Principal Private Credit Fund Not for Retail Investors R (PRINCIPAL PCREDITUI-R)

Dividend/Auto-Redemption History

Fund Details


This fund is not for retails investors (for Institutional Investors and Ultra High Net Worth Investors only)
High Risk or Complex Fund

Fund Name (short)(PRINCIPAL PCREDITUI-R)Risk Level8+
Fund Type Feeder Fund/ High Risk or Complex Fund (UI)Inception Date9 December 2025
Registered fund sizeTHB. 1,000 million (Green shoe 15%)Foreign Investment PolicyYes
Dividend PolicyNoneForeign exchange rateAccording to the discretion of fund manager
IPO24 November – 4 December 2025
Investment Policy The fund will invest in units of Principal Private Credit Fund iCapital Offshore Access Fund SPC (the Master Fund) in US dollars. The Master Fund is to invest substantially all of its assets in Principal Private Credit Fund (the “Underlying Fund”), a Delaware statutory trust.
The investment objective of the Underlying Fund is to seek to maximize total return, consisting of current income and capital appreciation. Under normal circumstances, the Underlying Fund invests at least 80% of its net assets, plus any borrowings for investment purposes, in private credit investments (loans, bonds, and other credit instruments that are issued in private offerings or issued by private companies, and related equity securities (including equity securities added to debt instruments to make them more desirable, such as warrants or preferred equity securities)). These investments may be acquired directly from the issuer or in secondary market transactions
Fund manager
  • Supakorn Tulyathan
  • Woraphot Kunaprasit
  • Witthaya Chancharuschote
  • Pancharas Siwarapornsakul
  • Nantanach Kitichalermkiat

Purchase/ Redemption

Subscription Period IPOEvery business day from bank business hours to 15.30 pm, (24 November – 4 December 2025)
Minimum Subscription10,000 THB
Subscription PeriodMonthly, on last day of each month (If it falls on a non-business day, it shall be postponed to the next business day). Investors must submit their subscription orders in advance between the 1st - 20th of each month, during business days, from bank business hours - 3:30 pm.
Redemption PeriodNormal redemption: Quarterly, on last day of the month following each calendar quarter (Apr, Jul, Oct, Jan) (If it falls on a non-business day, it shall be postponed to the next business day). Investors must submit their subscription orders in advance at least 30 days (during 5 business days of each quarter end : Mar, Jun, Sep, Dec), from bank business hours to 3.00 pm. The management company reserves the right to accept redemption orders in monetary terms only, except in cases where the investor wishes to redeem all units. In such cases, the redemption order may be submitted either in monetary terms or in number of units Investors/unitholders are not allowed to cancel subscription or redemption orders unless approved by the management company. 
Auto-Redemption: Consider paying approximately 4 times a year, but not more than 12 times a year (Class R only), According to the dividend payment from Master fund and subject to the discretion of the management company
Minimum RedemptionNot defined
Redemption PolicyWithin 30 Business days from redemption date. (NAV calculation by monthly T+20, NAV Announcement T+21, Payment T+25 from redemption date)

Fee & Charges

Fees to Unitholder (% of Trading Value)*
Front-end feeNot exceeding 2.14% (Actual Charge 1.50%)
Back-end feeNot exceeding 1.07% (Waived)
Switching FeeNot exceeding 2.14% (Actual Charge 1.50%)
Fund Fee (% of NAV)*
Management FeeNot exceeding 2.14% p.a. (Actual Charge 1.07% p.a.)
Trustee FeeNot exceeding 0.33% p.a. (Actual Charge 0.0321% p.a.)
Registrar FeeNot exceeding 0.54% p.a. (Actual Charge 0.107% p.a.)
*Fee included VAT

กองทุนหลัก (Master Fund)

Principal Private Credit Fund iCapital Offshore Access Fund SPC

Fund Performance