Source evidence Original filing metadata and source links for verification. 3 source fields
SEC form
3
Accepted by SEC
13 Apr 2026, 18:03:05 UTC
Source filing
View source filing
Reporting owner 1 detail
Reporting owner signature
/s/ Helen Flood, Director of Partners Group (USA) Inc., Manager of the Reporting Owner

Key filing fact

Partners Group Next Generation Infrastructure 2025 Feeder Fund LLC filed Form 3 for PARTNERS GROUP NEXT GENERATION INFRASTRUCTURE, LLC on 13 Apr 2026.

Key facts

  • This page summarizes Partners Group Next Generation Infrastructure 2025 Feeder Fund LLC's Form 3 filing for PARTNERS GROUP NEXT GENERATION INFRASTRUCTURE, LLC.
  • 0 reported transactions and 0 derivative rows are listed below.
  • Accepted by SEC: 13 Apr 2026, 18:03.

Change

  • No earlier filing in this sequence is available for direct comparison.
  • Current net transaction value: $0.

Research use

  • This tells you what this filing adds before you inspect full transaction and derivative tables.
  • You can trace every row back to the original SEC filing document.

Evidence

Official SEC source

Ownership activity is grounded in SEC Form 3 disclosures.

View source filing

Reporting Owners (1)

CIK 0002125337 Primary reporting owner

Partners Group Next Generation Infrastructure 2025 Feeder Fund LLC

Relationship
Affiliate of the Adviser
Address
1114 AVENUE OF THE AMERICAS, 37TH FLOOR, NEW YORK
Signature
/s/ Helen Flood, Director of Partners Group (USA) Inc., Manager of the Reporting Owner
Signature date
11 Apr 2026

Reported non-derivative transactions

Shares, units, or other non-derivative securities reported in this filing.

No ticker holding

Limited Liability Shares, Class I

No transaction description listed

Transaction value
Shares
Change %
Price
Shares after
$42,857,000
Date
01 Apr 2026
Ownership
Direct
Footnotes
F1
* marks a reported price that did not pass the local price check.

Additional SEC filing notes

Filing notes and footnotes

Explanation of responses 1 footnote

Footnote F1

The Reporting Person is an affiliate of the adviser and has submitted a subscription document to purchase units of the issuer as of April 1, 2026. The amount of shares purchased, the price and the amount of shares beneficially owned after the transaction are estimated using a February 28, 2026 net asset value (NAV) due to the timing of the calculation of the issuer's NAV, which is not available at the time of this filing.

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