• N23C3A
Cliffwater Corporate Lending Fund Redemption Payment Scheduled
Cliffwater Corporate Lending Fund will distribute repurchase proceeds to investors on June 5, 2026. The fund processed a redemption offer with a cap of $1.58 billion, or 5.0% of its $31.53 billion net asset value, with a May 29, 2026 submission deadline. Final redemption results remain pending.