Nielson Brandon R. 4
Accession 0002064774-26-000002
Filed
Jan 22, 7:00 PM ET
Accepted
Jan 23, 11:38 AM ET
Size
6.1 KB
Accession
0002064774-26-000002
Research Summary
AI-generated summary of this filing
Keystone Private Income Fund Director Brandon R. Nielson Buys $2.0M Shares
What Happened Brandon R. Nielson, a director of Keystone Private Income Fund, acquired 20,269.585 shares on January 1, 2026 at a price of $98.67 per share, for a total transaction value of $2,000,000. The filing reports this as a purchase (transaction code P), i.e., an acquisition rather than a sale.
Key Details
- Transaction date and price: 01/01/2026 at $98.67 per share (total $2,000,000).
- Transaction type: Purchase (code P); described as an open market or private purchase / subscription.
- Shares owned after transaction: Not specified in the provided filing extract.
- Footnotes:
- F1: The subscription was dated Jan 1, 2026 with NAV pricing as of Jan 1; the NAV price was finalized on Jan 21, 2026.
- F2: The reported amount includes 638.103 Class Z shares acquired via the issuer’s dividend reinvestment plan from Nov 6, 2025 through the date of this report.
- F3: Mr. Nielson disclaims beneficial ownership of shares held by Beachrock Holdings, LLC and River Heights Holdings, LLC, except to the extent of his pecuniary interest.
- Filing timing: The Form 4 was filed on Jan 23, 2026 for a Jan 1 transaction (the filing occurred 22 days after the transaction date).
Context Purchases by insiders can be seen as informative because they increase the insider’s exposure; however, this transaction was a subscription/NAV-priced purchase (final NAV set on Jan 21), and part of the holdings include DRIP-acquired shares. The filing’s footnotes and the ownership disclaimer clarify how some shares are held (via LLCs) and how pricing was determined.
Insider Transaction Report
- Purchase
Class Z Shares
[F1][F2][F3]2026-01-01$98.67/sh+20,269.585$2,000,000→ 47,396.763 total(indirect: By LLC)
- 4,936.809(indirect: By LLC)
Class Z Shares
[F3]
Footnotes (3)
- [F1]Subscription of the Shares was dated January 1, 2026, with NAV per share pricing as of January 1, 2026, which was finalized on January 21, 2026.
- [F2]Includes 638.103 Class Z Shares acquired pursuant to the Issuer's dividend reinvestment plan from November 6, 2025 through the date of this report.
- [F3]Mr. Nielson disclaims beneficial ownership of Shares held by Beachrock Holdings, LLC and River Heights Holdings, LLC, except to the extent of his pecuniary interest therein.
Signature
Documents
Issuer
Keystone Private Income Fund
CIK 0001788420
Related Parties
1- filerCIK 0002064774
Filing Metadata
- Form type
- 4
- Filed
- Jan 22, 7:00 PM ET
- Accepted
- Jan 23, 11:38 AM ET
- Size
- 6.1 KB