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Lord Abbett Private Credit Fund, et al. Filing

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Published March 30th, 2026
Detected March 28th, 2026
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Summary

The Securities and Exchange Commission has issued a notice regarding a filing by the Lord Abbett Private Credit Fund, et al. The notice, published on March 30, 2026, pertains to Investment Company Act Release No. 36071 and File No. 812-15816.

What changed

The Securities and Exchange Commission (SEC) has published a notice concerning a filing by the Lord Abbett Private Credit Fund and associated entities. This notice, identified by Investment Company Act Release No. 36071 and File No. 812-15816, was published in the Federal Register on March 30, 2026, with the application originally filed on May 28, 2025, and subsequently amended multiple times.

This document is a routine notice and does not appear to impose new obligations or require immediate action from regulated entities. Compliance officers should note the filing details and dates for record-keeping purposes, but no specific compliance actions or deadlines are indicated within this notice itself.

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Notice

Lord Abbett Private Credit Fund, et al.

A Notice by the Securities and Exchange Commission on 03/30/2026

  • 1.

1.

  • Document Details Published Content - Document Details Agency Securities and Exchange Commission Agency/Docket Numbers Investment Company Act Release No. 36071 File No. 812-15816 Document Citation 91 FR 15682 Document Number 2026-06022 Document Type Notice Pages 15682-15683
    (2 pages) Publication Date 03/30/2026 Published Content - Document Details

  • PDF Official Content

  • Document Details Published Content - Document Details Agency Securities and Exchange Commission Agency/Docket Numbers Investment Company Act Release No. 36071 File No. 812-15816 Document Citation 91 FR 15682 Document Number 2026-06022 Document Type Notice Pages 15682-15683
    (2 pages) Publication Date 03/30/2026 Published Content - Document Details

  • Document Dates Published Content - Document Dates Dates Text The application was filed on May 28, 2025, and amended on September 29, 2025, December 17, 2025, and February 5, 2026. Published Content - Document Dates

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Published Document: 2026-06022 (91 FR 15682) This document has been published in the Federal Register. Use the PDF linked in the document sidebar for the official electronic format.

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Securities and Exchange Commission
  1. [Investment Company Act Release No. 36071; File No. 812-15816] March 25, 2026. # AGENCY:

Securities and Exchange Commission (“Commission” or “SEC”).

ACTION:

Notice.

( printed page 15683) Notice of application for an order under sections 17(d) and 57(i) of the Investment Company Act of 1940 (the “Act”) and rule 17d-1 under the Act to permit certain joint transactions otherwise prohibited by sections 17(d) and 57(a)(4) of the Act and rule 17d-1 under the Act.

SUMMARY OF APPLICATION:

Applicants request an order to permit certain business development companies (“BDCs”) and closed-end management investment companies to co-invest in portfolio companies with each other and with certain affiliated investment entities.

APPLICANTS:

Lord Abbett Private Credit Fund; Lord Abbett Private Credit Fund S; Lord, Abbett & Co. LLC; Lord Abbett Private Credit Advisor LLC; SBLA Private Credit LLC; SBLA Private Credit II LLC; Lord Abbett Flexible Income Fund; Lord Abbett FIF Advisor LLC; Lord Abbett Credit Opportunities Fund; Lord Abbett Municipal Opportunities Fund; Lord Abbett Corporate Opportunities Fund; Lord Abbett Institutional Bank Loan Trust; Lord Abbett Short Duration Credit Trust; Lord Abbett Institutional Core Plus Total Return Trust; Lord Abbett Institutional Core Fixed Income Trust; Lord Abbett Committed Capital Management—Custom Liquidity Credit Trust; and Lord Abbett Institutional High Yield Trust.

FILING DATES:

The application was filed on May 28, 2025, and amended on September 29, 2025, December 17, 2025, and February 5, 2026.

HEARING OR NOTIFICATION OF HEARING:

An order granting the requested relief will be issued unless the Commission orders a hearing. Interested persons may request a hearing on any application by emailing the SEC's Secretary at Secretarys-Office@sec.gov and serving the Applicants with a copy of the request by email, if an email address is listed for the relevant Applicant below, or personally or by mail, if a physical address is listed for the relevant Applicant below. The email should include the file number referenced above. Hearing requests should be received by the Commission by 5:30 p.m., Eastern time, on April 21, 2026, and should be accompanied by proof of service on the Applicants, in the form of an affidavit or, for lawyers, a certificate of service. Pursuant to rule 0-5 under the Act, hearing requests should state the nature of the writer's interest, any facts bearing upon the desirability of a hearing on the matter, the reason for the request, and the issues contested. Persons who wish to be notified of a hearing may request notification by emailing the Commission's Secretary at Secretarys-Office@sec.gov.

ADDRESSES:

The Commission: Secretarys-Office@sec.gov. Applicants: Randolph A. Stuzin, 30 Hudson Street, Jersey City, New Jersey 07302-4804, with copies to Richard Horowitz, Esq., William J. Bielefeld, Cynthia R. Beyea, and Matthew Barsamian, Dechert LLP, at richard.horowitz@dechert.com, william.bielefeld@dechert.com, cynthia.beyea@dechert.com, and matthew.barsamian@dechert.com, respectively.

FOR FURTHER INFORMATION CONTACT:

Kieran G. Brown, Senior Counsel, or Thomas Ahmadifar, Branch Chief, at (202) 551-6825 (Division of Investment Management, Chief Counsel's Office).

SUPPLEMENTARY INFORMATION:

For Applicants' representations, legal analysis, and conditions, please refer to Applicants' third amended and restated application, filed February 5, 2026, which may be obtained via the Commission's website by searching for the file number at the top of this document, or for an Applicant using the Company name search field, on the SEC's EDGAR system.

The SEC's EDGAR system may be searched at https://www.sec.gov/​search-filings. You may also call the SEC's Office of Investor Education and Advocacy at (202) 551-8090.

For the Commission, by the Division of Investment Management, under delegated authority.

Sherry R. Haywood,

Assistant Secretary.

[FR Doc. 2026-06022 Filed 3-27-26; 8:45 am]

BILLING CODE 8011-01-P

Published Document: 2026-06022 (91 FR 15682)

Named provisions

SUMMARY OF APPLICATION APPLICANTS FILING DATES

Classification

Agency
Securities and Exchange Commission
Published
March 30th, 2026
Instrument
Notice
Legal weight
Binding
Stage
Final
Change scope
Minor
Document ID
91 FR 15682 / Investment Company Act Release No. 36071
Docket
Investment Company Act Release No. 36071 File No. 812-15816

Who this affects

Applies to
Fund managers Public companies
Industry sector
5239 Asset Management
Activity scope
Investment Company Filings
Geographic scope
United States US

Taxonomy

Primary area
Securities
Operational domain
Legal
Compliance frameworks
Dodd-Frank
Topics
Investment Management Fund Regulation

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