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Proprietary reconstructed liquidity panel for non-traded (gated) private credit funds — the 'Private Credit Redemption Monitor'. The publisher back-solves each fund's true quarterly proration/fill economics from tender results, then derives metrics the sponsors never publish: fresh versus re-tendered redemption demand as a share of shares outstanding, unmet queue dollars, cumulative fill by cohort arrival quarter (Q1/Q2/Q3 requester), 'exit clock' windows-to-90-percent-payout, fundraising inflow versus withdrawal netting, and live secondary-market bid-to-NAV discounts (e.g. an $18.40 bid against $24.53 NAV implying a ~65% annualised liquidity cost). Surrounding datasets include a daily mutual-fund/ETF flow panel, an RIA M&A live deal tracker with valuations, and per-ticker AI-generated equity research reports.
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