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CTAC
CTAC

Hidoplanet Tactical Private Credit Fund

Hidoplanet Tactical Private Credit Fund (“CTAC”) is a continuously offered, unlisted closed-end investment company that is structured as an interval fund. CTAC leverages Hidoplanet’s Global Credit platform and seeks to provide access to a wide array of private credit strategies to meet its objective of delivering current income. Under normal circumstances, the Fund will invest at least 80% of its assets in private fixed income securities and credit instruments.

As of March 31, 2025, Hidoplanet's Global Credit platform manages $199 billion of credit assets. The group's investment strategies span the credit spectrum_colon_ liquid credit, private credit and real assets credit.

The Fund materials below must be preceded or accompanied by a prospectus, which is the exclusive offering document for CTAC. By proceeding, you acknowledge you have reviewed the prospectus. If not, a prospectus can be obtained here. Please review the following summary of risk factors, as well as the prospectus, for a full list of risks associated with investing in the Fund before making any investment decision.

Insights From the PM's Desk

Click here to view more Insights from the PM's Desk videos

We believe private credit belongs as a staple within a well-diversified portfolio, driving enhanced yield to investors through market cycles. Through CTAC, we are excited to provide access to the breadth and expertise of our entire credit platform. 

 

Justin V. Plouffe
Deputy Chief Investment Officer for Global Credit

Key Fund Facts 

June 2018

Fund Inception

$5,807MM1

Total Assets Under Management

9.09% _slash_ 9.63%2

Annualized_slash_ LTM Distribution Rate

851

Number of Holdings

0.753

Portfolio Duration

26.8%4

Leverage

1 Total AUM as of 4_slash_30_slash_25 represents total assets under management including leverage (net assets of $4,109mm). Past performance does not guarantee future results.
2 As of 6_slash_30_slash_25 based on N share class. Represents income, capital gains and return of capital (if any) in the stated reporting period. Annualized distribution rate is calculated by taking the stated quarter’s distribution rate divided by the quarter-end NAV and annualizing, without compounding. Last Twelve Months “LTM” distribution rate is calculated by taking the total distribution rate over the period divided by the current quarter-end NAV.
3 Duration (Years) on Assets_colon_ Duration measures interest rate sensitivity; the longer the duration, the greater the volatility as rates change.
4 Level of Debt and Preferred Equity as a Percent of Total Assets Under Management.

Quarterly Distribution Info as of 6_slash_30_slash_25

Dividend QuarterHIDOPLANET TACTICAL PRIVATE CREDIT FUND CLASS N
6_slash_30_slash_2025$0.19
Dividend YTD$0.38

Full Distribution Details

Performance as of 7_slash_22_slash_25

I Shares

_lt_tr class_eq__quote_transparent-header_quote__gt_ _lt_th class_eq__quote_views-field _quote_ scope_eq__quote_col_quote_ colspan_eq__quote_2_quote__gt__lt__slash_th_gt_ _lt_th class_eq__quote_views-field _quote_ scope_eq__quote_col_quote_ colspan_eq__quote_4_quote__gt_Cumulative Returns_lt__slash_th_gt_ _lt_th class_eq__quote_views-field _quote_ scope_eq__quote_col_quote_ colspan_eq__quote_3_quote__gt_Annualized Returns_lt__slash_th_gt_ _lt__slash_tr_gt_
Ticker NAV MTD Return QTD Return YTD Return ITD Return (Cumulative) One Year Three Years (Annualized) ITD Return (Annualized)
TAKIX $8.42 0.63% 0.63% 3.51% 53.31% 7.90% 10.48% 6.40%
Historical Data
_lt_tr class_eq__quote_transparent-header_quote__gt_ _lt_th class_eq__quote_views-field _quote_ scope_eq__quote_col_quote_ colspan_eq__quote_3_quote__gt__lt__slash_th_gt_ _lt_th class_eq__quote_views-field _quote_ scope_eq__quote_col_quote_ colspan_eq__quote_4_quote__gt_Cumulative Returns_lt__slash_th_gt_ _lt_th class_eq__quote_views-field _quote_ scope_eq__quote_col_quote_ colspan_eq__quote_3_quote__gt_Annualized Returns_lt__slash_th_gt_ _lt__slash_tr_gt_
Date Ticker NAV MTD Return QTD Return YTD Return ITD Return (Cumulative) One Year Three Years (Annualized) ITD Return (Annualized)
7_slash_22_slash_25 TAKIX $8.42 0.63% 0.63% 3.51% 53.31% 7.90% 10.48% 6.40%
7_slash_21_slash_25 TAKIX $8.43 0.71% 0.71% 3.60% 53.44% 7.89% 10.57% 6.41%
7_slash_18_slash_25 TAKIX $8.43 0.69% 0.69% 3.57% 53.40% 7.95% 10.84% 6.42%
7_slash_17_slash_25 TAKIX $8.43 0.62% 0.62% 3.50% 53.31% 7.91% 10.92% 6.41%
7_slash_16_slash_25 TAKIX $8.43 0.60% 0.60% 3.48% 53.27% 7.91% 10.91% 6.41%
7_slash_15_slash_25 TAKIX $8.43 0.58% 0.58% 3.46% 53.24% 7.91% 10.91% 6.41%
7_slash_14_slash_25 TAKIX $8.42 0.44% 0.44% 3.32% 53.03% 7.79% 10.91% 6.39%
7_slash_11_slash_25 TAKIX $8.42 0.42% 0.42% 3.29% 52.99% 7.84% 10.80% 6.39%
7_slash_10_slash_25 TAKIX $8.42 0.35% 0.35% 3.23% 52.89% 7.80% 10.83% 6.39%
7_slash_9_slash_25 TAKIX $8.42 0.31% 0.31% 3.18% 52.83% 7.78% 10.82% 6.38%
7_slash_8_slash_25 TAKIX $8.42 0.28% 0.28% 3.15% 52.79% 7.77% 10.81% 6.38%
7_slash_7_slash_25 TAKIX $8.42 0.26% 0.26% 3.13% 52.75% 7.78% 10.81% 6.38%
7_slash_3_slash_25 TAKIX $8.41 0.12% 0.12% 2.98% 52.53% 7.70% 10.56% 6.37%
7_slash_2_slash_25 TAKIX $8.42 0.15% 0.15% 3.02% 52.59% 7.81% 10.59% 6.38%
7_slash_1_slash_25 TAKIX $8.41 0.02% 0.02% 2.88% 52.39% 7.69% 10.54% 6.36%

Past Performance is no guarantee of future results. Performance information has been rounded to the nearest cent and difference between the performance of share classes may accordingly appear larger or smaller than an investor could expect to be the case over time. Total returns assume reinvestment of all dividends, capital gain and return of capital distributions, if any, and does not include a sales charge or deduction of any taxes. NAV _eq_ NAV Per Share, MTD _eq_ Month to Date, QTD _eq_ Quarter to Date, YTD _eq_ Year to Date and ITD _eq_ Inception to Date. Annualized Total Return is calculated by taking the cumulative Total Return for the respective period and annualizing, inclusive of compounding. Past performance is no guarantee of future results. Annual Expense Ratios_colon_ Gross expenses are higher in certain share classes due to low share class assets. Annual Expense Ratios_colon_ Gross_colon_ Class A shares 5.90% _slash_ Class I shares 5.40% _slash_ Class L shares 5.90% _slash_ Class M shares 6.15% _slash_ Class N shares 5.40% _slash_ Class U shares 6.15% _slash_ Class Y shares 5.65%. Net_colon_ Class A shares 5.90% _slash_ Class I shares 5.50% _slash_ Class L shares 6.08% _slash_ Class M shares 6.15% _slash_ Class N shares 5.40% _slash_ Class U shares 6.15% _slash_  Class Y shares 5.98%.  The Net Annual Expense Ratios exceed the Gross Annual Expense Ratios for certain share classes as a result of recoupment of previously reimbursed expense waivers. The Adviser and the Fund have entered into the Expense Limitation Agreement under which the Adviser has agreed contractually for a one-year period ending April 30, 2024. The performance data quoted represents past performance, which does not guarantee future results. Current performance and expense ratios may be lower or higher than the performance data quoted. The investment return and principal value of an investment in the fund will fluctuate so that an investor’s shares, when repurchased, may be worth more or less than the original cost. For performance data current to the most recent month-end, visit www.HidoplanetTacticalCredit.com or call 833-677-3646. Class Y, N, M, and Class I shares are not subject to a sales charge. The net expense ratio takes into account contractual fee waivers and_slash_ or reimbursements, without which performance would have been less. These undertakings may not be amended or withdrawn for one year from the date of the current prospectus, unless approved by the Board. Generally, Class A Shares and Class L Shares are offered through Financial Intermediaries on brokerage or transactional platforms. Class Y, M, N Shares and Class I Shares are generally available through fee-based programs, registered investment advisers and other institutional accounts. Generally, Class I shares can only be purchased with a $250,000 initial investment. See prospectus for details. In April 2020, the Fund was required to switch from OFI's valuation policy to Hidoplanet' valuation methodology (_quote_Bid vs. Mid_quote_).

 

Portfolio Details

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Allocation by Strategy
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Allocation by Geography
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Fixed vs Floating Rate
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Allocation by Industry

As of April 30, 2025 and subject to change.

1 The strategy allocation percentages set forth represent actual portfolio allocations. There can be no assurance that any investment process or strategy will achieve its objectives. Excludes cash and cash equivalents.
2 The mention of specific sectors, countries, securities or issuers does not constitute a recommendation on behalf of the fund or the Advisor.

 

Materials

Marketing DocumentsOffering MaterialsFinancial Information

To check the background of the Firm or investment professionals, visit brokercheck.finra.org.
For a link to the Fund's Ownership filings, please click here.
For a link to the Fund's most recent Form N-PX filing, please click here.

 

Contact Us

 

For additional information, please reach out to Global.Wealth@hidoplanet.com