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Audit: NAV per share — Hamilton Lane Private Assets Fund

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Latest observation · Shareholder report (Form N-CSR) · filed 2026-06-09 · period 2026-03-31

S1_class_sectioned_row_labelled — class Class I; column For the Year Ended March 31, 2026; net asset value, end of period

“Net Asset Value per share, end of period $ 19.77 $ 17.55 $ 15.81 $ 14.14 $ 12.35”

Method Matched text template against the filing

Technical locator

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Class I | column For the Year Ended March 31, 2026 | net asset value, end of period

Extraction tiers, explained

Every stored observation below, newest first, with its extraction tier, the exact filing it came from, and the verbatim snippet it was read from. Derived values state their formula and constituent figures in the source line. Tiers: T1 = structured XBRL tag; T2 = matched text template; T3/R3 = narrative/term extraction.

PeriodValueTierSource filingProvenance
2026-03-31 19.77 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Class I | column For the Year Ended March 31, 2026 | net asset value, end of period

“Net Asset Value per share, end of period $ 19.77 $ 17.55 $ 15.81 $ 14.14 $ 12.35”

extracted 2026-09-15T00:56:46 · confidence 0.9

2026-03-31 18.91 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Fund | column For the Year Ended March 31, 2026 | net asset value, end of period

“Net Asset Value per share, end of period $ 18.91 $ 17.00 $ 15.43 $ 13.90 $ 12.23”

extracted 2026-09-15T00:56:46 · confidence 0.9

2025-09-30 18.88 T2 N-CSRS 2025-12-05
https://www.sec.gov/Archives/edgar/data/1803491/000121390025118831/ea0265698-01_ncsrs.htm | per-class NAV list…

https://www.sec.gov/Archives/edgar/data/1803491/000121390025118831/ea0265698-01_ncsrs.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 18.88 Class R Shares $ 18.23 Class D Shares $ 18.66 ”

extracted 2026-07-09T02:26:55 · confidence 0.9

2025-03-31 17 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Fund | column For the Year Ended March 31, 2025 | net asset value, end of period

“Net Asset Value per share, end of period $ 18.91 $ 17.00 $ 15.43 $ 13.90 $ 12.23”

extracted 2026-09-15T00:56:46 · confidence 0.9

2025-03-31 17.55 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Class I | column For the Year Ended March 31, 2025 | net asset value, end of period

“Net Asset Value per share, end of period $ 19.77 $ 17.55 $ 15.81 $ 14.14 $ 12.35”

extracted 2026-09-15T00:56:46 · confidence 0.9

2025-03-31 17.55 T2 N-CSR 2025-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390025052455/ea0241557-01_ncsr.htm | per-class NAV list …

https://www.sec.gov/Archives/edgar/data/1803491/000121390025052455/ea0241557-01_ncsr.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 17.55 Class R Shares $ 17.00 Class D Shares $ 17.36 ”

extracted 2026-07-09T02:26:56 · confidence 0.9

2024-09-30 16.76 T2 N-CSRS 2024-12-06
https://www.sec.gov/Archives/edgar/data/1803491/000121390024106439/ea0221556-01_ncsrs.htm | per-class NAV list…

https://www.sec.gov/Archives/edgar/data/1803491/000121390024106439/ea0221556-01_ncsrs.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 16.76 Class R Shares $ 16.29 Class D Shares $ 16.60 ”

extracted 2026-07-09T02:26:57 · confidence 0.9

2024-03-31 15.43 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Fund | column For the Year Ended March 31, 2024 | net asset value, end of period

“Net Asset Value per share, end of period $ 18.91 $ 17.00 $ 15.43 $ 13.90 $ 12.23”

extracted 2026-09-15T00:56:46 · confidence 0.9

2024-03-31 15.81 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Class I | column For the Year Ended March 31, 2024 | net asset value, end of period

“Net Asset Value per share, end of period $ 19.77 $ 17.55 $ 15.81 $ 14.14 $ 12.35”

extracted 2026-09-15T00:56:46 · confidence 0.9

2024-03-31 15.81 T2 N-CSR 2024-06-07
https://www.sec.gov/Archives/edgar/data/1803491/000121390024050817/ea0206140-01_ncsr.htm | per-class NAV list …

https://www.sec.gov/Archives/edgar/data/1803491/000121390024050817/ea0206140-01_ncsr.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 15.81 Class R Shares $ 15.43 Class D Shares $ 15.68 ”

extracted 2026-07-09T02:26:58 · confidence 0.9

2023-09-30 14.76 T2 N-CSRS 2023-12-07
https://www.sec.gov/Archives/edgar/data/1803491/000121390023094020/ea165644_ncsrs.htm | per-class NAV list (V5…

https://www.sec.gov/Archives/edgar/data/1803491/000121390023094020/ea165644_ncsrs.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 14.76 Class R Shares $ 14.46 Class D Shares $ 14.66 ”

extracted 2026-07-09T02:26:58 · confidence 0.9

2023-06-08 14.14 T2 N-CSR 2023-06-08
https://www.sec.gov/Archives/edgar/data/1803491/000121390023047371/ea154959_ncsr.htm | per-class NAV list (V5-…

https://www.sec.gov/Archives/edgar/data/1803491/000121390023047371/ea154959_ncsr.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 14.14 Class R Shares $ 13.90 Class D Shares $ 14.07 ”

extracted 2026-07-09T02:26:59 · confidence 0.9

2023-03-31 13.9 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Fund | column For the Year Ended March 31, 2023 | net asset value, end of period

“Net Asset Value per share, end of period $ 18.91 $ 17.00 $ 15.43 $ 13.90 $ 12.23”

extracted 2026-09-15T00:56:46 · confidence 0.9

2023-03-31 14.14 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Class I | column For the Year Ended March 31, 2023 | net asset value, end of period

“Net Asset Value per share, end of period $ 19.77 $ 17.55 $ 15.81 $ 14.14 $ 12.35”

extracted 2026-09-15T00:56:46 · confidence 0.9

2022-09-30 12.99 T2 N-CSRS 2022-12-08
https://www.sec.gov/Archives/edgar/data/1803491/000139834422024265/fp0080780-3_ncsrs.htm | per-class NAV list …

https://www.sec.gov/Archives/edgar/data/1803491/000139834422024265/fp0080780-3_ncsrs.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 12.99 Class R Shares $ 12.81 Class D Shares $ 12.94 ”

extracted 2026-07-09T02:26:59 · confidence 0.9

2022-03-31 12.32 T2 N-CSRS 2025-12-05
https://www.sec.gov/Archives/edgar/data/1803491/000121390025118831/ea0265698-01_ncsrs.htm | S1_class_sectioned…

https://www.sec.gov/Archives/edgar/data/1803491/000121390025118831/ea0265698-01_ncsrs.htm | S1_class_sectioned_row_labelled | class Fund | column Period August 1, 2021* through March 31, 2022 (header rows rejoined) | net asset value, end of period

“Net Asset Value per share, end of period $ 18.66 $ 17.36 $ 15.68 $ 14.07 $ 12.32”

extracted 2026-09-15T00:56:46 · confidence 0.9

2022-03-31 12.32 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Fund | column Period August 1, 2021* through March 31, 2022 (header rows rejoined) | net asset value, end of period

“Net Asset Value per share, end of period $ 19.53 $ 17.36 $ 15.68 $ 14.07 $ 12.32”

extracted 2026-09-15T00:56:46 · confidence 0.9

2022-03-31 12.35 T2 N-CSR 2026-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_…

https://www.sec.gov/Archives/edgar/data/1803491/000121390026066804/ea0291054-01_ncsr.htm | S1_class_sectioned_row_labelled | class Class I | column For the Year Ended March 31, 2022 | net asset value, end of period

“Net Asset Value per share, end of period $ 19.77 $ 17.55 $ 15.81 $ 14.14 $ 12.35”

extracted 2026-09-15T00:56:46 · confidence 0.9

2022-03-31 12.35 T2 N-CSR 2022-06-09
https://www.sec.gov/Archives/edgar/data/1803491/000139834422011725/fp0076594_ncsr.htm | per-class NAV list (V5…

https://www.sec.gov/Archives/edgar/data/1803491/000139834422011725/fp0076594_ncsr.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 12.35 Class R Shares $ 12.23 Class D Shares $ 12.32 ”

extracted 2026-07-09T02:27:00 · confidence 0.9

2021-09-30 11.84 T2 N-CSRS 2021-12-08
https://www.sec.gov/Archives/edgar/data/1803491/000139834421023531/fp0070591_ncsrs.htm | per-class NAV list (V…

https://www.sec.gov/Archives/edgar/data/1803491/000139834421023531/fp0070591_ncsrs.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 11.84 Class R Shares $ 11.80 Class D Shares $ 11.84 ”

extracted 2026-07-09T02:27:00 · confidence 0.9

2021-03-31 10.38 T2 N-CSR 2021-06-08
https://www.sec.gov/Archives/edgar/data/1803491/000139834421012849/fp0065664_ncsr.htm | per-class NAV list (V5…

https://www.sec.gov/Archives/edgar/data/1803491/000139834421012849/fp0065664_ncsr.htm | per-class NAV list (V5-LIST)

“Net Asset Value per Share: Class I Shares $ 10.38 Class R Shares $ 10.38 ”

extracted 2026-07-09T02:27:00 · confidence 0.9