Prospect Capital Corporation Reports $167M Notes Issuance and TASE Listing
Summary
Prospect Capital Corporation issued approximately $167 million in aggregate principal amount of 5.5% Series A Notes due 2030 on October 30, 2025, under a Deed of Trust with Mishmeret Trust Company Ltd. The Notes are general senior unsecured obligations, maturing on December 31, 2030, with interest payable quarterly. The Company also entered into foreign exchange forward contracts to mitigate foreign exchange risk. * Notes sold to non-U.S. persons offshore. * Common stock expected to list on Tel Aviv Stock Exchange (TASE) on November 2, 2025, under "PSEC".
Why It Matters
This $167 million debt issuance provides capital for the company and diversifies its funding sources, while the TASE listing expands its market presence and potential investor base.
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Key Quote
“On October 30, 2025, in connection with the previously announced institutional notes offering, Prospect Capital Corporation (the "Company") issued approximately $167 million in aggregate principal amount of 5.”
— From Item 1.01
Filing Details
Reported Items
Additional Information
- CIK Number
- 0001287032
- Filing Date
- Friday, October 31, 2025
- Filing Time
- 12:00 AM UTC
- Form Type
- 8-K
- Materiality Level
- high
- Sentiment
- neutral