65

%

3M SOFR+ 626

222

222

221

Ad.net Acquisition, LLC (Revolver) (7)

05/07/2026

Media

222

( 1

)

Anteriad, LLC (f/k/a MeritDirect, LLC)

05/23/2024

Media

12.04

%

3M SOFR+ 665

1,237

1,223

1,221

Anteriad, LLC (f/k/a MeritDirect, LLC) (Revolver) (7)

05/23/2024

Media

1,612

( 28

)

Any Hour Services

07/21/2027

Personal, Food and Miscellaneous Services

11.22

%

3M SOFR+ 585

3,023

3,014

2,962

Any Hour Services (Revolver) (7)

07/21/2027

Personal, Food and Miscellaneous Services

1,147

( 23

)

Apex Service Partners, LLC

07/31/2025

Personal, Food and Miscellaneous Services

10.77

%

3M SOFR+ 525

1,330

1,330

1,327

Apex Service Partners, LLC Term Loan C

07/31/2025

Personal, Food and Miscellaneous Services

10.79

%

3M SOFR+ 525

1,863

1,850

1,859

Apex Service Partners, LLC (Revolver)

07/31/2025

Personal, Food and Miscellaneous Services

10.79

%

3M SOFR+ 525

582

583

581

Apex Service Partners, LLC (Revolver) (7)

07/31/2025

Personal, Food and Miscellaneous Services

350

( 1

)

Applied Technical Services, LLC

12/29/2026

Environmental Services

11.54

%

3M SOFR+ 615

824

818

808

Applied Technical Services, LLC (Revolver)

12/29/2026

Environmental Services

13.25

%

3M SOFR+ 475

400

400

392

Applied Technical Services, LLC (Revolver) (7)

12/29/2026

Environmental Services

600

( 12

)

Arcfield Acquisition Corp. (Revolver)

08/03/2029

Aerospace and Defense

11.62

%

1M SOFR+ 615

8,090

7,970

8,009

Arcfield Acquisition Corp. (Revolver) (7)

08/04/2028

Aerospace and Defense

3,521

( 35

)

Berwick Industrial Park

11/02/2023

Buildings and Real Estate

11.50

%

4,000

4,030

3,924

Beta Plus Technologies, Inc.

07/01/2029

Business Services

11.14

%

3M SOFR+ 575

4,950

4,869

4,604

BioDerm, Inc. (Revolver)

01/31/2028

Healthcare, Education and Childcare

11.81

%

1M SOFR+ 650

107

107

107

BioDerm, Inc. (Revolver) (7)

01/31/2028

Healthcare, Education and Childcare

964

( 5

)

Blackhawk Industrial Distribution, Inc.

09/17/2026

Distribution

11.79

%

3M SOFR+ 640

1,851

1,833

1,823

Blackhawk Industrial Distribution, Inc. (7)

09/17/2026

Distribution

3,354

( 34

)

Blackhawk Industrial Distribution, Inc.

09/17/2026

Distribution

11.79

%

3M SOFR+ 640

343

343

338

Blackhawk Industrial Distribution, Inc. (Revolver) (7)

09/17/2026

Distribution

3,089

( 46

)

Broder Bros., Co.

12/04/2025

Consumer Products

11.65

%

3M SOFR+ 626

9,838

9,838

9,838

Cartessa Aesthetics, LLC

06/14/2028

Distribution

11.39

%

3M SOFR+ 600

34,056

33,496

34,056

Cartessa Aesthetics, LLC - (Revolver)

06/14/2028

Distribution

11.39

%

3M SOFR+ 600

1,265

1,265

1,265

Cartessa Aesthetics, LLC - (Revolver) (7)

06/14/2028

Distribution

2,297

CF512, Inc.

08/20/2026

Media

11.59

%

3M SOFR+ 600

6,592

6,524

6,460

CF512, Inc.(Revolver) (7)

08/20/2026

Media

909

( 18

)

Compex Legal Services, Inc.

02/09/2026

Business Services

10.94

%

3M SOFR+ 555

949

939

949

Compex Legal Services, Inc. (Revolver)

02/07/2025

Business Services

10.94

%

3M SOFR+ 555

66

66

66

Compex Legal Services, Inc. (Revolver) (7)

02/07/2025

Business Services

590

Connatix Buyer, Inc. (Revolver) (7)

07/13/2027

Media

1,875

( 66

)

Confluent Health, LLC

11/30/2028

Healthcare, Education and Childcare

12.82

%

3M SOFR+ 750

1,990

1,855

2,000

Crane 1 Services, Inc. (Revolver)

08/16/2027

Personal, Food and Miscellaneous Services

10.90

%

3M SOFR+ 551

117

117

116

Crane 1 Services, Inc. (Revolver) (7)

08/16/2027

Personal, Food and Miscellaneous Services

175

( 1

)

Dr. Squatch, LLC

08/31/2027

Personal and Non-Durable Consumer Products

11.23

%

3M SOFR+ 585

8,276

8,190

8,276

Dr. Squatch, LLC (7)

08/27/2026

Personal and Non-Durable Consumer Products

2,000

20

Dr. Squatch, LLC (Revolver) (7)

08/31/2027

Personal and Non-Durable Consumer Products

2,326

DRS Holdings III, Inc.

11/03/2025

Consumer Products

11.79

%

3M SOFR+ 640

7

7

7

DRS Holdings III, Inc. (Revolver) (7)

11/03/2025

Consumer Products

1,783

( 21

)

EDS Buyer, LLC

12/22/2028

Aerospace and Defense

11.64

%

3M SOFR+ 625

6,219

6,133

6,125

EDS Buyer, LLC - Unfunded Term Loan

12/22/2028

Aerospace and Defense

5,625

( 14

)

EDS Buyer, LLC - (Revolver) (7)

12/22/2028

Aerospace and Defense

1,688

( 25

)

ETE Intermediate II, LLC (Revolver) (7)

05/25/2029

Personal, Food and Miscellaneous Services

1,656

( 28

)

Exigo Intermediate II, LLC

03/15/2027

Business Services

11.17

%

3M SOFR+ 585

24,375

24,097

23,888

Exigo Intermediate II, LLC (Revolver) (7)

03/15/2027

Business Services

1,856

( 37

)

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

17


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS – (Continued)

September 30, 2023

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

Five Star Buyer, Inc.

02/23/2028

Leisure, Amusement, Motion Pictures, Entertainment

12.42

%

3M SOFR+ 710

196

$

196

$

193

Five Star Buyer, Inc. - Unfunded Term Loan

02/23/2028

Leisure, Amusement, Motion Pictures, Entertainment

837

( 13

)

Five Star Buyer, Inc. (Revolver) (7)

02/23/2028

Leisure, Amusement, Motion Pictures, Entertainment

741

( 11

)

Gauge ETE Blocker, LLC - Promissory Note

05/19/2029

Personal, Food and Miscellaneous Services

12.56

%

215

215

215

Graffiti Buyer, Inc.

08/10/2027

Distribution

10.98

%

3M SOFR+ 560

613

608

607

Graffiti Buyer, Inc. (7)

12/08/2023

Distribution

276

Graffiti Buyer, Inc. (Revolver)

08/10/2027

Distribution

11.77

%

3M SOFR+ 560

239

239

237

Graffiti Buyer, Inc. (Revolver) (7)

08/10/2027

Distribution

529

( 5

)

Hancock Roofing and Construction L.L.C.

12/31/2026

Insurance

10.92

%

1M SOFR+ 560

335

335

327

Hancock Roofing and Construction L.L.C. (Revolver) (7)

12/31/2026

Insurance

415

( 10

)

Holdco Sands Intermediate, LLC

11/23/2028

Aerospace and Defense

11.32

%

6M SOFR+ 585

1,898

1,868

1,898

Holdco Sands Intermediate, LLC (Revolver) (7)

11/23/2027

Aerospace and Defense

3,941

HV Watterson Holdings, LLC

12/17/2026

Business Services

11.79

%

1M SOFR+ 625

279

278

279

HV Watterson Holdings, LLC (7)

12/17/2026

Business Services

2,219

12

HV Watterson Holdings, LLC - (Revolver)

12/17/2026

Business Services

11.79

%

3M SOFR+ 625

1,200

1,200

1,198

HV Watterson Holdings, LLC - (Revolver) (7)

12/17/2026

Business Services

50

HW Holdco, LLC

12/10/2024

Media

11.28

%

3M SOFR+ 640

11,237

11,167

11,069

HW Holdco, LLC (Revolver)

12/10/2024

Media

11.82

%

3M SOFR+ 640

271

271

267

HW Holdco, LLC (Revolver) (7)

12/10/2024

Media

3,116

( 47

)

IG Investments Holdings, LLC (Revolver) (7)

09/22/2027

Business Services

477

( 7

)

Imagine Acquisitionco, LLC (7)

11/15/2027

Business Services

2,341

( 12

)

Imagine Acquisitionco, LLC (Revolver) (7)

11/15/2027

Business Services

1,685

( 25

)

Inception Fertility Ventures, LLC

12/07/2023

Healthcare, Education and Childcare

12.49

%

3M SOFR+ 715

20,300

20,100

20,300

Infinity Home Services Holdco, Inc.

12/28/2028

Personal, Food and Miscellaneous Services

12.24

%

3M SOFR+ 685

2,089

2,089

2,089

Infinity Home Services Holdco, Inc. - Unfunded Term Loan

12/28/2023

Personal, Food and Miscellaneous Services

1,135

Infinity Home Services Holdco, Inc.(Revolver) (7)

12/28/2028

Personal, Food and Miscellaneous Services

1,292

Infolinks Media Buyco, LLC

11/01/2026

Media

11.17

%

1M SOFR+ 585

1,420

1,416

1,420

Infolinks Media Buyco, LLC (7)

11/01/2023

Media

949

10

Integrated Data Services - Term Loan

08/01/2029

Business Services

11.87

%

3M SOFR+ 650

15,467

15,161

15,106

Integrated Data Services - (Revolver)

08/01/2029

Business Services

2,533

( 59

)

Integrity Marketing Acquisition, LLC

08/27/2026

Insurance

11.41

%

3M SOFR+ 615

9,880

9,839

9,781

Integrity Marketing Acquisition, LLC - Unfunded Term Loan

08/31/2025

Insurance

2,500

( 13

)

Integrity Marketing Acquisition, LLC (Revolver) (7)

08/31/2025

Insurance

160

Inventus Power, Inc.

06/30/2025

Electronics

12.93

%

1M SOFR+ 761

13,234

12,998

12,969

Inventus Power, Inc. (Revolver) (7)

06/30/2025

Electronics

1,729

( 35

)

ITI Holdings, Inc.

03/03/2028

Business Services

11.06

%

3M SOFR+ 615

8,838

8,718

8,661

ITI Holdings, Inc. (Revolver)

03/03/2028

Business Services

10.70

%

1M SOFR+ 560

1,121

1,121

1,098

ITI Holdings, Inc. (Revolver) (7)

03/03/2028

Business Services

370

( 7

)

K2 Pure Solutions NoCal, L.P.

12/20/2023

Chemicals, Plastics and Rubber

13.42

%

1M SOFR+ 810

9,409

9,402

9,409

K2 Pure Solutions NoCal, L.P. (Revolver) (7)

12/20/2023

Chemicals, Plastics and Rubber

1,938

Kinetic Purchaser, LLC

11/10/2027

Consumer Products

11.54

%

3M SOFR+ 615

9,173

8,957

9,035

Kinetic Purchaser, LLC (Revolver) (7)

11/10/2026

Consumer Products

4,854

( 73

)

Lash OpCo, LLC

02/18/2027

Consumer Products

11.88

%

1M SOFR+ 700

2,807

2,764

2,779

Lash OpCo, LLC (Revolver)

08/16/2026

Consumer Products

12.15

%

1M SOFR+ 700

1,977

1,977

1,957

Lash OpCo, LLC (Revolver) (7)

08/16/2026

Consumer Products

935

( 9

)

LAV Gear Holdings, Inc.

10/31/2024

Leisure, Amusement, Motion Pictures, Entertainment

11.79

%

1M SOFR+ 640

51

51

51

(PIK 5.50 %)

Ledge Lounger, Inc.

11/09/2026

Consumer Products

11.79

%

3M SOFR+ 625

9,085

8,964

8,971

Ledge Lounger, Inc. (Revolver) (7)

11/09/2026

Consumer Products

1,933

( 24

)

Lightspeed Buyer Inc.

02/03/2026

Healthcare, Education and Childcare

10.67

%

1M SOFR+ 535

2,198

2,187

2,176

Lightspeed Buyer Inc. (Revolver) (7)

02/03/2026

Healthcare, Education and Childcare

1,166

( 12

)

LJ Avalon Holdings, LLC

07/31/2024

Environmental Services

11.79

%

3M SOFR+ 640

208

205

204

LJ Avalon Holdings, LLC - Unfunded Term Loan

07/31/2024

Environmental Services

1,260

( 6

)

LJ Avalon Holdings, LLC (Revolver) (7)

01/31/2030

Environmental Services

587

( 12

)

LSF9 Atlantis Holdings, LLC

03/31/2029

Retail

12.64

%

3M SOFR+ 725

5,625

5,436

5,381

Loving Tan Intermediate II, Inc.

05/31/2028

Consumer Products

12.39

%

3M SOFR+ 700

4,988

4,892

4,913

Loving Tan Intermediate II, Inc. (Revolver)

05/31/2028

Consumer Products

12.39

%

3M SOFR+ 700

347

347

342

Loving Tan Intermediate II, Inc. (Revolver) (7)

05/31/2028

Consumer Products

284

( 4

)

Mars Acquisition Holdings Corp.

05/14/2026

Media

11.04

%

3M SOFR+ 565

1,835

1,807

1,817

Mars Acquisition Holdings Corp. (Revolver) (7)

05/14/2026

Media

1,209

( 12

)

MBS Holdings, Inc. (Revolver)

04/16/2027

Telecommunications

11.17

%

1M SOFR+ 585

111

111

109

MBS Holdings, Inc. (Revolver) (7)

04/16/2027

Telecommunications

583

( 9

)

MDI Buyer, Inc.

07/25/2028

Chemicals, Plastics and Rubber

11.27

%

3M SOFR+ 600

20,135

19,835

19,685

MDI Buyer, Inc. (Revolver)

07/25/2028

Chemicals, Plastics and Rubber

10.92

%

3M SOFR+ 600

1,039

1,039

1,016

MDI Buyer, Inc. (Revolver) (7)

07/25/2028

Chemicals, Plastics and Rubber

1,188

( 15

)

Meadowlark Acquirer, LLC

12/10/2027

Business Services

10.66

%

3M SOFR+ 550

1,937

1,919

1,888

Meadowlark Acquirer, LLC Term Loan I

12/10/2027

Business Services

1,038

( 16

)

Meadowlark Acquirer, LLC Term Loan II

12/10/2027

Business Services

8,922

( 134

)

Meadowlark Acquirer, LLC (Revolver) (7)

12/10/2027

Business Services

1,685

( 43

)

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

18


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS – (Continued)

September 30, 2023

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

Municipal Emergency Services, Inc.

09/28/2027

Distribution

11.05

%

3M SOFR+ 565

484

$

484

$

474

Municipal Emergency Services, Inc. - Unfunded Term Loan A

06/16/2023

Distribution

769

( 17

)

Municipal Emergency Services, Inc. - Unfunded Term Loan B

12/16/2024

Distribution

2,510

( 55

)

Municipal Emergency Services, Inc. (Revolver)

09/28/2027

Distribution

11.04

%

3M SOFR+ 565

752

752

736

Municipal Emergency Services, Inc. (Revolver) (7)

09/28/2027

Distribution

1,128

( 25

)

NBH Group LLC (Revolver) (7)

08/19/2026

Healthcare, Education and Childcare

1,163

( 23

)

Neptune Flood Incorporated (Revolver) (7)

05/09/2029

Insurance

541

NORA Acquisition, LLC

08/31/2029

Healthcare, Education and Childcare

11.74

%

3M SOFR+ 635

20,500

20,092

20,090

NORA Acquisition, LLC (Revolver) (7)

08/31/2029

Healthcare, Education and Childcare

2,707

( 54

)

ORL Acquisition, Inc.

09/03/2027

Business Services

12.84

%

3M SOFR+ 725

4,409

4,347

4,012

ORL Acquisition, Inc. (Revolver) (7)

09/03/2027

Business Services

597

( 54

)

Ox Two, LLC

05/18/2026

Building Materials

12.90

%

1M SOFR+ 725

13,578

13,445

13,340

Ox Two, LLC (Revolver) (7)

05/18/2026

Building Materials

2,419

( 42

)

Pequod Merger Sub, Inc. - Unfunded Term Loan

12/02/2026

Financial Services

2,847

( 57

)

Pequod Merger Sub, Inc. (Revolver) (7)

12/02/2026

Financial Services

757

( 15

)

PL Acquisitionco, LLC (Revolver) (7)

11/09/2027

Retail

3,236

( 324

)

Pragmatic Institute, LLC

07/06/2028

Business Services

11.17

%

3M SOFR+ 575

34,987

34,547

33,412

Pragmatic Institute, LLC Unfunded Term Loan

07/06/2028

Business Services

7,193

( 252

)

Pragmatic Institute, LL (Revolver)

07/06/2028

Business Services

11.17

%

3M SOFR+ 575

4,795

4,795

4,579

Quantic Electronics, LLC

11/19/2026

Aerospace and Defense

11.74

%

3M SOFR+ 635

1,484

1,474

1,461

Quantic Electronics, LLC (Revolver)

11/19/2026

Aerospace and Defense

11.74

%

3M SOFR+ 635

528

528

521

Questex, LLC

09/09/2024

Media

9.81

%

3M SOFR+ 425

20,193

20,115

20,193

Questex, LLC (Revolver) (7)

09/09/2024

Media

3,590

Radius Aerospace, Inc. (Revolver)

03/31/2025

Aerospace and Defense

11.29

%

3M SOFR+ 575

668

668

661

Radius Aerospace, Inc. (Revolver) (7)

03/31/2025

Aerospace and Defense

1,559

( 16

)

Rancho Health MSO, Inc. (7)

12/18/2025

Healthcare, Education and Childcare

11.22

%

3M SOFR+ 575

79

79

79

Rancho Health MSO, Inc. - Unfunded Term Loan

12/18/2025

Healthcare, Education and Childcare

494

Rancho Health MSO, Inc. (Revolver)

12/18/2025

Healthcare, Education and Childcare

11.24

%

3M SOFR+ 575

210

210

210

Rancho Health MSO, Inc. (Revolver) (7)

12/18/2025

Healthcare, Education and Childcare

315

Reception Purchaser, LLC

02/28/2028

Transportation

11.54

%

3M SOFR+ 615

5,863

5,791

5,628

Recteq, LLC (Revolver) (7)

01/29/2026

Consumer Products

1,127

( 34

)

Research Now Group, Inc. and Dynata, LLC

12/20/2024

Business Services

11.13

%

3M SOFR+ 576

124

124

108

Riverpoint Medical, LLC (Revolver)

06/20/2025

Healthcare, Education and Childcare

10.42

%

3M SOFR+ 510

45

45

45

Riverpoint Medical, LLC (Revolver) (7)

06/20/2025

Healthcare, Education and Childcare

318

( 4

)

Riverside Assessments, LLC

03/10/2025

Education

11.24

%

3M SOFR+ 575

11,699

11,588

11,582

Rural Sourcing Holdings, Inc. - Unfunded Term Loan

06/15/2029

Business Services

1,146

Rural Sourcing Holdings, Inc. (Revolver) (7)

06/15/2029

Business Services

861

( 13

)

Sales Benchmark Index LLC (Revolver) (7)

01/03/2025

Business Services

732

( 4

)

Sargent & Greenleaf Inc. (Revolver)

12/20/2024

Electronics

12.92

%

1M SOFR+ 650

158

158

157

Sargent & Greenleaf Inc. (Revolver) (7)

12/20/2024

Electronics

453

( 5

)

Schlesinger Global, Inc.

07/14/2025

Business Services

13.15

%

3M SOFR+ 775

4,647

4,611

4,496

Schlesinger Global, Inc. (Revolver)

07/14/2025

Business Services

12.52

%

3M SOFR+ 775

30

30

29

(PIK 0.5 %)

Schlesinger Global, Inc. (Revolver) (7)

07/14/2025

Business Services

8

Seaway Buyer, LLC

06/13/2029

Chemicals, Plastics and Rubber

11.54

%

3M SOFR+ 605

4,752

4,691

4,609

Seaway Buyer, LLC (Revolver)

06/13/2029

Chemicals, Plastics and Rubber

11.54

%

3M SOFR+ 605

729

729

708

Seaway Buyer, LLC (Revolver) (7)

06/13/2029

Chemicals, Plastics and Rubber

2,397

( 72

)

Shiftkey, LLC

06/21/2027

Business Services

11.40

%

3M SOFR+ 601

17,775

17,636

17,331

Sigma Defense Systems, LLC

12/18/2025

Telecommunications

14.04

%

3M SOFR+ 865

29,681

29,190

29,236

Sigma Defense Systems, LLC (Revolver)

12/18/2025

Telecommunications

14.04

%

3M SOFR+ 865

2,083

2,083

2,052

Sigma Defense Systems, LLC (Revolver) (7)

12/18/2025

Telecommunications

893

( 13

)

Signature Systems Holding Company (Revolver) (7)

05/03/2024

Chemicals, Plastics and Rubber

2,016

Solutionreach, Inc. (Revolver) (7)

07/17/2025

Communications

1,665

( 7

)

Spendmend Holdings LLC

03/01/2028

Business Services

11.04

%

1M SOFR+ 565

99

99

97

Spendmend Holdings LLC (7)

03/01/2028

Business Services

2,684

( 39

)

Spendmend Holdings LLC - Funded Revolver

03/01/2028

Business Services

11.20

%

1M SOFR+ 565

561

561

548

Spendmend Holdings LLC - (Revolver) (7)

03/01/2028

Business Services

841

( 18

)

System Planning and Analysis, Inc. - (Revolver) (7)
(f/k/a Management Consulting & Research, LLC)

08/16/2027

Aerospace and Defense

2,925

( 32

)

The Aegis Technologies Group, LLC

10/31/2025

Aerospace and Defense

11.66

%

3M SOFR+ 665

1,121

1,097

1,104

The Bluebird Group LLC

07/27/2026

Business Services

12.79

%

3M SOFR+ 740

2,271

2,239

2,262

The Bluebird Group LLC (Revolver) (7)

07/27/2026

Business Services

734

( 3

)

The Vertex Companies, LLC

08/30/2027

Business Services

11.93

%

1M SOFR+ 635

186

182

185

The Vertex Companies, LLC (Revolver)

08/30/2027

Business Services

11.67

%

1M SOFR+ 635

248

248

246

The Vertex Companies, LLC (Revolver) (7)

08/30/2027

Business Services

492

( 4

)

TWS Acquisition Corporation (Revolver) (7)

06/16/2025

Education

1,644

Tyto Athene, LLC (Revolver) (7)

04/01/2026

Aerospace and Defense

364

( 32

)

Urology Management Holdings, Inc. - Unfunded Term Loan

02/01/2024

Healthcare, Education and Childcare

7,222

( 150

)

Wildcat Buyerco, Inc.

02/27/2026

Electronics

10.57

%

3M SOFR+ 515

3,805

3,762

3,767

Wildcat Buyerco, Inc. (Revolver)

02/27/2026

Electronics

10.17

%

3M SOFR+ 585

88

88

87

Wildcat Buyerco, Inc. (Revolver) (7)

02/27/2026

Electronics

486

( 5

)

Zips Car Wash, LLC

03/01/2024

Auto Sector

12.67

%

1M SOFR+ 735

2,589

2,583

2,504

Total First Lien Secured Debt

472,975

468,007

U.S. Government Securities— 19.9 % of Net Assets

U.S. Treasury Bill (5)

10/19/2023

Short-Term U.S. Government Securities

5.31

%

100,000

99,768

99,751

Total U.S. Government Securities

99,768

99,751

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

19


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS – (Continued)

September 30, 2023

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

Second Lien Secured Debt— 16.0 % of Net Assets

Ascensus Holdings, Inc.

08/02/2028

Financial Services

12.03

%

3M SOFR+ 676

3,000

$

2,717

$

2,837

Atlas Purchaser, Inc

05/07/2029

Telecommunications

14.66

%

3M SOFR+ 900

17,000

16,600

13,821

Best Practice Associates LLC

06/29/2027

Aerospace and Defense

14.54

%

3M SOFR+ 915

17,825

17,559

17,469

Burgess Point Purchaser Corporation

07/28/2030

Auto Sector

14.42

%

1M SOFR+ 910

8,000

7,680

7,920

ENC Parent Corporation

08/19/2029

Business Services

13.15

%

3M SOFR+ 776

7,500

7,440

6,675

Halo Buyer, Inc.

07/06/2026

Consumer Products

13.67

%

1M SOFR+ 835

32,500

32,232

31,525

QuantiTech LLC

02/04/2027

Aerospace and Defense

11.74

%

3M SOFR+ 635

150

148

149

Total Second Lien Secured Debt

84,376

80,396

Subordinated Debt/Corporate Notes— 10.7 % of Net Assets

Express Wash Acquisition Company, LLC

01/15/2029

Auto Sector

15.15

%

3M SOFR+ 976

22,219

21,568

21,597

Flock Financial, LLC (11)

05/26/2027

Financial Services

14.50

%

34,000

33,329

32,300

Total Subordinated Debt/Corporate Notes

54,897

53,897

Preferred Equity/Partnership Interests— 2.6 % of Net Assets (6)

Ad.net Holdings, Inc.

Media

2,400

240

271

AH Newco Equityholdings, LLC

Healthcare, Education and Childcare

6.00

%

211

500

1,066

Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) (9)

Media

1,135

1,135

918

Cartessa Aesthetics, LLC (9)

Distribution

3,562,500

3,563

4,975

Gauge Lash Coinvest, LLC - Preferred Equity

Consumer Products

64,967

351

789

Gauge Schlesinger Coinvest, LLC - Class A-2 Preferred Equity

Business Services

1

1

1

Imagine Topco, LP

Business Services

8.00

%

743,826

744

750

Magnolia Topco LP - Class A Preferred Equity (9)

Auto Sector

169

169

172

Magnolia Topco LP - Class B Preferred Equity (9)

Auto Sector

929

554

794

Mars Intermediate Holdings II, Inc

Media

414

414

551

NXOF Holdings, Inc. (Tyto Athene, LLC)

Aerospace and Defense

160

160

107

ORL Holdco, Inc.

Business Services

575

57

PL Acquisitionco, LLC - Preferred Equity

Retail

37

37

39

Signature CR Intermediate Holdco, Inc.

Chemicals, Plastics and Rubber

12.00

%

1,527

1,527

2,490

TPC Holding Company, LP (8),(11)

Food

219

219

320

TWD Parent Holdings, LLC

Business Services

30

30

37

(The Vertex Companies, LLC)

Total Preferred Equity/Partnership Interests

9,701

13,280

Common Equity/Partnership Interests/Warrants— 23.0 % of Net Assets (6)

A1 Garage Equity, LLC (9)

Personal, Food and Miscellaneous Services

2,193,038

2,193

2,340

Ad.net Holdings, Inc.

Media

2,667

27

Affinion Group Holdings, Inc. (Warrants)

04/10/2024

Consumer Products

77,190

2,126

AG Investco LP (9)

Business Services

805,164

805

1,074

AG Investco LP (7), (9)

Business Services

194,836

Altamira Intermediate Company II, Inc.

Aerospace and Defense

125,000

125

127

AMCSI Crash Co-Invest, LP

Auto Sector

2,489,777

2,490

3,318

AMCSI Crash Co-Invest, LP (7)

Auto Sector

510,223

Anteriad Holdings, LP (f/k/a MeritDirect Holdings, LP) (9)

Media

1,135

Athletico Holdings, LLC (9)

Healthcare, Education and Childcare

9,357

10,000

9,032

Atlas Investment Aggregator, LLC

Telecommunications

1,700,000

1,613

293

BioDerm, Inc.

Healthcare, Education and Childcare

1,312

1,312

1,513

Burgess Point Holdings, LP

Auto Sector

680

680

740

Connatix Parent, LLC

Media

57,416

632

333

Cowboy Parent LLC

Distribution

27,778

3,015

5,451

(Blackhawk Industrial Distribution, Inc.)

Crane 1 Acquisition Parent Holdings, L.P.

Personal, Food and Miscellaneous Services

113

104

173

Delta InvestCo LP

Telecommunications

863,299

848

1,542

(Sigma Defense Systems, LLC) (9)

Delta InvestCo LP (7)

Telecommunications

277,745

(Sigma Defense Systems, LLC) (7), (9)

eCommission Holding Corporation (11)

Financial Services

80

1,005

1,854

EDS Topco, LP

Aerospace and Defense

937,500

938

885

Exigo, LLC

Business Services

1,458,333

1,458

1,648

FedHC InvestCo LP (9)

Aerospace and Defense

14,578

489

2,060

FedHC InvestCo LP (7),(9)

Aerospace and Defense

5,150

FedHC InvestCo II LP (9)

Aerospace and Defense

20,882

2,175

2,951

Five Star Parent Holdings, LLC

Leisure, Amusement, Motion Pictures, Entertainment

655,714

656

800

Gauge ETE Blocker, LLC - Common Equity

Personal, Food and Miscellaneous Services

374,444

374

371

Gauge Lash Coinvest LLC

Consumer Products

889,376

136

4,076

Gauge Loving Tan, LP - Common Equity

Consumer Products

462,827

463

389

Gauge Schlesinger Coinvest, LLC

Business Services

9

10

7

Gauge TVC Coinvest, LLC

Transportation

810,645

2,390

(TVC Enterprises, LLC)

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

20


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS – (Continued)

September 30, 2023

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

GCOM InvestCo LP

Business Services

2,434

$

1,003

$

401

Go Dawgs Capital III, LP

Building Materials

675,325

675

1,479

(American Insulated Glass, LLC) (9)

Hancock Claims Consultants Investors, LLC (9)

Insurance

450,000

450

338

HPA SPQ Aggregator LP- Common Equity

Business Services

750,399

750

751

HV Watterson Holdings, LLC

Business Services

1,600,000

1,600

1,778

Icon Partners V C, L.P.

Business Services

1,118,318

1,118

1,002

Icon Partners V C, L.P. (7)

Business Services

381,682

( 40

)

IHS Parent Holdngs, L.P.

Personal, Food and Miscellaneous Services

1,218,045

1,218

1,642

Imagine Topco, LP

Business Services

743,826

Infogroup Parent Holdings, Inc.

Other Media

181,495

2,040

2,327

(Data Axle, Inc.)

Ironclad Holdco, LLC

Environmental Services

4,566

450

663

(Applied Technical Services, LLC) (9)

ITC Infusion Co-invest, LP (9)

Healthcare, Education and Childcare

162,445

1,624

1,775

ITC Rumba, LLC

Healthcare, Education and Childcare

375,675

8

1,158

(Cano Health, LLC) (9)

Kentucky Racing Holdco, LLC (Warrants) (9)

Hotels, Motels, Inns and Gaming

161,252

1,630

Kinetic Purchaser, LLC

Consumer Products

1,308,814

1,309

1,892

KL Stockton Co-Invest LP

Personal, Food and Miscellaneous Services

382,353

382

775

(Any Hour Services) (9)

Lariat ecoserv Co-Invest Holdings, LLC (9)

Environmental Services

363,656

22

LEP Pequod Holdings, LP

Financial Services

350

865

1,006

Lightspeed Investment Holdco LLC

Healthcare, Education and Childcare

273,143

273

741

LJ Avalon, LP

Environmental Services

851,087

851

902

Lorient Peregrine Investments, LP

Business Services

335,590

4,530

4,452

Magnolia Topco LP - Class A Common Equity (9)

Auto Sector

169,230

Magnolia Topco LP - Class B Common Equity (9)

Auto Sector

929,200

Mars Intermidiate Holdings II, Inc.

Media

414

232

MDI Aggregator, LP

Chemicals, Plastics and Rubber

30,993

3,103

3,326

Meadowlark Title, LLC (9)

Business Services

815,385

802

Municipal Emergency Services, Inc.

Distribution

3,920,145

3,984

4,430

NEPRT Parent Holdings, LLC

Consumer Products

1,299

1,259

88

(Recteq, LLC) (9)

NORA Parent Holdings, LLC

Healthcare, Education and Childcare

1,257

1,257

1,257

North Haven Saints Equity Holdings, LP (9)

Business Services

351,553

352

351

NXOF Holdings, Inc.

Aerospace and Defense

3,261

3

(Tyto Athene, LLC)

OceanSound Discovery Equity, LP

Aerospace and Defense

98,286

913

2,133

(Holdco Sands Intermediate, LLC) (9)

OHCP V BC COI, L.P.

Distribution

446,250

446

390

OHCP V BC COI, L.P. (7)

Distribution

303,750

( 38

)

ORL Holdco, Inc.

Business Services

638

6

PennantPark-TSO Senior Loan Fund II, LP (11)

Financial Services

12,269,640

12,270

12,485

Pink Lily Holdco, LLC (9)

Retail

1,044

1,044

33

Pragmatic Institute, LLC

Business Services

1,918,047

1,918

747

Quad (U.S.) Co-Invest, L.P.

Business Services

2,958,706

2,959

3,461

QuantiTech InvestCo LP (9)

Aerospace and Defense

712

68

446

QuantiTech InvestCo LP (7),(9)

Aerospace and Defense

955

QuantiTech InvestCo II LP (9)

Aerospace and Defense

40

24

26

RFMG Parent, LP

Healthcare, Education and Childcare

1,050,000

1,050

1,052

(Rancho Health MSO, Inc.)

SBI Holdings Investments LLC

Business Services

36,585

366

291

(Sales Benchmark Index LLC)

Seaway Topco, LP

Chemicals, Plastics and Rubber

2,981

2,981

2,372

Signature CR Intermediate Holdco, Inc.

Chemicals, Plastics and Rubber

80

80

2,059

SP L2 Holdings, LLC

Consumer Products

881,966

882

604

SSC Dominion Holdings, LLC

Electronics

71

71

3,294

Class B (US Dominion, Inc.)

StellPen Holdings, LLC

Media

153,846

154

169

(CF512, Inc.)

TAC LifePort Holdings, LLC (9)

Aerospace and Defense

254,206

250

405

Tower Arch Infolinks Media, LP (9)

Media

536,514

504

951

Tower Arch Infolinks Media, LP (7), (9)

Media

358,931

TPC Holding Company, LP (8). (11)

Food

11,527

12

113

TWD Parent Holdings, LLC

Business Services

608

1

1

(The Vertex Companies, LLC)

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

21


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

CONSOLIDATED SCHEDULE OF INVESTMENTS – (Continued)

September 30, 2023

(In thousands, except share data)

Issuer Name

Maturity / Expiration

Industry

Current
Coupon

Basis Point
Spread Above
Index
(4)

Par /
Shares

Cost

Fair Value (3)

UniVista Insurance (9)

Business Services

400

$

362

$

555

Urology Partners Co., L.P.

Healthcare, Education and Childcare

1,111,111

1,111

1,044

WCP Ivyrehab (QP) CF Feeder, LP (9)

Healthcare, Education and Childcare

3,715,012

3,754

4,319

WCP Ivyrehab QP CF Feeder, LP - Unfunded (7) (9)

Healthcare, Education and Childcare

284,988

Wildcat Parent, LP

Electronics

2,314

231

820

(Wildcat Buyerco, Inc.)

Total Common Equity/Partnership Interests/Warrants

95,037

115,477

Total Investments in Non-Controlled, Non-Affiliated Portfolio Companies

816,754

830,808

Investments in Non-Controlled, Affiliated Portfolio Companies— 10.9 % of Net Assets (1), (2)

First Lien Secured Debt— 2.1 % of Net Assets

Walker Edison Furniture Company LLC

03/31/2027

Home and Office Furnishings

12.18

%

1M SOFR+ 68 5

7,042

7,042

7,043

Walker Edison Furniture Company, LLC - Unfunded Term Loan

03/31/2027

Home and Office Furnishings

667

Walker Edison Furniture Company LLC - Junior Revolver

03/31/2027

Home and Office Furnishings

11.68

%

1M SOFR+ 685

3,333

3,333

3,333

Total First Lien Secured Debt

10,375

10,376

Preferred Equity/Partnership Interests— 6.4 % of Net Assets (6)

Cascade Environmental Holdings, LLC

Environmental Services

5,887,236

32,791

31,032

Cascade Environmental Holdings, LLC - Series B

Environmental Services

918

918

1,073

Total Preferred Equity/Partnership Interests

33,709

32,105

Common Equity/Partnership Interests/Warrants— 2.4 % of Net Assets (6)

Cascade Environmental Holdings, LLC

Environmental Services

7,444,347

2,852

JF Intermediate, LLC

Distribution

19,687

2,065

8,759

Walker Edison Furniture

Home and Office Furnishings

72,917

6,786

3,531

Total Common Equity/Partnership Interests/Warrants

11,703

12,290

Total Investments in Non-Controlled, Affiliated Portfolio Companies

55,787

54,771

Investments in Controlled, Affiliated Portfolio Companies— 43.0 % of Net Assets (1), (2)

First Lien Secured Debt— 9.8 % of Net Assets

AKW Holdings Limited (8), (10), (11)

03/15/2027

Healthcare, Education and Childcare

12.21

%

3M SONIA+ 700

£

40,371

55,388

49,275

Total First Lien Secured Debt

55,388

49,275

Second Lien Secured Debt— 0.0 % of Net Assets

Mailsouth Inc. (6)

04/23/2025

Printing and Publishing

14,896

12,383

Total Second Lien Secured Debt

12,383

Subordinated Debt— 20.4 % of Net Assets

PennantPark Senior Loan Fund, LLC (11)

07/31/2027

Financial Services

13.37

%

3M SOFR+ 800

102,325

102,325

102,325

Total Subordinated Debt

102,325

102,325

Common Equity— 12.8 % of Net Assets (6)

AKW Holdings Limited (8), (10), (11)

Healthcare, Education and Childcare

£

950

131

2,385

MSpark, LLC

Printing and Publishing

51,151

16,516

PennantPark Senior Loan Fund, LLC (11)

Financial Services

58,580,060

58,643

62,083

Total Common Equity

75,290

64,468

Total Investments in Controlled, Affiliated Portfolio Companies

245,386

216,068

Total Investments— 219.4 % of Net Assets

1,117,927

1,101,647

Cash and Cash Equivalents— 7.7 % of Net Assets

BlackRock Federal FD Institutional 30

24,683

24,683

Non-Money Market Cash

14,101

14,092

Total Cash and Cash Equivalents

38,784

38,775

Total Investments and Cash Equivalents— 227.1 % of Net Assets

$

1,156,711

$

1,140,422

Liabilities in Excess of Other Assets—( 127.1 %) of Net Assets

( 638,235

)

Net Assets— 100.0 %

$

502,187

(1)
The provisions of the 1940 Act classify investments based on the level of control that we maintain in a particular portfolio company. As defined in the 1940 Act, a company is generally presumed to be “non-controlled” when we own 25 % or less of the portfolio company’s voting securities and “controlled” when we own more than 25 % of the portfolio company’s voting securities.
(2)
The provisions of the 1940 Act classify investments further based on the level of ownership that we maintain in a particular portfolio company. As defined in the 1940 Act, a company is generally deemed as “non-affiliated” when we own less than 5 % of a portfolio company’s voting securities and “affiliated” when we own 5 % or more of a portfolio company’s voting securities.
(3)
Valued based on our accounting policy (See Note 2).
(4)
Represents floating rate instruments that accrue interest at a predetermined spread relative to an index, typically the applicable Secured Overnight Financing Rate (SOFR) or Prime rate, (P), or
Sterling Overnight Index Average, (SONIA). The spread may change based on the type of rate used. The terms in the Schedule of Investments disclose the actual interest rate in effect as of the reporting
period. SOFR loans are typically indexed to a 30-day, 90-day or 180-day SOFR rates (1M S, 3M S, or 6M S, respectively) at the borrower’s option. SONIA loans are typically indexed daily for GBP loans
with a quarterly frequency payment. All securities are subject to a SOFR or Prime rate floor where a spread is provided, unless noted. The spread provided includes PIK interest and other fee rates, if any.
(5)
The security was not valued using significant unobservable inputs. The value of all other securities was determined using significant unobservable inputs (See Note 5).
(6)
Non-income producing securities.
(7)
Represents the purchase of a security with delayed settlement or a revolving line of credit that is currently an unfunded investment. This security does not earn a basis point spread above an index while it is unfunded.
(8)
Non-U.S. company or principal place of business outside the United States.
(9)
Investment is held through our Taxable Subsidiary (See Note 1).
(10)
Par / Shares amount is denominated in British Pounds (£) as denoted.
(11)
The investment is treated as a non-qualifying asset under Section 55(a) of the 1940 Act. Under the 1940 Act, we may not acquire any non-qualifying asset unless, at the time the acquisition is made, qualifying assets represent at least 70 % of our total assets. As of September 30, 2023, qualifying assets represent 77 % of the Company’s total assets and non-qualifying assets represent 23 % of the Company’s total assets .

SEE NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

22


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited)

JUNE 30, 2024

1. ORGANIZATION

PennantPark Investment Corporation was organized as a Maryland corporation in January 2007. We are a closed-end, externally managed, non-diversified investment company that has elected to be treated as a BDC under the 1940 Act. Our investment objective is to generate both current income and capital appreciation while seeking to preserve capital through debt and equity investments. We invest primarily in U.S. middle-market companies in the form of first lien secured debt, second lien secured debt, subordinated debt and, to a lesser extent, equity investments. On April 24, 2007, we closed our initial public offering. On April 14, 2022, trading of the Company's common stock commenced on the New York Stock Exchange after the Company voluntarily withdrew the principal listing of its common stock from the Nasdaq Stock Market LLC effective at market close on April 13, 2022. Our common stock trades on the New York Stock Exchange under the symbol “PNNT.”

We execute our investment strategy directly and through our wholly owned subsidiaries, our unconsolidated joint venture and unconsolidated limited partnership. The term “subsidiary” means entities that primarily engage in investment activities in securities or other assets and are wholly owned by us. The Company does not intend to create or acquire primary control of any entity which primarily engages in investment activities of securities or other assets other than entities wholly owned by the Company. We comply with the provisions of Section 18 of the 1940 Act governing capital structure and leverage on an aggregate basis with our subsidiaries. Our subsidiaries comply with the provisions of Section 17 of the 1940 Act related to affiliated transactions and custody. To the extent that the Company forms a subsidiary advised by an investment adviser other than the Investment Adviser, the investment adviser to such subsidiaries will comply with the provisions of the 1940 Act relating to investment advisory contracts, including but not limited to, Section 15, as if it were an investment adviser to the Company under Section 2(a)(20) of the 1940 Act.

We have entered into an investment management agreement, (the "Investment Management Agreement"), with PennantPark Investment Advisors, LLC (the "Investment Adviser"), an external adviser that manages our day-to-day operations. We have also entered into an administration agreement, (the "Administration Agreement"), with PennantPark Investment Administrator LLC (the "Administrator"), which provides the administrative services necessary for us to operate. PennantPark Investment, through the Administrator, also provides similar services to SBIC II under a separate administration agreement.

On July 31, 2020, we and certain entities and managed accounts of the private credit investment manager of Pantheon Ventures (UK) LLP, or Pantheon, entered into a limited liability company agreement to co-manage PSLF, a newly-formed unconsolidated joint venture. In connection with this transaction, we contributed in-kind our formerly wholly-owned subsidiary, Funding I. As a result of this transaction, Funding I became a wholly-owned subsidiary of PSLF and was deconsolidated from our financial statements. PSLF invests primarily in middle-market and other corporate debt securities consistent with our strategy. PSLF was formed as a Delaware limited liability company. See Note 4.

In April 2021, we issued $ 150.0 million in aggregate principal amount of our 2026 Notes at a public offering price per note of 99.4 %. Interest on the 2026 Notes is

paid semi-annually on May 1 and November 1 of each year, at a rate of 4.50 % per year, commencing November 1, 2021. The 2026 Notes mature on May 1, 2026 and may

be redeemed in whole or in part at our option subject to a make-whole premium if redeemed more than three months prior to maturity. The 2026 Notes are general,

unsecured obligations and rank equal in right of payment with all of our existing and future senior unsecured indebtedness. The 2026 Notes are effectively subordinated to all of our existing and future secured indebtedness to the extent of the value of the assets securing such indebtedness and structurally subordinated to all existing and future indebtedness and other obligations of any of our subsidiaries, financing vehicles, or similar facilities. We do not intend to list the 2026 Notes on any securities exchange or automated dealer quotation system.

In October 2021, we issued $ 165.0 million in aggregate principal amount of our 2026 Notes-2 at a public offering price per note of 99.4 %. Interest on the 2026

Notes is paid semi-annually on May 1 and November 1 of each year, at a rate of 4.00 % per year, commencing May 1, 2022. The 2026 Notes-2 mature on November 1, 2026 and may be redeemed in whole or in part at our option subject to a make-whole premium if redeemed more than three months prior to maturity. The 2026 Notes-2 are

general, unsecured obligations and rank equal in right of payment with all of our existing and future senior unsecured indebtedness. The 2026 Notes-2 are effectively

subordinated to all of our existing and future secured indebtedness to the extent of the value of the assets securing such indebtedness and structurally subordinated to all existing and future indebtedness and other obligations of any of our subsidiaries, financing vehicles, or similar facilities. We do not intend to list the 2026 Notes-2 on any securities exchange or automated dealer quotation system.

On November 22, 2021, we formed PNNT Investment Holdings II, LLC, a Delaware limited liability company (“Holdings II”), as a wholly owned subsidiary. On December 31, 2022, we contributed 100 % of our interests in PNNT Investment Holdings, LLC (“Holdings”) to Holdings II . Effective as of January 1, 2024, Holdings II made an election to be treated as a corporation for U.S. federal income tax purposes. On January 3, 2024, we purchased an equity interest in Holdings from Holdings II and Holdings became a partnership for U.S. federal income tax purposes. The Company and Holdings II entered into a limited liability company agreement with respect to Holdings that provides for certain payments and the sharing of income, gain, loss and deductions attributable to Holdings’ investments.

In January 2022, we formed PennantPark-TSO Senior Loan Fund II LP, ("PTSF II"), an unconsolidated limited partnership, organized as a Delaware limited partnership. We sold $ 82.3 million in investments to a wholly-owned subsidiary of PTSF II in exchange for cash in the amount of $ 75.7 million and an $ 6.6 million equity interest in PTSF II representing 23.1 % of the total outstanding Class A Units of PTSF II. We recognized $ 0.2 million of realized gain upon the formation of PTSF II. As of June 30, 2024 , our capital commitment of $ 15.0 million is 100 % funded and we hold 23.1 % of the total outstanding Class A Units of PTSF II and a 4.99 % voting interest in the general partner which manages PTSF II.

We are operated by a person who has claimed an exclusion from the definition of the term “commodity pool operator” under the Commodity Exchange Act of 1936, as amended, or the Commodity Exchange Act, and therefore, is not subject to registration or regulation as a commodity pool operator under the Commodity Exchange Act.

2. SIGNIFICANT ACCOUNTING POLICIES

The preparation of our consolidated financial statements, in conformity with U.S. generally accepted accounting principles, or GAAP requires management to make estimates and assumptions that affect the reported amount of our assets and liabilities at the date of the consolidated financial statements and the reported amounts of income and expenses during the reported periods. In the opinion of management, all adjustments, which are of a normal recurring nature, considered necessary for the fair presentation of financial statements have been included. Changes in the economic and regulatory environment, financial markets, the credit worthiness of our portfolio companies and any other parameters used in determining these estimates and assumptions could cause actual results to differ from such estimates and assumptions. We may reclassify certain prior period amounts to conform to the current period presentation. We have eliminated all intercompany balances and transactions in consolidation. References to the Financial Accounting Standards Board’s ("FASB’s") or Accounting Standards Codification, as amended ("ASC"), serve as a single source of accounting literature. Subsequent events are evaluated and disclosed as appropriate for events occurring through the date the consolidated financial statements are issued.

23


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

Our consolidated financial statements are prepared in accordance with GAAP, consistent with ASC Topic 946, Financial Services – Investment Companies, and pursuant to the requirements for reporting on Form 10-K/Q and Articles 6, 10 and 12 of Regulation S-X, as appropriate. In accordance with Article 6-09 of Regulation S-X, we have provided a consolidated statement of changes in net assets in lieu of a consolidated statement of changes in stockholders’ equity.

Restatement of Previously Issued Financial Statement

As noted in the Annual Report on Form 10-K for the year ended September 30, 2023, during the preparation of the financial statements as of and for the year ended September 30, 2023, Management identified an error in the classification and presentation of cash pertaining to the Company’s affiliates – PSLF and PTSF II in the September 30, 2022 financial statements. The Company recorded cash activity and due to affiliates pertaining to their investments as a reduction of the cash account instead of presenting the related cash and cash equivalents as an asset and a due to affiliates as a liability. This misclassification also existed at June 30, 2023, and the impact of the error correction is reflected on the consolidated statement of cash flows for the nine months ended June 30, 2023 as an increase to cash and cash equivalents, beginning of period totaling $ 2.1 million, an increase to cash and cash equivalents, end of period totaling $ 3.9 million, and increase in due to affiliates of $ 1.8 million.

There was no impact from the error correction to total net assets and net asset value per share as reported on the consolidated statement of assets and liabilities as of June 30, 2023. In addition, there was no impact from the error correction on net investment income or net increase (decrease) in net assets resulting from operations in total or on a per common share basis as reported on the consolidated statements of operations for the nine months ended June 30, 2023. The corrections related to the prior year comparative cash flow statement amounts were reported in the quarter ended June 30, 2024.

Our significant accounting policies consistently applied are as follows:

(a)
Investment Valuations

We expect that there may not be readily available market values for many of the investments which are or will be in our portfolio, and we value such investments at fair value as determined in good faith by or under the direction of our board of directors using a documented valuation policy and a consistently applied valuation process, as described in this Report. With respect to investments for which there is no readily available market value, the factors that our board of directors may take into account in pricing our investments at fair value include, as relevant, the nature and realizable value of any collateral, the portfolio company’s ability to make payments and its earnings and discounted cash flow, the markets in which the portfolio company does business, comparison to publicly traded securities and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent equity sale occurs, we consider the pricing indicated by the external event to corroborate or revise our valuation. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the price used in an actual transaction may be different than our valuation and the difference may be material. See Note 5.

Our portfolio generally consists of illiquid securities, including debt and equity investments. With respect to investments for which market quotations are not readily available, or for which market quotations are deemed not reflective of the fair value, our board of directors undertakes a multi-step valuation process each quarter, as described below:

(1)
Our quarterly valuation process begins with each portfolio company or investment being initially valued by the investment professionals of the Investment Adviser responsible for the portfolio investment;
(2)
Preliminary valuation conclusions are then documented and discussed with the management of the Investment Adviser;
(3)
Our board of directors also engages independent valuation firms to conduct independent appraisals of our investments for which market quotations are not readily available or are readily available but deemed not reflective of the fair value of the investment. The independent valuation firms review management’s preliminary valuations in light of their own independent assessment and also in light of any market quotations obtained from an independent pricing service, broker, dealer or market maker;
(4)
The audit committee of our board of directors reviews the preliminary valuations of the Investment Adviser and those of the independent valuation firms on a quarterly basis, periodically assesses the valuation methodologies of the independent valuation firms, and responds to and supplements the valuation recommendations of the independent valuation firms to reflect any comments; and
(5)
Our board of directors discusses these valuations and determines the fair value of each investment in our portfolio in good faith, based on the input of our Investment Adviser, the respective independent valuation firms and the audit committee.

Our board of directors generally uses market quotations to assess the value of our investments for which market quotations are readily available. We obtain these market values from independent pricing services or at the bid prices obtained from at least two brokers or dealers, if available, or otherwise from a principal market maker or a primary market dealer. The Investment Adviser assesses the source and reliability of bids from brokers or dealers. If our board of directors has a bona fide reason to believe any such market quote does not reflect the fair value of an investment, it may independently value such investments by using the valuation procedure that it uses with respect to assets for which market quotations are not readily available.

(b)
Security Transactions, Revenue Recognition, and Realized/Unrealized Gains or Losses

Security transactions are recorded on a trade-date basis. We measure realized gains or losses by the difference between the net proceeds from the repayment or sale and the amortized cost basis of the investment, using the specific identification method, without regard to unrealized appreciation or depreciation previously recognized, but considering prepayment penalties. Net change in unrealized appreciation or depreciation reflects, as applicable, the change in the fair values of our portfolio investments and the Credit Facility during the reporting period, including the reversal of previously recorded unrealized appreciation or depreciation, when gains or losses are realized.

24


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

We record interest income on an accrual basis to the extent that we expect to collect such amounts. For loans and debt investments with contractual PIK interest, which represents interest accrued and added to the loan balance that generally becomes due at maturity, we will generally not accrue PIK interest when the portfolio company valuation indicates that such PIK interest is not collectable. We do not accrue as a receivable interest on loans and debt investments if we have reason to doubt our ability to collect such interest. Loan origination fees, original issue discount ("OID"), market discount or premium and deferred financing costs on liabilities, which we do not fair value, are capitalized and then accreted or amortized using the effective interest method as interest income or, in the case of deferred financing costs, as interest expense. We record prepayment penalties earned on loans and debt investments as income. Dividend income, if any, is recognized on an accrual basis on the ex-dividend date to the extent that we expect to collect such amounts. From time to time, the Company receives certain fees from portfolio companies, which may or may not be recurring in nature. Such fees include loan prepayment penalties, structuring fees, amendment fees, and agency fees and are recorded as other investment income when earned.

Loans are placed on non-accrual status when principal or interest payments are past due 30 days or more and/or if there is reasonable doubt that principal or interest will be collected. Accrued interest is generally reversed when a loan is placed on non-accrual status. Interest payments received on non-accrual loans may be recognized as income or applied to principal depending upon management’s judgment. Non-accrual loans are restored to accrual status when past due principal and interest is paid and, in management’s judgment, are likely to remain current. As of June 30, 2024, we h ad three portfolio companies on non-accrual, representing 4.2 % and 2.5 % percent of overall portfolio on a cost and fair value basis, respectively. As of September 30, 2023, we had one portfolio company on non-accrual, representing 1.2 % and zero percent of our overall portfolio on a cost and fair value basis, respectively.

(c)
Income Taxes

We have complied with the requirements of Subchapter M of the Code and have qualified to be treated as a RIC for federal income tax purposes. In this regard, we account for income taxes using the asset and liability method prescribed by ASC Topic 740, Income Taxes, or ASC 740. Under this method, income taxes are provided for amounts currently payable and for amounts deferred as tax assets and liabilities based on differences between the financial statement carrying amounts and the tax basis of existing assets and liabilities. Based upon our qualification and election to be treated as a RIC for U.S. federal income tax purposes, we typically do not incur material federal income taxes. However, we may choose to retain a portion of our calendar year income, which may result in the imposition of an excise tax. Additionally, certain of the Company’s consolidated subsidiaries are subject to federal, state and local income taxes. For the three and nine months ended June 30, 2024, we recorded a provision for taxes on net investment income of $ 0.7 million and $ 1.9 million respectively, which pertains to U.S. federal excise tax. For the three and nine months ended June 30, 2023 , we recorded a provision for taxes on net investment income of $ 1.2 million and $ 3.6 million respectively, which pertains to U.S. federal excise tax.

We recognize the effect of a tax position in our Consolidated Financial Statements in accordance with ASC 740 when it is more likely than not, based on the technical merits, that the position will be sustained upon examination by the applicable tax authority. Tax positions not considered to satisfy the “more-likely-than-not” threshold would be recorded as a tax expense or benefit. Penalties or interest, if applicable, that may be assessed relating to income taxes would be classified as other operating expenses in the financial statements. There were no tax accruals relating to uncertain tax positions and no amounts accrued for any related interest or penalties with respect to the periods presented herein. The Company’s determinations regarding ASC 740 may be subject to review and adjustment at a later date based upon factors including, but not limited to, an on-going analysis of tax laws, regulations and interpretations thereof. Although the Company files both federal and state income tax returns, the Company’s major tax jurisdiction is federal.

Holdings II, is subject to U.S. federal, state and local corporate income taxes. The income tax expense and related tax liabilities of the Taxable Subsidiary are reflected in the Company’s consolidated financial statements.

For the three and nine months ended June 30, 2024, the Company recognized a provision for taxes of zero and $ 0.2 million, respectively, on net realized gain (loss) on investments by the Taxable Subsidiary. For the three and nine months ended June 30, 2023, the Company recognized a provision for taxes of $ 1.7 million and $ 2.4 million, respectively, on net realized gain on investments by the Taxable Subsidiary. For the three months and nine months ended June 30, 2024, the Company recognized a provision for taxes of zero and $ 0.7 million, respectively, on net realized gain (loss) on investments by the Taxable Subsidiary. For the three and nine months ended June 30, 2023, the Company recognized a provision for taxes of zero and $( 0.9 ) million, respectively, on net unrealized gain (loss) on investments by the Taxable Subsidiary. The provision for taxes on net realized and unrealized gains on investments is the result of netting (i) the expected tax liability on the gains from the sales of investments which is likely to be realized and unrealized during fiscal year ending September 30, 2024 and (ii) the expected tax benefit resulting from the use of loss carryforwards to offset such gains. As of June 30, 2024 and September 30, 2023, the Company recognized a provision for taxes of $ 0.9 million and $ 3.4 million, respectively, on net realized and unrealized gains on investments by the Taxable Subsidiary.

During the three months and nine months ended June 30, 2024, the Company paid zero , respectively, in federal taxes on realized gains on the sale of investments held by the Taxable Subsidiary. The state and local tax liability is zero as of June 30, 2024 is included under accrued other expenses in the consolidated statement of assets and liabilities.

We operate in a manner to maintain our election to be subject to tax as a RIC and to eliminate corporate-level U.S. federal income tax (other than the 4 % excise tax) by distributing sufficient investment company taxable income and capital gain net income (if any). As a result, we will have an effective tax rate equal to 0 % before the excise tax and income taxes incurred by the Taxable Subsidiary. As such, a reconciliation of the differences between our reported income tax expense and its tax expense at the federal statutory rate of 21% is not meaningful.

Because federal income tax regulations differ from GAAP, distributions characterized in accordance with tax regulations may differ from net investment income and net realized gains recognized for financial reporting purposes. Differences between tax regulations and GAAP may be permanent or temporary. Permanent differences are reclassified among capital accounts in the Consolidated Financial Statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain or loss are recognized at some time in the future.

(d)
Distributions and Capital Transactions

Distributions to common stockholders are recorded on the ex-dividend date. The amount to be paid, if any, as a distribution is determined by our board of directors each quarter and is generally based upon the earnings estimated by management. Net realized capital gains, if any, are distributed at least annually. The tax attributes for distributions will generally include ordinary income and capital gains but may also include certain tax-qualified dividends and/or a return of capital.

Capital transactions, in connection with our dividend reinvestment plan or through offerings of our common stock, are recorded when issued and offering costs are charged as a reduction of capital upon issuance of our common stock.

25


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

On June 4, 2024, we entered into equity distribution agreements with Truist Securities, Inc. and Keefe, Bruyette & Woods, Inc. (together, the "Equity Distribution Agreements"), as sales agents (each a "Sales Agent" and together, the "Sales Agents") in connection with the sale of shares of our common stock, with an aggregate offering price of up to $ 100 million under an at-the-market offering ("ATM Program"). We may offer and sell shares of our common stock from time to time through a Sales Agent in amounts and at times to be determined by us. Actual sales will depend on a variety of factors to be determined by us from time to time, including, market conditions and the trading price of our common stock. The Investment Adviser may, from time to time, in its sole discretion, pay some or all of the commissions payable under the Equity Distribution Agreements or make additional supplemental payments to ensure that the sales price per share of our common stock in connection with all of the offerings made hereunder will not be less than our current NAV per share. Any such payments made by the Investment Adviser will not be subject to reimbursement by us.

During the three and nine months ended June 30, 2024, we issued 71,594 and 71,594 shares of common stock through the ATM Program at an average price of $ 7.72 and $ 7.72 per share, raising $ 0.6 million and $ 0.6 million of net proceeds after commissions to the sales agents and inclusive of proceeds from the Investment Adviser to ensure that all shares were sold at or above NAV, respectively. In connection with the share issuance, we expensed $ 0.3 million of deferred offering costs incurred related to establishing the ATM Program to additional paid in capital.

(e)
Foreign Currency Translation

Our books and records are maintained in U.S. dollars. Any foreign currency amounts are translated into U.S. dollars on the following basis:

1.
Fair value of investment securities, other assets and liabilities – at the exchange rates prevailing at the end of the applicable period; and
2.
Purchases and sales of investment securities, income and expenses – at the exchange rates prevailing on the respective dates of such transactions.

Although net assets and fair values are presented based on the applicable foreign exchange rates described above, we do not isolate that portion of the results of operations due to changes in foreign exchange rates on investments, other assets and debt from the fluctuations arising from changes in fair values of investments and liabilities held. Such fluctuations are included with the net realized and unrealized gain or loss from investments and liabilities.

Foreign security and currency translations may involve certain considerations and risks not typically associated with investing in U.S. companies and U.S. government securities. These risks include, but are not limited to, currency fluctuations and revaluations and future adverse political, social and economic developments, which could cause investments in foreign markets to be less liquid and prices to be more volatile than those of comparable U.S. companies or U.S. government securities.

(f)
Consolidation

As permitted under Regulation S-X and as explained by ASC paragraph 946-810-45-3, PennantPark Investment will generally not consolidate its investment in a company other than an investment company subsidiary or a controlled operating company whose business consists of providing services to us. Accordingly, we have consolidated the results of our SBIC Funds and our Taxable Subsidiary in our Consolidated Financial Statements. We do not consolidate our non-controlling interests in PSLF or PTSF II. See further description of our investment in PSLF in Note 4.

(g)
Asset Transfers and Servicing

Asset transfers that do not meet ASC Topic 860, Transfers and Servicing, requirements for sale accounting treatment are reflected in the Consolidated Statements of Assets and Liabilities and the Consolidated Schedules of Investments as investments.

(h) Recent Accounting Pronouncements

In March 2020, the FASB issued Accounting Standards Update ("ASU, No. 2020-04"), “Reference Rate Reform (Topic 848): Facilitation of the Effects of Reference Rate Reform on Financial Reporting.” The guidance provides optional expedients and exceptions for applying GAAP to contract modifications, hedging relationships and other transactions, subject to meeting certain criteria, that reference LIBOR or another reference rate expected to be discontinued because of the reference rate reform. ASU 2020-04 is effective for all entities as of March 12, 2020 through June 30, 2023. The FASB approved an (optional) two year extension to December 31, 2024, for transitioning away from LIBOR. The Company utilized the optional expedients and exceptions provided by ASU 2020-04 during the three and nine months ended June 30, 2024, the effect of which was not material to the consolidated financial statements and the notes thereto.

In March 2022, the FASB issued ASU 2022-02, “Financial Instruments - Credit Losses (Topic 326)”, which is intended to address issues identified during the post-implementation review of ASU 2016-13, “Financial Instruments - Credit Losses (Topic 326): Measurement of Credit Losses on Financial Instruments.” The amendment, among other things, eliminates the accounting guidance for troubled debt restructurings by creditors in Subtopic 310-40, “Receivables - Troubled Debt Restructurings by Creditors”, while enhancing disclosure requirements for certain loan refinancings and restructurings by creditors when a borrower is experiencing financial difficulty. The new guidance is effective for interim and annual periods beginning after December 15, 2022. The Company has adopted the new accounting standard implementing appropriate controls and procedures, the effect of which was not material to the consolidated financial statements and the notes thereto.

In June 2022, the FASB issued ASU 2022-03, Fair Value Measurement (Topic 820): Fair Value Measurement of Equity Securities Subject to Contractual Sale Restrictions ("ASU 2022-03"), which changed the fair value measurement disclosure requirements of ASC Topic 820, Fair Value Measurements and Disclosures ("ASC 820"). The amendments clarify that a contractual restriction on the sale of an equity security is not considered part of the unit of account of the equity security and, therefore, is not considered in measuring fair value. The amendments also clarify that an entity cannot, as a separate unit of account, recognize and measure a contractual sale restriction. The new guidance is effective for fiscal years beginning after December 15, 2023, including interim periods therein. Early application is permitted. The Company is currently evaluating the impact the adoption of this new accounting standard will have on its consolidated financial statements, but the impact of the adoption is not expected to be material.

In December 2023, the FASB issued ASU 2023 - 09 "Improvements to Income Tax Disclosures" ("ASU 2023 - 09"). ASU 2023 - 09 intends to improve the transparency of income tax disclosures. ASU 2023 - 09 is effective for fiscal years beginning after December 15, 2024 and is to be adopted on a prospective basis with the option to apply retrospectively. We are currently assessing the impact of this guidance, however, we do not expect a material impact to our financial statements.

26


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

3. AGREEMENTS AND RELATED PARTY TRANSACTIONS

(a) Investment Management Agreement

The Investment Management Agreement with the Investment Adviser was reapproved by our board of directors, including a majority of our directors who are not interested persons of us or the Investment Adviser, in May 2024. Under the Investment Management Agreement, the Investment Adviser, subject to the overall supervision of our board of directors, manages the day-to-day operations of and provides investment advisory services to, us. The Investment Adviser serves as the servicer to Funding I and has irrevocably directed that the management fee owed to it with respect to such services be paid to the Company so long as the Investment Adviser remains the servicer. SBIC II’s investment management agreement does not affect the management or incentive fees that we pay to the Investment Adviser on a consolidated basis. For providing these services, the Investment Adviser receives a fee from us, consisting of two components— a base management fee and an incentive fee or, collectively, Management Fees.

Base Management Fee

The base management fee is calculated at an annual rate of 1.50 % of our “average adjusted gross assets,” which equals our gross assets (exclusive of U.S. Treasury Bills, temporary draws under any credit facility, cash and cash equivalents, repurchase agreements or other balance sheet transactions undertaken at the end of a fiscal quarter for purposes of preserving investment flexibility for the next quarter and unfunded commitments, if any) and is payable quarterly in arrears. In addition, on November 13, 2018, in connection with our board of directors’ approval of the application of the modified asset coverage requirements under the 1940 Act to the Company, our board of directors also approved an amendment to the Investment Management Agreement reducing the Investment Adviser’s annual base management fee from 1.50 % to 1.00 % on gross assets that exceed 200 % of the Company’s total net assets as of the immediately preceding quarter-end. This amendment became effective on February 5, 2019 with the amendment and restatement of the Investment Management Agreement on April 12, 2019. The base management fee is calculated based on the average adjusted gross assets at the end of the two most recently completed calendar quarters, and appropriately adjusted for any share issuances or repurchases during the current calendar quarter. For example, if we sold shares on the 45th day of a quarter and did not use the proceeds from the sale to repay outstanding indebtedness, our gross assets for such quarter would give effect to the net proceeds of the issuance for only 45 days of the quarter during which the additional shares were outstanding. For the three and nine months ended June 30, 2024, the Investment Adviser earned base management fees of $ 4.2 million and $ 12.4 million, respectively, from us. For the three and nine months ended June 30, 2023 , the Investment Adviser earned base management fee of $ 4.0 million and $ 12.6 million respectively, from us.

Incentive Fee

The incentive fee has two parts, as follows:

One part is calculated and payable quarterly in arrears based on our Pre-Incentive Fee Net Investment Income for the immediately preceding calendar quarter. For this purpose, Pre-Incentive Fee Net Investment Income means interest income, dividend income and any other income, including any other fees (other than fees for providing managerial assistance), such as amendment, commitment, origination, prepayment penalties, structuring, diligence and consulting fees or other fees received from portfolio companies, accrued during the calendar quarter, minus our operating expenses for the quarter (including the base management fee, any expenses payable under the Administration Agreement and any interest expense or amendment fees under any credit facility and distribution paid on any issued and outstanding preferred stock, but excluding the incentive fee). Pre-Incentive Fee Net Investment Income includes, in the case of investments with a deferred interest feature (such as OID, debt instruments with PIK interest and zero-coupon securities), accrued income not yet received in cash. Pre-Incentive Fee Net Investment Income does not include any realized capital gains, computed net of all realized capital losses or unrealized capital appreciation or depreciation. Pre-Incentive Fee Net Investment Income, expressed as a percentage of the value of our net assets at the end of the immediately preceding calendar quarter, is compared to the hurdle rate of 1.75 % per quarter ( 7.00 % annualized). We pay the Investment Adviser an incentive fee with respect to our Pre- Incentive Fee Net Investment Income in each calendar quarter as follows: (1) no incentive fee in any calendar quarter in which our Pre-Incentive Fee Net Investment Income does not exceed the hurdle rate of 1.75 %, (2) 100 % of our Pre-Incentive Fee Net Investment Income with respect to that portion of such Pre-Incentive Fee Net Investment Income, if any, that exceeds the hurdle rate but is less than 2.1212 % in any calendar quarter ( 8.4848 % annualized), and (3) 17.5 % of the amount of our Pre-Incentive Fee Net Investment Income, if any, that exceeds 2.1212 % in any calendar quarter. These calculations are pro-rated for any share issuances or repurchases during the relevant quarter, if applicable.

For the three and nine months ended June 30, 2024, the Investment Adviser earned $ 3.3 million and $ 9.7 million, respectively, in incentive fees on net investment income from us. For the three and nine months ended June 30, 2023 , the Investment Adviser earned an incentive fee of $ 4.9 million and $ 10.6 million, respectively, in incentive fees on net investment income from us.

The second part of the incentive fee is determined and payable in arrears as of the end of each calendar year (or upon termination of the Investment Management Agreement, as of the termination date) and , effective January 1, 2018, equals 17.5 % of our realized capital gains , ( 20.0 % for periods prior to January 1, 2018), if any, on a cumulative basis from inception through the end of each calendar year, computed net of all realized capital losses and unrealized capital depreciation on a cumulative basis, less the aggregate amount of any previously paid capital gain incentive fees. For each of the three and nine months ended June 30, 2024 and 2023, the Investment Adviser did not accrue an incentive fee on capital gains as calculated under the Investment Management Agreement (as described above).

Under GAAP, we are required to accrue a capital gains incentive fee based upon net realized capital gains and net unrealized capital appreciation and depreciation on investments held at the end of each period. In calculating the capital gains incentive fee accrual, we considered the cumulative aggregate unrealized capital appreciation in the calculation, as a capital gains incentive fee would be payable if such unrealized capital appreciation were realized, even though such unrealized capital appreciation is not permitted to be considered in calculating the fee actually payable under the Investment Management Agreement. This accrual is calculated using the aggregate cumulative realized capital gains and losses and cumulative unrealized capital appreciation or depreciation. If such amount is positive at the end of a period, then we record a capital gains incentive fee equal to 17.5 % of such amount, less the aggregate amount of actual capital gains related to incentive fees paid in all prior years, if any. If such amount is negative, then there is no accrual for such year. There can be no assurance that such unrealized capital appreciation will be realized in the future. For each of the three and nine months ended June 30, 2024 and 2023 , the Investment Adviser did no t accrue an incentive fee on capital gains as calculated under GAAP.

27


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

(b) Administration Agreement

The Administration Agreement with the Administrator was reapproved by our board of directors, including a majority of our directors who are not interested persons of us, in May 2024. Under the Administration Agreement, the Administrator provides administrative services and office facilities to us. For providing these services, facilities and personnel, we have agreed to reimburse the Administrator for our allocable portion of overhead and other expenses incurred by the Administrator in performing its obligations under the Administration Agreement, including rent and our allocable portion of the costs of compensation and related expenses of our Chief Financial Officer, Chief Compliance Officer, Corporate Counsel and their respective staffs. The amount billed by the Administrator may include credits related to its administrative agreement with PSLF. The Administrator also offers, on our behalf, significant managerial assistance to portfolio companies to which we are required to offer such assistance. Reimbursement for certain of these costs is included in administrative services expenses in the Consolidated Statements of Operations. For the three and nine months ended June 30, 2024, we recorded the Investment Administrator expense of approximately $ 0.5 million and $ 1.2 million, respectively, for the services described above. For the three and nine months ended June 30, 2023 , we recorded the Investment Administrator expense of approximately $ 0.8 million and $ 1.4 million, respectively, for the services described above.

On July 1, 2022, the Administration Agreement with the Administrator was amended to clarify that the Administrator may be reimbursed by the Company for certain (i) tax and general legal advice and/or services provided to the Company by in-house professionals of the Administrator related to ongoing operations of the Company; and (ii) transactional legal advice and/or services provided to the Company or portfolio companies by in-house professionals of the Administrator or its affiliates on matters related to potential or actual investments and transactions, including tax structuring and/or due diligence.

(c) Other Related Party Transactions

The Company, the Investment Adviser and certain other affiliates have been granted an order for exemptive relief by the SEC for the Company to co-invest with other funds managed by the Investment Adviser. If we co-invest with other affiliated funds, our Investment Adviser would not receive compensation except to the extent permitted by the exemptive order and applicable law, including the limitations set forth in Section 57(k) of the 1940 Act.

There were no transactions subject to Rule 17a-7 under the 1940 Act during each of the three and nine months ended June 30, 2024 and 2023.

For the three and nine months ended June 30, 2024 , we sold $ 37.8 million and $ 191.8 million in investments to PSLF at fair value, respectively, and recognized less than $ 0.1 million and less than $ 0.1 million of net realized gains, respectively. For the three and nine months ended June 30, 2023 , we sold $ 61.8 million and $ 80.2 million in investments to PSLF at fair value, respectively, and recognized less than $ 0.2 million and less than $ 0.3 million of net realized gains, respectively.

For the three and nine months ended June 30, 2024 , we sold zero in investments to PTSF II at fair value, respectively, and recognized zero of net realized gains, respectively. For the three and nine months ended June 30, 2023 , we sold zero in investments to PTSF II at fair value, respectively, and recognized zero of net realized gains, respectively.

As of June 30, 2024 and September 30, 2023, PNNT had a payable to PSLF and PTSF II of less than $ 0.1 million and $ 4.1 million, respectively, presented as a due to affiliates on the consolidated statement of assets and liabilities. These amounts are related to cash owed to PSLF and PTSF II from PNNT in connection with trades between the funds.

As of June 30, 2024 and September 30, 2023, PNNT had a receivable from Administrator of $ 0.1 million and zero , respectively, presented as a due from affiliates on the consolidated statement of assets and liabilities. These amounts are related to agency fees collected on behalf of the Company.

28


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

4. INVESTMENTS

Purchases of investments, including PIK interest, for the three and nine months ended June 30, 2024 totaled $ 225.8 million and $ 757.0 million, respectively. For the three and nine months ended June 30, 2023 , purchases of investments, including PIK interest, totaled $ 70.5 million and $ 216.8 million. Sales and repayments of investments for the three and nine months ended June 30, 2024 totaled $ 192.6 million and $ 589.4 million, respectively. For the three and nine months ended June 30, 2023 , sales and repayments of investments totaled $ 135.7 million and $ 280.5 million, respectively.

Investments and cash and cash equivalents consisted of the following:

June 30, 2024

September 30, 2023

Investment Classification ($ in thousands)

Cost

Fair Value

Cost

Fair Value

First lien

$

704,300

$

675,906

$

538,737

$

527,657

U.S. Government Securities

59,820

59,808

99,768

99,751

Second lien

67,165

65,575

96,759

80,396

Subordinated debt / corporate notes

47,090

47,790

54,897

53,897

Subordinated notes in PSLF

115,885

115,885

102,325

102,325

Equity

191,290

225,193

166,798

175,538

Equity in PSLF

67,436

69,718

58,643

62,083

Total investments

1,252,986

1,259,875

1,117,927

1,101,647

Cash and cash equivalents

59,151

59,152

38,784

38,775

Total investments and cash and cash equivalents

$

1,312,137

$

1,319,027

$

1,156,711

$

1,140,422

The table below describes investments by industry classification and enumerates the percentage, by fair value, of the total portfolio assets (excluding cash and cash equivalents) in such industries as of:

Industry Classification

June 30, 2024 (1)

September 30, 2023 (1)

Distribution

15

%

7

%

Business Services

13

16

Healthcare, Education and Childcare

13

13

Consumer Products

10

8

Financial Services

6

5

Short-Term U.S. Government Securities

6

11

Aerospace and Defense

5

5

Auto Sector

4

4

Media

4

5

Telecommunications

3

5

Environmental Services

3

4

Chemicals, Plastics and Rubber

3

5

Electronics

3

2

Building Materials

2

1

Personal, Food and Miscellaneous Services

2

2

Education

1

1

Buildings and Real Estate

1

Diversified Conglomerate Service

1

Insurance

1

1

Transportation

1

1

Personal and Non-Durable Consumer Products

1

1

Other

2

3

Total

100.00

%

100

%

(1)
Excludes investments in PSLF.

29


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

PennantPark Senior Loan Fund, LLC

In July 2020, we and Pantheon formed PSLF, an unconsolidated joint venture. PSLF invests primarily in middle-market and other corporate debt securities consistent with its strategy. PSLF was formed as a Delaware limited liability company. As of June 30, 2024 and September 30, 2023, PSLF had total assets of $ 977.0 million and $ 872.8 million, respectively and its investment portfolio consisted of debt investments in 101 and 90 portfolio companies, respectively. As of the same dates, we and Pantheon had remaining commitments to fund subordinated debt of zero and $ 22.4 million, respectively, and equity interest of zero and $ 14.5 million, respectively, in PSLF. As of June 30, 2024, at fair value, the largest investment in a single portfolio company in PSLF was $ 21.5 million and the five largest investments totaled $ 100.1 million. As of September 30, 2023, at fair value, the largest investment in a single portfolio company in PSLF was $ 19.7 million and the five largest investments totaled $ 97.5 million. PSLF invests in portfolio companies in the same industries in which we may directly invest.

We provide capital to PSLF in the form of subordinated notes and equity interests. As of June 30, 2024 and September 30, 2023, we and Pantheon owned 60.5 % and 39.5 %, respectively, of each of the outstanding subordinated notes and equity interests of PSLF. As of June 30, 2024 and September 30, 2023, our investment in PSLF consisted of subordinated notes of $ 115.9 million and $ 102.3 million, respectively, and equity interests of $ 67.4 million and $ 58.6 million, respectively.

We and Pantheon each appointed two members to PSLF’s four-person Member Designees’ Committee, or the Member Designees’ Committee. All material decisions with respect to PSLF, including those involving its investment portfolio, require unanimous approval of a quorum of the Member Designees’ Committee. Quorum is defined as (i) the presence of two members of the Member Designees’ Committee; provided that at least one individual is present that was elected, designated or appointed by each of us and Pantheon; (ii) the presence of three members of the Member Designees’ Committee, provided that the individual that was elected, designated or appointed by each of us or Pantheon, as the case may be, with only one individual present shall be entitled to cast two votes on each matter; and (iii) the presence of four members of the Member Designees’ Committee shall constitute a quorum, provided that two individuals are present that were elected, designated or appointed by each of us and Pantheon.

Additionally, PSLF, through its wholly-owned subsidiary, has entered into a $ 325.0 million (increased from $ 225.0 million on September 2, 2022) senior secured revolving credit facility, with BNP Paribas, which bears interest at SOFR (or an alternative risk-free interest rate index) plus 260 basis points during the investment period and is subject to leverage and borrowing base restrictions .

In March 2022, PSLF completed a $ 304.0 million debt securitization in the form of a collateralized loan obligation, or the “2034 Asset-Backed Debt”. The 2034 Asset-Backed Debt is secured by a diversified portfolio of PennantPark CLO IV, LLC., a wholly-owned and consolidated subsidiary of PSLF, consisting primarily of middle market loans and participation interests in middle market loans. The 2034 Asset-Backed Debt is scheduled to mature in April 2034. On the closing date of the transaction, in consideration of PSLF’s transfer to PennantPark CLO IV, LLC of the initial closing date loan portfolio, which included loans distributed to PSLF by certain of its wholly owned subsidiaries and us, PennantPark CLO IV, LLC transferred to PSLF 100% of the Preferred Shares of PennantPark CLO IV, LLC and 100% of the Subordinated Notes issued by PennantPark CLO IV, LLC . As of June 30, 2024 and September 30, 2023, there was $ 246.0 million of external 2034 Asset-Back Debt.

On July 26, 2023, CLO VII , LLC ("CLO VII") completed a $ 300 million debt securitization in the form of a collateralized loan obligation (the "2035 Debt Securitization" or "2035 Asset-Backed Debt"). The 2035 Asset-Backed Debt is secured by a diversified portfolio consisting primarily of middle market loans. The 2035 Debt Securitization was executed through a private placement of: (i) $ 151.0 million Class A-1a Notes maturing 2035, which bear interest at the three-month SOFR plus 2.7 %, (ii) $ 20.0 million Class A-1b Loans 2035, which bear interest at 6.5 %, (iii) $ 12.0 million Class A-2 Senior Secured Floating Rate Notes due 2035, which bear interest at the three-month SOFR plus 3.2 %, (iv) $ 21.0 million Class B Senior Secured Floating Rate Notes due 2035, which bear interest at the three-month SOFR plus 4.1 %, (v) $ 24.0 million Class C Secured Deferrable Floating Rate Notes due 2035, which bear interest at the three-month SOFR plus 4.7 %, (vi) $ 18.0 million Class D Secured Deferrable Floating Rate Notes due 2035, which bear interest at the three-month SOFR plus 7.0 %. As of June 30, 2024 and September 30, 2023, there was $ 246.0 million of external 2035 Asset-Backed Debt.

Below is a summary of PSLF’s portfolio at fair value:

($ in thousands)

June 30, 2024 (Unaudited)

September 30, 2023

Total investments

$

926,103

$

804,187

Weighted average cost yield on income producing investments

11.8

%

12.1

%

Number of portfolio companies in PSLF

101

90

Largest portfolio company investment at fair value

$

21,520

$

19,737

Total of five largest portfolio company investments at fair value

$

100,056

$

97,526

30


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

Below is a listing of PSLF’s individual investments as of June 30, 2024 ($ in thousands)

Issuer Name

Maturity

Industry

Current
Coupon

Basis Point
Spread Above
Index
1

Par

Cost

Fair Value 2

First Lien Secured Debt - 803.6 %

A1 Garage Merger Sub, LLC

12/22/28

Personal, Food and Miscellaneous Services

10.83

%

SOFR+ 550

14,775

$

14,533

$

14,775

ACP Avenu Buyer, LLC

10/02/29

Business Services

10.55

%

SOFR+ 525

6,468

6,359

6,273

ACP Falcon Buyer, Inc.

08/01/29

Business Services

10.80

%

SOFR+ 550

15,389

15,096

15,512

AFC - Dell Holding Corp.

04/09/27

Distribution

11.75

%

SOFR+ 640

2,282

2,256

2,260

Ad.net Acquisition, LLC

05/07/26

Media

11.60

%

SOFR+ 600

4,850

4,850

4,850

Aeronix, Inc. - Term Loan

12/18/28

Aerospace and Defense

10.83

%

SOFR+ 550

14,925

14,728

14,925

Alpine Acquisition Corp II

11/30/26

Containers, Packaging and Glass

11.43

%

SOFR+ 610

14,725

14,475

14,136

Amsive Holding Corporation (f/k/a Vision Purchaser Corporation)

06/10/25

Media

11.73

%

SOFR+ 640

13,849

13,793

13,642

Anteriad Holdings Inc (fka MeritDirect)

06/30/26

Media

11.23

%

SOFR+ 575

13,744

13,673

13,744

Applied Technical Services, LLC

12/29/26

Environmental Services

11.25

%

SOFR+ 590

13,750

13,623

13,544

Arcfield Acquisition Corp.

08/03/29

Aerospace and Defense

11.58

%

SOFR+ 625

21,628

21,323

21,520

Beta Plus Technologies, Inc.

07/01/29

Business Services

11.08

%

SOFR+ 575

14,775

14,554

14,480

Big Top Holdings, LLC

02/28/30

Manufacturing / Basic Industries

11.58

%

SOFR+ 625

6,983

6,867

6,930

Bioderm, Inc.

01/31/28

Healthcare, Education and Childcare

11.83

%

SOFR+ 650

8,910

8,815

8,799

Blackhawk Industrial Distribution, Inc.

09/17/26

Distribution

11.66

%

SOFR+ 640

19,645

19,388

19,517

BlueHalo Global Holdings, LLC

10/31/25

Aerospace and Defense

10.09

%

SOFR+ 475

12,228

12,158

12,045

Broder Bros., Co.

12/04/25

Personal and Non-Durable Consumer Products

11.60

%

SOFR+ 626

9,438

9,438

9,438

Burgess Point Purchaser Corporation

09/26/29

Auto Sector

10.69

%

SOFR+ 535

887

834

857

Carisk Buyer, Inc.

11/30/29

Healthcare, Education and Childcare

11.08

%

SOFR+ 575

5,486

5,412

5,459

Carnegie Dartlet, LLC

02/07/30

Education

10.84

%

SOFR+ 550

9,975

9,835

9,825

Cartessa Aesthetics, LLC

06/14/28

Distribution

11.08

%

SOFR+ 575

17,150

16,910

17,150

CF512, Inc.

08/20/26

Media

11.54

%

SOFR+ 619

2,899

2,883

2,855

Connatix Buyer, Inc.

07/13/27

Media

11.11

%

SOFR+ 576

8,739

8,726

8,564

Crane 1 Services, Inc.

08/16/27

Personal, Food and Miscellaneous Services

10.35

%

SOFR+ 501

2,555

2,535

2,549

Dr. Squatch, LLC

08/31/27

Personal and Non-Durable Consumer Products

11.18

%

SOFR+ 575

10,615

10,578

10,615

DRI Holding Inc.

12/21/28

Media

10.69

%

SOFR+ 535

5,845

5,420

5,604

DRS Holdings III, Inc.

11/03/25

Consumer Products

11.73

%

SOFR+ 640

14,049

14,025

13,993

EDS Buyer, LLC

01/10/29

Aerospace and Defense

11.08

%

SOFR+ 575

6,172

6,110

6,079

ETE Intermediate II, LLC

05/29/29

Personal, Food and Miscellaneous Services

11.85

%

SOFR+ 650

12,280

12,074

12,402

Exigo Intermediate II, LLC

03/15/27

Business Services

11.69

%

SOFR+ 625

9,676

9,574

9,603

Fairbanks Morse Defense

06/17/28

Aerospace and Defense

10.35

%

SOFR+ 475

3,491

3,413

3,494

Five Star Buyer, Inc.

02/23/28

Hotels, Motels, Inns and Gaming

12.47

%

SOFR+ 700

4,274

4,204

4,242

Global Holdings InterCo LLC

03/16/26

Banking, Finance, Insurance & Real Estate

11.48

%

SOFR+ 610

6,971

6,958

6,622

Graffiti Buyer, Inc.

08/10/27

Distribution

10.93

%

SOFR+ 560

3,126

3,087

3,095

Hancock Roofing and Construction L.L.C.

12/31/26

Insurance

10.93

%

SOFR+ 550

6,146

6,146

5,777

Hills Distribution, Inc

11/08/29

Distribution

11.33

%

SOFR+ 600

14,328

14,139

14,185

HV Watterson Holdings, LLC

12/17/26

Business Services

11.73

%

SOFR+ 615

14,987

14,851

14,313

HW Holdco, LLC

05/10/26

Media

11.70

%

SOFR+ 640

18,451

18,380

18,451

IG Investments Holdings, LLC

09/22/28

Business Services

11.43

%

SOFR+ 600

4,394

4,330

4,317

Imagine Acquisitionco, LLC

11/15/27

Business Services

10.43

%

SOFR+ 510

5,523

5,451

5,495

Infinity Home Services Holdco, Inc.

12/28/28

Personal, Food and Miscellaneous Services

12.18

%

SOFR+ 685

10,969

10,807

10,969

Infolinks Media Buyco, LLC

11/01/26

Media

10.83

%

SOFR+ 550

10,902

10,838

10,793

Integrity Marketing Acquisition, LLC

08/27/26

Insurance

11.50

%

SOFR+ 605

19,571

19,527

19,473

Inventus Power, Inc.

06/30/25

Consumer Products

12.96

%

SOFR+ 761

13,117

12,961

12,855

Kinetic Purchaser, LLC

11/10/27

Consumer Products

11.48

%

SOFR+ 615

13,701

13,510

13,701

LAV Gear Holdings, Inc.

10/31/25

Leisure, Amusement, Motion Pictures, Entertainment

11.72

%

SOFR+ 640

4,625

4,615

4,569

Lash OpCo, LLC

02/18/27

Consumer Products

8.06

%

SOFR+ 275

20,184

20,069

19,982

Lightspeed Buyer Inc.

02/03/26

Healthcare, Education and Childcare

10.69

%

SOFR+ 535

12,123

12,011

12,123

LJ Avalon Holdings, LLC

01/31/30

Environmental Services

11.74

%

SOFR+ 625

6,271

6,165

6,271

MAG DS Corp.

04/01/27

Aerospace and Defense

10.93

%

SOFR+ 550

7,539

7,173

7,275

Magenta Buyer, LLC

07/31/28

Software

10.59

%

SOFR+ 526

3,756

3,552

2,072

Mars Acquisition Holdings Corp.

05/14/26

Media

10.98

%

SOFR+ 565

10,802

10,746

10,802

MBS Holdings, Inc.

04/16/27

Telecommunications

11.27

%

SOFR+ 585

8,352

8,274

8,360

Meadowlark Acquirer, LLC

12/10/27

Business Services

11.23

%

SOFR+ 575

2,930

2,889

2,857

Medina Health, LLC

10/20/28

Healthcare, Education and Childcare

11.58

%

SOFR+ 625

9,950

9,796

9,950

Megawatt Acquisitionco, Inc.

03/01/30

Business Services

10.58

%

SOFR+ 525

8,000

7,887

8,000

MOREgroup Holdings, LLC

01/16/30

Business Services

11.08

%

SOFR+ 575

7,481

7,379

7,406

Municipal Emergency Services, Inc.

10/01/27

Distribution

10.49

%

SOFR+ 515

5,928

5,833

5,928

NBH Group LLC

08/19/26

Healthcare, Education and Childcare

11.18

%

SOFR+ 575

7,372

7,327

7,004

NORA Acquisition, LLC

08/31/29

Healthcare, Education and Childcare

11.68

%

SOFR+ 635

14,888

14,625

14,888

Omnia Exterior Solutions, LLC

12/29/29

Diversified Conglomerate Service

10.83

%

SOFR+ 550

3,491

3,443

3,439

One Stop Mailing, LLC

05/07/27

Transportation

11.71

%

SOFR+ 636

8,403

8,271

8,403

Owl Acquisition, LLC

02/04/28

Education

10.69

%

SOFR+ 535

3,893

3,807

3,834

Ox Two, LLC (New Issue)

05/18/26

Distribution

11.85

%

SOFR+ 651

4,340

4,304

4,340

PCS Midco, Inc.

03/01/30

Financial Services

11.10

%

SOFR+ 575

5,826

5,745

5,768

PL Acquisitionco, LLC

11/09/27

Retail

12.44

%

SOFR+ 710

8,143

8,047

6,514

Pacific Purchaser, LLC

10/02/28

Business Services

11.26

%

SOFR+ 600

12,935

12,705

13,013

PlayPower, Inc.

05/08/26

Consumer Products

10.96

%

SOFR+ 565

2,529

2,477

2,491

Quantic Electronics, LLC

11/19/26

Aerospace and Defense

11.68

%

SOFR+ 635

3,288

3,251

3,255

Radius Aerospace, Inc.

03/31/25

Aerospace and Defense

11.38

%

SOFR+ 575

12,599

12,567

12,347

Rancho Health MSO, Inc.

12/18/25

Healthcare, Education and Childcare

10.92

%

SOFR+ 550

5,560

5,560

5,560

Reception Purchaser, LLC

04/28/28

Transportation

11.48

%

SOFR+ 615

4,962

4,910

3,970

Recteq, LLC

01/29/26

Consumer Products

12.49

%

SOFR+ 715

9,675

9,609

9,530

Research Now Group, LLC and Dynata, LLC 3

12/20/24

Business Services

0.00

%

SOFR+ 576

14,351

14,318

12,198

Research Now Group, LLC and Dynata, LLC-DIP

08/06/24

Business Services

14.21

%

SOFR+ 886

617

570

617

Riverpoint Medical, LLC

06/21/25

Healthcare, Education and Childcare

10.78

%

SOFR+ 550

3,942

3,925

3,946

31


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

Issuer Name

Maturity

Industry

Current
Coupon

Basis Point
Spread Above
Index
1

Par

Cost

Fair Value 2

Rural Sourcing Holdings, Inc. (HPA SPQ Merger Sub, Inc.)

06/16/29

Professional Services

11.02

%

SOFR+ 575

4,347

$

4,276

$

4,303

S101 Holdings Inc.

12/29/26

Electronics

11.45

%

SOFR+ 615

4,218

4,156

4,176

Sales Benchmark Index LLC

01/03/25

Business Services

11.53

%

SOFR+ 620

6,676

6,660

6,676

Sargent & Greenleaf Inc.

12/20/24

Electronics

11.92

%

SOFR+ 650

4,675

4,675

4,675

Seaway Buyer, LLC

06/13/29

Chemicals, Plastics and Rubber

11.48

%

SOFR+ 615

14,738

14,540

14,259

Sigma Defense Systems, LLC

12/18/27

Telecommunications

12.49

%

SOFR+ 715

14,687

14,518

14,540

Simplicity Financial Marketing Group Holdings, Inc

12/02/26

Banking, Finance, Insurance & Real Estate

11.71

%

SOFR+ 640

11,387

11,220

11,274

Skopima Consilio Parent, LLC

05/17/28

Business Services

9.96

%

SOFR+ 450

1,294

1,271

1,295

Smartronix, LLC

11/23/28

Aerospace and Defense

11.33

%

SOFR+ 600

19,564

19,274

19,564

Solutionreach, Inc.

07/17/25

Communications

12.48

%

SOFR+ 700

9,239

9,208

9,239

SpendMend Holdings, LLC

03/01/28

Business Services

10.98

%

SOFR+ 565

9,534

9,314

9,534

Summit Behavioral Healthcare, LLC

11/24/28

Healthcare, Education and Childcare

9.60

%

SOFR+ 425

3,554

3,391

3,566

System Planning and Analysis, Inc. (f/k/a Management Consulting & Research, LLC)

08/16/27

Aerospace and Defense

11.16

%

SOFR+ 575

15,844

15,624

15,844

TCG 3.0 Jogger Acquisitionco, Inc.

01/23/29

Media

11.84

%

SOFR+ 650

9,975

9,819

9,875

Team Services Group, LLC

11/24/28

Healthcare, Education and Childcare

10.50

%

SOFR+ 515

2,668

2,581

2,659

Teneo Holdings LLC

03/13/31

Business Services

10.09

%

SOFR+ 475

2,993

2,963

2,996

The Bluebird Group LLC

07/27/26

Business Services

11.98

%

SOFR+ 665

11,933

11,889

11,933

The Vertex Companies, LLC

08/31/27

Business Services

11.48

%

SOFR+ 610

7,631

7,552

7,641

TPC US Parent, LLC

11/24/25

Food

10.95

%

SOFR+ 550

5,437

5,369

5,437

Transgo, LLC

12/29/28

Auto Sector

11.34

%

SOFR+ 600

14,952

14,742

14,952

TWS Acquisition Corporation

06/06/25

Education

11.74

%

SOFR+ 625

3,628

3,624

3,628

Tyto Athene, LLC

04/03/28

Aerospace and Defense

10.95

%

SOFR+ 550

11,393

11,305

10,596

Urology Management Holdings, Inc.

06/15/26

Healthcare, Education and Childcare

11.76

%

SOFR+ 625

3,831

3,780

3,804

Watchtower Buyer, LLC

12/01/29

Consumer Products

11.33

%

SOFR+ 600

8,978

8,843

8,897

Wildcat Buyerco, Inc.

02/27/27

Electronics

11.08

%

SOFR+ 575

19,305

19,162

19,305

Zips Car Wash, LLC

12/31/24

Business Services

12.69

%

SOFR+ 725

19,736

19,645

18,998

Total First Lien Secured Debt

930,700

926,103

Total Investments - 803.6 %

Cash and Cash Equivalents - 38.8 %

BlackRock Federal FD Institutional 30

44,765

44,765

Total Cash and Cash Equivalents

44,765

44,765

Total Investments and Cash Equivalents - 842.5 )%

$

975,465

$

970,868

Liabilities in Excess of Other Assets — ( 716.9 )%

( 855,630

)

Members' Equity— 100.0 %

$

115,238

(1)
Represents floating rate instruments that accrue interest at a predetermined spread relative to an index, typically the applicable Secured Overnight Financing Rate (“SOFR”) or Prime rate ("P”). The spread may change based on the type of rate used. The terms in the Schedule of Investments disclose the actual interest rate in effect as of the reporting period. SOFR loans are typically indexed to a 30-day, 60-day, 90-day or 180-day SOFR rate (1M S, 2M S, 3M S, or 6M S, respectively), at the borrower’s option. All securities are subject to a SOFR or Prime rate floor where a spread is provided, unless noted. The spread provided includes PIK interest and other fee rates, if any.
(2)
Valued based on PSLF’s accounting policy.
(3)
Non-income producing security.


32


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

Below is a listing of PSLF’s individual investments as of September 30, 2023 ($ in thousands):

Issuer Name

Maturity

Industry

Current
Coupon

Basis Point
Spread Above
Index
1

Par

Cost

Fair Value 2

First Lien Secured Debt - 783.7 %

A1 Garage Merger Sub, LLC

12/22/28

Personal, Food and Miscellaneous Services

11.84

%

SOFR+ 650

14,925

$

14,668

$

14,850

Ad.net Acquisition, LLC

05/07/26

Media

11.65

%

SOFR+ 600

4,888

4,888

4,863

Alpine Acquisition Corp II

11/30/26

Containers, Packaging and Glass

11.26

%

SOFR+ 600

14,837

14,528

14,244

Amsive Holding Corporation (f/k/a Vision Purchaser Corporation)

06/10/25

Media

11.79

%

SOFR+ 675

13,958

13,869

13,749

Anteriad, LLC (f/k/a MeritDirect, LLC)

05/23/24

Media

12.04

%

SOFR+ 650

14,354

14,319

14,103

Any Hour Services

07/21/27

Personal, Food and Miscellaneous Services

11.22

%

SOFR+ 575

10,882

10,847

10,665

Apex Service Partners, LLC

07/31/25

Personal, Food and Miscellaneous Services

10.52

%

SOFR+ 525

6,424

6,380

6,408

Apex Service Partners, LLC Term Loan B

07/31/25

Personal, Food and Miscellaneous Services

11.11

%

SOFR+ 550

3,316

3,299

3,308

Apex Service Partners, LLC - Term Loan C

07/31/25

Personal, Food and Miscellaneous Services

10.76

%

SOFR+ 525

7,531

7,531

7,512

Applied Technical Services, LLC

12/29/26

Environmental Services

11.51

%

SOFR+ 575

11,394

11,271

11,166

Applied Technical Services, LLC - Unfunded Term Loan 3

12/29/26

Environmental Services

513

-

( 5

)

Arcfield Acquisition Corp.

08/03/29

Aerospace and Defense

11.62

%

SOFR+ 625

11,820

11,642

11,702

Beta Plus Technologies, Inc.

07/01/29

Business Services

11.14

%

SOFR+ 575

14,850

14,604

13,811

Bioderm, Inc.

01/31/28

Healthcare, Education and Childcare

11.83

%

SOFR+ 650

8,978

8,874

8,933

Blackhawk Industrial Distribution, Inc.

09/17/24

Distribution

11.79

%

SOFR+ 625

17,823

17,588

17,556

Broder Bros., Co.

12/04/25

Personal and Non-Durable Consumer Products

11.50

%

SOFR+ 600

9,683

9,683

9,683

Burgess Point Purchaser Corporation

09/26/29

Auto Sector

10.67

%

SOFR+ 525

893

836

841

Cartessa Aesthetics, LLC

06/14/28

Distribution

11.39

%

SOFR+ 600

17,281

17,013

17,281

CF512, Inc.

08/20/26

Media

11.60

%

SOFR+ 600

2,921

2,901

2,862

Connatix Buyer, Inc.

07/13/27

Media

11.16

%

SOFR+ 550

8,808

8,792

8,500

Crane 1 Services, Inc.

08/16/27

Personal, Food and Miscellaneous Services

10.90

%

SOFR+ 575

2,575

2,550

2,562

Dr. Squatch, LLC

08/31/27

Personal and Non-Durable Consumer Products

11.24

%

SOFR+ 575

10,882

10,834

10,882

DRI Holding Inc.

12/21/28

Media

10.67

%

SOFR+ 525

4,382

3,959

3,993

DRS Holdings III, Inc.

11/03/25

Consumer Products

11.77

%

SOFR+ 640

14,395

14,345

14,222

Duraco Specialty Tapes LLC

06/30/24

Manufacturing / Basic Industries

11.93

%

SOFR+ 650

8,635

8,561

8,505

EDS Buyer, LLC

01/10/29

Aerospace and Defense

11.64

%

SOFR+ 625

6,219

6,148

6,125

Electro Rent Corporation

01/17/24

Electronics

10.93

%

SOFR+ 550

3,712

3,665

3,632

ETE Intermediate II, LLC

05/29/29

Personal, Food and Miscellaneous Services

11.89

%

SOFR+ 650

12,404

12,171

12,193

Exigo Intermediate II, LLC

03/15/27

Business Services

11.17

%

SOFR+ 575

9,750

9,637

9,555

Fairbanks Morse Defense

06/17/28

Aerospace and Defense

10.40

%

SOFR+ 475

1,518

1,470

1,506

Five Star Buyer, Inc.

02/23/28

Hotels, Motels, Inns and Gaming

12.43

%

SOFR+ 700

4,373

4,291

4,307

Global Holdings InterCo LLC

03/16/26

Banking, Finance, Insurance & Real Estate

11.96

%

SOFR+ 650

7,027

7,008

6,676

Graffiti Buyer, Inc.

08/10/27

Distribution

10.99

%

SOFR+ 575

1,954

1,925

1,935

Hancock Roofing and Construction L.L.C.

12/31/26

Insurance

10.93

%

SOFR+ 550

6,423

6,423

6,262

Holdco Sands Intermediate, LLC

11/23/28

Aerospace and Defense

11.32

%

SOFR+ 600

19,717

19,388

19,717

HV Watterson Holdings, LLC

12/17/26

Business Services

11.79

%

SOFR+ 600

15,140

14,974

15,110

HW Holdco, LLC

12/10/24

Media

11.70

%

SOFR+ 625

14,250

14,171

14,036

IG Investments Holdings, LLC

09/22/28

Business Services

11.45

%

SOFR+ 600

4,428

4,355

4,362

Imagine Acquisitionco, LLC

11/15/27

Business Services

10.72

%

SOFR+ 550

5,565

5,481

5,482

Inception Fertility Ventures, LLC

12/31/24

Healthcare, Education and Childcare

12.50

%

SOFR+ 715

19,737

19,410

19,737

Infinity Home Services Holdco, Inc.

12/28/28

Personal, Food and Miscellaneous Services

12.24

%

SOFR+ 685

11,053

10,867

11,053

Infolinks Media Buyco, LLC

11/01/26

Media

11.17

%

SOFR+ 575

6,364

6,364

6,364

Integrity Marketing Acquisition, LLC

08/27/26

Insurance

11.57

%

SOFR+ 575

19,701

19,639

19,504

K2 Pure Solutions NoCal, L.P.

12/20/23

Chemicals, Plastics and Rubber

13.42

%

SOFR+ 800

12,061

12,040

12,061

Kinetic Purchaser, LLC

11/10/27

Consumer Products

11.54

%

SOFR+ 615

16,920

16,641

16,666

LAV Gear Holdings, Inc.

10/31/24

Leisure, Amusement, Motion Pictures, Entertainment

11.46

%

SOFR+ 565

4,658

4,631

4,603

Lash OpCo, LLC

02/18/27

Consumer Products

12.13

%

SOFR+ 700

19,723

19,565

19,526

Lightspeed Buyer Inc.

02/03/26

Healthcare, Education and Childcare

10.67

%

SOFR+ 575

12,218

12,056

12,096

LJ Avalon Holdings, LLC

01/31/30

Environmental Services

11.77

%

SOFR+ 665

6,318

6,206

6,192

MAG DS Corp.

04/01/27

Aerospace and Defense

10.99

%

SOFR+ 550

7,601

7,153

7,202

Magenta Buyer, LLC

07/31/28

Software

10.63

%

SOFR+ 500

3,785

3,550

2,805

Mars Acquisition Holdings Corp.

05/14/26

Media

11.04

%

SOFR+ 550

10,885

10,811

10,776

MBS Holdings, Inc.

04/16/27

Telecommunications

11.22

%

SOFR+ 575

7,859

7,780

7,749

Meadowlark Acquirer, LLC

12/10/27

Business Services

10.58

%

SOFR+ 550

2,958

2,911

2,884

Municipal Emergency Services, Inc.

10/01/27

Distribution

11.04

%

SOFR+ 550

5,975

5,860

5,843

NBH Group LLC

08/19/26

Healthcare, Education and Childcare

10.93

%

SOFR+ 525

7,429

7,369

7,280

Neptune Flood Incorporated

05/09/29

Financial Services

11.97

%

SOFR+ 660

8,020

7,910

8,020

One Stop Mailing, LLC

05/07/27

Transportation

11.68

%

SOFR+ 625

8,470

8,311

8,470

Owl Acquisition, LLC

02/04/28

Education

10.80

%

SOFR+ 575

3,893

3,794

3,834

Ox Two, LLC (New Issue)

05/18/26

Distribution

12.90

%

SOFR+ 725

4,378

4,343

4,301

Pequod Merger Sub, Inc.

12/02/26

Banking, Finance, Insurance & Real Estate

11.79

%

SOFR+ 640

11,474

11,267

11,244

PL Acquisitionco, LLC

11/09/27

Retail

12.42

%

SOFR+ 700

7,930

7,818

7,137

PlayPower, Inc.

05/08/26

Consumer Products

10.92

%

SOFR+ 565

2,551

2,481

2,436

Quantic Electronics, LLC

11/19/26

Aerospace and Defense

11.74

%

SOFR+ 625

3,314

3,267

3,264

Radius Aerospace, Inc.

03/31/25

Aerospace and Defense

11.29

%

SOFR+ 575

12,703

12,641

12,576

Rancho Health MSO, Inc.

12/18/25

Healthcare, Education and Childcare

11.22

%

SOFR+ 550

5,603

5,603

5,603

Reception Purchaser, LLC

4/28/2028

Transportation

11.54

%

SOFR+ 600

5,000

4,937

4,800

Recteq, LLC

1/29/2026

Consumer Products

12.54

%

SOFR+ 700

9,750

9,655

9,458

Research Now Group, LLC and Dynata, LLC

12/20/2024

Business Services

11.13

%

SOFR+ 550

14,389

14,332

12,591

Riverpoint Medical, LLC

6/20/2025

Healthcare, Education and Childcare

10.54

%

SOFR+ 575

3,176

3,162

3,131

Riverside Assessments, LLC

3/10/2025

Education

11.29

%

SOFR+ 625

10,895

10,834

10,786

Rural Sourcing Holdings, Inc. (HPA SPQ Merger Sub, Inc.)

6/16/2029

Professional Services

11.52

%

SOFR+ 625

3,749

3,678

3,692

33


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

Issuer Name

Maturity

Industry

Current
Coupon

Basis Point
Spread Above
Index
1

Par

Cost

Fair Value 2

Sales Benchmark Index LLC

1/3/2025

Business Services

11.59

%

SOFR+ 600

6,859

$

6,815

$

6,825

Sargent & Greenleaf Inc.

12/20/2024

Electronics

12.92

%

SOFR+ 750

4,872

4,872

4,823

Seaway Buyer, LLC

6/13/2029

Chemicals, Plastics and Rubber

11.54

%

SOFR+ 605

14,850

14,633

14,405

Signature Systems Holding Company

5/3/2024

Chemicals, Plastics and Rubber

12.04

%

SOFR+ 650

11,201

11,173

11,201

Skopima Consilio Parent, LLC

5/17/2028

Business Services

9.93

%

SOFR+ 450

1,300

1,274

1,272

Solutionreach, Inc.

7/17/2025

Communications

12.37

%

SOFR+ 700

9,239

9,206

9,202

SpendMend Holdings, LLC

3/1/2028

Business Services

11.04

%

SOFR+ 575

9,607

9,352

9,396

STV Group Incorporated

12/11/2026

Transportation

10.67

%

SOFR+ 525

12,099

12,045

11,857

Summit Behavioral Healthcare, LLC

11/24/2028

Healthcare, Education and Childcare

10.43

%

SOFR+ 475

3,572

3,389

3,559

System Planning and Analysis, Inc. (f/k/a Management Consulting & Research, LLC)

8/16/2027

Aerospace and Defense

11.49

%

SOFR+ 600

15,966

15,695

15,790

Team Services Group, LLC

11/24/2028

Healthcare, Education and Childcare

10.75

%

SOFR+ 515

2,688

2,584

2,627

Teneo Holdings LLC

7/18/2025

Financial Services

10.67

%

SOFR+ 525

2,936

2,927

2,931

The Aegis Technologies Group, LLC

10/31/2025

Aerospace and Defense

12.04

%

SOFR+ 650

11,095

11,008

10,929

The Bluebird Group LLC

7/27/2026

Business Services

12.79

%

SOFR+ 725

7,855

7,872

7,823

The Vertex Companies, LLC

8/31/2027

Business Services

11.70

%

SOFR+ 635

7,690

7,596

7,628

TPC Canada Parent, Inc. and TPC US Parent, LLC

11/24/2025

Food

10.68

%

SOFR+ 550

5,479

5,378

5,479

TWS Acquisition Corporation

6/6/2025

Education

11.80

%

SOFR+ 625

7,177

7,161

7,177

Tyto Athene, LLC

4/3/2028

Aerospace and Defense

10.90

%

SOFR+ 550

11,393

11,285

10,391

Urology Management Holdings, Inc.

6/15/2026

Healthcare, Education and Childcare

11.79

%

SOFR+ 625

3,860

3,792

3,780

Wildcat Buyerco, Inc.

2/27/2026

Electronics

10.54

%

SOFR+ 515

11,386

11,323

11,272

Zips Car Wash, LLC

3/1/2024

Business Services

12.67

%

SOFR+ 725

19,682

19,582

19,042

Total First Lien Secured Debt

810,737

804,187

Total Investments - 783.7 %

Cash and Cash Equivalents - 57.6 %

BlackRock Federal FD Institutional 30

59,096

59,096

Total Cash and Cash Equivalents

59,096

59,096

Total Investments and Cash Equivalents - 841.3 %

$

869,833

$

863,283

Liabilities in Excess of Other Assets — ( 741.3 )%

( 760,665

)

Members' Equity— 100.0 %

$

102,618

(1)
Represents floating rate instruments that accrue interest at a predetermined spread relative to an index, typically the applicable Secured Overnight Financing Rate, or “SOFR” or Prime rate or
“P”. The spread may change based on the type of rate used. The terms in the Schedule of Investments disclose the actual interest rate in effect as of the reporting period. SOFR loans are typically
indexed to a 30-day, 60-day, 90-day or 180-day SOFR rate (1M S, 2M S, 3M S, or 6M S, respectively), at the borrower’s option. All securities are subject to a SOFR or Prime rate floor where a
spread is provided, unless noted. The spread provided includes PIK interest and other fee rates, if any.
(2)
Valued based on PSLF’s accounting policy.
(3)
Represents the purchase of a security with delayed settlement or a revolving line of credit that is currently an unfunded investment. This security does not earn a basis point spread above an
index while it is unfunded.

Below are the consolidated statements of assets and liabilities for PSLF ($ in thousands):

June 30, 2024 (Unaudited)

September 30, 2023

Assets

Investments at fair value (amortized cost—$ 930,700 and $ 810,737 , respectively)

$

926,103

$

804,187

Cash and cash equivalents (cost—$ 44,765 and $ 59,096 , respectively)

44,765

59,096

Interest receivable

5,648

5,248

Prepaid expenses and other assets

430

936

Due from affiliate

64

3,296

Total assets

977,010

872,763

Liabilities

2034 Asset-backed debt, net (par—$ 246,000 )

244,575

244,284

2035 Asset-backed debt, net (par—$ 246,000 )

244,021

243,727

Notes payable to members

191,546

169,131

Credit facility payable

152,600

88,600

Interest payable on credit facility and asset backed debt

11,413

10,421

Distribution payable to members

12,210

7,250

Interest payable on notes to members

4,397

3,895

Accounts payable and accrued expenses

885

835

Due to affiliate

125

Payable for investments purchased

2,002

Total liabilities

861,772

770,145

Commitments and contingencies 1

Members' equity

115,238

102,618

Total liabilities and members' equity

$

977,010

$

872,763

———————————

(1)
As of June 30, 2024 and September 30, 2023 , PSLF had zero an d $ 0.5 million, respectively, of unfunded commitments to fund investments

34


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

Below are the consolidated statements of operations for PSLF ($ in thousands):

Three Months Ended June 30,

Nine Months Ended June 30,

2024

2023

2024

2023

Investment income:

Interest

$

28,866

$

22,848

$

83,812

$

62,916

Other income

222

422

696

1,270

Total investment income

29,088

23,270

84,508

64,186

Expenses:

Interest expense on credit facility and asset-backed debt

13,635

9,798

39,613

26,487

Interest expense on notes to members

6,450

5,397

18,361

15,123

Administration fees

778

513

1,948

1,733

General and administrative expenses

305

194

725

485

Total expenses

21,168

15,902

60,647

43,828

Net investment income

7,920

7,368

23,861

20,358

Realized and unrealized gain (loss) on investments:

Net realized gain (loss) on investments

( 43

)

( 22

)

Net change in unrealized appreciation (depreciation) on investments

( 400

)

1,683

1,935

( 3,934

)

Net realized and unrealized gain (loss) on investments

( 400

)

1,640

1,935

( 3,956

)

Net increase (decrease) in members' equity resulting from operations

$

7,520

$

9,008

$

25,796

$

16,402

———————————

(1) No management or incentive fees are payable by PSLF.

5. FAIR VALUE OF FINANCIAL INSTRUMENTS

Fair value, as defined under ASC 820, is the price that we would receive upon selling an investment or pay to transfer a liability in an orderly transaction to a market participant in the principal or most advantageous market for the investment or liability. ASC 820 emphasizes that valuation techniques maximize the use of observable market inputs and minimize the use of unobservable inputs. Inputs refer broadly to the assumptions that market participants would use in pricing an asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing an asset or liability based on market data obtained from sources independent of us. Unobservable inputs reflect the assumptions market participants would use in pricing an asset or liability based on the best information available to us on the reporting period date.

ASC 820 classifies the inputs used to measure these fair values into the following hierarchies:

Level 1:

Inputs that are quoted prices (unadjusted) in active markets for identical assets or liabilities, accessible by us at the measurement date.

Level 2:

Inputs that are quoted prices for similar assets or liabilities in active markets, or that are quoted prices for identical or similar assets or liabilities in markets that are not active and inputs that are observable for the asset or liability, either directly or indirectly, for substantially the full term, if applicable, of the financial instrument.

Level 3:

Inputs that are unobservable for an asset or liability because they are based on our own assumptions about how market participants would price the asset or liability.

A financial instrument’s categorization within the valuation hierarchy is based upon the lowest level of input that is significant to the fair value measurement. Generally, most of our investments and our Truist Credit Facility are classified as Level 3. Our 2026 Notes and 2026 Notes-2 are classified as Level 2, as they are financial instruments with readily observable market inputs. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the price used in an actual transaction may be different than our valuation and those differences may be material.

The inputs into the determination of fair value may require significant management judgment or estimation. Even if observable market data is available, such information may be the result of consensus pricing information, disorderly transactions or broker quotes which include a disclaimer that the broker would not be held to such a price in an actual transaction. The non-binding nature of consensus pricing and/or quotes accompanied by disclaimer would result in classification as Level 3 information, assuming no additional corroborating evidence were available. Corroborating evidence that would result in classifying these non-binding broker/dealer bids as a Level 2 asset includes observable orderly market-based transactions for the same or similar assets or other relevant observable market-based inputs that may be used in pricing an asset.

Our investments are generally structured as debt and equity investments in the form of first lien secured debt, second lien secured debt, subordinated debt and equity investments. The transaction price, excluding transaction costs, is typically the best estimate of fair value at inception. Ongoing reviews by our Investment Adviser and independent valuation firms are based on an assessment of each underlying investment, incorporating valuations that consider the evaluation of financing and sale transactions with third parties, expected cash flows and market-based information including comparable transactions, performance multiples and yields, among other factors. These non-public investments valued using unobservable inputs are included in Level 3 of the fair value hierarchy.

A review of fair value hierarchy classifications is conducted on a quarterly basis. Changes in our ability to observe valuation inputs may result in a reclassification for certain financial assets or liabilities.

In addition to using the above inputs to value cash equivalents, investments, our 2026 Notes, our 2026 Notes -2 and our Truist Credit Facility, we employ the valuation policy approved by our board of directors that is consistent with ASC 820. Consistent with our valuation policy, we evaluate the source of inputs, including any markets in which our investments are trading, in determining fair value. See Note 2.

35


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

As outlined in the table below, some of our Level 3 investments using a market approach valuation technique are valued using the average of the bids from brokers or dealers. The bids include a disclaimer, may not have corroborating evidence, may be the result of a disorderly transaction and may be the result of consensus pricing. The Investment Adviser assesses the source and reliability of bids from brokers or dealers. If the board of directors has a bona fide reason to believe any such bids do not reflect the fair value of an investment, it may independently value such investment by using the valuation procedure that it uses with respect to assets for which market quotations are not readily available. In accordance with ASC 820, we do not categorize any investments for which fair value is measured using the net asset value per share within the fair value hierarchy.

The remainder of our investment portfolio and our long-term Truist Credit Facility are valued using a market comparable or an enterprise market value technique. With respect to investments for which there is no readily available market value, the factors that our board of directors may take into account in pricing our investments at fair value include, as relevant, the nature and realizable value of any collateral, the portfolio company’s ability to make payments, its earnings and discounted cash flow, the markets in which the portfolio company does business, comparison to publicly traded securities and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent equity sale occurs, the pricing indicated by the external event, excluding transaction costs, is used to corroborate the valuation. When using earnings multiples to value a portfolio company, the multiple used requires the use of judgment and estimates in determining how a market participant would price such an asset. These non-public investments using unobservable inputs are included in Level 3 of the fair value hierarchy. Generally, the sensitivity of unobservable inputs or combination of inputs such as industry comparable companies, market outlook, consistency, discount rates and reliability of earnings and prospects for growth, or lack thereof, affects the multiple used in pricing an investment. As a result, any change in any one of those factors may have a significant impact on the valuation of an investment. Generally, an increase in a market yield will result in a decrease in the valuation of a debt investment, while a decrease in a market yield will have the opposite effect. Generally, an increase in an earnings before interest, taxes, depreciation and amortization ("EBITDA"), multiple will result in an increase in the valuation of an investment, while a decrease in an EBITDA multiple will have the opposite effect.

Our Level 3 valuation techniques, unobservable inputs and ranges were categorized as follows for ASC 820 purposes:

Asset Category ($ in thousands)

Fair value at
June 30, 2024

Valuation Technique

Unobservable Input

Range of Input
(Weighted Average)
(1)

First lien

$

7,717

Market Comparable

Broker/Dealer bids or quotes

N/A

First lien

659,820

Market Comparable

Market yield

6.4 % - 20.6 % ( 10.4 %)

First lien

8,369

Enterprise Market Value

EBITDA multiple

7.2 x

Second lien

65,575

Market Comparable

Market yield

14.3 % - 18.4 % ( 15.1 %)

Subordinated debt / corporate notes

163,675

Market Comparable

Market yield

13.3 % - 16.9 % ( 14.1 %)

Equity

216,457

Enterprise Market Value

EBITDA multiple

0.4 x - 21.8 x ( 9.5 x)

Total Level 3 investments

$

1,121,613

Debt Category ($ in thousands)

Truist Credit Facility

$

446,554

Market Comparable

Market yield

1.9 %

(1)
The weighted averages disclosed in the table above were weighted by their relative fair value.

Asset Category ($ in thousands)

Fair value at
September 30, 2023

Valuation Technique

Unobservable Input

Range of Input
(Weighted Average)
(1)

First lien

$

15,090

Market Comparable

Broker/Dealer bids or quotes

N/A

First lien

512,567

Market Comparable

Market yield

7.0 % – 25.0 % ( 11.4 %)

Second lien

9,512

Market Comparable

Broker/Dealer bids or quotes

N/A

Second lien

70,884

Market Comparable

Market yield

14.2 % - 20.8 % ( 15.9 %)

Subordinated debt / corporate notes

156,222

Market Comparable

Market yield

13.4 % - 18.8 % ( 14.3 %)

Equity

161,895

Enterprise Market Value

EBITDA multiple

0.5 x - 1 7.7 x ( 10.9 x)

Equity

1,158

Enterprise Market Value

DLOM (2)

27.9 %

Total Level 3 investments

$

927,328

Debt Category ($ in thousands)

Truist Credit Facility

$

206,940

Market Comparable

Market yield

2.4 %

1.
The weighted averages disclosed in the table above were weighted by their relative fair value.
2.
DLOM is defined as discount for lack of marketability.

36


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

Our investments, cash and cash equivalents, Truist Credit Facility, 2026 Notes and 2026 Notes-2 were categorized as follows in the fair value hierarchy:

Fair Value at June 30, 2024

Description ($ in thousands)

Fair Value

Level 1

Level 2

Level 3

Measured at Net Asset Value (1)

Debt investments

$

905,155

$

$

$

905,155

$

U.S. Government Securities (3)

59,808

59,808

Equity investments

294,912

216,458

78,454

Total investments

1,259,875

59,808

1,121,613

78,454

Cash and cash equivalents

59,152

59,152

Total investments and cash and cash equivalents

$

1,319,027

$

59,152

$

59,808

$

1,121,613

$

78,454

Truist Credit Facility

$

446,554

$

$

$

446,554

$

2026 Notes (2)

148,345

148,345

2026 Notes-2 (2)

162,866

162,866

Total debt

$

757,765

$

$

311,211

$

446,554

$

(1)
In accordance with ASC Subtopic 820-10, Fair Value Measurements and Disclosures ("ASC 820-10"), our equity investment in PSLF and PTSF II are measured using the net asset value per share (or its equivalent) as a practical expedient for fair value, and thus has not been classified in the fair value hierarchy.
(2)
We elected not to apply ASC 825-10 to the 2026 Notes and the 2026 Notes-2, and thus the balance reported in the Consolidated Statement of Assets and Liabilities represents the carrying value.
(3)
Our U.S. Treasury Bills are classified as Level 2, as they were valued by the pricing service who utilize broker-supplied prices.

Fair Value at September 30, 2023

Description ($ in thousands)

Fair Value

Level 1

Level 2

Level 3

Measured at Net Asset Value (1)

Debt investments

$

764,275

$

$

$

764,275

$

U.S. Government Securities (3)

99,751

99,751

Equity investments

237,621

163,053

74,568

Total investments

1,101,647

99,751

927,328

74,568

Cash and cash equivalents

38,775

38,775

Total investments and cash and cash equivalents

$

1,140,422

$

38,775

$

99,751

$

927,328

$

74,568

Truist Credit Facility

$

206,940

$

$

$

206,940

$

2026 Notes (2)

147,669

147,669

2026 Notes-2 (2)

162,226

162,226

Total debt

$

516,835

$

$

309,895

$

206,940

$

(1)
In accordance with ASC Subtopic 820-10, Fair Value Measurements and Disclosures ("ASC 820-10"), our equity investment in PSLF is measured using the net asset value per share (or its equivalent) as a practical expedient for fair value, and thus has not been classified in the fair value hierarchy.
(2)
We elected not to apply ASC 825-10 to the SBA debentures and the 2026 Notes and thus the balance reported in the Consolidated Statement of Assets and Liabilities represents the carrying value.
(3)
Our U.S. Treasury Bills are classified as Level 2, as they were valued by the pricing service who utilize broker-supplied prices.

The tables below show a reconciliation of the beginning and ending balances for investments measured at fair value using significant unobservable inputs (Level 3):

Nine Months Ended June 30, 2024

Description ($ in thousands)

Debt
investments

Equity
investments

Totals

Beginning balance

$

764,275

$

163,053

$

927,328

Net realized gain (loss)

( 23,256

)

( 11,401

)

( 34,657

)

Net change in unrealized appreciation (depreciation)

( 842

)

25,058

24,216

Purchases, PIK interest, net discount accretion and non-cash exchanges

537,661

43,463

581,124

Sales, repayments and non-cash exchanges

( 372,683

)

( 3,715

)

( 376,398

)

Transfers in/out of Level 3

Ending balance

$

905,155

$

216,458

$

1,121,613

Net change in unrealized appreciation reported within the net change in
unrealized appreciation on investments in our consolidated statements of operations
attributable to our Level 3 assets still held at the reporting date

$

( 16,458

)

$

14,138

$

( 2,320

)

Nine Months Ended June 30, 2023

Description ($ in thousands)

Debt
investments

Equity
investments

Totals

Beginning balance

$

902,165

$

257,162

$

1,159,327

Net realized gain (loss)

( 17,013

)

( 128,201

)

( 145,214

)

Net change in unrealized appreciation (depreciation)

9,320

47,121

56,441

Purchases, PIK interest, net discount accretion and non-cash exchanges

190,764

22,345

213,109

Sales, repayments and non-cash exchanges

( 245,179

)

( 33,748

)

( 278,927

)

Transfers in/out of Level 3

Ending balance

$

840,057

$

164,679

$

1,004,736

Net change in unrealized appreciation reported within the net change in
unrealized appreciation on investments in our consolidated statements of operations
attributable to our Level 3 assets still held at the reporting date

$

1,974

$

( 37,397

)

$

( 35,423

)

37


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

The table below shows a reconciliation of the beginning and ending balances for liabilities measured at fair value using significant unobservable inputs (Level 3):

Nine months ended June 30,

Long-Term Credit Facility

2024

2023

Beginning balance (cost – $ 212,420 and $ 385,920 , respectively)

$

206,940

$

376,687

Net change in unrealized appreciation (depreciation) included in earnings

1,578

2,474

Borrowings (1)

423,036

122,500

Repayments (1)

( 185,000

)

( 194,000

)

Transfers in and/or out of Level 3

Ending balance (cost – $ 450,456 and $ 314,420 , respectively)

$

446,554

$

307,661

Temporary draws outstanding, at cost

Ending balance (cost – $ 450,456 and $ 314,420 , respectively)

$

446,554

$

307,661

(1)
Excludes temporary draws.

As of June 30, 2024, we had outstanding non-U.S. dollar borrowings on our Credit Facility. Net change in fair value on foreign currency translation on outstanding borrowings is listed below ($ in thousands):

Foreign Currency

Amount Borrowed

Borrowing Cost

Current Value

Reset Date

Change in Fair Value

British Pound

£

36,000

$

49,420

$

45,508

September 26, 2024

$

( 3,912

)

Canadian dollar

$

2,800

$

2,036

$

2,046

July 22, 2024

$

10

As of September 30, 2023, we had outstanding non-U.S. dollar borrowings on our Truist Credit Facility. Net change in fair value on foreign currency translation on outstanding borrowings is listed below ($ in thousands):

Foreign Currency

Amount Borrowed

Borrowing Cost

Current Value

Reset Date

Change in Fair Value

British Pound

£

36,000

$

49,420

$

43,940

December 28, 2023

$

( 5,480

)

Generally, the carrying value of our consolidated financial liabilities approximates fair value. We have adopted the principles un der ASC Subtopic 825-10, Financial Instruments ("ASC 825-10"), which provides companies with an option to report selected financial assets and liabilities at fair value, and made an irrevocable election to apply ASC 825-10 to our Truist Credit Facility. We elected to use the fair value option for the Truist Credit Facility to align the measurement attributes of both our assets and liabilities while mitigating volatility in earnings from using different measurement attributes. Due to that election and in accordance with GAAP, we did no t incur any expenses relating to amendment costs on the Truist Credit Facility during the three and nine months ended June 30, 2024 and 2023. ASC 825-10 establishes presentation and disclosure requirements designed to facilitate comparisons between companies that choose different measurement attributes for similar types of assets and liabilities and to more easily understand the effect on earnings of a company’s choice to use fair value. ASC 825-10 also requires us to display the fair value of the selected assets and liabilities on the face of the Consolidated Statements of Assets and Liabilities and changes in fair value of the Truist Credit Facility is reported in our Consolidated Statements of Operations. We did not elect to apply ASC 825-10 to any other financial assets or liabilities, including the, 2026 Notes, and 2026 Notes-2.

For the three and nine months ended June 30, 2024, the Truist Credit Facility had a net change in unrealized (appreciation ) depreciation of less than $( 0.1 ) million and $( 1.6 ) million, respectively. For the three and nine months ended June 30, 2023, the Truist Credit Facility had a net change in unrealized (appreciation ) depreciation of $( 8.4 ) million and $( 2.5 ) million, respectively. As of June 30, 2024 and September 30, 2023 , the net unrealized depreciation on the Truist Credit Facility totaled $ 3.9 million and $ 5.5 million , respectively. We use an independent valuation service to measure the fair value of our Truist Credit Facility in a manner consistent with the valuation process that our board of directors uses to value our investments.

38


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

6. TRANSACTIONS WITH AFFILIATED COMPANIES

An affiliated portfolio company is a company in which we have ownership of 5 % or more of its voting securities. A portfolio company is generally presumed to be a non-controlled affiliate when we own at least 5 % but 25 % or less of its voting securities and a controlled affiliate when we own more than 25 % of its voting securities. Transactions related to our funded investments with both controlled and non-controlled affiliates for the nine months ended June 30, 2024 were as follows ($ in thousands):

Name of Investment

Fair Value at
September 30, 2023

Gross
Additions
(1)

Gross
Reductions

Net Change in
Appreciation /
(Depreciation)

Fair Value at June 30, 2024

Interest
Income

PIK
Income

Dividend Income

Net Realized
Gains
(Losses)

Controlled Affiliates

AKW Holdings Limited

$

51,660

$

1,897

$

$

3,787

$

57,344

$

2,893

$

1,897

$

$

Flock Financial, LLC (5)

32,300

20,006

( 5,306

)

1,029

48,029

1,358

587

( 5,305

)

JF Intermediate, LLC (MidOcean JF Holdings Corp.) (2)

8,759

51,846

( 250

)

21,243

81,598

4,029

Mailsouth Inc.

( 28,899

)

28,899

( 28,899

)

PennantPark Senior Loan Fund, LLC (3)

164,408

22,353

( 1,158

)

185,603

11,109

16,765

RAM Energy LLC (4)

( 1,270

)

Total Controlled Affiliates

$

257,127

$

96,102

$

( 34,455

)

$

53,800

$

372,574

$

19,389

$

2,484

$

16,765

$

( 35,474

)

Non-Controlled Affiliates

Cascade Environmental Holdings, LLC

$

32,105

$

$

$

( 4,541

)

$

27,564

$

$

$

$

Walker Edison Furniture Company LLC

13,907

2,470

( 10,667

)

5,710

347

Total Non-Controlled Affiliates

$

46,012

$

2,470

$

$

( 15,208

)

$

33,274

$

$

347

$

$

Total Controlled and
Non-Controlled Affiliates

$

303,139

$

98,572

$

( 34,455

)

$

38,592

$

405,848

$

19,389

$

2,831

$

16,765

$

( 35,474

)

(1)
Includes PIK .
(2)
JF Intermediate, LLC became a controlled affiliate during the quarter end December 31, 2023.
(3)
We and Pantheon are the members of PSLF, a joint venture formed as a Delaware limited liability company that is not consolidated by us for financial reporting purposes. The members of PSLF make investments in the PSLF in the form of subordinated debt and equity interests, and all portfolio and other material decision regarding PSLF must be submitted to PSFL’s board of directors or investment committee, both of which are comprised of two members appointed by each of us and Pantheon. Because management of PSLF is shared equally between us and Pantheon, we do not believe we control PSLF for purposes of the 1940 Act or otherwise .
(4)
RAM Energy LLC was fully realized in January 2023, during the nine months ended June 30, 2024 there was realized loss due to reduction of the escrow receivable .
(5)
Flock Financial, LLC became a controlled affiliate during the quarter ended June 30, 2024.

7. CHANGE IN NET ASSETS FROM OPERATIONS PER COMMON SHARE

The following information sets forth the computation of basic and diluted per share net increase in net assets resulting from operations ($ in thousands, except per share data):

Three Months Ended June 30,

Nine Months Ended June 30,

2024

2023

2024

2023

Numerator for net increase (decrease) in net assets resulting from operations

$

3,746

$

20,949

$

30,484

$

( 46,072

)

Denominator for basic and diluted weighted average shares

65,238,634

65,224,500

65,229,194

65,224,500

Basic and diluted net increase (decrease) in net assets per share resulting from operations

$

0.06

$

0.32

$

0.47

$

( 0.71

)

8. CASH AND CASH EQUIVALENTS

Cash equivalents represent cash in money market funds pending investment in longer-term portfolio holdings and for other general corporate purposes. Our portfolio may consist of temporary investments in U.S. Treasury Bills (of varying maturities), repurchase agreements, money market funds or repurchase agreement-like treasury securities. These temporary investments with original maturities of 90 days or less are deemed cash equivalents and are included in the Consolidated Schedule of Investments. At the end of each fiscal quarter, we may take proactive steps to preserve investment flexibility for the next quarter by investing in cash equivalents, which is dependent upon the composition of our total assets at quarter-end. We may accomplish this in several ways, including purchasing U.S. Treasury Bills and closing out positions on a net cash basis after quarter-end, temporarily drawing down on the Credit Facility, or utilizing repurchase agreements or other balance sheet transactions as are deemed appropriate for this purpose. These amounts are excluded from average adjusted gross assets for purposes of computing the Investment Adviser’s management fee. U.S. Treasury Bills with maturities greater than 60 days from the time of purchase are valued consistent with our valuation policy. As of June 30, 2024 and September 30, 2023, cash and cash equivalents consisted of money market funds, and non-money market in the am ounts of $ 59.2 million and $ 38.8 million at fair value, respectively.

39


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

9. FINANCIAL HIGHLIGHTS

Below are the financial highlights ($ in thousands, except share and per share data):

Nine Months Ended June 30,

2024

2023

Per Share Data:

Net asset value, beginning of period

$

7.70

$

8.98

Net investment income (1)

0.70

0.77

Net change in realized and unrealized gain (loss) (1)

( 0.24

)

( 1.48

)

Net increase (decrease) in net assets resulting from operations (1)

0.46

( 0.71

)

Distributions to stockholders (1), (2)

( 0.64

)

( 0.55

)

Repurchase of common stock (1)

Net asset value, end of period

$

7.52

$

7.72

Per share market value, end of period

$

7.55

$

5.89

Total return * (3)

25.84

%

18.72

%

Shares outstanding at end of period

65,296,094

65,224,500

Ratios ** / Supplemental Data:

Ratio of operating expenses to average net assets (4)

7.65

%

7.70

%

Ratio of debt related expenses to average net assets (5)

8.76

%

7.72

%

Ratio of total expenses to average net assets (5)

16.41

%

15.42

%

Ratio of net investment income to average net assets (5)

12.15

%

12.11

%

Net assets at end of period

$

491,222

$

503,619

Weighted average debt outstanding

$

675,406

$

677,883

Weighted average debt per share (1)

$

10.35

$

10.39

Asset coverage per unit (6)

$

1,645

$

1,791

Portfolio turnover ratio * (7)

30.03

%

14.38

%

* Not annualized for periods less than one year.

**Re-occurring investment income and expenses included in these ratios are annualized for periods less than one year.

***The expense and investment income ratios do not reflect the Company's proportionate share of income and expenses of PSLF and PTSF II.

(1)
Based on the weighted average shares outstanding for the respective periods.
(2)
The tax status of distributions is calculated in accordance with income tax regulations, which may differ from amounts determined under GAAP, and reported on Form 1099-DIV each calendar year.
(3)
Based on the change in market price per share during the periods and assumes distributions, if any, are reinvested.
(4)
Excludes debt-related costs.
(5)
Includes interest and expenses on debt (annualized) as well as Credit Facility amendment, debt issuance costs and excludes debt extinguishment cost, if any, (not annualized).
(6)
The asset coverage ratio for a class of senior securities representing indebtedness is calculated as our consolidated total assets, less all liabilities and indebtedness not represented by senior securities, divided by the senior securities representing indebtedness at par (changed from fair value). This asset coverage ratio is multiplied by $ 1,000 to determine the asset coverage per unit. These amounts exclude SBA debentures from our asset coverage per unit computation pursuant to exemptive relief received from the SEC in June 2011.
(7)
Excludes short-term U.S. Government Securities

10. DEBT

The annualized weighted average cost of debt for the nine months ended June 30, 2024 and 2023, inclusive of the fee on the undrawn commitment and amendment costs on the Truist Credit Facility and amortized upfront fees on SBA debentures, 2026 Notes and 2026 Notes-2, w as 6.5 % an d 6.0 %, respectively. As of June 30, 2024 , in accordance with the 1940 Act, with certain limited exceptions, we are only allowed to borrow amounts such that we are in compliance with a 150 % asset coverage ratio after such borrowing.

On February 5, 2019, our stockholders approved the application of the modified asset coverage requirements set forth in Section 61(a)(2) of the 1940 Act, as amended by the Consolidated Appropriations Act of 2018 (which includes the Small Business Credit Availability Act, or " SBCAA") as approved by our board of directors on November 13, 2018. As a result, the asset coverage requirement applicable to us for senior securities was reduced from 200 % (i.e., $1 of debt outstanding for each $1 of equity) to 150 % (i.e., $2 of debt outstanding for each $1 of equity), subject to compliance with certain disclosure requirements. As of June 30, 2024 and September 30, 2023, our asset coverage ratio, as computed in accordance with the 1940 Act, was 164 % an d 195 %, respectively.

Truist Credit Facility

As of June 30, 2024 , we had the multi-currency Truist Credit Facility for up to $ 475.0 million (decreased from $ 500.0 million in September 2023) , which may be further increased up to $ 750.0 million in borrowings with certain lenders and Truist Bank, acting as administrative agent, Regions Bank, acting as an additional multicurrency lender, and JPMorgan Chase Bank, N.A., acting as syndication agent for the lenders. As of June 30, 2024 and September 30, 2023, we ha d $ 450.5 million and $ 212.4 million, respectively, in outstanding borrowings under the Truist Credit Facility. The Truist Credit Facility had a weighted average interest rate of 7.7 % and 7.7 %, respectively, exclusive of the fee on undrawn commitment, as of June 30, 2024 and September 30, 2023. The Truist Credit Facility is a revolving facility with a stated maturity date of July 29, 2027 and pricing set at 235 basis points over SOFR (or an alternative risk-free floating interest rate index). As of June 30, 2024 and September 30, 2023 , we had $ 24.5 million and $ 262.6 million of unused borrowing capacity under the Truist Credit Facility, respectively, subject to leverage and borrowing base restrictions. The Truist Credit Facility is secured by substantially all of our assets. As of June 30, 2024, we were in compliance with the terms of the Truist Credit Facility.

40


PENNANTPARK INVESTMENT CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Unaudited) - (Continued)

June 30, 2024

SBA Debentures

SBIC II was historically able to borrow funds from the SBA against regulatory capital (which approximates equity capital) that is paid-in and is subject to customary reg ulatory requirements including an examination by the SBA. We previously funded SBIC II with $ 75.0 million of equity capital and it had SBA debentures outstanding of zero as of June 30, 2024 and September 30, 2023 , respectively. SBA debentures are non-recourse to us and may be prepaid at any time without penalty. The interest rate of SBA debentures is fixed at the time of issuance, often referred to as pooling, at a market-driven spread over 10-year U.S. Treasury Notes. Under current SBA regulations, a SBIC may individually borrow up to a maximum of $ 175.0 million, which is up to twice its potential regulatory capital, and as part of a group of SBICs under common control may borrow a maximum of $ 350 million in the aggregate. As of both June 30, 2024 and September 30, 2023 , SBIC II had zero in debt commitments, all of which was drawn as of September 30, 2022. We repaid the remaining SBA debentures during the year ended September 30, 2023.

2026 Notes

In April 2021, we issued $ 150.0 million in aggregate principal amount of our 2026 Notes at a public offering price per note of 99.4 %. Interest on the 2026 Notes is paid semi-annually on May 1 and November 1 of each year, at a rate of 4.50 % per year, commencing November 1, 2021. The 2026 Notes mature on May 1, 2026 and may be redeemed in whole or in part at our option subject to a make-whole premium if redeemed more than three months prior to maturity. The 2026 Notes are general, unsecured obligations and rank equal in right of payment with all of our existing and future senior unsecured indebtedness. The 2026 Notes are effectively subordinated to all of our existing and future secured indebtedness to the extent of the value of the assets securing such indebtedness and structurally subordinated to all existing and future indebtedness and other obligations of any of our subsidiaries, financing vehicles, or similar facilities. We do not intend to list the 2026 Notes on any securities exchange or automated dealer quotation system.

2026 Notes-2

In October 2021, we issued $ 165.0 million in aggregate principal amount of our 2026 Notes-2 at a public offering price per note of 99.4 %. Interest on the 2026 Notes-2 is paid semi-annually on May 1 and November 1 of each year, at a rate of 4.00 % per year, commencing May 1, 2022. The 2026 Notes-2 mature on November 1, 2026 and may be redeemed in whole or in part at our option subject to a make-whole premium if redeemed more than three months prior to maturity. The 2026 Notes-2 are general, unsecured obligations and rank equal in right of payment with all of our existing and future senior unsecured indebtedness. The 2026 Notes-2 are effectively subordinated to all of our existing and future secured indebtedness to the extent of the value of the assets securing such indebtedness and structurally subordinated to all existing and future indebtedness and other obligations of any of our subsidiaries, financing vehicles, or similar facilities. We do not intend to list the 2026 Notes-2 on any securities exchange or automated dealer quotation system.

11. COMMITMENTS AND CONTINGENCIES

From time to time, we, may be a party to legal proceedings, including proceedings relating to the enforcement of our rights under contracts with our portfolio companies. While the outcome of these legal proceedings cannot be predicted with certainty, we do not expect that these proceedings will have a material effect upon our financial condition or results of operations.

Unfunded debt and equity investments, if any, are disclosed in the Consolidated Schedules of Investments. Under these arrangements, we may be required to supply a letter of credit to a third party if the portfolio company were to request a letter of credit. As of June 30, 2024 and September 30, 2023, we had $ 231.5 million and $ 160.8 million, respectively, in commitments to fund investments. Additionally, the Company had unfunded commitments of zero and up to $ 22.4 million to PSLF as of June 30, 2024 and September 30, 2023 , respectively, that may be contributed primarily for the purpose of funding new investments approved by PSLF board of directors or investment committee.

12. UNCONSOLIDATED SIGNIFICANT SUBSIDIARIES

We must determine which, if any, of our unconsolidated controlled portfolio companies is a "significant subsidiary" within the meaning of Regulation S-X. We have determined that, as of September 30, 2023, PennantPark Senior Loan Fund, LLC triggered at least one of the significance tests. As a result and in accordance with Rule 3-09 of Regulation S-X, separate audited financial statements of PSLF, LLC for the years ended September 30, 2023, 2022, and 2021 were filed as exhibits to our Annual Report on Form 10-K for the fiscal year ended September 30, 2023.

41


Report of Independent Regis tered Public Accounting Firm

To the Stockholders and the Board of Directors of

PennantPark Investment Corporation and its Subsidiaries

Results of Review of Interim Financial Statements

We have reviewed the accompanying consolidated statement of assets and liabilities of PennantPark Investment Corporation and its subsidiaries (the Company), including the consolidated schedules of investments, as of June 30, 2024, the related consolidated statements of operations and changes in net assets for the three-month and nine-month periods ended June 30, 2024 and 2023, and cash flows for the nine-month periods ended June 30, 2024 and 2023, and the related notes to the consolidated financial statements (collectively, the interim financial information or financial statements). Based on our reviews, we are not aware of any material modifications that should be made to the accompanying interim financial information for them to be in conformity with accounting principles generally accepted in the United States of America.

We have previously audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States) (PCAOB), the consolidated statement of assets and liabilities of the Company, including the consolidated schedule of investments, as of September 30, 2023, and the related consolidated statements of operations, changes in net assets, and cash flows for the year then ended (not presented herein); and in our report dated December 7, 2023, we expressed an unqualified opinion on those consolidated financial statements. In our opinion, the information set forth in the accompanying consolidated statement of assets and liabilities, including the consolidated schedule of investments, as of September 30, 2023, is fairly stated, in all material respects, in relation to the consolidated statement of assets and liabilities, including the consolidated schedule of investments, from which it has been derived.

Emphasis of Matter

As discussed in Note 2 of the consolidated financial statements, the consolidated statement of cash flows for the nine months ended June 30, 2023 has been restated to reclassify certain amounts presented within.

Basis for Review Results

These interim financial statements are the responsibility of the Company’s management. We conducted our reviews in accordance with the standards of the Public Company Accounting Oversight Board (United States) (PCAOB). A review of interim financial information consists principally of applying analytical procedures and making inquiries of persons responsible for financial and accounting matters. It is substantially less in scope than an audit conducted in accordance with the standards of the PCAOB, the objective of which is the expression of an opinion regarding the financial statements taken as a whole. Accordingly, we do not express such an opinion. We are a public accounting firm registered with the PCAOB and are required to be independent with respect to the Company in accordance with U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

/s/ RSM US LLP

New York, New York

August 7, 2024

42


Awareness Letter of Independent Registered Public Accounting Firm

Board of Directors and Stockholders

PennantPark Investment Corporation and its Subsidiaries

We have reviewed, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the unaudited interim financial information of PennantPark Investment Corporation and its Subsidiaries for the periods ended June 30, 2024 and 2023, as indicated in our report dated August 7, 2024; because we did not perform an audit, we expressed no opinion on that information.


We are aware that our report referred to above, which is included in your Quarterly Report on Form 10-Q for the quarter ended June 30, 2024, is incorporated by reference in Registration Statement No. 333-263564 on Form N-2.


We are also aware that the aforementioned report, pursuant to Rule 436(c) under the Securities Act of 1933, is not considered a part of the Registration Statement prepared or certified by an accountant or a report prepared or certified by an accountant within the meaning of Sections 7 and 11 of that Act.

/s/ RSM US LLP

New York, New York

August 7, 2024

43


Item 2. MANAGEMENT’S DISCUSSION AND ANALYSIS O F FINANCIAL CONDITION AND RESULTS OF OPERATIONS

FORWARD-LOOKING STATEMENTS

This Report, including Management’s Discussion and Analysis of Financial Condition and Results of Operations, contains statements that constitute forward-looking statements, which relate to us and our consolidated subsidiaries regarding future events or our future performance or future financial condition. These forward-looking statements are not historical facts, but rather are based on current expectations, estimates and projections about our Company, our industry, our beliefs and our assumptions. The forward-looking statements contained in this Report involve risks and uncertainties, including statements as to:

our future operating results;

our business prospects and the prospects of our prospective portfolio companies;

changes in political, economic or industry conditions, the interest rate environment or conditions affecting the financial and capital markets that could result in changes to the value of our assets;

the dependence of our future success on the general economy and its impact on the industries in which we invest;

the impact of a protracted decline in the liquidity of credit markets on our business;

the impact of investments that we expect to make;

the impact of fluctuations in interest rates and foreign exchange rates on our business and our portfolio companies;

our contractual arrangements and relationships with third parties;

the valuation of our investments in portfolio companies, particularly those having no liquid trading market;

the ability of our prospective portfolio companies to achieve their objectives;

our expected financings and investments;

the adequacy of our cash resources and working capital;

the timing of cash flows, if any, from the operations of our prospective portfolio companies;

the impact of price and volume fluctuations in the stock market;

increasing levels of inflation, and its impact on us and our portfolio companies;

the ability of our Investment Adviser to locate suitable investments for us and to monitor and administer our investments;

the impact of future legislation and regulation on our business and our portfolio companies;

the impact of the ongoing invasion of Ukraine by Russia and other world economic and political issues; and

the inability to develop and maintain effective internal control over financial reporting.

We use words such as “anticipates,” “believes,” “expects,” “intends,” “seeks,” “plans,” “estimates” and similar expressions to identify forward-looking statements. You should not place undue influence on the forward-looking statements as our actual results could differ materially from those projected in the forward-looking statements for any reason, including the factors in “Risk Factors” and elsewhere in this Report.

Although we believe that the assumptions on which these forward-looking statements are based are reasonable, any of those assumptions could prove to be inaccurate, and, as a result, the forward-looking statements based on those assumptions also could be inaccurate. Important assumptions include our ability to originate new loans and investments, certain margins and levels of profitability and the availability of additional capital. In light of these and other uncertainties, the inclusion of a projection or forward-looking statement in this Report should not be regarded as a representation by us that our plans and objectives will be achieved.

We have based the forward-looking statements included in this Report on information available to us on the date of this Report, and we assume no obligation to update any such forward-looking statements. Although we undertake no obligation to revise or update any forward-looking statements in this Report, whether as a result of new information, future events or otherwise, you are advised to consult any additional disclosures that we may make directly to you or through reports that we in the future may file with the SEC, including reports on Form 10-Q/K and current reports on Form 8-K.

You should understand that under Section 27A(b)(2)(B) of the Securities Act and Section 21E(b)(2)(B) of the Exchange Act, the “safe harbor” provisions of the Private Securities Litigation Reform Act of 1995 do not apply to forward-looking statements made in periodic reports we file under the Exchange Act.

The following analysis of our financial condition and results of operations should be read in conjunction with our Consolidated Financial Statements and the related notes thereto contained elsewhere in this Report.

44


Overview

PennantPark Investment Corporation is a BDC whose objectives are to generate both current income and capital appreciation while seeking to preserve capital through debt and equity investments primarily made to U.S. middle-market companies in the form of first lien secured debt, second lien secured debt, subordinated debt and equity investments.

We believe middle-market companies offer attractive risk-reward to investors due to a limited amount of capital available for such companies. We seek to create a diversified portfolio that includes first lien secured debt, second lien secured debt, subordinated debt and equity investments by investing approximately $10 million to $50 million of capital, on average, in the securities of middle-market companies. We expect this investment size to vary proportionately with the size of our capital base. We use the term “middle-market” to refer to companies with annual revenues between $50 million and $1 billion. The companies in which we invest are typically highly leveraged, and, in most cases, are not rated by national rating agencies. If such companies were rated, we believe that they would typically receive a rating below investment grade (between BB and CCC under the Standard & Poor’s system) from the national rating agencies. Securities rated below investment grade are often referred to as “leveraged loans” or “high yield” securities or “junk bonds” and are often higher risk compared to debt instruments that are rated above investment grade and have speculative characteristics. Our debt investments may generally range in maturity from three to ten years and are made to U.S. and, to a limited extent, non-U.S. corporations, partnerships and other business entities which operate in various industries and geographical regions.

Our investment activity depends on many factors, including the amount of debt and equity capital available to middle-market companies, the level of merger and acquisition activity for such companies, the general economic environment and the competitive environment for the types of investments we make. We have used, and expect to continue to use, our debt capital, proceeds from the rotation of our portfolio and proceeds from public and private offerings of securities to finance our investment objectives.

Organization and Structure of PennantPark Investment Corporation

PennantPark Investment Corporation, a Maryland corporation organized in January 2007, is a closed-end, externally managed, non-diversified investment company that has elected to be treated as a BDC under the 1940 Act. In addition, for federal income tax purposes we have elected to be treated, and intend to qualify annually, as a RIC under the Code.

Our investment activities are managed by the Investment Adviser. Under our Investment Management Agreement, we have agreed to pay our Investment Adviser an annual base management fee based on our average adjusted gross assets as well as an incentive fee based on our investment performance. PennantPark Investment, through the Investment Adviser, provided similar services to SBIC II under its investment management agreement. SBIC II’s investment management agreement does not affect the management and incentive fees on a consolidated basis. We have also entered into an Administration Agreement with the Administrator. Under our Administration Agreement, we have agreed to reimburse the Administrator for our allocable portion of overhead and other expenses incurred by the Administrator in performing its obligations under our Administration Agreement, including rent and our allocable portion of the costs of compensation and related expenses of our Chief Financial Officer, Chief Compliance Officer, Corporate Counsel and their respective staffs. PennantPark Investment, through the Administrator, provided similar services to SBIC II under its administration agreement with us. Our board of directors, a majority of whom are independent of us, provides overall supervision of our activities, and the Investment Adviser supervises our day-to-day activities.

Revenues

We generate revenue in the form of interest income on the debt securities we hold and capital gains and dividends, if any, on investment securities that we may acquire in portfolio companies. Our debt investments, whether in the form of first lien secured debt, second lien secured debt or subordinated debt, typically have a term of three to ten years and bear interest at a fixed or a floating rate. Interest on debt securities is generally payable quarterly or semiannually. In some cases, our investments provide for deferred interest payments and PIK interest. The principal amount of the debt securities and any accrued but unpaid interest generally becomes due at the maturity date. In addition, we may generate revenue in the form of amendment, commitment, origination, structuring or diligence fees, fees for providing significant managerial assistance and possibly consulting fees. Loan origination fees, OID and market discount or premium and deferred financing costs on liabilities, which we do not fair value, are capitalized and accreted or amortized using the effective interest method as interest income or, in the case of deferred financing costs, as interest expense. Dividend income, if any, is recognized on an accrual basis on the ex-dividend date to the extent that we expect to collect such amounts. From time to time, the Company receives certain fees from portfolio companies, which may or may not be non-recurring in nature. Such fees include loan prepayment penalties, structuring fees, amendment fees, and agency fees and are recorded as other investment income when earned.

Expenses

Our primary operating expenses include interest expense on the outstanding debt and unused commitment fees on undrawn amounts, under our various debt facilities, the payment of a management fee and the payment of an incentive fee to our Investment Adviser, if any, our allocable portion of overhead under our Administration Agreement and other operating costs as detailed below. Our management fee compensates our Investment Adviser for its work in identifying, evaluating, negotiating, consummating and monitoring our investments. We bear all other direct or indirect costs and expenses of our operations and transactions, including:

the cost of calculating our net asset value, including the cost of any third-party valuation services;

the cost of effecting sales and repurchases of shares of our common stock and other securities;

fees payable to third parties relating to, or associated with, making investments, including fees and expenses associated with performing due diligence and reviews of prospective investments or complementary businesses;

expenses incurred by the Investment Adviser in performing due diligence and reviews of investments; including expenses incurred by the Investment Adviser
payable to third parties (including agents and consultants) in monitoring financial and legal affairs for the Company and in monitoring the Company's
investments;

transfer agent and custodial fees;

fees and expenses associated with marketing efforts;

federal and state registration fees and any exchange listing fees;

federal, state, local and foreign taxes;

independent directors’ fees and expenses;

brokerage commissions;

45


fidelity bond, directors and officers, errors and omissions liability insurance and other insurance premiums;

direct costs such as printing, mailing, long distance telephone and staff;

fees and expenses associated with independent audits and outside legal costs;

costs associated with our reporting and compliance obligations under the 1940 Act, and applicable federal and state securities laws; and

all other expenses incurred by either the Administrator or us in connection with administering our business, including payments under our Administration Agreement that will be based upon our allocable portion of overhead, and other expenses incurred by the Administrator in performing its obligations under our Administration Agreement, including rent and our allocable portion of the costs of compensation and related expenses of our Chief Financial Officer, Chief Compliance Officer, Corporate Counsel and their respective staffs.

Generally, during periods of asset growth, we expect our general and administrative expenses to be relatively stable or to decline as a percentage of total assets and increase during periods of asset declines. Incentive fees, interest expense and costs relating to future offerings of securities would be additive to the expenses described above.

Restatement of Previously Issued Financial Statement

As noted in the Annual Report on Form 10-K for the year ended September 30, 2023, during the preparation of the financial statements as of and for the year ended September 30, 2023, Management identified an error in the classification and presentation of cash pertaining to the Company’s affiliates – PSLF and PTSF II in the September 30, 2022 financial statements. The Company recorded cash activity and due to affiliates pertaining to their investments as a reduction of the cash account instead of presenting the related cash and cash equivalents as an asset and a due to affiliates as a liability. This misclassification also existed at June 30, 2023, and the impact of the error correction is reflected on the consolidated statement of cash flows for the nine months ended June 30, 2023 as an increase to cash and cash equivalents, beginning of period totaling $2.1 million, an increase to cash and cash equivalents, end of period totaling $3.9 million, and increase in due to affiliates of $1.8 million.

There was no impact from the error correction to total net assets and net asset value per share as reported on the consolidated statement of assets and liabilities as of June 30, 2023. In addition, there was no impact from the error correction on net investment income or net increase (decrease) in net assets resulting from operations in total or on a per common share basis as reported on the consolidated statements of operations for the nine months ended June 30, 2023. The corrections related to the prior year comparative cash flow statement amounts were reported in the quarter ended June 30, 2024.

As a result of the error in the classification and presentation of cash described above, we conducted an analysis to determine whether incentive-based compensation was erroneously awarded, thereby necessitating recovery under the Clawback Policy we adopted effective December 1, 2023. Because we do not pay or otherwise award incentive-based compensation to the Company’s executives, we concluded that the error did not result in erroneously-awarded incentive-based compensation, and therefore no compensation recovery is required.

PORTFOLIO AND INVESTMENT ACTIVITY

As of June 30, 2024, our portfolio totaled $1,259.9 million and consisted of $675.9 million or 54% of first lien secured debt, $59.8 million or 5% of U.S. Government Securities, $65.6 million or 5% of second lien secured debt, $163.7 million or13% of subordinated debt (including $115.9 million or 9% in PSLF) and $294.9 million or 23% of preferred and common equity (including $69.7 million or 6% in PSLF). Our interest bearing debt portfolio consisted of 96% variable-rate investments and 4% fixed-rate investments. As of June 30, 2024, we had three portfolio companies on non-accrual, representing 4.2% and 2.5% percent of our overall portfolio on a cost and fair value basis, respectively. Overall, the portfolio had net unrealized appreciation of $6.9 million as of June 30, 2024. Our overall portfolio consisted of 144 companies with an average investment size of $8.3 million (excluding U.S. Government Securities), had a weighted average yield on interest bearing debt investments of 12.7%.

As of September 30, 2023, our portfolio totaled $1,101.7 million and consisted of $527.7 million or 48% of first lien secured debt, $99.8 million or 9% of U.S. Government Securities, $80.4 million or 7% of second lien secured debt, $156.2 million or 14% of subordinated debt (including $102.3 million or 9% in PSLF) and $237.6 million or 22% of preferred and common equity (including $62.1 million or 6% in PSLF). Our interest bearing debt portfolio consisted of 95% variable-rate investments and 5% fixed-rate investments. As of September 30, 2023, we had one portfolio company on non-accrual, representing 1.2% and zero percent of our overall portfolio on a cost and fair value basis, respectively. Overall, the portfolio had net unrealized depreciation of $(16.3) million as of September 30, 2023. Our overall portfolio consisted of 129 companies with an average investment size of $7.8 million (excluding U.S. Government Securities), had a weighted average yield on interest bearing debt investments of 13.0%.

For the three months ended June 30, 2024, we invested $163.1 million in 11 new and 42 existing portfolio companies with a weighted average yield on debt investments of 12.0% (excluding U.S. Government Securities). For the three months ended June 30, 2024, sales and repayments of investments totaled $132.9 million (excluding U.S. Government Securities). For the nine months ended June 30, 2024, we invested $752.1 million in 29 new and 65 existing portfolio companies with a weighted average yield on debt investments of 11.9% (excluding U.S. Government Securities). For the nine months ended June 30, 2024, sales and repayment of investments totaled $380.1 million (excluding U.S. Government Securities).

For the three months ended June 30, 2023, we invested $69.9 million in three new and 43 existing portfolio companies with a weighted average yield on debt investments of 12.6%. For the three months ended June 30, 2023, sales and repayments of investments totaled $135.7 million. For the nine months ended June 30, 2023, we invested $214.4 million in 15 new and 60 existing portfolio companies with a weighted average yield on debt investments of 11.9%. For the nine month ended June 30, 2023, sales and repayment of investments totaled $280.5 million.

46


PennantPark Senior Loan Fund, LLC

As of June 30, 2024, PSLF’s portfolio totaled $926.1 million, consisted of 101 companies with an average investment size of $9.2 million and had a weighted average yield interest bearing debt investments of 11.8%.

As of September 30, 2023, PSLF’s portfolio totaled $804.2 million, consisted of 90 companies with an average investment size of $8.9 million and had a weighted average yield interest bearing debt investments of 12.1%.

For the three months ended June 30, 2024, PSLF invested $56.0 million (including $37.8 million were purchased from the Company) in five new and seven existing portfolio companies at weighted average yield interest bearing debt investments of 11.5%. PSLF’s sales and repayments of investments for the same period totaled $54.9 million. For the nine months ended June 30, 2024, PSLF invested $250.2 million (of which $191.8 million was purchased from the Company) in 21 new and 16 existing portfolio companies with a weighted average yield on debt investments of 12.0%. PSLF Sales and repayments of investments for the same period totaled $133.8 million.

For the three months ended June 30, 2023, PSLF invested $64.0 million (of which $61.8 were purchased from the Company) in eight new and one existing portfolio companies at weighted average yield on interest bearing debt investments of 12.0%. PSLF’s sales and repayments of investments for the same period totaled $20.0 million. For the nine months ended June 30, 2023, PSLF invested $119.3 million (of which $80.2 million was purchased from the Company) in 16 new and six existing portfolio companies with a weighted average yield on debt investments of 11.8%. PSLF's sales and repayments of investments for the same period totaled $54.0 million.

At-the-Market Offering

On June 4, 2024, we entered into equity distribution agreements with Truist Securities, Inc. and Keefe, Bruyette & Woods, Inc. (together, the "Equity Distribution Agreements"), as sales agents (each a "Sales Agent" and together, the "Sales Agents") in connection with the sale of shares of our common stock, with an aggregate offering price of up to $100 million under an at-the-market offering ("ATM Program"). We may offer and sell shares of our common stock from time to time through a sales agent in amounts and at times to be determined by us. Actual sales will depend on a variety of factors to be determined by us from time to time, including, market conditions and the trading price of our common stock. The Investment Adviser may, from time to time, in its sole discretion, pay some or all of the commissions payable under the equity distribution agreements or make additional supplemental payments to ensure that the sales price per share of our common stock in connection with all of the offerings made hereunder will not be less than our current NAV per share. Any such payments made by the Investment Adviser will not be subject to reimbursement by us.

During the three and nine months ended June 30, 2024, we issued 71,594 and 71,594 shares of common stock through the ATM Program at an average price of $7.72 and $7.72 per share, raising $0.6 million and $0.6 million of net proceeds after commissions to the sales agents and inclusive of proceeds from the Investment Adviser to ensure that all shares were sold at or above NAV, respectively. In connection with the share issuance, we expensed $0.3 million of deferred offering costs incurred related to establishing the ATM Program to additional paid in capital.

CRITICAL ACCOUNTING POLICIES AND ESTIMATES

The preparation of our Consolidated Financial Statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amount of our assets and liabilities at the date of the Consolidated Financial Statements and the reported amounts of income and expenses during the reported periods In the opinion of management, all adjustments, which are of a normal recurring nature, considered necessary for the fair presentation of financial statements have been included. Actual results could differ from these estimates due to changes in the economic and regulatory environment, financial markets and any other parameters used in determining such estimates and assumptions, including the credit worthiness of our portfolio companies. We may reclassify certain prior period amounts to conform to the current period presentation. We have eliminated all intercompany balances and transactions. References to ASC serve as a single source of accounting literature. Subsequent events are evaluated and disclosed as appropriate for events occurring through the date the Consolidated Financial Statements are issued. In addition to the discussion below, we
describe our critical accounting policies in the notes to our Consolidated Financial Statements. We discuss our critical accounting estimates in Management’s Discussion and Analysis of Financial Condition and Results of Operations in our 2023 Annual Report on Form 10-K. There have been no significant changes in our critical accounting estimates during the nine months from those disclosed in our 2023 Annual Report on Form 10-K.

Investment Valuations

We expect that there may not be readily available market values for many of the investments which are or will be in our portfolio, and we value such investments at fair value as determined in good faith by or under the direction of our board of directors using a documented valuation policy and a consistently applied valuation process, as described in this Report. With respect to investments for which there is no readily available market value, the factors that our board of directors may take into account in pricing our investments at fair value include, as relevant, the nature and realizable value of any collateral, the portfolio company’s ability to make payments and its earnings and discounted cash flow, the markets in which the portfolio company does business, comparison to publicly traded securities and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent equity sale occurs, we consider the pricing indicated by the external event to corroborate or revise our valuation. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the price used in an actual transaction may be different than our valuation and the difference may be material.

Our portfolio generally consists of illiquid securities, including debt and equity investments. With respect to investments for which market quotations are not readily available, or for which market quotations are deemed not reflective of the fair value, our board of directors undertakes a multi-step valuation process each quarter, as described below:

(1)
Our quarterly valuation process begins with each portfolio company or investment being initially valued by the investment professionals of our Investment Adviser responsible for the portfolio investment;

(2)
Preliminary valuation conclusions are then documented and discussed with the management of the Investment Adviser;

(3)
Our board of directors also engages independent valuation firms to conduct independent appraisals of our investments for which market quotations are not readily available or are readily available but deemed not reflective of the fair value of the investment. The independent valuation firms review management’s preliminary valuations in light of their own independent assessment and also in light of any market quotations obtained from an independent pricing service, broker, dealer or market maker;

(4)
The audit committee of our board of directors reviews the preliminary valuations of the Investment Adviser and those of the independent valuation firms on a quarterly basis, periodically assesses the valuation methodologies of the independent valuation firms, and responds to and supplements the valuation recommendations of the independent valuation firms to reflect any comments; and

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(5)
Our board of directors discusses these valuations and determines the fair value of each investment in our portfolio in good faith, based on the input of our Investment Adviser, the respective independent valuation firms and the audit committee.

Our board of directors generally uses market quotations to assess the value of our investments for which market quotations are readily available. We obtain these market values from independent pricing services or at the bid prices obtained from at least two brokers or dealers, if available, or otherwise from a principal market maker or a primary market dealer. The Investment Adviser assesses the source and reliability of bids from brokers or dealers. If our board of directors has a bona fide reason to believe any such market quote does not reflect the fair value of an investment, it may independently value such investments by using the valuation procedure that it uses with respect to assets for which market quotations are not readily available.

Fair value, as defined under ASC 820, is the price that we would receive upon selling an investment or pay to transfer a liability in an orderly transaction to a market participant in the principal or most advantageous market for the investment or liability. ASC 820 emphasizes that valuation techniques maximize the use of observable market inputs and minimize the use of unobservable inputs. Inputs refer broadly to the assumptions that market participants would use in pricing an asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing an asset or liability based on market data obtained from sources independent of us. Unobservable inputs reflect the assumptions market participants would use in pricing an asset or liability based on the best information available to us on the reporting period date.

ASC 820 classifies the inputs used to measure these fair values into the following hierarchies:

Level 1:

Inputs that are quoted prices (unadjusted) in active markets for identical assets or liabilities, accessible by us at the measurement date.

Level 2:

Inputs that are quoted prices for similar assets or liabilities in active markets, or that are quoted prices for identical or similar assets or liabilities in markets that are not active and inputs that are observable for the asset or liability, either directly or indirectly, for substantially the full term, if applicable, of the financial instrument.

Level 3:

Inputs that are unobservable for an asset or liability because they are based on our own assumptions about how market participants would price the asset or liability.

A financial instrument’s categorization within the valuation hierarchy is based upon the lowest level of input that is significant to the fair value measurement. Generally, most of our investments, and our are classified as Level 3. Our 2026 Notes and 2026 Notes-2 are classified as Level 2, as they are financial instruments with readily observable market inputs. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the price used in an actual transaction may be different than our valuation and those differences may be material.

On December 3, 2020, the SEC adopted Rule 2a-5 under the 1940 Act, which establishes an updated regulatory framework for determining fair value in good faith for purposes of the 1940 Act. The new rule clarifies how fund boards of directors can satisfy their valuation obligations and requires, among other things, the board of directors to periodically assess material valuation risks and take steps to manage those risks. The rule also permits boards of directors, subject to board oversight and certain other conditions, to designate the fund’s investment adviser to perform fair value determinations. The new rule went into effect on March 8, 2021 and had a compliance date of September 8, 2022. We came into compliance with Rule 2a-5 under the 1940 Act before the compliance date. While our board of directors has not elected to designate the Investment Adviser as the valuation designee at this time, we have adopted certain revisions to our valuation policies and procedures in order comply with the applicable requirements of Rule 2a-5 under the 1940 Act.

In addition to using the above inputs to value cash equivalents, investments, our 2026 Notes, 2026 Notes-2 and our Truist Credit Facility valuations, we employ the valuation policy approved by our board of directors that is consistent with ASC 820. Consistent with our valuation policy, we evaluate the source of inputs, including any markets in which our investments are trading, in determining fair value.

Generally, the carrying value of our consolidated financial liabilities approximates fair value. We have adopted the principles under ASC Subtopic 825-10, Financial Instruments ("ASC 825-10"), which provides companies with an option to report selected financial assets and liabilities at fair value, and made an irrevocable election to apply ASC 825-10 to our Truist Credit Facility. We elected to use the fair value option for the Truist Credit Facility to align the measurement attributes of both our assets and liabilities while mitigating volatility in earnings from using different measurement attributes. Due to that election and in accordance with GAAP, we did not incur any expenses relating to amendment costs on the Truist Credit Facility for both the three and nine months ended June 30, 2024 and 2023. ASC 825-10 establishes presentation and disclosure requirements designed to facilitate comparisons between companies that choose different measurement attributes for similar types of assets and liabilities and to more easily understand the effect on earnings of a company’s choice to use fair value. ASC 825-10 also requires entities to display the fair value of the selected assets and liabilities on the face of the Consolidated Statements of Assets and Liabilities and changes in fair value of the Truist Credit Facility is reported in our Consolidated Statements of Operations. We elect not to apply ASC 825-10 to any other financial assets or liabilities, including the 2026 Notes, and 2026 Notes-2.

For the three and nine months ended June 30, 2024, the Truist Credit Facility had a net change in unrealized appreciation (depreciation) of less than $(0.1) million and $(1.6) million, respectively. For the three and nine months ended June 30, 2023, the Truist Credit Facility had a net change in unrealized appreciation (depreciation) of $(8.4) million and $(2.5) million, respectively. As of June 30, 2024 and September 30, 2023, the net unrealized depreciation on the Truist Credit Facility totaled $3.9 million and $5.5 million, respectively. We use a nationally recognized independent valuation service to measure the fair value of our Truist Credit Facility in a manner consistent with the valuation process that the board of directors uses to value our investments.

Revenue Recognition

We record interest income on an accrual basis to the extent that we expect to collect such amounts. For loans and debt investments with contractual PIK interest, which represents interest accrued and added to the loan balance that generally becomes due at maturity, we will generally not accrue PIK interest when the portfolio company valuation indicates that such PIK interest is not collectable. We do not accrue as a receivable interest on loans and debt investments if we have reason to doubt our ability to collect such interest. Loan origination fees, OID, market discount or premium and deferred financing costs on liabilities, which we do not fair value, are capitalized and then accreted or amortized using the effective interest method as interest income or, in the case of deferred financing costs, as interest expense. We record prepayment penalties on loans and debt investments as income. Dividend income, if any, is recognized on an accrual basis on the ex-dividend date to the extent that we expect to collect such amounts. From time to time, the Company receives certain fees from portfolio companies, which may or may not be non-recurring in nature. Such fees include loan prepayment penalties, structuring fees, amendment fees, and agency fees and are recorded as other investment income when earned.

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Net Realized Gains or Losses and Net Change in Unrealized Appreciation or Depreciation

We measure realized gains or losses by the difference between the net proceeds from the repayment or sale and the amortized cost basis of the investment, using the specific identification method, without regard to unrealized appreciation or depreciation previously recognized, but considering unamortized upfront fees and prepayment penalties. Net change in unrealized appreciation or depreciation reflects the change in fair values of our portfolio investments and our Truist Credit Facility, including any reversal of previously recorded unrealized appreciation or depreciation, when gains or losses are realized.

Foreign Currency Translation

Our books and records are maintained in U.S. dollars. Any foreign currency amounts are translated into U.S. dollars on the following basis:

1.
Fair value of investment securities, other assets and liabilities – at the exchange rates prevailing at the end of the applicable period; and

2.
Purchases and sales of investment securities, income and expenses – at the exchange rates prevailing on the respective dates of such transactions.

Although net assets and fair values are presented based on the applicable foreign exchange rates described above, we do not isolate that portion of the results of operations due to changes in foreign exchange rates on investments, other assets and debt from the fluctuations arising from changes in fair values of investments and liabilities held. Such fluctuations are included with the net realized and unrealized gain or loss from investments and liabilities.

Payment-in-Kind, or PIK Interest

We have investments in our portfolio which contain a PIK interest provision. PIK interest is added to the principal balance of the investment and is recorded as income. In order for us to maintain our ability to be subject to tax as a RIC, substantially all of this income must be paid out to stockholders in the form of dividends for U.S. federal income tax purposes, even though we may not have collected any cash with respect to interest on PIK securities.

Federal Income Taxes

We have elected to be treated, and intend to qualify annually to maintain our election to be treated, as a RIC under Subchapter M of the Code. To maintain our RIC tax election, we must, among other requirements, meet certain annual source-of-income and quarterly asset diversification requirements. We also must annually distribute dividends for U.S. federal income tax purposes to our stockholders out of the assets legally available for distribution of an amount generally at least equal to 90% of the sum of our net ordinary income and realized net short-term capital gains in excess of realized net long-term capital losses, or investment company taxable income, determined without regard to any deduction for dividends paid.

Although not required for us to maintain our RIC tax status, in order to preclude the imposition of a 4% nondeductible U.S. federal excise tax imposed on RICs, we must distribute dividends for federal income tax purposes to our stockholders in respect of each calendar year of an amount at least equal to the sum of (1) 98% of our net ordinary income (subject to certain deferrals and elections) for the calendar year, (2) 98.2% of the excess, if any, of our capital gains over our capital losses, or capital gain net income (adjusted for certain ordinary losses) for the one-year period ending on October 31 of the calendar year plus (3) the sum of any net ordinary income plus capital gain net income for preceding years that was realized but not distributed during such years and on which we did not incur any U.S. federal income tax, or the Excise Tax Avoidance Requirement. In addition, although we may distribute realized net capital gains (i.e., net long-term capital gains in excess of net short-term capital losses), if any, at least annually, out of the assets legally available for such distributions in the manner described above, we have retained and may continue to retain such net capital gains or investment company taxable income, contingent on maintaining our ability to be subject to tax as a RIC, in order to provide us with additional liquidity.

Because federal income tax regulations differ from GAAP, distributions in accordance with tax regulations may differ from net investment income and net realized gain recognized for financial reporting purposes. Differences between tax regulations and GAAP may be permanent or temporary. Permanent differences are reclassified among capital accounts in the Consolidated Financial Statements to reflect their appropriate tax character. Temporary differences arise when certain items of income, expense, gain or loss are recognized at some time in the future.

For the three and nine months ended June 30, 2024, we recorded a provision for taxes on net investment income of $0.7 million and $1.9 million respectively, pertaining to federal excise tax. For the three and nine months ended June 30, 2023, we recorded a provision for taxes on net investment income of $1.2 million and $3.6 million respectively, all of which pertains to U.S. federal excise tax.

On November 22, 2021, we formed PNNT Investment Holdings II, LLC, a Delaware limited liability company (“Holdings II”), as a wholly owned subsidiary. On December 31, 2022, we contributed 100% of our interests in PNNT Investment Holdings, LLC (“Holdings”) to Holdings II . Effective as of January 1, 2024, Holdings II made an election to be treated as a corporation for U.S. federal income tax purposes. On January 3, 2024, we purchased an equity interest in Holdings from Holdings II and Holdings became a partnership for U.S. federal income tax purposes. The Company and Holdings II entered into a limited liability company agreement with respect to Holdings that provides for certain payments and the sharing of income, gain, loss and deductions attributable to Holdings’ investments.

For the three and nine months ended June 30, 2024, the Company recognized a provision for taxes of zero and $0.2 million, respectively, on net realized gain (loss) on investments by the Taxable Subsidiary. For the three and nine months ended June 30, 2023, the Company recognized a provision for taxes of $1.7 million and $2.4 million, respectively, on net realized gain on investments by the Taxable Subsidiary. For the three months and nine months ended June 30, 2024, the Company recognized a provision for taxes of zero and $0.7 million, respectively, on net realized gain (loss) on investments by the Taxable Subsidiary. For the three and nine months ended June 30, 2023, the Company recognized a provision for taxes of zero and $(0.9) million, respectively, on net unrealized gain (loss) on investments by the Taxable Subsidiary. The provision for taxes on net realized and unrealized gains on investments is the result of netting (i) the expected tax liability on the gains from the sales of investments which is likely to be realized and unrealized during fiscal year ending September 30, 2024 and (ii) the expected tax benefit resulting from the use of loss carryforwards to offset such gains. As of June 30, 2024 and September 30, 2023, the Company recognized a provision for taxes of $0.9 million and $3.4 million, respectively, on net realized and unrealized gains on investments by the Taxable Subsidiary.

During the three months and nine months ended June 30, 2024, the Company paid zero, respectively, in federal taxes on realized gains on the sale of investments held by the Taxable Subsidiary. The state and local tax liability is zero as of June 30, 2024 is included under accrued other expenses in the consolidated statement of assets and liabilities.

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We operate in a manner to maintain our election to be subject to tax as a RIC and to eliminate corporate-level U.S. federal income tax (other than the 4% excise tax) by distributing sufficient investment company taxable income and capital gain net income (if any). As a result, we will have an effective tax rate equal to 0% before the excise tax and income taxes incurred by the Taxable Subsidiary. As such, a reconciliation of the differences between our reported income tax expense and its tax expense at the federal statutory rate of 21% is not meaningful.

The Taxable Subsidiary, which is subject to tax as a corporation, allows us to hold equity securities of certain portfolio companies treated as pass-through entities for U.S. federal income tax purposes while facilitating our ability to qualify as a RIC under the Code.

RESULTS OF OPERATIONS

Set forth below are the results of operations for the three and nine months ended June 30, 2024 and 2023.

Investment Income

For the three and nine months ended June 30, 2024, investment income was $37.0 million and $107.3 million, respectively, which was attributable to $25.9 million and $78.5 million from first lien secured debt, $2.1 million and $7.6 million from second lien secured debt, $0.6 million and $1.9 million from subordinated debt and $8.4 million and $19.3 million from other investments, respectively. For the three and nine months ended June 30, 2023, investment income was $45.0 million and $111.3 million, respectively, which was attributable to $24.1 million and $72.7 million from first lien secured debt, $3.5 million and $10.9 million from second lien secured debt, $1.2 million and $3.4 million from subordinated debt and $16.2 million and $24.3 million from preferred and common equity, respectively. The decrease in investment income for the nine months ended June 30, 2024 was primarily due to the decrease in dividend income.

Expenses

For the three and nine months ended June 30, 2024, expenses totaled $21.3 million and $61.7 million, respectively and were comprised of; $11.5 million and $32.9 million of debt related interest and expenses, $4.2 million and $12.4 million of base management fees, $3.3 million and $9.7 million of incentive fees, $1.5 million and $4.8 million of general and administrative expenses and $0.7 million and $1.9 million of provision for excise taxes. For the three and nine months ended June 30, 2023, expenses totaled $22.1 million and $61.4 million, respectively and were comprised of; $10.1 million and $30.5 million of debt-related interest and expenses, $4.0 million and $12.6 million of base management fees, $4.9 million and $10.6 million of incentive fees, $1.9 million and $4.1 million of general and administrative expenses and $1.2 million and $3.6 million of provision for excise taxes, respectively. The increase in expenses for the nine months ended June 30, 2024 was primarily due an increase in debt related interest and expenses.

Net Investment Income

For the three and nine months ended June 30, 2024, net investment income totaled $15.7 million and $45.7 million, or $0.24 per share, and $0.70 per share, respectively. For the three and nine months ended June 30, 2023, net investment income totaled $23.0 million and $49.9 million, or $0.35 per share and $0.77 per share, respectively. The decrease in net investment income for the nine months ended June 30, 2024 was primarily due to decrease in investment income.

Net Realized Gains or Losses

For the three and nine months ended June 30, 2024, net realized gains (losses) totaled $(6.9) million and $(36.1) million, respectively. For the three and nine months ended June 30, 2023, net realized gains (losses) totaled $(6.9) million and $(151.5) million, respectively. The change in realized gains (losses) was primarily due to changes in the market conditions of our investments and the values at which they were realized.

Unrealized Appreciation or Depreciation on Investments and Debt

For the three and nine months ended June 30, 2024, we reported net change in unrealized appreciation (depreciation) on investments of $(5.1) million and $23.2 million, respectively. For the three and nine months ended June 30, 2023, the net unrealized appreciation (depreciation) on investments totaled $13.3 million and $57.1 million, respectively. As of June 30, 2024 and September 30, 2023, our net unrealized appreciation (depreciation) on investments totaled $6.9 million and $(16.3) million, respectively. The net change in unrealized depreciation on our investments was primarily due to changes in the capital market conditions of our investments and the values at which they were realized.

For the three and nine months ended June 30, 2024, the Truist Credit Facility had a net change in unrealized appreciation (depreciation) less than $(0.1) million and $(1.6) million, respectively. For the three and nine months ended June 30, 2023, the Truist Credit Facility had a net change in unrealized (appreciation) depreciation of $(8.4) million and $(2.5) million, respectively. As of June 30, 2024 and September 30, 2023, the net unrealized depreciation on the Truist Credit Facility totaled $3.9 million and $5.5 million, respectively. Net change in unrealized appreciation was primarily due to changes in the capital markets.

Net Change in Net Assets Resulting from Operations

For the three and nine months ended June 30, 2024, net increase (decrease) in net assets resulting from operations totaled $3.7 million and $30.5 million, or $0.06 per share, and $0.47 per share, respectively. For the three and nine months ended June 30, 2023, net increase (decrease) in net assets resulting from operations totaled $20.9 million and $(46.1) million, or $0.32 per share and $(0.71) per share, respectively. The increase in net assets from operations for the nine months ended June 30, 2024 was primarily due to a decrease in the net realized and unrealized depreciation in the portfolio primarily driven by changes in market conditions.

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LIQUIDITY AND CAPITAL RESOURCES

Our liquidity and capital resources are derived primarily from cash flows from operations, including investment sales and repayments, and income earned, proceeds of securities offerings and debt financings. Our primary use of funds from operations includes investments in portfolio companies and payments of interest expense, fees and other operating expenses we incur. We have used, and expect to continue to use, our debt capital, proceeds from the rotation of our portfolio and proceeds from public and private offerings of securities to finance our investment objectives and operations. As of June 30, 2024, in accordance with the 1940 Act, with certain limited exceptions, we are only allowed to borrow amounts such that we are in compliance with a 150% asset coverage ratio requirement after such borrowing, excluding SBA debentures pursuant to exemptive relief from the SEC received in June 2011. This “Liquidity and Capital Resources” section should be read in conjunction with the "Forward-Looking Statements" section above.

On February 5, 2019, our stockholders approved the application of the modified asset coverage requirements set forth in Section 61(a)(2) of the 1940 Act, as amended by the Consolidated Appropriations Act of 2018 (which includes the SBCAA) as approved by our board of directors on November 13, 2018. As a result, the asset coverage requirement applicable to us for senior securities was reduced from 200% (i.e., $1 of debt outstanding for each $1 of equity) to 150% (i.e., $2 of debt outstanding for each $1 of equity), subject to compliance with certain disclosure requirements.

As of June 30, 2024 and September 30, 2023, our asset coverage ratio, as computed in accordance with the 1940 Act was 164%% and 195%, respectively.

For the nine months ended June 30, 2024 and 2023, the annualized weighted average cost of debt inclusive of the fee on the undrawn commitment and amendment costs on the Truist Credit Facility, and amortized upfront fees on SBA debentures, 2026 Notes and 2026 Notes-2, was 6.5% and 6.0%, respectively.

As of June 30, 2024, we had the multi-currency Truist Credit Facility for up to $475.0 million (decreased from $500.0 million in September 2023), which may be further increased up to $750.0 million in borrowings with certain lenders and Truist Bank, acting as administrative agent, Regions Bank, acting as an additional multicurrency lender, and JPMorgan Chase Bank, N.A., acting as syndication agent for the lenders. As of June 30, 2024 and September 30, 2023, we had $450.5 million and $212.4 million, respectively, in outstanding borrowings under the Truist Credit Facility. The Truist Credit Facility had a weighted average interest rate of 7.7% and 7.7%, respectively, exclusive of the fee on undrawn commitment, as of June 30, 2024 and September 30, 2023. The Truist Credit Facility is a revolving facility with a stated maturity date of July 29, 2027 and pricing set at 235 basis points over SOFR (or an alternative risk-free floating interest rate index). As of June 30, 2024 and September 30, 2023, we had $24.5 million and $262.6 million of unused borrowing capacity under the Truist Credit Facility, respectively, subject to leverage and borrowing base restrictions. The Truist Credit Facility is secured by substantially all of our assets. As of June 30, 2024, we were in compliance with the terms of the Truist Credit Facility.

As of June 30, 2024, we had $ 150 million in aggregate principal amount of 2026 Notes outstanding. Interest on the 2026 Notes is paid semi-annually on May 1 and November 1, at a rate of 4.50% per year, commencing November 1, 2021. The 2026 Notes mature on May 1, 2026, and may be redeemed in whole or in part at our option subject to a make-whole premium if redeemed more than three months prior to maturity. The 2026 Notes are direct unsecured obligations and rank pari passu in right of payment with future unsecured unsubordinated indebtedness. The 2026 Notes are structurally subordinated to all existing and future indebtedness and other obligations of any of our subsidiaries, financing vehicles, or similar facilities.

As of June 30, 2024, we had $ 165 million in aggregate principal amount of 2026 Notes-2 outstanding. Interest on the 2026 Notes-2 is paid semi-annually on May 1 and November 1, at a rate of 4.0% per year, commencing May 1, 2022. The 2026 Notes-2 mature on November 1, 2026, and may be redeemed in whole or in part at our option subject to a make-whole premium if redeemed more than three months prior to maturity. The 2026 Notes-2 are direct unsecured obligations and rank pari passu in right of payment with future unsecured unsubordinated indebtedness. The 2026 Notes-2 are structurally subordinated to all existing and future indebtedness and other obligations of any of our subsidiaries, financing vehicles, or similar facilities.

On June 4, 2024, we entered into equity distribution agreements with Truist Securities, Inc. and Keefe, Bruyette & Woods, Inc. (together, the "Equity Distribution Agreements"), as sales agents (each a "Sales Agent" and together, the "Sales Agents") in connection with the sale of shares of our common stock, with an aggregate offering price of up to $100 million under an at-the-market offering ("ATM Program"). We may offer and sell shares of our common stock from time to time through a sales agent in amounts and at times to be determined by us. Actual sales will depend on a variety of factors to be determined by us from time to time, including, market conditions and the trading price of our common stock. The Investment Adviser may, from time to time, in its sole discretion, pay some or all of the commissions payable under the equity distribution agreements or make additional supplemental payments to ensure that the sales price per share of our common stock in connection with all of the offerings made hereunder will not be less than our current NAV per share. Any such payments made by the Investment Adviser will not be subject to reimbursement by us.

During the three and nine months ended June 30, 2024, we issued 71,594 and 71,594 shares of common stock through the ATM Program at an average price of $7.72 and $7.72 per share, raising $0.6 million and $0.6 million of net proceeds after commissions to the sales agents and inclusive of proceeds from the Investment Adviser to ensure that all shares were sold at or above NAV, respectively. In connection with the share issuance, we expensed $0.3 million of deferred offering costs incurred related to establishing the ATM Program to additional paid in capital.

We may raise additional equity or debt capital through both registered offerings off our shelf registration statement and private offerings of securities, by securitizing a portion of our investments, among other sources. Any future additional debt capital we incur, to the extent it is available, may be issued at a higher cost and on less favorable terms and conditions than the Truist Credit Facility, 2026 Notes, and 2026 Notes-2. Furthermore, the Truist Credit Facility availability depends on various covenants and restrictions. The primary use of existing funds and any funds raised in the future is expected to be for repayment of indebtedness, investments in portfolio companies, cash distributions to our stockholders or for other general corporate or strategic purposes such as a stock repurchase program.

We have entered into certain contracts under which we have material future commitments. Under our Investment Management Agreement, which was reapproved by our board of directors (including a majority of our directors who are not interested persons of us or the Investment Adviser) in May 2024 PennantPark Investment Advisers serves as our investment adviser. Payments under our Investment Management Agreement in each reporting period are equal to (1) a management fee equal to a percentage of the value of our average adjusted gross assets and (2) an incentive fee based on our performance.

Under our Administration Agreement, which was most recently reapproved by our board of directors, including a majority of our directors who are not interested persons of us, in May 2024 the Administrator furnishes us with office facilities and administrative services necessary to conduct our day-to-day operations. The Administration Agreement was amended on July 1, 2022. If requested to provide significant managerial assistance to our portfolio companies, we or the Administrator will be paid an additional amount based on the services provided. Payment under our Administration Agreement is based upon our allocable portion of the Administrator’s overhead in performing its obligations under our Administration Agreement, including rent and our allocable portion of the costs of our Chief Compliance Officer, Chief Financial Officer, Corporate Counsel and their respective staffs.

If any of our contractual obligations discussed above are terminated, our costs under new agreements that we enter into may increase. In addition, we will likely incur significant time and expense in locating alternative parties to provide the services we expect to receive under our Investment Management Agreement and our Administration Agreement. Any new investment management agreement would also be subject to approval by our stockholders.

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In accordance with the 1940 Act, with certain limited exceptions, PennantPark Investment is only allowed to borrow amounts such that our required 150% asset coverage ratio is met after such borrowing. As of June 30, 2024 and September 30, 2023, we excluded the principal amounts of our SBA debentures from our asset coverage ratio pursuant to SEC exemptive relief. In 2011, we received exemptive relief from the SEC allowing us to modify the asset coverage ratio requirement to exclude the SBA debentures from the calculation. Accordingly, our ratio of total assets on a consolidated basis to outstanding indebtedness may be less than 150% which, while providing increased investment flexibility, also increases our exposure to risks associated with leverage.

As of June 30, 2024 and September 30, 2023, we had cash and cash equivalents of $59.2 million and $38.8 million, respectively, available for investing and general corporate purposes. We believe our liquidity and capital resources are sufficient to allows us to effectively operate our business.

For the nine months ended June 30, 2024, our operating activities used cash of $167.7 million and our financing activities provided cash of $188.1 million. Our operating activities provided cash primarily due to our investment activities and our financing activities used cash primarily from borrowings under the Truist Credit Facility.

For the nine months ended June 30, 2023, our operating activities provided cash of $115.7 million and our financing activities used cash of $124.1 million. Our operating activities provided cash primarily due to our investment activities and our financing activities used cash primarily due to repayments under the Truist Credit Facility.

PennantPark Senior Loan Fund, LLC

In July 2020, we and Pantheon formed PSLF, an unconsolidated joint venture. PSLF invests primarily in middle-market and other corporate debt securities consistent with its strategy. PSLF was formed as a Delaware limited liability company. As of June 30, 2024 and September 30, 2023, PSLF had total assets of $977.0 million and $872.8 million, respectively and its investment portfolio consisted of debt investments in 101 and 90 portfolio companies, respectively. As of the same dates, we and Pantheon had remaining commitments to fund subordinated debt of zero and $22.4 million, respectively, and equity interest of zero and $14.5 million, respectively, in PSLF. As of June 30, 2024, at fair value, the largest investment in a single portfolio company in PSLF was $21.5 million and the five largest investments totaled $100.1 million. As of September 30, 2023, at fair value, the largest investment in a single portfolio company in PSLF was $19.7 million and the five largest investments totaled $97.5 million. PSLF invests in portfolio companies in the same industries in which we may directly invest.

We provide capital to PSLF in the form of subordinated notes and equity interests. As of June 30, 2024 and September 30, 2023, we and Pantheon owned 60.5% and 39.5%, respectively, of each of the outstanding subordinated notes and equity interests of PSLF. As of June 30, 2024 and September 30, 2023, our investment in PSLF consisted of subordinated notes of $115.9 million and $102.3 million, respectively, and equity interests of $67.4 million and $58.6 million, respectively.

We and Pantheon each appointed two members to PSLF’s four-person Member Designees’ Committee, or the Member Designees’ Committee. All material decisions with respect to PSLF, including those involving its investment portfolio, require unanimous approval of a quorum of the Member Designees’ Committee. Quorum is defined as (i) the presence of two members of the Member Designees’ Committee; provided that at least one individual is present that was elected, designated or appointed by each of us and Pantheon; (ii) the presence of three members of the Member Designees’ Committee, provided that the individual that was elected, designated or appointed by each of us or Pantheon, as the case may be, with only one individual present shall be entitled to cast two votes on each matter; and (iii) the presence of four members of the Member Designees’ Committee shall constitute a quorum, provided that two individuals are present that were elected, designated or appointed by each of us and Pantheon.

Additionally, PSLF, through its wholly-owned subsidiary, has entered into a $325.0 million (increased from $225.0 million on September 2, 2022) senior secured revolving credit facility, with BNP Paribas, which bears interest at SOFR (or an alternative risk-free interest rate index) plus 260 basis points during the investment period and is subject to leverage and borrowing base restrictions.

In March 2022, PSLF completed a $304.0 million debt securitization in the form of a collateralized loan obligation, or the “2034 Asset-Backed Debt”. The 2034 Asset-Backed Debt is secured by a diversified portfolio of PennantPark CLO IV, LLC., a wholly-owned and consolidated subsidiary of PSLF, consisting primarily of middle market loans and participation interests in middle market loans. The 2034 Asset-Backed Debt is scheduled to mature in April 2034. On the closing date of the transaction, in consideration of PSLF’s transfer to PennantPark CLO IV, LLC of the initial closing date loan portfolio, which included loans distributed to PSLF by certain of its wholly owned subsidiaries and us, PennantPark CLO IV, LLC transferred to PSLF 100% of the Preferred Shares of PennantPark CLO IV, LLC and 100% of the Subordinated Notes issued by PennantPark CLO IV, LLC. As of June 30, 2024 and September 30, 2023, there was $246.0 million of external 2034 Asset-Back Debt.

On July 26, 2023, CLO VII , LLC ("CLO VII") completed a $300 million debt securitization in the form of a collateralized loan obligation (the "2035 Debt Securitization" or "2035 Asset-Backed Debt"). The 2035 Asset-Backed Debt is secured by a diversified portfolio consisting primarily of middle market loans. The 2035 Debt Securitization was executed through a private placement of: (i) $151.0 million Class A-1a Notes maturing 2035, which bear interest at the three-month SOFR plus 2.7%, (ii) $20.0 million Class A-1b Loans 2035, which bear interest at 6.5%, (iii) $12.0 million Class A-2 Senior Secured Floating Rate Notes due 2035, which bear interest at the three-month SOFR plus 3.2%, (iv) $21.0 million Class B Senior Secured Floating Rate Notes due 2035, which bear interest at the three-month SOFR plus 4.1%, (v) $24.0 million Class C Secured Deferrable Floating Rate Notes due 2035, which bear interest at the three-month SOFR plus 4.7%, (vi) $18.0 million Class D Secured Deferrable Floating Rate Notes due 2035, which bear interest at the three-month SOFR plus 7.0%. As of June 30, 2024 and September 30, 2023, there was $246.0 million of external 2035 Asset-Backed Debt.

Below is a summary of PSLF’s portfolio at fair value:

($ in thousands)

June 30, 2024 (Unaudited)

September 30, 2023

Total investments

$

926,103

$

804,187

Weighted average cost yield on income producing investments

11.8

%

12.1

%

Number of portfolio companies in PSLF

101

90

Largest portfolio company investment at fair value

$

21,520

$

19,737

Total of five largest portfolio company investments at fair value

$

100,056

$

97,526

52


Below is a listing of PSLF’s individual investments as of June 30, 2024 ($ in thousands):

Issuer Name

Maturity

Industry

Current
Coupon

Basis Point
Spread Above
Index
1

Par

Cost

Fair Value 2

First Lien Secured Debt - 803.6%

A1 Garage Merger Sub, LLC

12/22/28

Personal, Food and Miscellaneous Services

10.83

%

SOFR+ 550

14,775

$

14,533

$

14,775

ACP Avenu Buyer, LLC

10/02/29

Business Services

10.55

%

SOFR+ 525

6,468

6,359

6,273

ACP Falcon Buyer, Inc.

08/01/29

Business Services

10.80

%

SOFR+ 550

15,389

15,096

15,512

AFC - Dell Holding Corp.

04/09/27

Distribution

11.75

%

SOFR+ 640

2,282

2,256

2,260

Ad.net Acquisition, LLC

05/07/26

Media

11.60

%

SOFR+ 600

4,850

4,850

4,850

Aeronix, Inc. - Term Loan

12/18/28

Aerospace and Defense

10.83

%

SOFR+ 550

14,925

14,728

14,925

Alpine Acquisition Corp II

11/30/26

Containers, Packaging and Glass

11.43

%

SOFR+ 610

14,725

14,475

14,136

Amsive Holding Corporation (f/k/a Vision Purchaser Corporation)

06/10/25

Media

11.73

%

SOFR+ 640

13,849

13,793

13,642

Anteriad Holdings Inc (fka MeritDirect)

06/30/26

Media

11.23

%

SOFR+ 575

13,744

13,673

13,744

Applied Technical Services, LLC

12/29/26

Environmental Services

11.25

%

SOFR+ 590

13,750

13,623

13,544

Arcfield Acquisition Corp.

08/03/29

Aerospace and Defense

11.58

%

SOFR+ 625

21,628

21,323

21,520

Beta Plus Technologies, Inc.

07/01/29

Business Services

11.08

%

SOFR+ 575

14,775

14,554

14,480

Big Top Holdings, LLC

02/28/30

Manufacturing / Basic Industries

11.58

%

SOFR+ 625

6,983

6,867

6,930

Bioderm, Inc.

01/31/28

Healthcare, Education and Childcare

11.83

%

SOFR+ 650

8,910

8,815

8,799

Blackhawk Industrial Distribution, Inc.

09/17/26

Distribution

11.66

%

SOFR+ 640

19,645

19,388

19,517

BlueHalo Global Holdings, LLC

10/31/25

Aerospace and Defense

10.09

%

SOFR+ 475

12,228

12,158

12,045

Broder Bros., Co.

12/04/25

Personal and Non-Durable Consumer Products

11.60

%

SOFR+ 626

9,438

9,438

9,438

Burgess Point Purchaser Corporation

09/26/29

Auto Sector

10.69

%

SOFR+ 535

887

834

857

Carisk Buyer, Inc.

11/30/29

Healthcare, Education and Childcare

11.08

%

SOFR+ 575

5,486

5,412

5,459

Carnegie Dartlet, LLC

02/07/30

Education

10.84

%

SOFR+ 550

9,975

9,835

9,825

Cartessa Aesthetics, LLC

06/14/28

Distribution

11.08

%

SOFR+ 575

17,150

16,910

17,150

CF512, Inc.

08/20/26

Media

11.54

%

SOFR+ 619

2,899

2,883

2,855

Connatix Buyer, Inc.

07/13/27

Media

11.11

%

SOFR+ 576

8,739

8,726

8,564

Crane 1 Services, Inc.

08/16/27

Personal, Food and Miscellaneous Services

10.35

%

SOFR+ 501

2,555

2,535

2,549

Dr. Squatch, LLC

08/31/27

Personal and Non-Durable Consumer Products

11.18

%

SOFR+ 575

10,615

10,578

10,615

DRI Holding Inc.

12/21/28

Media

10.69

%

SOFR+ 535

5,845

5,420

5,604

DRS Holdings III, Inc.

11/03/25

Consumer Products

11.73

%

SOFR+ 640

14,049

14,025

13,993

EDS Buyer, LLC

01/10/29

Aerospace and Defense

11.08

%

SOFR+ 575

6,172

6,110

6,079

ETE Intermediate II, LLC

05/29/29

Personal, Food and Miscellaneous Services

11.85

%

SOFR+ 650

12,280

12,074

12,402

Exigo Intermediate II, LLC

03/15/27

Business Services

11.69

%

SOFR+ 625

9,676

9,574

9,603

Fairbanks Morse Defense

06/17/28

Aerospace and Defense

10.35

%

SOFR+ 475

3,491

3,413

3,494

Five Star Buyer, Inc.

02/23/28

Hotels, Motels, Inns and Gaming

12.47

%

SOFR+ 700

4,274

4,204

4,242

Global Holdings InterCo LLC

03/16/26

Banking, Finance, Insurance & Real Estate

11.48

%

SOFR+ 610

6,971

6,958

6,622

Graffiti Buyer, Inc.

08/10/27

Distribution

10.93

%

SOFR+ 560

3,126

3,087

3,095

Hancock Roofing and Construction L.L.C.

12/31/26

Insurance

10.93

%

SOFR+ 550

6,146

6,146

5,777

Hills Distribution, Inc

11/08/29

Distribution

11.33

%

SOFR+ 600

14,328

14,139

14,185

HV Watterson Holdings, LLC

12/17/26

Business Services

11.73

%

SOFR+ 615

14,987

14,851

14,313

HW Holdco, LLC

05/10/26

Media

11.70

%

SOFR+ 640

18,451

18,380

18,451

IG Investments Holdings, LLC

09/22/28

Business Services

11.43

%

SOFR+ 600

4,394

4,330

4,317

Imagine Acquisitionco, LLC

11/15/27

Business Services

10.43

%

SOFR+ 510

5,523

5,451

5,495

Infinity Home Services Holdco, Inc.

12/28/28

Personal, Food and Miscellaneous Services

12.18

%

SOFR+ 685

10,969

10,807

10,969

Infolinks Media Buyco, LLC

11/01/26

Media

10.83

%

SOFR+ 550

10,902

10,838

10,793

Integrity Marketing Acquisition, LLC

08/27/26

Insurance

11.50

%

SOFR+ 605

19,571

19,527

19,473

Inventus Power, Inc.

06/30/25

Consumer Products

12.96

%

SOFR+ 761

13,117

12,961

12,855

Kinetic Purchaser, LLC

11/10/27

Consumer Products

11.48

%

SOFR+ 615

13,701

13,510

13,701

LAV Gear Holdings, Inc.

10/31/25

Leisure, Amusement, Motion Pictures, Entertainment

11.72

%

SOFR+ 640

4,625

4,615

4,569

Lash OpCo, LLC

02/18/27

Consumer Products

8.06

%

SOFR+ 275

20,184

20,069

19,982

Lightspeed Buyer Inc.

02/03/26

Healthcare, Education and Childcare

10.69

%

SOFR+ 535

12,123

12,011

12,123

LJ Avalon Holdings, LLC

01/31/30

Environmental Services

11.74

%

SOFR+ 625

6,271

6,165

6,271

MAG DS Corp.

04/01/27

Aerospace and Defense

10.93

%

SOFR+ 550

7,539

7,173

7,275

Magenta Buyer, LLC

07/31/28

Software

10.59

%

SOFR+ 526

3,756

3,552

2,072

Mars Acquisition Holdings Corp.

05/14/26

Media

10.98

%

SOFR+ 565

10,802

10,746

10,802

MBS Holdings, Inc.

04/16/27

Telecommunications

11.27

%

SOFR+ 585

8,352

8,274

8,360

Meadowlark Acquirer, LLC

12/10/27

Business Services

11.23

%

SOFR+ 575

2,930

2,889

2,857

Medina Health, LLC

10/20/28

Healthcare, Education and Childcare

11.58

%

SOFR+ 625

9,950

9,796

9,950

Megawatt Acquisitionco, Inc.

03/01/30

Business Services

10.58

%

SOFR+ 525

8,000

7,887

8,000

MOREgroup Holdings, LLC

01/16/30

Business Services

11.08

%

SOFR+ 575

7,481

7,379

7,406

Municipal Emergency Services, Inc.

10/01/27

Distribution

10.49

%

SOFR+ 515

5,928

5,833

5,928

NBH Group LLC

08/19/26

Healthcare, Education and Childcare

11.18

%

SOFR+ 575

7,372

7,327

7,004

NORA Acquisition, LLC

08/31/29

Healthcare, Education and Childcare

11.68

%

SOFR+ 635

14,888

14,625

14,888

Omnia Exterior Solutions, LLC

12/29/29

Diversified Conglomerate Service

10.83

%

SOFR+ 550

3,491

3,443

3,439

One Stop Mailing, LLC

05/07/27

Transportation

11.71

%

SOFR+ 636

8,403

8,271

8,403

Owl Acquisition, LLC

02/04/28

Education

10.69

%

SOFR+ 535

3,893

3,807

3,834

Ox Two, LLC (New Issue)

05/18/26

Distribution

11.85

%

SOFR+ 651

4,340

4,304

4,340

PCS Midco, Inc.

03/01/30

Financial Services

11.10

%

SOFR+ 575

5,826

5,745

5,768

PL Acquisitionco, LLC

11/09/27

Retail

12.44

%

SOFR+ 710

8,143

8,047

6,514

Pacific Purchaser, LLC

10/02/28

Business Services

11.26

%

SOFR+ 600

12,935

12,705

13,013

PlayPower, Inc.

05/08/26

Consumer Products

10.96

%

SOFR+ 565

2,529

2,477

2,491

Quantic Electronics, LLC

11/19/26

Aerospace and Defense

11.68

%

SOFR+ 635

3,288

3,251

3,255

Radius Aerospace, Inc.

03/31/25

Aerospace and Defense

11.38

%

SOFR+ 575

12,599

12,567

12,347

Rancho Health MSO, Inc.

12/18/25

Healthcare, Education and Childcare

10.92

%

SOFR+ 550

5,560

5,560

5,560

Reception Purchaser, LLC

04/28/28

Transportation

11.48

%

SOFR+ 615

4,962

4,910

3,970

Recteq, LLC

01/29/26

Consumer Products

12.49

%

SOFR+ 715

9,675

9,609

9,530

Research Now Group, LLC and Dynata, LLC 3

12/20/24

Business Services

0.00

%

SOFR+ 576

14,351

14,318

12,198

Research Now Group, LLC and Dynata, LLC-DIP

08/06/24

Business Services

14.21

%

SOFR+ 886

617

570

617

Riverpoint Medical, LLC

06/21/25

Healthcare, Education and Childcare

10.78

%

SOFR+ 550

3,942

3,925

3,946

53


Issuer Name

Maturity

Industry

Current
Coupon

Basis Point
Spread Above
Index
1

Par

Cost

Fair Value 2

Rural Sourcing Holdings, Inc. (HPA SPQ Merger Sub, Inc.)

06/16/29

Professional Services

11.02

%

SOFR+ 575

4,347

$

4,276

$

4,303

S101 Holdings Inc.

12/29/26

Electronics

11.45

%

SOFR+ 615

4,218

4,156

4,176

Sales Benchmark Index LLC

01/03/25

Business Services

11.53

%

SOFR+ 620

6,676

6,660

6,676

Sargent & Greenleaf Inc.

12/20/24

Electronics

11.92

%

SOFR+ 650

4,675

4,675

4,675

Seaway Buyer, LLC

06/13/29

Chemicals, Plastics and Rubber

11.48

%

SOFR+ 615

14,738

14,540

14,259

Sigma Defense Systems, LLC

12/18/27

Telecommunications

12.49

%

SOFR+ 715

14,687

14,518

14,540

Simplicity Financial Marketing Group Holdings, Inc

12/02/26

Banking, Finance, Insurance & Real Estate

11.71

%

SOFR+ 640

11,387

11,220

11,274

Skopima Consilio Parent, LLC

05/17/28

Business Services

9.96

%

SOFR+ 450

1,294

1,271

1,295

Smartronix, LLC

11/23/28

Aerospace and Defense

11.33

%

SOFR+ 600

19,564

19,274

19,564

Solutionreach, Inc.

07/17/25

Communications

12.48

%

SOFR+ 700

9,239

9,208

9,239

SpendMend Holdings, LLC

03/01/28

Business Services

10.98

%

SOFR+ 565

9,534

9,314

9,534

Summit Behavioral Healthcare, LLC

11/24/28

Healthcare, Education and Childcare

9.60

%

SOFR+ 425

3,554

3,391

3,566

System Planning and Analysis, Inc. (f/k/a Management Consulting & Research, LLC)

08/16/27

Aerospace and Defense

11.16

%

SOFR+ 575

15,844

15,624

15,844

TCG 3.0 Jogger Acquisitionco, Inc.

01/23/29

Media

11.84

%

SOFR+ 650

9,975

9,819

9,875

Team Services Group, LLC

11/24/28

Healthcare, Education and Childcare

10.50

%

SOFR+ 515

2,668

2,581

2,659

Teneo Holdings LLC

03/13/31

Business Services

10.09

%

SOFR+ 475

2,993

2,963

2,996

The Bluebird Group LLC

07/27/26

Business Services

11.98

%

SOFR+ 665

11,933

11,889

11,933

The Vertex Companies, LLC

08/31/27

Business Services

11.48

%

SOFR+ 610

7,631

7,552

7,641

TPC US Parent, LLC

11/24/25

Food

10.95

%

SOFR+ 550

5,437

5,369

5,437

Transgo, LLC

12/29/28

Auto Sector

11.34

%

SOFR+ 600

14,952

14,742

14,952

TWS Acquisition Corporation

06/06/25

Education

11.74

%

SOFR+ 625

3,628

3,624

3,628

Tyto Athene, LLC

04/03/28

Aerospace and Defense

10.95

%

SOFR+ 550

11,393

11,305

10,596

Urology Management Holdings, Inc.

06/15/26

Healthcare, Education and Childcare

11.76

%

SOFR+ 625

3,831

3,780

3,804

Watchtower Buyer, LLC

12/01/29

Consumer Products

11.33

%

SOFR+ 600

8,978

8,843

8,897

Wildcat Buyerco, Inc.

02/27/27

Electronics

11.08

%

SOFR+ 575

19,305

19,162

19,305

Zips Car Wash, LLC

12/31/24

Business Services

12.69

%

SOFR+ 725

19,736

19,645

18,998

Total First Lien Secured Debt

930,700

926,103

Total Investments - 803.6%

Cash and Cash Equivalents - 38.8%

BlackRock Federal FD Institutional 30

44,765

44,765

Total Cash and Cash Equivalents

44,765

44,765

Total Investments and Cash Equivalents - 842.5)%

$

975,465

$

970,868

Liabilities in Excess of Other Assets — (716.9)%

(855,630

)

Members' Equity—100.0%

$

115,238

(1)
Represents floating rate instruments that accrue interest at a predetermined spread relative to an index, typically the applicable Secured Overnight Financing Rate (“SOFR”) or Prime rate (“P”). The spread may change based on the type of rate used. The terms in the Schedule of Investments disclose the actual interest rate in effect as of the reporting period. SOFR loans are typically indexed to a 30-day, 60-day, 90-day or 180-day SOFR rate (1M S, 2M S, 3M S, or 6M S, respectively), at the borrower’s option. All securities are subject to a SOFR or Prime rate floor where a spread is provided, unless noted. The spread provided includes PIK interest and other fee rates, if any.
(2)
Valued based on PSLF’s accounting policy.
(3)
Non-income producing security

54


Below is a listing of PSLF’s individual investments as of September 30, 2023 ($ in thousands):

Issuer Name

Maturity

Industry

Current
Coupon

Basis Point
Spread Above
Index
1

Par

Cost

Fair Value 2

First Lien Secured Debt - 783.7%

A1 Garage Merger Sub, LLC

12/22/28

Personal, Food and Miscellaneous Services

11.84

%

SOFR+650

14,925

$

14,668

$

14,850

Ad.net Acquisition, LLC

05/07/26

Media

11.65

%

SOFR+600

4,888

4,888

4,863

Alpine Acquisition Corp II

11/30/26

Containers, Packaging and Glass

11.26

%

SOFR+600

14,837

14,528

14,244

Amsive Holding Corporation (f/k/a Vision Purchaser Corporation)

06/10/25

Media

11.79

%

SOFR+675

13,958

13,869

13,749

Anteriad, LLC (f/k/a MeritDirect, LLC)

05/23/24

Media

12.04

%

SOFR+650

14,354

14,319

14,103

Any Hour Services

07/21/27

Personal, Food and Miscellaneous Services

11.22

%

SOFR+575

10,882

10,847

10,665

Apex Service Partners, LLC

07/31/25

Personal, Food and Miscellaneous Services

10.52

%

SOFR+525

6,424

6,380

6,408

Apex Service Partners, LLC Term Loan B

07/31/25

Personal, Food and Miscellaneous Services

11.11

%

SOFR+550

3,316

3,299

3,308

Apex Service Partners, LLC - Term Loan C

07/31/25

Personal, Food and Miscellaneous Services

10.76

%

SOFR+525

7,531

7,531

7,512

Applied Technical Services, LLC

12/29/26

Environmental Services

11.51

%

SOFR+575

11,394

11,271

11,166

Applied Technical Services, LLC - Unfunded Term Loan 3

12/29/26

Environmental Services

513

-

(5

)

Arcfield Acquisition Corp.

08/03/29

Aerospace and Defense

11.62

%

SOFR+625

11,820

11,642

11,702

Beta Plus Technologies, Inc.

07/01/29

Business Services

11.14

%

SOFR+575

14,850

14,604

13,811

Bioderm, Inc.

01/31/28

Healthcare, Education and Childcare

11.83

%

SOFR+650

8,978

8,874

8,933

Blackhawk Industrial Distribution, Inc.

09/17/24

Distribution

11.79

%

SOFR+625

17,823

17,588

17,556

Broder Bros., Co.

12/04/25

Personal and Non-Durable Consumer Products

11.50

%

SOFR+600

9,683

9,683

9,683

Burgess Point Purchaser Corporation

09/26/29

Auto Sector

10.67

%

SOFR+525

893

836

841

Cartessa Aesthetics, LLC

06/14/28

Distribution

11.39

%

SOFR+600

17,281

17,013

17,281

CF512, Inc.

08/20/26

Media

11.60

%

SOFR+600

2,921

2,901

2,862

Connatix Buyer, Inc.

07/13/27

Media

11.16

%

SOFR+550

8,808

8,792

8,500

Crane 1 Services, Inc.

08/16/27

Personal, Food and Miscellaneous Services

10.90

%

SOFR+575

2,575

2,550

2,562

Dr. Squatch, LLC

08/31/27

Personal and Non-Durable Consumer Products

11.24

%

SOFR+575

10,882

10,834

10,882

DRI Holding Inc.

12/21/28

Media

10.67

%

SOFR+525

4,382

3,959

3,993

DRS Holdings III, Inc.

11/03/25

Consumer Products

11.77

%

SOFR+640

14,395

14,345

14,222

Duraco Specialty Tapes LLC

06/30/24

Manufacturing / Basic Industries

11.93

%

SOFR+650

8,635

8,561

8,505

EDS Buyer, LLC

01/10/29

Aerospace and Defense

11.64

%

SOFR+625

6,219

6,148

6,125

Electro Rent Corporation

01/17/24

Electronics

10.93

%

SOFR+550

3,712

3,665

3,632

ETE Intermediate II, LLC

05/29/29

Personal, Food and Miscellaneous Services

11.89

%

SOFR+650

12,404

12,171

12,193

Exigo Intermediate II, LLC

03/15/27

Business Services

11.17

%

SOFR+575

9,750

9,637

9,555

Fairbanks Morse Defense

06/17/28

Aerospace and Defense

10.40

%

SOFR+475

1,518

1,470

1,506

Five Star Buyer, Inc.

02/23/28

Hotels, Motels, Inns and Gaming

12.43

%

SOFR+700

4,373

4,291

4,307

Global Holdings InterCo LLC

03/16/26

Banking, Finance, Insurance & Real Estate

11.96

%

SOFR+650

7,027

7,008

6,676

Graffiti Buyer, Inc.

08/10/27

Distribution

10.99

%

SOFR+575

1,954

1,925

1,935

Hancock Roofing and Construction L.L.C.

12/31/26

Insurance

10.93

%

SOFR+550

6,423

6,423

6,262

Holdco Sands Intermediate, LLC

11/23/28

Aerospace and Defense

11.32

%

SOFR+600

19,717

19,388

19,717

HV Watterson Holdings, LLC

12/17/26

Business Services

11.79

%

SOFR+600

15,140

14,974

15,110

HW Holdco, LLC

12/10/24

Media

11.70

%

SOFR+625

14,250

14,171

14,036

IG Investments Holdings, LLC

09/22/28

Business Services

11.45

%

SOFR+600

4,428

4,355

4,362

Imagine Acquisitionco, LLC

11/15/27

Business Services

10.72

%

SOFR+550

5,565

5,481

5,482

Inception Fertility Ventures, LLC

12/31/24

Healthcare, Education and Childcare

12.50

%

SOFR+715

19,737

19,410

19,737

Infinity Home Services Holdco, Inc.

12/28/28

Personal, Food and Miscellaneous Services

12.24

%

SOFR+685

11,053

10,867

11,053

Infolinks Media Buyco, LLC

11/01/26

Media

11.17

%

SOFR+575

6,364

6,364

6,364

Integrity Marketing Acquisition, LLC

08/27/26

Insurance

11.57

%

SOFR+575

19,701

19,639

19,504

K2 Pure Solutions NoCal, L.P.

12/20/23

Chemicals, Plastics and Rubber

13.42

%

SOFR+800

12,061

12,040

12,061

Kinetic Purchaser, LLC

11/10/27

Consumer Products

11.54

%

SOFR+615

16,920

16,641

16,666

LAV Gear Holdings, Inc.

10/31/24

Leisure, Amusement, Motion Pictures, Entertainment

11.46

%

SOFR+565

4,658

4,631

4,603

Lash OpCo, LLC

02/18/27

Consumer Products

12.13

%

SOFR+700

19,723

19,565

19,526

Lightspeed Buyer Inc.

02/03/26

Healthcare, Education and Childcare

10.67

%

SOFR+575

12,218

12,056

12,096

LJ Avalon Holdings, LLC

01/31/30

Environmental Services

11.77

%

SOFR+665

6,318

6,206

6,192

MAG DS Corp.

04/01/27

Aerospace and Defense

10.99

%

SOFR+550

7,601

7,153

7,202

Magenta Buyer, LLC

07/31/28

Software

10.63

%

SOFR+500

3,785

3,550

2,805

Mars Acquisition Holdings Corp.

05/14/26

Media

11.04

%

SOFR+550

10,885

10,811

10,776

MBS Holdings, Inc.

04/16/27

Telecommunications

11.22

%

SOFR+575

7,859

7,780

7,749

Meadowlark Acquirer, LLC

12/10/27

Business Services

10.58

%

SOFR+550

2,958

2,911

2,884

Municipal Emergency Services, Inc.

10/01/27

Distribution

11.04

%

SOFR+550

5,975

5,860

5,843

NBH Group LLC

08/19/26

Healthcare, Education and Childcare

10.93

%

SOFR+525

7,429

7,369

7,280

Neptune Flood Incorporated

05/09/29

Financial Services

11.97

%

SOFR+660

8,020

7,910

8,020

One Stop Mailing, LLC

05/07/27

Transportation

11.68

%

SOFR+625

8,470

8,311

8,470

Owl Acquisition, LLC

02/04/28

Education

10.80

%

SOFR+575

3,893

3,794

3,834

Ox Two, LLC (New Issue)

05/18/26

Distribution

12.90

%

SOFR+725

4,378

4,343

4,301

Pequod Merger Sub, Inc.

12/02/26

Banking, Finance, Insurance & Real Estate

11.79

%

SOFR+640

11,474

11,267

11,244

PL Acquisitionco, LLC

11/09/27

Retail

12.42

%

SOFR+700

7,930

7,818

7,137

PlayPower, Inc.

05/08/26

Consumer Products

10.92

%

SOFR+565

2,551

2,481

2,436

Quantic Electronics, LLC

11/19/26

Aerospace and Defense

11.74

%

SOFR+625

3,314

3,267

3,264

Radius Aerospace, Inc.

03/31/25

Aerospace and Defense

11.29

%

SOFR+575

12,703

12,641

12,576

Rancho Health MSO, Inc.

12/18/25

Healthcare, Education and Childcare

11.22

%

SOFR+550

5,603

5,603

5,603

Reception Purchaser, LLC

4/28/2028

Transportation

11.54

%

SOFR+600

5,000

4,937

4,800

Recteq, LLC

1/29/2026

Consumer Products

12.54

%

SOFR+700

9,750

9,655

9,458

Research Now Group, LLC and Dynata, LLC

12/20/2024

Business Services

11.13

%

SOFR+550

14,389

14,332

12,591

Riverpoint Medical, LLC

6/20/2025

Healthcare, Education and Childcare

10.54

%

SOFR+575

3,176

3,162

3,131

Riverside Assessments, LLC

3/10/2025

Education

11.29

%

SOFR+625

10,895

10,834

10,786

Rural Sourcing Holdings, Inc. (HPA SPQ Merger Sub, Inc.)

6/16/2029

Professional Services

11.52

%

SOFR+625

3,749

3,678

3,692

55


Issuer Name

Maturity

Industry

Current
Coupon

Basis Point
Spread Above
Index
1

Par

Cost

Fair Value 2

Sales Benchmark Index LLC

1/3/2025

Business Services

11.59

%

SOFR+600

6,859

$

6,815

$

6,825

Sargent & Greenleaf Inc.

12/20/2024

Electronics

12.92

%

SOFR+750

4,872

4,872

4,823

Seaway Buyer, LLC

6/13/2029

Chemicals, Plastics and Rubber

11.54

%

SOFR+605

14,850

14,633

14,405

Signature Systems Holding Company

5/3/2024

Chemicals, Plastics and Rubber

12.04

%

SOFR+650

11,201

11,173

11,201

Skopima Consilio Parent, LLC

5/17/2028

Business Services

9.93

%

SOFR+450

1,300

1,274

1,272

Solutionreach, Inc.

7/17/2025

Communications

12.37

%

SOFR+700

9,239

9,206

9,202

SpendMend Holdings, LLC

3/1/2028

Business Services

11.04

%

SOFR+575

9,607

9,352

9,396

STV Group Incorporated

12/11/2026

Transportation

10.67

%

SOFR+525

12,099

12,045

11,857

Summit Behavioral Healthcare, LLC

11/24/2028

Healthcare, Education and Childcare

10.43

%

SOFR+475

3,572

3,389

3,559

System Planning and Analysis, Inc. (f/k/a Management Consulting & Research, LLC)

8/16/2027

Aerospace and Defense

11.49

%

SOFR+600

15,966

15,695

15,790

Team Services Group, LLC

11/24/2028

Healthcare, Education and Childcare

10.75

%

SOFR+515

2,688

2,584

2,627

Teneo Holdings LLC

7/18/2025

Financial Services

10.67

%

SOFR+525

2,936

2,927

2,931

The Aegis Technologies Group, LLC

10/31/2025

Aerospace and Defense

12.04

%

SOFR+650

11,095

11,008

10,929

The Bluebird Group LLC

7/27/2026

Business Services

12.79

%

SOFR+725

7,855

7,872

7,823

The Vertex Companies, LLC

8/31/2027

Business Services

11.70

%

SOFR+635

7,690

7,596

7,628

TPC Canada Parent, Inc. and TPC US Parent, LLC

11/24/2025

Food

10.68

%

SOFR+550

5,479

5,378

5,479

TWS Acquisition Corporation

6/6/2025

Education

11.80

%

SOFR+625

7,177

7,161

7,177

Tyto Athene, LLC

4/3/2028

Aerospace and Defense

10.90

%

SOFR+550

11,393

11,285

10,391

Urology Management Holdings, Inc.

6/15/2026

Healthcare, Education and Childcare

11.79

%

SOFR+625

3,860

3,792

3,780

Wildcat Buyerco, Inc.

2/27/2026

Electronics

10.54

%

SOFR+515

11,386

11,323

11,272

Zips Car Wash, LLC

3/1/2024

Business Services

12.67

%

SOFR+725

19,682

19,582

19,042

Total First Lien Secured Debt

810,737

804,187

Total Investments - 783.7%

Cash and Cash Equivalents - 57.6%

BlackRock Federal FD Institutional 30

59,096

59,096

Total Cash and Cash Equivalents

59,096

59,096

Total Investments and Cash Equivalents - 841.3%

$

869,833

$

863,283

Liabilities in Excess of Other Assets — (741.3)%

(760,665

)

Members' Equity—100.0%

$

102,618

(1)
Represents floating rate instruments that accrue interest at a predetermined spread relative to an index, typically the applicable Secured Overnight Financing Rate, or “SOFR” or Prime rate or
“P”. The spread may change based on the type of rate used. The terms in the Schedule of Investments disclose the actual interest rate in effect as of the reporting period. SOFR loans are typically
indexed to a 30-day, 60-day, 90-day or 180-day SOFR rate (1M S, 2M S, 3M S, or 6M S, respectively), at the borrower’s option. All securities are subject to a SOFR or Prime rate floor where a
spread is provided, unless noted. The spread provided includes PIK interest and other fee rates, if any.
(2)
Valued based on PSLF’s accounting policy.

Below are the consolidated statements of assets and liabilities for PSLF,($ in thousands):

June 30, 2024 (Unaudited)

September 30, 2023

Assets

Investments at fair value (amortized cost—$930,700 and $810,737, respectively)

$

926,103

$

804,187

Cash and cash equivalents (cost—$44,765 and $59,096, respectively)

44,765

59,096

Interest receivable

5,648

5,248

Prepaid expenses and other assets

430

936

Due from affiliate

64

3,296

Total assets

977,010

872,763

Liabilities

2034 Asset-backed debt, net (par—$246,000)

244,575

244,284

2035 Asset-backed debt, net (par—$246,000)

244,021

243,727

Notes payable to members

191,546

169,131

Credit facility payable

152,600

88,600

Interest payable on credit facility and asset backed debt

11,413

10,421

Distribution payable to members

12,210

7,250

Interest payable on notes to members

4,397

3,895

Accounts payable and accrued expenses

885

835

Due to affiliate

125

Payable for investments purchased

2,002

Total liabilities

861,772

770,145

Commitments and contingencies 1

Members' equity

115,238

102,618

Total liabilities and members' equity

$

977,010

$

872,763

(1)
As of June 30, 2024 and September 30, 2023, PSLF had zero and $0.5 million, respectively, of unfunded commitments to fund investments.

56


Below are the consolidated statements of operations for PSLF, ($ in thousands):

Three Months Ended June 30,

Nine Months Ended June 30,

2024

2023

2024

2023

Investment income:

Interest

$

28,866

$

22,848

$

83,812

$

62,916

Other income

222

422

696

1,270

Total investment income

29,088

23,270

84,508

64,186

Expenses:

Interest expense on credit facility and asset-backed debt

13,635

9,798

39,613

26,487

Interest expense on notes to members

6,450

5,397

18,361

15,123

Administration fees

778

513

1,948

1,733

General and administrative expenses

305

194

725

485

Total expenses

21,168

15,902

60,647

43,828

Net investment income

7,920

7,368

23,861

20,358

Realized and unrealized gain (loss) on investments:

Net realized gain (loss) on investments

(43

)

(22

)

Net change in unrealized appreciation (depreciation) on investments

(400

)

1,683

1,935

(3,934

)

Net realized and unrealized gain (loss) on investments

(400

)

1,640

1,935

(3,956

)

Net increase (decrease) in members' equity resulting from operations

$

7,520

$

9,008

$

25,796

$

16,402

(1) No management or incentive fees are payable by PSLF.

Distributions

In order to be treated as a RIC for federal income tax purposes and to not be subject to corporate-level tax on undistributed income or gains, we are required, under Subchapter M of the Code, to annually distribute dividends for U.S. federal income tax purposes to our stockholders out of the assets legally available for distribution of an amount generally at least equal to 90% of our investment company taxable income, determined without regard to any deduction for dividends paid.

Although not required for us to maintain our RIC tax status, in order to preclude the imposition of a 4% nondeductible federal excise tax imposed on RICs, we must distribute dividends for U.S. federal income tax purposes to our stockholders in respect of each calendar year of an amount at least equal to the Excise Tax Avoidance Requirement. In addition, although we may distribute realized net capital gains (i.e., net long-term capital gains in excess of net short-term capital losses), if any, at least annually, out of the assets legally available for such distributions in the manner described above, we have retained and may continue to retain such net capital gains or investment company taxable income, contingent on our ability to be subject to tax as a RIC, in order to provide us with additional liquidity.

During the three and nine months ended June 30, 2024, we declared distributions of $0.22 and $0.64 per share, for total distributions of $14.4 million and $41.8 million. During the three and nine months ended June 30, 2023, we declared distributions of $0.20 and $0.55 per share, for total distributions of $13.0 million and $35.9 million, respectively. We monitor available net investment income to determine if a return of capital for tax purposes may occur for the fiscal year. To the extent our taxable earnings fall below the total amount of our distributions for any given fiscal year, stockholders will be notified of the portion of those distributions deemed to be a tax return of capital. Tax characteristics of all distributions will be reported to stockholders subject to information reporting on Form 1099-DIV after the end of each calendar year and in our periodic reports filed with the SEC.

Effective October 2023, we changed from a quarterly distribution to a monthly distribution. We intend to continue to make monthly distributions to our stockholders. Our monthly distributions, if any, are determined by our board of directors.

We maintain an “opt out” dividend reinvestment plan for our common stockholders. As a result, if we declare a distribution, then stockholders’ cash distributions will be automatically reinvested in additional shares of our common stock, unless they specifically “opt out” of the dividend reinvestment plan so as to receive cash distributions.

We may not be able to achieve operating results that will allow us to make distributions at a specific level or to increase the amount of these distributions from time to time. In addition, we may be limited in our ability to make distributions due to the asset coverage ratio for borrowings applicable to us as a BDC under the 1940 Act and/or due to provisions in future credit facilities. If we do not distribute at least a certain percentage of our income annually, we could suffer adverse tax consequences, including possible loss of our ability to be subject to tax as a RIC. We cannot assure stockholders that they will receive any distributions at a particular level.

Recent Accounting Pronouncements

In March 2020, the FASB issued Accounting Standards Update ("ASU, No. 2020-04"), “Reference Rate Reform (Topic 848): Facilitation of the Effects of Reference Rate Reform on Financial Reporting.” The guidance provides optional expedients and exceptions for applying GAAP to contract modifications, hedging relationships and other transactions, subject to meeting certain criteria, that reference LIBOR or another reference rate expected to be discontinued because of the reference rate reform. ASU 2020-04 is effective for all entities as of March 12, 2020 through June 30, 2023. The FASB approved an (optional) two year extension to December 31, 2024, for transitioning away from LIBOR. The Company utilized the optional expedients and exceptions provided by ASU 2020-04 during the three and nine months ended June 30, 2024, the effect of which was not material to the consolidated financial statements and the notes thereto.

In March 2022, the FASB issued ASU 2022-02, “Financial Instruments - Credit Losses (Topic 326)”, which is intended to address issues identified during the post-implementation review of ASU 2016-13, “Financial Instruments - Credit Losses (Topic 326): Measurement of Credit Losses on Financial Instruments.” The amendment, among other things, eliminates the accounting guidance for troubled debt restructurings by creditors in Subtopic 310-40, “Receivables - Troubled Debt Restructurings by Creditors”, while enhancing disclosure requirements for certain loan refinancings and restructurings by creditors when a borrower is experiencing financial difficulty. The new guidance is effective for interim and annual periods beginning after December 15, 2022. The Company has adopted the new accounting standard implementing appropriate controls and procedures, the effect of which was not material to the consolidated financial statements and the notes thereto.

57


In June 2022, the FASB issued ASU 2022-03, Fair Value Measurement (Topic 820): Fair Value Measurement of Equity Securities Subject to Contractual Sale Restrictions ("ASU 2022-03"), which changed the fair value measurement disclosure requirements of ASC Topic 820, Fair Value Measurements and Disclosures ("ASC 820"). The amendments clarify that a contractual restriction on the sale of an equity security is not considered part of the unit of account of the equity security and, therefore, is not considered in measuring fair value. The amendments also clarify that an entity cannot, as a separate unit of account, recognize and measure a contractual sale restriction. The new guidance is effective for fiscal years beginning after December 15, 2023, including interim periods therein. Early application is permitted. The Company is currently evaluating the impact the adoption of this new accounting standard will have on its consolidated financial statements, but the impact of the adoption is not expected to be material.

In December 2023, the FASB issued ASU 2023 - 09 "Improvements to Income Tax Disclosures" ("ASU 2023 - 09"). ASU 2023 - 09 intends to improve the transparency of income tax disclosures. ASU 2023 - 09 is effective for fiscal years beginning after December 15, 2024 and is to be adopted on a prospective basis with the option to apply retrospectively. We are currently assessing the impact of this guidance, however, we do not expect a material impact to our financial statements.

Share Repurchase Program

On February 9, 2022, we announced a share repurchase program which allows us to repurchase up to $25 million of our outstanding common shares in the open market at prices below our net asset value as reported in our then most recently published consolidated financial statements. The program expired on March 31, 2023. During the nine months ended June 30, 2023, we did not make any repurchases of our common shares.

Item 3. Quantitative and Qualitative Disclosures About Market Risk

We are subject to financial market risks, including changes in interest rates. As of June 30, 2024, our debt portfolio consisted of 96% variable-rate investments and 4% fixed rate investments. The variable-rate loans are usually based on a SOFR (or an alternative risk-free floating interest rate index) rate and typically have durations of three months after which they reset to current market interest rates. Variable-rate investments subject to a floor generally reset by reference to the current market index after one to nine months only if the index exceeds the floor. In regards to variable-rate instruments with a floor, we do not benefit from increases in interest rates until such rates exceed the floor and thereafter benefit from market rates above any such floor. In contrast, our cost of funds, to the extent it is not fixed, will fluctuate with changes in interest rates since it has no floor.

Assuming that the most recent Consolidated Statements of Assets and Liabilities was to remain constant, and no actions were taken to alter the interest rate sensitivity, the following table shows the annualized impact of hypothetical base rate changes in interest rates:

Change in Interest Rates

Change in Interest Income,
Net of Interest Expense
(in thousands)

Change in Interest Income,
Net of Interest
Expense Per Share

Down 1%

$

(4,318

)

$

(0.07

)

Up 1%

4,318

0.07

Up 2%

8,637

0.13

Up 3%

12,955

0.20

Up 4%

17,294

0.26

Although management believes that this measure is indicative of our sensitivity to interest rate changes, it does not adjust for potential changes in the credit market, credit quality, size and composition of the assets on the Consolidated Statements of Assets and Liabilities and other business developments that could affect net increase in net assets resulting from operations, or net investment income. Accordingly, no assurances can be given that actual results would not differ materially from those shown above.

Because we borrow money to make investments, our net investment income is dependent upon the difference between the rate at which we borrow funds and the rate at which we invest these funds as well as our level of leverage. As a result, there can be no assurance that a significant change in market interest rates will not have a material adverse effect on our net investment income or net assets.

We may hedge against interest rate and foreign currency fluctuations by using standard hedging instruments such as futures, options and forward contracts or our Truist Credit Facility subject to the requirements of the 1940 Act and applicable commodities laws. While hedging activities may insulate us against adverse changes in interest rates and foreign currencies, they may also limit our ability to participate in the benefits of lower interest rates or higher exchange rates with respect to our portfolio of investments with fixed interest rates or investments denominated in foreign currencies. During the periods covered by this Report, we did not engage in interest rate hedging activities or foreign currency derivatives hedging activities.

58


Item 4. Controls and Procedures

As of the quarter ended June 30, 2024, we, including our Chief Executive Officer and Chief Financial Officer, evaluated the effectiveness of the design and operation of our disclosure controls and procedures (as defined in Rule 13a-15(e) of the Exchange Act). As disclosed in our Annual Report on Form 10-K for the fiscal year ended September 30, 2023, a material weakness was previously identified in connection with our internal control over financial reporting relating to the review of quarterly cash and investment reconciliations. Additionally, a material weakness was identified in the operation of our internal controls over financial reporting relating to our review of interest income and non-accrual classification of investments. We have taken steps to remediate these material weaknesses, which steps have included (i) enhancing existing controls to ensure the appropriate review of the quarterly cash and investment reconciliation and that it is adequately documented so as to provide evidence that the controls are operating effectively (ii) enhancing existing controls to ensure that our internal controls over financial reporting relating to our analysis of interest income and assessment of investments for classification as non-accrual investments are operating effectively and (iii) enhancing policies and procedures to demonstrate a commitment to improving our overall control environment.

Taking the above efforts into consideration, our management, including the Chief Executive Officer and Chief Financial Officer, concluded that our disclosure controls and procedures for the quarter ended June 30, 2024 were effective and provided reasonable assurance that information required to be disclosed in our periodic filings with the SEC is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms, and that such information is accumulated and communicated to our management, including our Chief Executive Officer and Chief Financial Officer, as appropriate, to allow timely decisions regarding required disclosure. However, in evaluating the disclosure controls and procedures, management recognized that any controls and procedures, no matter how well designed and operated can provide only reasonable assurance of achieving the desired control objectives, and management necessarily was required to apply its judgment in evaluating the cost-benefit relationship of such possible controls and procedures.

Other than disclosed in this Item 4, there have been no changes in our internal control over financial reporting that occurred during the quarter ended June 30, 2024 that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

59


PART II – OTHE R INFORMATION

None of us, our Investment Adviser or our Administrator, is currently subject to any material legal proceedings, nor, to our knowledge, is any material legal proceeding threatened against us, or against our Investment Adviser or Administrator. From time to time, we, our Investment Adviser or Administrator may be a party to certain legal proceedings, including proceedings relating to the enforcement of our rights under contracts with our portfolio companies. While the outcome of these legal proceedings cannot be predicted with certainty, we do not expect that these proceedings will have a material effect upon our financial condition or results of operations.

Item 1A. Ri sk Factors

In addition to the other information set forth in this Report, you should consider carefully the factors discussed below, as well as in Part I “Item 1A. Risk Factors” in our Annual Report on Form 10-K for the fiscal year ended September 30, 2023, filed on December 8, 2023, which could materially affect our business, financial condition and/or operating results. The risks as in our Annual Report on Form 10-K, are not the only risks facing PennantPark Investment Corp. Additional risks and uncertainties not currently known to us or that we currently deem to be immaterial also may materially and adversely affect our business, financial condition and/or operating results.

Item 2. Unregistered Sales of Equi ty Securities and Use of Proceeds

No unregistered securities were sold in the quarter ended June 30, 2024.

Issuer Purchases of Equity Securities

Repurchases of our common stock under our share repurchase program are as follows:

Period

Total Number of Shares Purchased

Average Price per Share

Total Number of Shares Purchased as Part of Publicly Announced Plans or Programs (1)

Approximate Dollar Value of Shares that May Yet Be Purchased Under the Plans or Programs (in thousands)

January 1, 2022 through March 31, 2022

913,454

$

7.72

913,454

$

17,944

April 1, 2022 through June 30, 2022

717,709

$

6.91

1,631,163

$

12,986

July 1, 2022 through September 30, 2022

189,442

$

6.52

1,820,605

$

11,751

October 1, 2022 through December 31, 2022

$

-

1,820,605

$

11,751

January 1, 2023 through March 31, 2023

$

-

1,820,605

$

-

Total investments

1,820,605

$

7.28

—————————

(1)

The program expired on March 31, 2023 and we purchased 1.8 million shares of our common stock in open market transaction while the program was in effect for an aggregate cost (including transaction costs) of $13.2

million.

Item 3. Defaults Upo n Senior Securities

None.

Item 4. Mine Saf ety Disclosures

Not applicable.

Item 5. Other Information

Amendment to Articles of Incorporation

On August 7, 2024, we filed an amendment to our Articles of Incorporation with the State Department of Assessments and Taxation of Maryland to increase our authorized shares of common stock, par value $0.001 per share, from 100,000,000 shares of common stock to 200,000,000 shares of common stock.

10b5-1 Disclosure

None of the officers or directors of the Company have adopted or terminated any Rule 10b5-1 trading arrangements applicable to them (if any) or the Company.

60


Item 6. Exhibits

Unless specifically indicated otherwise, the following exhibits are incorporated by reference to exhibits previously filed with the SEC:

3.1

Articles of Incorporation (Incorporated by reference to Exhibit 99(a) to the Registrant’s Pre-Effective Amendment No. 3 to the Registration Statement on Form N-2/A (File No. 333-140092), filed on April 5, 2007).

3.2*

Articles of Amendment to Articles of Incorporation of the Registrant

3.3

Second Amended and Restated Bylaws of the Registrant (Incorporated by reference to Exhibit 3.2 to the Registrant's Quarterly Report on Form 10-Q (File No. 814-00736), filed on May 11, 2020).

4.1

Form of Share Certificate (Incorporated by reference to Exhibit 99(d)(1) to the Registrant’s Registration Statement on Form N-2 (File No. 333-150033), filed on April 2, 2008).

10.1*

Fourth Amended and Restated Investment Advisory Management Agreement, dated as of May 20, 2024, between the Registrant and PennantPark Investment Advisers, LLC.

10.2*

Amended and Restated Administration Agreement, dated as of May 20, 2024, between the Registrant and PennantPark Investment Administration, LLC.

10.3

Equity Distribution Agreement, dated as of June 4, 2024, by and among PennantPark Investment Corporation, PennantPark Investment Advisers, LLC, PennantPark Investment Administration, LLC and Truist Securities, Inc., as the sales agent (Incorporated by reference to Ex. 1.1 to the Registrant’s Current Report on Form 8-K (File No. 814-00736), filed on June 4, 2024).

10.4

Equity Distribution Agreement, dated as of June 4, 2024 by and among PennantPark Investment Corporation, PennantPark Investment Advisers, LLC, PennantPark Investment Administration, LLC and Keefe, Bruyette & Woods, Inc., as the sales agent (Incorporated by reference to Ex. 1.2 to the Registrant’s Current Report on Form 8-K (File No. 814-00736), filed on June 4, 2024).

10.5*

Sixth Amendment to Second Amended and Restated Senior Secured Revolving Credit Agreement, dated as of June 25, 2024, by and among PennantPark Investment Corporation and Truist Bank, as administrative agent.

31.1*

Certification of Chief Executive Officer pursuant to Rule 13a-14 of the Securities Exchange Act of 1934, as amended.

31.2*

Certification of Chief Financial Officer pursuant to Rule 13a-14 of the Securities Exchange Act of 1934, as amended.

32.1*

Certification of Chief Executive Officer pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.

32.2*

Certification of Chief Financial Officer pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.

99.1

Privacy Policy of the Registrant (Incorporated by reference to Exhibit 99.1 to the Registrant’s Annual Report on Form 10-K (File No. 814-00736), filed on November 16, 2011).

101.INS*

Inline XBRL Instance Document-the instance document does not appear in the Interactive Data File as its XBRL tags are embedded within the Inline XBRL document

101.SCH*

Inline XBRL Taxonomy Extension Schema With Embedded Linkbase Documents

101.CAL*

Inline XBRL Taxonomy Extension Calculation Linkbase Document

101.DEF*

Inline XBRL Taxonomy Extension Definition Linkbase Document

101.LAB*

Inline XBRL Taxonomy Extension Label Linkbase Document

101.PRE*

Inline XBRL Taxonomy Extension Presentation Linkbase Document

104

Cover Page formatted as Inline XBRL and contained in Exhibit 101

* Filed herewith.

61


SIGNA TURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this Report on Form 10-Q to be signed on its behalf by the undersigned, thereunto duly authorized.

PENNANTPARK INVESTMENT CORPORATION

Date: August 7, 2024

By:

/s/ Arthur H. Penn

Arthur H. Penn

Chief Executive Officer and Chairman of the Board of Directors

(Principal Executive Officer)

Date: August 7, 2024

By:

/s/ Richard T. Allorto, Jr.

Richard T. Allorto, Jr.

Chief Financial Officer and Treasurer

(Principal Financial and Accounting Officer)

62


TABLE OF CONTENTS
Part I ConsolidatedItem 1. Consolidated Financial StatementsItem 1. ConsolidatedItem 2. Management S Discussion and Analysis Of Financial Condition and Results Of OperationsItem 2. Management S Discussion and Analysis OItem 3. Quantitative and Qualitative Disclosures About Market RiskItem 4. Controls and ProceduresItem 4. ControlsPart II Other InformationPart II OtheItem 1. Legal ProceedingsItem 1. LegalItem 1A. Risk FactorsItem 1A. RiItem 2. Unregistered Sales Of Equity Securities and Use Of ProceedsItem 2. Unregistered Sales Of EquiItem 3. Defaults Upon Senior SecuritiesItem 3. Defaults UpoItem 4. Mine Safety DisclosuresItem 4. Mine SafItem 5. Other InformationItem 5. OtherItem 6. Exhibits

Exhibits

3.1 Articles of Incorporation (Incorporated by reference to Exhibit 99(a) to the Registrants Pre-Effective Amendment No. 3 to the Registration Statement on Form N-2/A (File No. 333-140092), filed on April 5, 2007). 3.2* Articles of Amendment to Articles of Incorporation of the Registrant 3.3 Second Amended and Restated Bylaws of the Registrant (Incorporated by reference to Exhibit 3.2 to the Registrant's Quarterly Report on Form 10-Q (File No. 814-00736), filed on May 11, 2020). 4.1 Form of Share Certificate (Incorporated by reference to Exhibit 99(d)(1) to the Registrants Registration Statement on Form N-2 (File No. 333-150033), filed on April 2, 2008). 10.1* Fourth Amended and Restated Investment Advisory Management Agreement, dated as of May 20, 2024, between the Registrant and PennantPark Investment Advisers, LLC. 10.2* Amended and Restated Administration Agreement, dated as of May 20, 2024, between the Registrant and PennantPark Investment Administration, LLC. 10.3 Equity Distribution Agreement, dated as of June 4, 2024, by and among PennantPark Investment Corporation, PennantPark Investment Advisers, LLC, PennantPark Investment Administration, LLC and Truist Securities, Inc., as the sales agent (Incorporated by reference to Ex. 1.1 to the Registrants Current Report on Form 8-K (File No. 814-00736), filed on June 4, 2024). 10.4 Equity Distribution Agreement, dated as of June 4, 2024 by and among PennantPark Investment Corporation, PennantPark Investment Advisers, LLC, PennantPark Investment Administration, LLC and Keefe, Bruyette & Woods, Inc., as the sales agent (Incorporated by reference to Ex. 1.2 to the Registrants Current Report on Form 8-K (File No. 814-00736), filed on June 4, 2024). 10.5* Sixth Amendment to Second Amended and Restated Senior Secured Revolving Credit Agreement, dated as of June 25, 2024, by and among PennantPark Investment Corporation and Truist Bank, as administrative agent. 31.1* Certification of Chief Executive Officer pursuant to Rule 13a-14 of the Securities Exchange Act of 1934, as amended. 31.2* Certification of Chief Financial Officer pursuant to Rule 13a-14 of the Securities Exchange Act of 1934, as amended. 32.1* Certification of Chief Executive Officer pursuant to Section 906 of the Sarbanes-Oxley Act of 2002. 32.2* Certification of Chief Financial Officer pursuant to Section 906 of the Sarbanes-Oxley Act of 2002. 99.1 Privacy Policy of the Registrant (Incorporated by reference to Exhibit 99.1 to the Registrants Annual Report on Form 10-K (File No. 814-00736), filed on November 16, 2011).