
Prospect Enhanced Yield Fund announced monthly cash distributions of $0.19 per share for April, May, and June 2026, totaling an annualized rate of 9.33% based on the fund's net asset value of $24.44 per share as of April 19, 2026. These distributions are payable monthly to shareholders of record and represent the seventh through ninth monthly payments by the fund. The distributions are primarily treated as taxable investment income and are expected to come from income rather than return of capital. This announcement reflects the fund's ongoing strategy to provide attractive current income through investments in structured credit instruments.