Hancock Park Corporate Income
Hancock Park Corporate Income, Inc. (HPCI) is a non-diversified, closed-end business development company that invests in middle-market companies based in the United States. Rather than acting as a traditional lender, the firm takes a disciplined, credit-based approach to providing financing alternatives for businesses that conventional banks tend to underserve, backing transactions such as recapitalizations and refinancings, management buyouts and LBOs, acquisition financings, shareholder liquidity events, ESOPs, and growth capital.
The company is managed by Orchard First Source Asset Management, LLC, which operates under the OFS Capital brand — an established asset manager and full-service provider of capital and leveraged finance solutions. HPCI cites its adviser’s 25-plus years of experience partnering with middle-market businesses and originating investments through multiple credit cycles, sourced through relationships with financial institutions, private equity sponsors, and investment banks.
HPCI invests primarily in senior secured loans, with the flexibility to structure first lien, second lien, unitranche, and subordinated debt, plus selective equity and warrant positions. Its targets are profitable, privately held U.S. companies with roughly $15–300 million in revenue and $5–50 million of EBITDA, spanning sectors including business services, healthcare and pharmaceutical, capital equipment, transportation, and automotive.
SEC Filings
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DEFA14A -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-09-10 -
D -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-09-02 -
8-K -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-08-27 -
DEFA14A -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-08-19 -
DEF 14A -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-08-19 -
DEFA14A -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-08-19 -
ARS -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-08-19 -
SCHEDULE 13G -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-08-17 -
10-Q -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-08-07 -
8-K -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-07-29 -
8-K -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-07-24 -
PRE 14A -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-07-24 -
8-K -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-07-23 -
SC TO-I/A -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-07-06 -
8-K -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-06-30 -
8-K -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-06-30 -
8-K -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-06-18 -
8-K -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-05-29 -
SC TO-I -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-05-22 -
8-K -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-05-19 -
10-Q -
Hancock Park Corporate Income Inc
CIK: 0001661306 | Filed: 2026-05-08 -
8-K -
Hancock Park Corporate Income, Inc.
CIK: 0001661306 | Filed: 2026-04-21 -
8-K -
Hancock Park Corporate Income, Inc.
CIK: 1661306 | Filed: 2026-02-27
Company News
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Hancock Park Turns To A Phone Campaign To Get Its Wind-Down Vote Over The Line
September 10, 2026 -
Hancock Park’s NAV Falls To $5.43, Still Above Its Estimated Liquidation Payout
September 3, 2026 -
Hancock Park Seeks Wind Down Approval With Payouts Estimated at $3.50 to $4.30 a Share
August 20, 2026 -
Hancock Park Corporate Income Reports Further NAV Decline To $6.63 Per Share
April 22, 2026 -
Hancock Park Corporate Income Reports Sharp NAV Decline Amid Portfolio Losses In 2025
March 16, 2026 -
Hancock Park Declares Q1 Distribution
February 2, 2026 -
Hancock Park Declares January Dividend
December 1, 2025 -
Hancock Park Corporate Income Sets NAV
November 19, 2025 -
Hancock Park Sets Net Asset Value at $8.91 Per Share
October 23, 2025 -
Hancock Park Reports September NAV
September 22, 2025 -
Hancock Park Corporate Income to Repurchase Shares
August 25, 2025 -
Hancock Park Updates NAV
July 23, 2025 -
Hancock Park Updates Net Asset Value
June 19, 2025 -
Hancock Park Reports $9.61 NAV
May 21, 2025