0002100368-25-000001.txt : 20251210
0002100368-25-000001.hdr.sgml : 20251210
20251210101220
ACCESSION NUMBER: 0002100368-25-000001
CONFORMED SUBMISSION TYPE: D
PUBLIC DOCUMENT COUNT: 1
ITEM INFORMATION: Rule 506(b) provides a "safer harbor" for a private offering
ITEM INFORMATION: Investment Company Act Section 3(c)
ITEM INFORMATION: Section 3(c)(7)
FILED AS OF DATE: 20251210
DATE AS OF CHANGE: 20251210
EFFECTIVENESS DATE: 20251210
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: PPM Core Fixed Income Fund
CENTRAL INDEX KEY: 0002100368
ORGANIZATION NAME:
EIN: 000000000
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: D
SEC ACT: 1933 Act
SEC FILE NUMBER: 021-566334
FILM NUMBER: 251561074
BUSINESS ADDRESS:
STREET 1: C/O GLOBAL TRUST COMPANY
STREET 2: 12 GILL STREET, SUITE 2600
CITY: WOBURN
STATE: MA
ZIP: 01801
BUSINESS PHONE: 781.932.4010
MAIL ADDRESS:
STREET 1: C/O GLOBAL TRUST COMPANY
STREET 2: 12 GILL STREET, SUITE 2600
CITY: WOBURN
STATE: MA
ZIP: 01801
D
1
primary_doc.xml
X0708
D
LIVE
0002100368
PPM Core Fixed Income Fund
c/o Global Trust Company
12 Gill Street, Suite 2600
Woburn
MA
MASSACHUSETTS
01801
781.932.4010
DELAWARE
None
None
Other
Issuer is a series of PPM Investment Funds LLC, a Delaware series LLC
true
2025
-
-
Global Trust Company
12 Gill Street, Suite 2600
Woburn
MA
MASSACHUSETTS
01801
Executive Officer
Director
Promoter
Manager of the Issuer
-
-
PPM America, Inc.
c/o Global Trust Company
12 Gill Street, Suite 2600
Woburn
MA
MASSACHUSETTS
01801
Promoter
Investment Adviser to the Issuer
Pooled Investment Fund
Other Investment Fund
false
Decline to Disclose
- 06b
- 3C
- 3C.7
false
2025-08-11
true
true
false
0
Indefinite
38000000
Indefinite
false
1
0
0
43294
true
Fees paid vary based on the assets of the Issuer fund. PPM America Inc. has been paid approximately $14,649 in advisory fees to date, and Global Trust Company has been paid approximately $28,655 in management fees to date.
false
PPM Core Fixed Income Fund
/John Joseph McAree/
John Joseph McAree
Senior Vice President of the Issuer's Manager
2025-12-10