Filed Pursuant to Rule 424(b)(3)
Registration No. 333-222986
CNL STRATEGIC CAPITAL, LLC
SUPPLEMENT NO. 4 DATED JUNE 14, 2019
TO THE PROSPECTUS DATED APRIL 16, 2019
We are providing this Supplement to you in order to supplement our prospectus dated April 16, 2019 (as supplemented to date, the “Prospectus”). This supplement provides information that shall be deemed part of, and must be read in conjunction with, the Prospectus. Capitalized terms used in this supplement have the same meanings in the Prospectus unless otherwise stated herein. The terms “we,” “our,” “us” and “Company” refer to CNL Strategic Capital, LLC.
Before investing in our shares you should read the entire Prospectus and this supplement, and consider carefully our investment objectives, risks, fees and expenses. You should also carefully consider the information disclosed in the section of the Prospectus captioned “Risk Factors” before you decide to invest in our shares.
The purpose of this supplement is as follows:
● | to disclose the Company's net asset value for the month ended May 31, 2019; |
● | to disclose the adjusted per share public offering price for each class of our shares, effective as of June 21, 2019, the date which is five business days after this supplement is filed with the Securities and Exchange Commission; and |
● | to disclose information about our distributions. |
Determination of Net Asset Value for the month ended May 31, 2019
On June 14, 2019, the Company’s board of directors (the “Board”) determined the Company’s net asset value per share for each share class in a manner consistent with the Company’s valuation policy, as described under "Determination of Net Asset Value" in the Prospectus. Class FA shares were offered in a separate private offering and are not being offered in the Company’s current public offering (the “Offering”). Additionally, pursuant to our share repurchase program, we conduct quarterly share repurchases to allow our shareholders to sell all or a portion of their shares back to us at a price equal to the net asset value per share as of the last date of the month immediately prior to the repurchase date. The repurchase date for our next quarterly repurchase will be June 28, 2019. The following table provides the Company’s aggregate net asset value and net asset value per share for its Class FA, Class A, Class T, Class D, and Class I shares as of May 31, 2019:
Month Ended May 31, 2019 | Class FA | Class A |
Class T |
Class D | Class I | Total | ||||||||||||||||||
Net Asset Value | $ | 88,713,677 | $ | 11,069,780 | $ | 1,791,957 | $ | 4,411,052 | $ | 15,277,077 | $ | 121,263,543 | ||||||||||||
Number of Outstanding Shares | 3,266,260 | 413,888 | 66,717 | 166,799 | 567,627 | 4,481,291 | ||||||||||||||||||
Net Asset Value, Per Share | $ | 27.16 | $ | 26.75 | $ | 26.86 | $ | 26.45 | $ | 26.91 |
We have also posted this information on our website at www.cnlstrategiccapital.com. A subscriber may also obtain this information by calling us by telephone at (866) 650-0650.
Public Offering Price Adjustment
On June 14, 2019, the Board also approved the new per share public offering price for each share class in the Offering. The new public offering prices will be effective as of June 21, 2019 and will be used for the Company’s next monthly closing for subscriptions on June 28, 2019. As of the date of this supplement, all references throughout the Prospectus to the per share public offering price for each share class available in the Offering are hereby updated to reflect the new per share public offering prices stated in the table below. The purchase price for Class A, Class T, Class D, and Class I shares purchased under our distribution reinvestment plan will be equal to the net asset value per share as of May 31, 2019. The following table provides the new public offering prices and applicable upfront selling commissions and dealer manager fees for each share class available in the Offering:
Class A | Class T | Class D | Class I | |||||||||||||
Public Offering Price, Per Share | $ | 29.23 | $ | 28.20 | $ | 26.45 | $ | 26.91 | ||||||||
Selling Commissions, Per Share | $ | 1.75 | $ | 0.85 | ||||||||||||
Dealer Manager Fees, Per Share | $ | 0.73 | $ | 0.49 |
We have also posted this information on our website at www.cnlstrategiccapital.com. A subscriber may also obtain this information by calling us by telephone at (866) 650-0650.
Declaration of Distributions
On June 14, 2019, the Board declared cash distributions on the outstanding shares of all classes of our common shares based on a monthly record date, as set forth below:
Declared Distribution Per Share for Each Share Class | |||||||||||||||||||||
Distribution Record Date | Distribution Payment Date | Class FA | Class A | Class T | Class D | Class I | |||||||||||||||
July 30, 2019 | August 12, 2019 | $ | 0.104167 | $ | 0.104167 | $ | 0.083333 | $ | 0.093750 | $ | 0.104167 |