{"filing":{"accession_number":"0001193125-26-248200","cik":"0001899017","ticker":null,"company_name":"Bain Capital Private Credit","form":"8-K","filing_date":"2026-05-29","report_date":null,"primary_document":"ck0001899017-20260529.htm","primary_document_url":"https://www.sec.gov/Archives/edgar/data/1899017/000119312526248200/ck0001899017-20260529.htm"},"events":[{"id":8103,"run_id":7114,"accession_number":"0001193125-26-248200","anchor_item_number":"7.01","event_type":"other_material","event_domain":"catchall","is_material":false,"confidence":0.75,"summary":"The Fund announced a regular monthly distribution of $0.1875 per Class I share, payable June 30, 2026, as part of its routine distribution policy.","company_name":"Bain Capital Private Credit","ticker":null,"filing_date":"2026-05-29","form":"8-K","submitted_at":null,"items":[{"id":2695,"accession_number":"0001193125-26-248200","item_number":"7.01","item_title":"Regulation FD Disclosure.","event_type":"other_material","event_domain":"catchall","is_material":false,"confidence":0.75,"reasoning":"This disclosure announces a regular monthly distribution of $0.1875 per Class I share, payable June 30, 2026. While distributions are routine for closed-end funds and BDCs, the Item 7.01 Regulation FD Disclosure classification and the specific distribution amount suggest this is a standard operational announcement rather than a material event that would alter a reasonable investor's assessment of the fund's financial condition or prospects. The disclosure lacks any indication of changes to distribution policy, suspension, or financial distress.","classifier_version":"claude-haiku-4-5-20251001+prompt-9e0ffca5","taxonomy_version":"v1","classified_at":"2026-05-30T02:12:18.537950+00:00","company_name":"","ticker":null,"filing_date":""}]},{"id":8104,"run_id":7114,"accession_number":"0001193125-26-248200","anchor_item_number":"8.01","event_type":"other_material","event_domain":"catchall","is_material":true,"confidence":0.65,"summary":"The Fund disclosed its NAV per Class I share of $25.87 as of April 30, 2026, aggregate NAV of $1,039.0 million, portfolio composition of 171 companies with $2,076.9 million fair value, and leverage metrics of 1.20x debt-to-equity, providing investors with material information on the Fund's financial condition and risk profile.","company_name":"Bain Capital Private Credit","ticker":null,"filing_date":"2026-05-29","form":"8-K","submitted_at":null,"items":[{"id":2696,"accession_number":"0001193125-26-248200","item_number":"8.01","item_title":"Other Events.","event_type":"other_material","event_domain":"catchall","is_material":true,"confidence":0.65,"reasoning":"This Item 8.01 disclosure reports the Fund's NAV per share ($25.87 for Class I Shares as of April 30, 2026), aggregate NAV ($1,039.0 million), portfolio composition (171 companies, $2,076.9 million fair value), leverage metrics (1.20x debt-to-equity), and shares outstanding (40.9 million Class I Shares). While NAV reporting is routine for closed-end funds, the disclosure of material portfolio and leverage metrics would be relevant to investors assessing the Fund's financial condition and risk profile. However, this appears to be a standard periodic NAV update rather than a discrete material event (earnings release, impairment, covenant breach, etc.), making \"other_material\" the most appropriate classification.","classifier_version":"claude-haiku-4-5-20251001+prompt-9e0ffca5","taxonomy_version":"v1","classified_at":"2026-05-30T02:12:18.537950+00:00","company_name":"","ticker":null,"filing_date":""}]}],"classifications":[{"id":2695,"accession_number":"0001193125-26-248200","item_number":"7.01","item_title":"Regulation FD Disclosure.","event_type":"other_material","event_domain":"catchall","is_material":false,"confidence":0.75,"reasoning":"This disclosure announces a regular monthly distribution of $0.1875 per Class I share, payable June 30, 2026. While distributions are routine for closed-end funds and BDCs, the Item 7.01 Regulation FD Disclosure classification and the specific distribution amount suggest this is a standard operational announcement rather than a material event that would alter a reasonable investor's assessment of the fund's financial condition or prospects. The disclosure lacks any indication of changes to distribution policy, suspension, or financial distress.","classifier_version":"claude-haiku-4-5-20251001+prompt-9e0ffca5","taxonomy_version":"v1","classified_at":"2026-05-30T02:12:18.537950+00:00","company_name":"Bain Capital Private Credit","ticker":null,"filing_date":"2026-05-29"},{"id":2696,"accession_number":"0001193125-26-248200","item_number":"8.01","item_title":"Other Events.","event_type":"other_material","event_domain":"catchall","is_material":true,"confidence":0.65,"reasoning":"This Item 8.01 disclosure reports the Fund's NAV per share ($25.87 for Class I Shares as of April 30, 2026), aggregate NAV ($1,039.0 million), portfolio composition (171 companies, $2,076.9 million fair value), leverage metrics (1.20x debt-to-equity), and shares outstanding (40.9 million Class I Shares). While NAV reporting is routine for closed-end funds, the disclosure of material portfolio and leverage metrics would be relevant to investors assessing the Fund's financial condition and risk profile. However, this appears to be a standard periodic NAV update rather than a discrete material event (earnings release, impairment, covenant breach, etc.), making \"other_material\" the most appropriate classification.","classifier_version":"claude-haiku-4-5-20251001+prompt-9e0ffca5","taxonomy_version":"v1","classified_at":"2026-05-30T02:12:18.537950+00:00","company_name":"Bain Capital Private Credit","ticker":null,"filing_date":"2026-05-29"}]}
