Transaction · 0001950731-24-000002

Manulife Reinsurance (Bermuda) LTD

Manulife Reinsurance (Bermuda) LTD, 10%, reported an open-market or private purchase at Manulife Private Credit Plus Fund involving 493827.000000 shares for an estimated $9999996.75. Reported holdings after the transaction were 1984568.000000 shares. A 10b5-1 reference was not detected in the stored filing text.

Open-market buySEC transaction code P10%
N/AManulife Private Credit Plus Fund
Filing timeJan 04
Trade dateJan 02, 2024
Filing · SECView on SEC
InsiderProfile

Price performance since filing

Close on the filing date, the pre-filing context, and the forward return at standard windows
Price at filing
Pre-filing
1mo ago1w ago1d ago
Returns since
7d30d90d180d1y

N/A price since this filing

30 days of pre-filing context and vertical markers at the filing date plus 7d / 30d / 90d / 180d / 1y afterwards
N/A since 2024-01-04Filed 973 days ago · 30 days of pre-filing context shaded
Loading…
Filing datePost-filing windows (7d, 30d, 90d, 180d, 1y)30 days of pre-filing context

Transaction facts

Stored Form 4 columns with their raw values

Non-derivative
Type
Buy
Code P
Identifier
0001950731-24-000002
Common Shares of Beneficial Interest
Transaction date
Jan 02, 2024
Filed Jan 04, 2024, 09:58 AM · 2d delay
Shares
493k sh
$2.02k per share
Estimated value
$999M
Computed from shares × price
Holdings after
1.98M sh
Direct

Filing signal explanations

Badges describe filing facts only — not predictions.

Cluster 14dRepeat 30dPattern $10.0MLarge $100M
Direct Ownership Large Buy 10% Owner Buy
+36score
Filing-only score

+36

Compact filing score computed from stored Form 4 facts. Version v1.

Strong filing signal

This filing has a high positive filing-only score. It may deserve closer research, but it is not an investment recommendation.

Reported relationships & other filings

Form 4 relationship flags and nearby filing context

Reported roles

No officer title

Officer NoDirector No10% YesOther No
Footnotes & amended
  1. F1

    This figure is approximate. Due to the timing of the Fund's determination of its net asset value, the price per share, and the number of shares of the Fund that corresponds to, or held as a result of,…

Original filing · 0001950731-24-000002
Related transactions

0 other filings

Same reporting owner
Recent company activity

0 recent txs

N/A