Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents - USD ($) | 3 Months Ended | 12 Months Ended |
May 31, 2024 | Feb. 29, 2024 |
Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Cost | | $ 606,745,959 | | $ 630,995,710 | |
Fair Value | | $ 586,244,974 | | $ 607,551,774 | |
U.S. Bank Money Market [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Principal/ Number of Shares | | 26,949,110 | [1] | 12,104,832 | [2] |
Cost | | $ 26,949,110 | [1] | $ 12,104,832 | [2] |
Fair Value | | $ 26,949,110 | [1] | $ 12,104,832 | [2] |
Cash and Cash Equivalents [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Principal/ Number of Shares | | 26,949,110 | | 12,104,832 | |
Cost | | $ 26,949,110 | | $ 12,104,832 | |
Fair Value | | $ 26,949,110 | | $ 12,104,832 | |
Altisource Solutions S.a r.l. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Common Stock | | Common Stock | |
Asset Type | | Equity | | Equity | |
Principal/ Number of Shares | | 15,981 | | 15,981 | |
Cost | | | | | |
Fair Value | | $ 30,044 | | $ 44,587 | |
Endo Finance Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | | |
Asset Name | | Common Stock | | | |
Asset Type | | Equity | | | |
Principal/ Number of Shares | | 23,799 | | | |
Cost | | $ 660,422 | | | |
Fair Value | | $ 660,422 | | | |
Endo Finance Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | | |
Asset Name | | Warrants | | | |
Asset Type | | Equity | | | |
Principal/ Number of Shares | | 349 | | | |
Cost | | $ 9,685 | | | |
Fair Value | | $ 9,685 | | | |
Envision Parent Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Common Stock | | Common Stock | |
Asset Type | | Equity | | Equity | |
Principal/ Number of Shares | | 4,410 | | 92,837 | |
Cost | | $ 175,000 | | | |
Fair Value | | $ 33,075 | | | |
Envision Parent Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Warrants | | Warrants | |
Asset Type | | Equity | | Equity | |
Principal/ Number of Shares | | 92,837 | | 4,410 | |
Cost | | | | $ 175,000 | |
Fair Value | | | | $ 42,998 | |
Instant Brands Litigation Trust Interests [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | | |
Asset Name | | Warrants | | | |
Asset Type | | Equity | | | |
Principal/ Number of Shares | | 8,572 | | | |
Cost | | | | | |
Fair Value | | $ 42,861 | | | |
Isagenix International, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Common Stock | | Common Stock | |
Asset Type | | Equity | | Equity | |
Principal/ Number of Shares | | 86,398 | | 86,398 | |
Cost | | | | | |
Fair Value | | | | | |
Resolute Investment Managers (American Beacon), Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Common Stock | | Common Stock | |
Asset Type | | Equity | | Equity | |
Principal/ Number of Shares | | 24,320 | | 24,320 | |
Cost | | $ 1,034,581 | | $ 1,034,581 | |
Fair Value | | $ 97,280 | | $ 468,000 | |
URS TOPCO LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Cargo | | Transportation: Cargo | |
Asset Name | | Common Stock | | Common Stock | |
Asset Type | | Equity | | Equity | |
Principal/ Number of Shares | | 25,330 | | 25,330 | |
Cost | | $ 440,405 | | $ 440,405 | |
Fair Value | | $ 366,000 | | $ 465,000 | |
1011778 B.C Unltd Liability Co [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Term Loan B (09/23) | | Term Loan B (09/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.58% | | 7.58% | |
Maturity Date | | Sep. 20, 2030 | | Sep. 12, 2030 | |
Principal/ Number of Shares | | 1,443,881 | | 1,447,500 | |
Cost | | $ 1,424,662 | | $ 1,427,292 | |
Fair Value | | $ 1,444,430 | | $ 1,440,002 | |
19TH HOLDINGS GOLF, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.67% | | 8.67% | |
Maturity Date | | Feb. 07, 2029 | | Feb. 07, 2029 | |
Principal/ Number of Shares | | 2,467,368 | | 2,473,646 | |
Cost | | $ 2,381,531 | | $ 2,383,742 | |
Fair Value | | $ 2,450,911 | | $ 2,416,950 | |
888 Acquisitions Limited [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 6M USD SOFR+ | | 6M USD SOFR+ | |
Reference Spread | | 5.25% | | 5.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 10.58% | | 10.82% | |
Maturity Date | | Jul. 08, 2028 | | Jul. 08, 2028 | |
Principal/ Number of Shares | | 3,066,073 | | 2,472,826 | |
Cost | | $ 2,780,554 | | $ 2,173,473 | |
Fair Value | | $ 3,047,676 | | $ 2,418,745 | |
Adtalem Global Education Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.83% | | 8.83% | |
Maturity Date | | Aug. 12, 2028 | | Aug. 12, 2028 | |
Principal/ Number of Shares | | 582,329 | | 582,329 | |
Cost | | $ 578,746 | | $ 578,482 | |
Fair Value | | $ 583,301 | | $ 583,423 | |
Aegis Sciences Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 11.09% | | 11.08% | |
Maturity Date | | May 09, 2025 | | May 09, 2025 | |
Principal/ Number of Shares | | 2,298,063 | | 2,308,370 | |
Cost | | $ 2,295,013 | | $ 2,303,734 | |
Fair Value | | $ 1,723,547 | | $ 2,206,410 | |
Agiliti Health Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan B (03/23) | | Term Loan B (03/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.30% | | 8.33% | |
Maturity Date | | May 01, 2030 | | May 01, 2030 | |
Principal/ Number of Shares | | 2,170,507 | | 1,674,704 | |
Cost | | $ 2,155,587 | | $ 1,662,945 | |
Fair Value | | $ 2,166,448 | | $ 1,668,424 | |
AHEAD DB Holdings, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (04/21) | | Term Loan (04/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.06% | | 9.20% | |
Maturity Date | | Feb. 01, 2031 | | Oct. 18, 2027 | |
Principal/ Number of Shares | | 2,917,500 | | 2,925,000 | |
Cost | | $ 2,853,359 | | $ 2,856,780 | |
Fair Value | | $ 2,929,345 | | $ 2,914,031 | |
Air Canada [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Consumer | | Transportation: Consumer | |
Asset Name | | Term Loan B (03/24) | | Term Loan B (07/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0.75% | |
Current Rate (All In) | | 7.83% | | 8.93% | |
Maturity Date | | Mar. 21, 2031 | | Aug. 11, 2028 | |
Principal/ Number of Shares | | 1,000,000 | | 1,970,000 | |
Cost | | $ 997,507 | | $ 1,853,394 | |
Fair Value | | $ 1,004,580 | | $ 1,970,276 | |
AIT Worldwide Logistics Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Cargo | | Transportation: Cargo | |
Asset Name | | Term Loan (04/21) | | Term Loan (04/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.17% | | 10.17% | |
Maturity Date | | Apr. 06, 2028 | | Apr. 06, 2028 | |
Principal/ Number of Shares | | 2,468,354 | | 2,474,684 | |
Cost | | $ 2,335,840 | | $ 2,334,728 | |
Fair Value | | $ 2,471,440 | | $ 2,471,590 | |
Alchemy US Holdco 1, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Metals & Mining | | Metals & Mining | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD LIBOR+ | | 1M USD LIBOR+ | |
Reference Spread | | 7.32% | | 7.32% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.42% | | 7.42% | |
Maturity Date | | Oct. 10, 2025 | | Oct. 10, 2025 | |
Principal/ Number of Shares | | 1,654,803 | | 1,654,803 | |
Cost | | $ 1,648,832 | | $ 1,647,646 | |
Fair Value | | $ 1,648,598 | | $ 1,646,943 | |
AlixPartners, LLP [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B (01/21) | | Term Loan B (01/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.94% | | 7.94% | |
Maturity Date | | Feb. 04, 2028 | | Feb. 04, 2028 | |
Principal/ Number of Shares | | 242,500 | | 243,125 | |
Cost | | $ 242,320 | | $ 242,907 | |
Fair Value | | $ 243,198 | | $ 243,064 | |
Alkermes, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan B (3/21) | | Term Loan B (3/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.94% | | 7.93% | |
Maturity Date | | Mar. 12, 2026 | | Mar. 12, 2026 | |
Principal/ Number of Shares | | 2,099,167 | | 2,104,577 | |
Cost | | $ 2,091,130 | | $ 2,095,205 | |
Fair Value | | $ 2,099,167 | | $ 2,101,947 | |
Allen Media, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Diversified & Production | | Media: Diversified & Production | |
Asset Name | | Term Loan (7/21) | | Term Loan (7/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 10.96% | | 11% | |
Maturity Date | | Feb. 10, 2027 | | Feb. 10, 2027 | |
Principal/ Number of Shares | | 4,337,771 | | 4,349,069 | |
Cost | | $ 4,319,775 | | $ 4,329,175 | |
Fair Value | | $ 3,632,883 | | $ 3,803,870 | |
Alliant Holdings Intermediate, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (12/23) | | Term Loan (12/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.82% | | 8.82% | |
Maturity Date | | Nov. 06, 2030 | | Nov. 06, 2030 | |
Principal/ Number of Shares | | 801,032 | | 803,044 | |
Cost | | $ 800,942 | | $ 802,787 | |
Fair Value | | $ 804,003 | | $ 803,197 | |
Allied Universal Holdco LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan 4/21 | | Term Loan 4/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.18% | | 9.18% | |
Maturity Date | | May 12, 2028 | | May 12, 2028 | |
Principal/ Number of Shares | | 1,950,000 | | 1,955,000 | |
Cost | | $ 1,944,391 | | $ 1,948,856 | |
Fair Value | | $ 1,949,669 | | $ 1,945,948 | |
Alterra Mountain Company (Intrawest Resort Holdings) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B Add-on | | Term Loan B Add-on | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.07% | | 9.07% | |
Maturity Date | | May 31, 2030 | | May 31, 2030 | |
Principal/ Number of Shares | | 250,000 | | 250,000 | |
Cost | | $ 250,000 | | $ 250,000 | |
Fair Value | | $ 251,720 | | $ 250,000 | |
Altisource Solutions S.a r.l. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | [3] |
Asset Name | | Term Loan B (03/18) | | Term Loan B (03/18) | [3] |
Asset Type | | Loan | | Loan | [3] |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | [3] |
Reference Spread | | 5% | | 5% | [3] |
SOFR/LIBOR Floor | | 1% | | 1% | [3] |
Current Rate (All In) | | 10.41% | | 10.45% | [3] |
Maturity Date | | Apr. 30, 2025 | | Apr. 30, 2025 | [3] |
Principal/ Number of Shares | | 1,121,235 | | 1,110,821 | [3] |
Cost | | $ 1,121,238 | | $ 1,110,656 | [3] |
Fair Value | | $ 644,710 | | $ 877,549 | [3] |
Altium Packaging LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan (01/21) | | Term Loan (01/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.19% | | 8.19% | |
Maturity Date | | Jan. 29, 2028 | | Jan. 29, 2028 | |
Principal/ Number of Shares | | 485,000 | | 486,250 | |
Cost | | $ 483,771 | | $ 484,910 | |
Fair Value | | $ 485,538 | | $ 483,819 | |
Amer Sports Oyj (MASCOT BIDCO OY) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | USD Term Loan B (01/24) | | USD Term Loan B (01/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.58% | | 8.58% | |
Maturity Date | | Feb. 07, 2031 | | Feb. 07, 2031 | |
Principal/ Number of Shares | | 500,000 | | 500,000 | |
Cost | | $ 497,766 | | $ 497,525 | |
Fair Value | | $ 502,500 | | $ 499,375 | |
American Axle & Manufacturing Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan (12/22) | | Term Loan (12/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.32% | | 8.92% | |
Maturity Date | | Dec. 13, 2029 | | Dec. 13, 2029 | |
Principal/ Number of Shares | | 480,000 | | 480,000 | |
Cost | | $ 467,963 | | $ 467,515 | |
Fair Value | | $ 481,949 | | $ 479,798 | |
American Greetings Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Advertising, Printing & Publishing | | Media: Advertising, Printing & Publishing | |
Asset Name | | Term Loan B (04/24) | | Term Loan (01/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.75% | | 6% | |
SOFR/LIBOR Floor | | 0% | | 1% | |
Current Rate (All In) | | 11.08% | | 11.33% | |
Maturity Date | | Oct. 23, 2029 | | Apr. 05, 2028 | |
Principal/ Number of Shares | | 2,982,733 | | 2,982,733 | |
Cost | | $ 2,981,325 | | $ 2,981,076 | |
Fair Value | | $ 2,998,899 | | $ 2,983,478 | |
American Trailer World Corp [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.18% | | 9.18% | |
Maturity Date | | Mar. 03, 2028 | | Mar. 03, 2028 | |
Principal/ Number of Shares | | 1,357,439 | | 1,357,439 | |
Cost | | $ 1,356,194 | | $ 1,355,695 | |
Fair Value | | $ 1,328,729 | | $ 1,323,788 | |
AmWINS Group, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan 2/21 | | Term Loan 2/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 7.69% | | 7.69% | |
Maturity Date | | Feb. 17, 2028 | | Feb. 17, 2028 | |
Principal/ Number of Shares | | 1,935,032 | | 1,940,029 | |
Cost | | $ 1,920,416 | | $ 1,924,089 | |
Fair Value | | $ 1,938,631 | | $ 1,930,484 | |
Anastasia Parent LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Non-durable | | Consumer goods: Non-durable | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.32% | | 9.36% | |
Maturity Date | | Aug. 11, 2025 | | Aug. 11, 2025 | |
Principal/ Number of Shares | | 945,000 | | 947,500 | |
Cost | | $ 944,009 | | $ 946,257 | |
Fair Value | | $ 645,558 | | $ 681,859 | |
Anchor Packaging, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan (4/24) | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.08% | | 8.93% | |
Maturity Date | | Jul. 18, 2029 | | Jul. 18, 2026 | |
Principal/ Number of Shares | | 1,954,167 | | 1,959,296 | |
Cost | | $ 1,935,669 | | $ 1,939,016 | |
Fair Value | | $ 1,961,144 | | $ 1,955,632 | |
ANI Pharmaceuticals, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 6% | | 6% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 11.44% | | 11.44% | |
Maturity Date | | Nov. 19, 2027 | | Nov. 19, 2027 | |
Principal/ Number of Shares | | 2,932,500 | | 2,940,000 | |
Cost | | $ 2,897,359 | | $ 2,901,304 | |
Fair Value | | $ 2,947,163 | | $ 2,940,000 | |
AP Core Holdings II LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B1 | | Term Loan B1 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.94% | | 10.94% | |
Maturity Date | | Sep. 01, 2027 | | Sep. 01, 2027 | |
Principal/ Number of Shares | | 1,750,000 | | 1,775,000 | |
Cost | | $ 1,734,306 | | $ 1,757,513 | |
Fair Value | | $ 1,601,250 | | $ 1,734,317 | |
AP Core Holdings II LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B2 | | Term Loan B2 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.94% | | 10.94% | |
Maturity Date | | Sep. 01, 2027 | | Sep. 01, 2027 | |
Principal/ Number of Shares | | 500,000 | | 500,000 | |
Cost | | $ 495,523 | | $ 495,081 | |
Fair Value | | $ 472,750 | | $ 487,320 | |
APEX GROUP TREASURY LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5% | | 5% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.32% | | 10.32% | |
Maturity Date | | Jul. 26, 2028 | | Jul. 26, 2028 | |
Principal/ Number of Shares | | 493,750 | | 495,000 | |
Cost | | $ 468,345 | | $ 468,246 | |
Fair Value | | $ 494,984 | | $ 494,381 | |
Apollo Commercial Real Estate Finance, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.19% | | 8.19% | |
Maturity Date | | May 15, 2026 | | May 15, 2026 | |
Principal/ Number of Shares | | 2,901,015 | | 2,908,629 | |
Cost | | $ 2,884,650 | | $ 2,890,508 | |
Fair Value | | $ 2,850,102 | | $ 2,857,728 | |
Apollo Commercial Real Estate Finance, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B1 (2/21) | | Term Loan B1 (2/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.94% | | 8.94% | |
Maturity Date | | Mar. 06, 2028 | | Mar. 06, 2028 | |
Principal/ Number of Shares | | 970,000 | | 972,500 | |
Cost | | $ 964,229 | | $ 966,275 | |
Fair Value | | $ 936,050 | | $ 943,325 | |
AppLovin Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan (10/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.83% | | 8.43% | |
Maturity Date | | Aug. 19, 2030 | | Oct. 21, 2028 | |
Principal/ Number of Shares | | 969,617 | | 1,473,750 | |
Cost | | $ 969,617 | | $ 1,471,272 | |
Fair Value | | $ 972,158 | | $ 1,474,207 | |
AppLovin Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B (3/24) | | Term Loan (08/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.83% | | 8.43% | |
Maturity Date | | Oct. 25, 2028 | | Aug. 15, 2030 | |
Principal/ Number of Shares | | 1,473,750 | | 969,617 | |
Cost | | $ 1,471,784 | | $ 969,617 | |
Fair Value | | $ 1,479,896 | | $ 970,374 | |
AqGen Ascensus, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.94% | | 8.94% | |
Maturity Date | | Aug. 02, 2028 | | Aug. 02, 2028 | |
Principal/ Number of Shares | | 498,692 | | 500,000 | |
Cost | | $ 495,303 | | $ 496,312 | |
Fair Value | | $ 498,692 | | $ 496,375 | |
Aramark Services, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan | | Term Loan B (4/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 1.75% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.19% | | 7.94% | |
Maturity Date | | Jan. 15, 2027 | | Apr. 01, 2028 | |
Principal/ Number of Shares | | 2,331,250 | | 1,753,715 | |
Cost | | $ 2,296,034 | | $ 1,748,558 | |
Fair Value | | $ 2,331,250 | | $ 1,750,436 | |
Aramark Services, Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan B7 (03/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 1.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.33% | | 7.19% | |
Maturity Date | | Apr. 06, 2028 | | Jan. 15, 2027 | |
Principal/ Number of Shares | | 1,753,715 | | 2,331,250 | |
Cost | | $ 1,748,960 | | $ 2,292,785 | |
Fair Value | | $ 1,756,346 | | $ 2,324,699 | |
ARC FALCON I INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.93% | | 8.93% | |
Maturity Date | | Sep. 23, 2028 | | Sep. 23, 2028 | |
Principal/ Number of Shares | | 978,774 | | 981,274 | |
Cost | | $ 976,519 | | $ 978,810 | |
Fair Value | | $ 978,774 | | $ 972,550 | |
ARCIS GOLF LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.19% | | 9.19% | |
Maturity Date | | Nov. 24, 2028 | | Nov. 24, 2028 | |
Principal/ Number of Shares | | 496,735 | | 497,980 | |
Cost | | $ 492,460 | | $ 493,335 | |
Fair Value | | $ 499,219 | | $ 498,602 | |
Aretec Group, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B 2 | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.33% | | 9.93% | |
Maturity Date | | Aug. 09, 2030 | | Aug. 09, 2030 | |
Principal/ Number of Shares | | 2,636,078 | | 2,642,718 | |
Cost | | $ 2,621,595 | | $ 2,627,451 | |
Fair Value | | $ 2,648,019 | | $ 2,651,650 | |
Aspire Bakeries Holdings, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Term loan | | Term loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.57% | | 9.57% | |
Maturity Date | | Dec. 23, 2030 | | Dec. 13, 2030 | |
Principal/ Number of Shares | | 900,000 | | 900,000 | |
Cost | | $ 891,571 | | $ 891,160 | |
Fair Value | | $ 906,750 | | $ 900,000 | |
Assuredpartners Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B5 (02/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.83% | | 8.83% | |
Maturity Date | | Feb. 14, 2031 | | Feb. 12, 2027 | |
Principal/ Number of Shares | | 1,300,000 | | 491,250 | |
Cost | | $ 1,298,420 | | $ 490,654 | |
Fair Value | | $ 1,309,646 | | $ 491,250 | |
Asurion, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B10 | | Term Loan B10 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.43% | | 9.43% | |
Maturity Date | | Aug. 19, 2028 | | Aug. 19, 2028 | |
Principal/ Number of Shares | | 1,970,000 | | 1,975,000 | |
Cost | | $ 1,894,696 | | $ 1,895,414 | |
Fair Value | | $ 1,945,651 | | $ 1,957,719 | |
Asurion, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B8 | | Term Loan B8 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.69% | | 8.69% | |
Maturity Date | | Dec. 18, 2026 | | Dec. 18, 2026 | |
Principal/ Number of Shares | | 2,927,041 | | 2,934,604 | |
Cost | | $ 2,922,738 | | $ 2,928,879 | |
Fair Value | | $ 2,905,088 | | $ 2,915,442 | |
ATHENAHEALTH GROUP INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan B (2/22) | | Term Loan B (2/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.58% | | 8.58% | |
Maturity Date | | Feb. 15, 2029 | | Feb. 15, 2029 | |
Principal/ Number of Shares | | 1,313,828 | | 1,317,171 | |
Cost | | $ 1,310,158 | | $ 1,313,077 | |
Fair Value | | $ 1,310,176 | | $ 1,304,619 | |
Avolon TLB Borrower 1 (US) LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Capital Equipment | | Capital Equipment | |
Asset Name | | Term Loan B6 | | Term Loan B6 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.32% | | 7.32% | |
Maturity Date | | Jun. 22, 2028 | | Jun. 22, 2028 | |
Principal/ Number of Shares | | 1,480,041 | | 1,483,750 | |
Cost | | $ 1,429,166 | | $ 1,429,872 | |
Fair Value | | $ 1,484,022 | | $ 1,483,038 | |
Axalta Coating Systems Dutch Holding B B.V. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | | |
Asset Name | | Term Loan B6 (03/24) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 2% | | | |
SOFR/LIBOR Floor | | 0.50% | | | |
Current Rate (All In) | | 7.33% | | | |
Maturity Date | | Dec. 20, 2029 | | | |
Principal/ Number of Shares | | 855,388 | | | |
Cost | | $ 848,456 | | | |
Fair Value | | $ 858,458 | | | |
AZURITY PHARMACEUTICALS, INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 6.62% | | 6.62% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 12.06% | | 12.06% | |
Maturity Date | | Sep. 20, 2027 | | Sep. 20, 2027 | |
Principal/ Number of Shares | | 443,750 | | 450,000 | |
Cost | | $ 435,439 | | $ 440,909 | |
Fair Value | | $ 442,086 | | $ 445,500 | |
B&G Foods, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.83% | | 7.83% | |
Maturity Date | | Oct. 10, 2026 | | Oct. 10, 2026 | |
Principal/ Number of Shares | | 533,621 | | 556,042 | |
Cost | | $ 531,766 | | $ 553,804 | |
Fair Value | | $ 533,088 | | $ 553,540 | |
BAKELITE UK INTERMEDIATE LTD. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan (5/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.50% | | 4% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.83% | | 9.50% | |
Maturity Date | | May 29, 2029 | | May 29, 2029 | |
Principal/ Number of Shares | | 1,481,231 | | 985,000 | |
Cost | | $ 1,475,389 | | $ 981,238 | |
Fair Value | | $ 1,489,867 | | $ 980,075 | |
Baldwin Insurance Group Holdings, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | | |
Asset Name | | Term Loan B | | | |
Asset Type | | Loan | | | |
Reference Rate | | 1M USD SOFR+ | | | |
Reference Spread | | 3.25% | | | |
SOFR/LIBOR Floor | | 0% | | | |
Current Rate (All In) | | 8.57% | | | |
Maturity Date | | May 14, 2031 | | | |
Principal/ Number of Shares | | 1,648,521 | | | |
Cost | | $ 1,637,811 | | | |
Fair Value | | $ 1,650,582 | | | |
Belfor Holdings Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan B-1 (11/23) | | Term Loan B-1 (11/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.08% | | 9.08% | |
Maturity Date | | Oct. 25, 2030 | | Oct. 25, 2030 | |
Principal/ Number of Shares | | 1,502,834 | | 1,600,000 | |
Cost | | $ 1,489,202 | | $ 1,584,928 | |
Fair Value | | $ 1,508,470 | | $ 1,602,000 | |
Belron Finance US LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.25% | | 2% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.68% | | 7.58% | |
Maturity Date | | Apr. 18, 2029 | | Apr. 13, 2028 | |
Principal/ Number of Shares | | 248,125 | | 1,945,000 | |
Cost | | $ 248,125 | | $ 1,945,000 | |
Fair Value | | $ 248,951 | | $ 1,943,172 | |
Belron Finance US LLC One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 1.93% | | 2.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.51% | | 7.66% | |
Maturity Date | | Apr. 13, 2028 | | Apr. 18, 2029 | |
Principal/ Number of Shares | | 1,940,000 | | 248,750 | |
Cost | | $ 1,940,000 | | $ 248,750 | |
Fair Value | | $ 1,943,240 | | $ 248,544 | |
Bengal Debt Merger Sub LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.66% | | 8.70% | |
Maturity Date | | Jan. 24, 2029 | | Jan. 24, 2029 | |
Principal/ Number of Shares | | 1,965,000 | | 1,970,000 | |
Cost | | $ 1,964,329 | | $ 1,969,251 | |
Fair Value | | $ 1,866,337 | | $ 1,852,785 | |
Blackstone Mortgage Trust, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B | | Term Loan (6/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0.50% | |
Current Rate (All In) | | 7.69% | | 8.19% | |
Maturity Date | | Apr. 23, 2026 | | Apr. 23, 2026 | |
Principal/ Number of Shares | | 967,089 | | 1,450,228 | |
Cost | | $ 964,204 | | $ 1,444,650 | |
Fair Value | | $ 948,840 | | $ 1,439,352 | |
Blackstone Mortgage Trust, Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (6/21) | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0% | |
Current Rate (All In) | | 8.19% | | 7.69% | |
Maturity Date | | Apr. 23, 2026 | | Apr. 23, 2026 | |
Principal/ Number of Shares | | 1,446,500 | | 969,620 | |
Cost | | $ 1,441,614 | | $ 966,168 | |
Fair Value | | $ 1,426,611 | | $ 962,348 | |
Blue Tree Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan (2/21) | | Term Loan (2/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.06% | | 8.11% | |
Maturity Date | | Mar. 04, 2028 | | Mar. 04, 2028 | |
Principal/ Number of Shares | | 970,000 | | 972,500 | |
Cost | | $ 968,732 | | $ 971,083 | |
Fair Value | | $ 969,593 | | $ 967,229 | |
Bombardier Recreational Products, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.08% | | 8.08% | |
Maturity Date | | Jan. 22, 2031 | | Jan. 22, 2031 | |
Principal/ Number of Shares | | 1,436,580 | | 1,440,189 | |
Cost | | $ 1,432,892 | | $ 1,436,033 | |
Fair Value | | $ 1,439,769 | | $ 1,437,942 | |
Bombardier Recreational Products, Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Term Loan B3 | | Term Loan B3 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.08% | | 8.18% | |
Maturity Date | | Dec. 13, 2029 | | Dec. 13, 2029 | |
Principal/ Number of Shares | | 492,528 | | 493,769 | |
Cost | | $ 482,220 | | $ 482,991 | |
Fair Value | | $ 493,838 | | $ 493,833 | |
Boost Newco Borrower, LLC (Worldpay) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0% | | 0.50% | |
Current Rate (All In) | | 8.31% | | 8.33% | |
Maturity Date | | Jan. 31, 2031 | | Jan. 31, 2031 | |
Principal/ Number of Shares | | 500,000 | | 500,000 | |
Cost | | $ 497,726 | | $ 497,629 | |
Fair Value | | $ 501,320 | | $ 501,460 | |
Boxer Parent Company, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan USD (11/23) | | Term Loan USD (11/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.33% | | 9.58% | |
Maturity Date | | Dec. 29, 2028 | | Dec. 29, 2028 | |
Principal/ Number of Shares | | 1,009,724 | | 1,012,255 | |
Cost | | $ 1,005,194 | | $ 1,007,334 | |
Fair Value | | $ 1,016,671 | | $ 1,015,018 | |
BrightSpring Health Services (Phoenix Guarantor) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan (02/24) | | Term Loan (02/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.58% | | 8.58% | |
Maturity Date | | Feb. 21, 2031 | | Feb. 21, 2031 | |
Principal/ Number of Shares | | 972,500 | | 972,500 | |
Cost | | $ 972,500 | | $ 972,500 | |
Fair Value | | $ 972,626 | | $ 961,355 | |
BroadStreet Partners, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B3 | | Term Loan B3 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.44% | | 8.44% | |
Maturity Date | | Jan. 22, 2027 | | Jan. 22, 2027 | |
Principal/ Number of Shares | | 2,910,884 | | 2,918,464 | |
Cost | | $ 2,908,714 | | $ 2,915,588 | |
Fair Value | | $ 2,919,383 | | $ 2,913,007 | |
Brookfield WEC Holdings Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Energy: Electricity | | Energy: Electricity | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.08% | | 8.08% | |
Maturity Date | | Jan. 17, 2031 | | Jan. 17, 2031 | |
Principal/ Number of Shares | | 1,447,688 | | 1,447,688 | |
Cost | | $ 1,447,688 | | $ 1,447,688 | |
Fair Value | | $ 1,454,652 | | $ 1,442,028 | |
BROWN GROUP HOLDING, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Aerospace & Defense | | Aerospace & Defense | |
Asset Name | | Term Loan B-2 | | Term Loan B-2 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.33% | | 8.33% | |
Maturity Date | | Jul. 01, 2029 | | Jul. 01, 2029 | |
Principal/ Number of Shares | | 493,750 | | 493,750 | |
Cost | | $ 484,103 | | $ 483,706 | |
Fair Value | | $ 495,434 | | $ 492,856 | |
Buckeye Partners, L.P. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Utilities: Oil & Gas | | Utilities: Oil & Gas | |
Asset Name | | Term Loan B 3 | | Term Loan B2 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.33% | | 7.83% | |
Maturity Date | | Nov. 01, 2026 | | Nov. 15, 2030 | |
Principal/ Number of Shares | | 1,261,946 | | 333,333 | |
Cost | | $ 1,257,991 | | $ 332,779 | |
Fair Value | | $ 1,263,284 | | $ 333,393 | |
Buckeye Partners, L.P. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Utilities: Oil & Gas | | Utilities: Oil & Gas | |
Asset Name | | Term Loan B4 (05/24) | | Term Loan B 3 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.33% | | 7.33% | |
Maturity Date | | Nov. 22, 2030 | | Nov. 01, 2026 | |
Principal/ Number of Shares | | 666,671 | | 1,595,639 | |
Cost | | $ 664,451 | | $ 1,589,524 | |
Fair Value | | $ 667,864 | | $ 1,595,910 | |
BW Gas & Convenience Holdings LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.94% | | 8.94% | |
Maturity Date | | Mar. 31, 2028 | | Mar. 31, 2028 | |
Principal/ Number of Shares | | 2,431,250 | | 2,437,500 | |
Cost | | $ 2,416,861 | | $ 2,421,791 | |
Fair Value | | $ 2,437,328 | | $ 2,400,938 | |
Callaway Golf Company [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.33% | | 8.93% | |
Maturity Date | | Mar. 16, 2030 | | Mar. 16, 2030 | |
Principal/ Number of Shares | | 475,000 | | 496,250 | |
Cost | | $ 470,843 | | $ 491,660 | |
Fair Value | | $ 477,038 | | $ 496,200 | |
Calpine Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Utilities: Electric | | Utilities: Electric | |
Asset Name | | Term Loan B10 (01/24) | | Term Loan B-10 (01/20) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 3M USD LIBOR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.33% | | 3.87% | |
Maturity Date | | Jan. 31, 2031 | | Aug. 12, 2026 | |
Principal/ Number of Shares | | 2,000,000 | | 2,000,000 | |
Cost | | $ 1,990,188 | | $ 1,990,000 | |
Fair Value | | $ 2,002,500 | | $ 1,983,760 | |
Camping World, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan B (5/21) | | Term Loan B (5/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 7.94% | | 7.94% | |
Maturity Date | | Jun. 05, 2028 | | Jun. 05, 2028 | |
Principal/ Number of Shares | | 2,455,696 | | 2,462,025 | |
Cost | | $ 2,280,977 | | $ 2,277,630 | |
Fair Value | | $ 2,393,469 | | $ 2,401,238 | |
CAPSTONE BORROWER INC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B (05/24) | | Term Loan (06/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.57% | | 9.10% | |
Maturity Date | | Jun. 17, 2030 | | Jun. 15, 2030 | |
Principal/ Number of Shares | | 879,264 | | 998,077 | |
Cost | | $ 867,452 | | $ 984,312 | |
Fair Value | | $ 882,191 | | $ 993,396 | |
CareerBuilder, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B3 | | Term Loan B3 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 6.75% | | 6.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 12.32% | | 12.36% | |
Maturity Date | | Jul. 31, 2026 | | Jul. 31, 2026 | |
Principal/ Number of Shares | | 3,930,582 | | 3,930,582 | |
Cost | | $ 3,914,563 | | $ 3,912,784 | |
Fair Value | | $ 589,587 | | $ 589,587 | |
Castle US Holding Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Advertising, Printing & Publishing | | Media: Advertising, Printing & Publishing | |
Asset Name | | Term Loan B (USD) | | Term Loan B (USD) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.19% | | 9.35% | |
Maturity Date | | Jan. 27, 2027 | | Jan. 27, 2027 | |
Principal/ Number of Shares | | 1,942,453 | | 1,946,639 | |
Cost | | $ 1,936,309 | | $ 1,939,553 | |
Fair Value | | $ 1,267,761 | | $ 1,354,627 | |
CASTLELAKE AVIATION LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Aerospace & Defense | | Aerospace & Defense | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.08% | | 8.40% | |
Maturity Date | | Oct. 21, 2027 | | Oct. 21, 2027 | |
Principal/ Number of Shares | | 987,500 | | 990,000 | |
Cost | | $ 981,684 | | $ 983,747 | |
Fair Value | | $ 991,203 | | $ 989,228 | |
CBL & Associates Limited Partnership [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan 11/21 | | Term Loan 11/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 8.18% | | 8.19% | |
Maturity Date | | Nov. 01, 2025 | | Nov. 01, 2025 | |
Principal/ Number of Shares | | 2,435,462 | | 2,464,605 | |
Cost | | $ 2,180,455 | | $ 2,167,043 | |
Fair Value | | $ 2,231,492 | | $ 2,214,029 | |
CCC Intelligent Solutions Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.69% | | 7.69% | |
Maturity Date | | Sep. 16, 2028 | | Sep. 16, 2028 | |
Principal/ Number of Shares | | 244,375 | | 245,000 | |
Cost | | $ 244,077 | | $ 244,633 | |
Fair Value | | $ 245,291 | | $ 244,030 | |
CCI Buyer, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | Telecommunications | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.30% | | 9.35% | |
Maturity Date | | Dec. 17, 2027 | | Dec. 17, 2027 | |
Principal/ Number of Shares | | 242,500 | | 243,125 | |
Cost | | $ 241,119 | | $ 241,678 | |
Fair Value | | $ 243,562 | | $ 241,195 | |
CCRR Parent, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.67% | | 9.68% | |
Maturity Date | | Mar. 05, 2028 | | Mar. 05, 2028 | |
Principal/ Number of Shares | | 987,500 | | 990,000 | |
Cost | | $ 949,110 | | $ 949,452 | |
Fair Value | | $ 869,000 | | $ 920,700 | |
CCRR Parent, Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.69% | | 9.19% | |
Maturity Date | | Mar. 05, 2028 | | Mar. 05, 2028 | |
Principal/ Number of Shares | | 970,000 | | 972,500 | |
Cost | | $ 967,330 | | $ 969,580 | |
Fair Value | | $ 856,025 | | $ 866,741 | |
CCS-CMGC Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 11.11% | | 10.83% | |
Maturity Date | | Sep. 25, 2025 | | Sep. 25, 2025 | |
Principal/ Number of Shares | | 2,368,750 | | 2,375,000 | |
Cost | | $ 2,363,883 | | $ 2,368,777 | |
Fair Value | | $ 1,604,828 | | $ 1,863,520 | |
CDK GLOBAL, INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B (05/24) | | Term Loan B (10/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.58% | | 9.35% | |
Maturity Date | | Jul. 06, 2029 | | Jul. 06, 2029 | |
Principal/ Number of Shares | | 992,500 | | 992,500 | |
Cost | | $ 968,446 | | $ 967,482 | |
Fair Value | | $ 1,000,112 | | $ 994,406 | |
CENTURI GROUP, INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.94% | | 7.94% | |
Maturity Date | | Aug. 27, 2028 | | Aug. 27, 2028 | |
Principal/ Number of Shares | | 726,092 | | 868,330 | |
Cost | | $ 721,525 | | $ 862,415 | |
Fair Value | | $ 727,907 | | $ 868,191 | |
Charlotte Buyer, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.25% | | 5.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.57% | | 10.57% | |
Maturity Date | | Feb. 11, 2028 | | Feb. 11, 2028 | |
Principal/ Number of Shares | | 1,481,250 | | 1,485,000 | |
Cost | | $ 1,404,830 | | $ 1,404,122 | |
Fair Value | | $ 1,489,501 | | $ 1,487,866 | |
Chemours Company, (The) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan B2 | | Term Loan B2 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.83% | | 8.83% | |
Maturity Date | | Aug. 10, 2028 | | Aug. 10, 2028 | |
Principal/ Number of Shares | | 2,387,717 | | 2,393,717 | |
Cost | | $ 2,351,732 | | $ 2,355,365 | |
Fair Value | | $ 2,401,160 | | $ 2,345,842 | |
Churchill Downs Incorporated [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B1 (3/21) | | Term Loan B1 (3/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.43% | | 7.43% | |
Maturity Date | | Mar. 17, 2028 | | Mar. 17, 2028 | |
Principal/ Number of Shares | | 485,000 | | 486,250 | |
Cost | | $ 484,451 | | $ 485,591 | |
Fair Value | | $ 486,213 | | $ 485,642 | |
CIMPRESS PUBLIC LIMITED COMPANY [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Advertising, Printing & Publishing | | Media: Advertising, Printing & Publishing | |
Asset Name | | Term Loan B1 (05/24) | | USD Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.33% | | 8.94% | |
Maturity Date | | May 17, 2028 | | May 17, 2028 | |
Principal/ Number of Shares | | 1,954,823 | | 1,959,849 | |
Cost | | $ 1,884,621 | | $ 1,885,810 | |
Fair Value | | $ 1,953,611 | | $ 1,951,676 | |
CITADEL SECURITIES LP [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B (01/24) | | Term Loan B (01/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.57% | | 7.58% | |
Maturity Date | | Jul. 29, 2030 | | Jul. 29, 2030 | |
Principal/ Number of Shares | | 4,851,448 | | 4,863,365 | |
Cost | | $ 4,851,448 | | $ 4,862,868 | |
Fair Value | | $ 4,878,131 | | $ 4,857,286 | |
Citco Funding LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loa 1st Lien Incremental | | Term Loa 1st Lien Incremental | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.57% | | 8.57% | |
Maturity Date | | Apr. 27, 2028 | | Apr. 27, 2028 | |
Principal/ Number of Shares | | 995,000 | | 997,500 | |
Cost | | $ 990,675 | | $ 992,828 | |
Fair Value | | $ 997,179 | | $ 997,919 | |
Clarios Global LP [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan (12/23) | | Term Loan (12/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.33% | | 8.33% | |
Maturity Date | | May 06, 2030 | | May 06, 2030 | |
Principal/ Number of Shares | | 1,197,000 | | 1,197,000 | |
Cost | | $ 1,191,917 | | $ 1,191,616 | |
Fair Value | | $ 1,202,985 | | $ 1,196,629 | |
Claros Mortgage Trust, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B-1 (11/21) | | Term Loan B-1 (11/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.50% | | 4.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.92% | | 9.92% | |
Maturity Date | | Aug. 09, 2026 | | Aug. 09, 2026 | |
Principal/ Number of Shares | | 3,395,482 | | 3,404,430 | |
Cost | | $ 3,383,139 | | $ 3,390,583 | |
Fair Value | | $ 3,136,577 | | $ 3,132,076 | |
CLYDESDALE ACQUISITION HOLDINGS, INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.68% | | 3.68% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.10% | | 9.10% | |
Maturity Date | | Apr. 13, 2029 | | Apr. 13, 2029 | |
Principal/ Number of Shares | | 1,473,750 | | 1,477,500 | |
Cost | | $ 1,445,792 | | $ 1,448,088 | |
Fair Value | | $ 1,481,119 | | $ 1,475,343 | |
Columbus McKinnon Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Capital Equipment | | Capital Equipment | |
Asset Name | | Term Loan (03/24) | | Term Loan (4/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.81% | | 8.39% | |
Maturity Date | | May 14, 2028 | | May 14, 2028 | |
Principal/ Number of Shares | | 390,593 | | 406,951 | |
Cost | | $ 390,049 | | $ 406,326 | |
Fair Value | | $ 392,792 | | $ 407,207 | |
Conduent, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.69% | | 9.69% | |
Maturity Date | | Oct. 16, 2028 | | Oct. 16, 2028 | |
Principal/ Number of Shares | | 215,713 | | 2,762,330 | |
Cost | | $ 211,174 | | $ 2,701,073 | |
Fair Value | | $ 216,185 | | $ 2,702,470 | |
Connect Finco SARL [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | Telecommunications | |
Asset Name | | Term Loan B (03/24) | | Term Loan (1/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 1% | |
Current Rate (All In) | | 9.83% | | 8.83% | |
Maturity Date | | Sep. 11, 2029 | | Dec. 11, 2026 | |
Principal/ Number of Shares | | 2,887,500 | | 2,887,500 | |
Cost | | $ 2,814,050 | | $ 2,809,993 | |
Fair Value | | $ 2,754,675 | | $ 2,882,678 | |
Consolidated Communications, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | Telecommunications | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.94% | | 8.94% | |
Maturity Date | | Oct. 02, 2027 | | Oct. 02, 2027 | |
Principal/ Number of Shares | | 2,714,005 | | 2,714,005 | |
Cost | | $ 2,563,151 | | $ 2,553,865 | |
Fair Value | | $ 2,577,137 | | $ 2,544,379 | |
CORAL-US CO-BORROWER LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | Telecommunications | |
Asset Name | | Term Loan B-5 | | Term Loan B-5 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.68% | | 7.68% | |
Maturity Date | | Jan. 31, 2028 | | Jan. 31, 2028 | |
Principal/ Number of Shares | | 4,000,000 | | 4,000,000 | |
Cost | | $ 3,991,605 | | $ 3,990,860 | |
Fair Value | | $ 3,948,560 | | $ 3,950,000 | |
Corelle Brands Holding Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | | |
Asset Name | | Exit Term Loan | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 8% | | | |
SOFR/LIBOR Floor | | 2% | | | |
Current Rate (All In) | | 13.33% | | | |
Maturity Date | | Feb. 27, 2029 | | | |
Principal/ Number of Shares | | 100,196 | | | |
Cost | | $ 100,197 | | | |
Fair Value | | $ 99,194 | | | |
Corelogic, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (4/21) | | Term Loan (4/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.94% | | 8.94% | |
Maturity Date | | Jun. 02, 2028 | | Jun. 02, 2028 | |
Principal/ Number of Shares | | 2,437,500 | | 2,443,750 | |
Cost | | $ 2,430,573 | | $ 2,436,006 | |
Fair Value | | $ 2,400,938 | | $ 2,372,344 | |
Cortes NP Acquisition Corp (Vertiv) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Capital Equipment | | Capital Equipment | |
Asset Name | | Term Loan B (12/23) | | Term Loan B (12/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.93% | | 7.94% | |
Maturity Date | | Mar. 02, 2027 | | Mar. 02, 2027 | |
Principal/ Number of Shares | | 1,935,275 | | 1,940,138 | |
Cost | | $ 1,935,275 | | $ 1,940,138 | |
Fair Value | | $ 1,941,816 | | $ 1,941,903 | |
Creative Artists Agency, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Diversified & Production | | Media: Diversified & Production | |
Asset Name | | Term Loan B | | Term Loan B (02/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.58% | | 8.83% | |
Maturity Date | | Nov. 27, 2028 | | Nov. 27, 2028 | |
Principal/ Number of Shares | | 1,584,034 | | 1,588,004 | |
Cost | | $ 1,574,817 | | $ 1,577,748 | |
Fair Value | | $ 1,592,747 | | $ 1,588,449 | |
CROCS INC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Term Loan B (01/24) | | Term Loan B (01/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.55% | | 7.58% | |
Maturity Date | | Feb. 19, 2029 | | Feb. 19, 2029 | |
Principal/ Number of Shares | | 1,170,000 | | 1,230,000 | |
Cost | | $ 1,134,582 | | $ 1,190,854 | |
Fair Value | | $ 1,177,090 | | $ 1,230,923 | |
Cross Financial Corp [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B2 | | Term Loan B2 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.83% | | 8.83% | |
Maturity Date | | Sep. 15, 2027 | | Sep. 15, 2027 | |
Principal/ Number of Shares | | 487,500 | | 487,500 | |
Cost | | $ 487,449 | | $ 487,355 | |
Fair Value | | $ 489,938 | | $ 486,891 | |
Crown Subsea Communications Holding, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan B (01/24) | | Term Loan B (01/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.08% | | 10.07% | |
Maturity Date | | Jan. 30, 2031 | | Jan. 30, 2031 | |
Principal/ Number of Shares | | 2,400,000 | | 2,400,000 | |
Cost | | $ 2,377,563 | | $ 2,376,371 | |
Fair Value | | $ 2,419,992 | | $ 2,409,000 | |
CSC Holdings LLC (Neptune Finco Corp.) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Broadcasting & Subscription | | Media: Broadcasting & Subscription | |
Asset Name | | Term Loan 12/22 | | Term Loan B-5 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD LIBOR+ | |
Reference Spread | | 4.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.82% | | 7.93% | |
Maturity Date | | Jan. 15, 2028 | | Apr. 15, 2027 | |
Principal/ Number of Shares | | 2,370,032 | | 480,000 | |
Cost | | $ 2,362,895 | | $ 480,000 | |
Fair Value | | $ 2,276,084 | | $ 448,277 | |
CSC Holdings LLC (Neptune Finco Corp.) One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Broadcasting & Subscription | | Media: Broadcasting & Subscription | |
Asset Name | | Term Loan B-5 | | Term Loan 12/22 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD LIBOR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 4.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.93% | | 9.82% | |
Maturity Date | | Apr. 15, 2027 | | Apr. 15, 2027 | |
Principal/ Number of Shares | | 478,750 | | 2,376,032 | |
Cost | | $ 478,750 | | $ 2,368,120 | |
Fair Value | | $ 377,078 | | $ 2,307,222 | |
CTC Holdings, LP [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5% | | 5% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.48% | | 10.48% | |
Maturity Date | | Feb. 15, 2029 | | Feb. 15, 2029 | |
Principal/ Number of Shares | | 2,205,000 | | 2,210,625 | |
Cost | | $ 2,163,134 | | $ 2,165,966 | |
Fair Value | | $ 2,193,975 | | $ 2,194,045 | |
CTS Midco, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 6% | | 6% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 11.59% | | 11.57% | |
Maturity Date | | Nov. 02, 2027 | | Nov. 02, 2027 | |
Principal/ Number of Shares | | 1,932,614 | | 1,937,017 | |
Cost | | $ 1,901,296 | | $ 1,903,074 | |
Fair Value | | $ 1,932,614 | | $ 1,830,481 | |
Dave & Buster’s Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B (1/24) | | Term Loan B (1/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.63% | | 8.63% | |
Maturity Date | | Jun. 29, 2029 | | Jun. 29, 2029 | |
Principal/ Number of Shares | | 987,544 | | 990,019 | |
Cost | | $ 948,521 | | $ 949,041 | |
Fair Value | | $ 992,343 | | $ 990,791 | |
DCert Buyer, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.33% | | 9.33% | |
Maturity Date | | Oct. 16, 2026 | | Oct. 16, 2026 | |
Principal/ Number of Shares | | 1,450,882 | | 1,454,660 | |
Cost | | $ 1,450,882 | | $ 1,454,660 | |
Fair Value | | $ 1,442,829 | | $ 1,442,426 | |
Delek US Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Utilities: Oil & Gas | | Utilities: Oil & Gas | |
Asset Name | | Term Loan B (11/22) | | Term Loan B (11/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.93% | | 8.93% | |
Maturity Date | | Nov. 16, 2029 | | Nov. 16, 2029 | |
Principal/ Number of Shares | | 5,332,500 | | 5,346,000 | |
Cost | | $ 5,236,120 | | $ 5,244,974 | |
Fair Value | | $ 5,347,751 | | $ 5,325,952 | |
Delta 2 Lux Sarl [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.56% | | 7.60% | |
Maturity Date | | Jan. 15, 2030 | | Jan. 15, 2030 | |
Principal/ Number of Shares | | 2,000,000 | | 2,000,000 | |
Cost | | $ 1,991,719 | | $ 1,991,389 | |
Fair Value | | $ 2,010,000 | | $ 1,997,000 | |
Derby Buyer LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan (5/24) | | Term Loan (09/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.82% | | 9.58% | |
Maturity Date | | Nov. 01, 2030 | | Nov. 01, 2030 | |
Principal/ Number of Shares | | 625,000 | | 625,000 | |
Cost | | $ 616,239 | | $ 616,061 | |
Fair Value | | $ 626,756 | | $ 625,394 | |
DexKo Global, Inc. (Dragon Merger) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan (9/21) | | Term Loan (9/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.32% | | 9.36% | |
Maturity Date | | Oct. 04, 2028 | | Oct. 04, 2028 | |
Principal/ Number of Shares | | 980,000 | | 982,500 | |
Cost | | $ 977,303 | | $ 979,722 | |
Fair Value | | $ 976,835 | | $ 978,206 | |
DG Investment Intermediate Holdings 2, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Aerospace & Defense | | Aerospace & Defense | |
Asset Name | | Incremental Term Loan (3/22) | | Incremental Term Loan (3/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.08% | | 10.08% | |
Maturity Date | | Mar. 31, 2028 | | Mar. 31, 2028 | |
Principal/ Number of Shares | | 492,500 | | 493,750 | |
Cost | | $ 477,286 | | $ 477,680 | |
Fair Value | | $ 493,426 | | $ 492,051 | |
Diamond Sports Group, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Broadcasting & Subscription | | Media: Broadcasting & Subscription | |
Asset Name | | 1st Priority Term Loan | | 1st Priority Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 10% | | 10% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 15.41% | | 15.43% | |
Maturity Date | | May 25, 2026 | | May 25, 2026 | |
Principal/ Number of Shares | | 152,224 | | 152,224 | |
Cost | | $ 149,746 | | $ 149,462 | |
Fair Value | | $ 142,710 | | $ 146,896 | |
DIRECTV FINANCING, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Broadcasting & Subscription | | Media: Broadcasting & Subscription | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.25% | | 5.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.69% | | 10.83% | |
Maturity Date | | Aug. 02, 2029 | | Aug. 02, 2029 | |
Principal/ Number of Shares | | 3,118,225 | | 3,190,000 | |
Cost | | $ 3,099,077 | | $ 3,169,423 | |
Fair Value | | $ 3,122,435 | | $ 3,181,036 | |
DISCOVERY PURCHASER CORPORATION [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.38% | | 4.38% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.68% | | 9.71% | |
Maturity Date | | Oct. 04, 2029 | | Oct. 04, 2029 | |
Principal/ Number of Shares | | 1,481,316 | | 1,485,028 | |
Cost | | $ 1,383,808 | | $ 1,383,712 | |
Fair Value | | $ 1,480,397 | | $ 1,476,207 | |
Dispatch Acquisition Holdings, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Environmental Industries | | Environmental Industries | |
Asset Name | | Term Loan B (3/21) | | Term Loan B (3/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.70% | | 9.75% | |
Maturity Date | | Mar. 25, 2028 | | Mar. 25, 2028 | |
Principal/ Number of Shares | | 486,250 | | 487,500 | |
Cost | | $ 483,394 | | $ 484,443 | |
Fair Value | | $ 428,075 | | $ 452,463 | |
DOMTAR CORPORATION [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Forest Products & Paper | | Forest Products & Paper | |
Asset Name | | Term Loan 9/21 | | Term Loan 9/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.94% | | 10.94% | |
Maturity Date | | Nov. 30, 2028 | | Nov. 30, 2028 | |
Principal/ Number of Shares | | 3,200,830 | | 3,243,968 | |
Cost | | $ 3,148,020 | | $ 3,187,785 | |
Fair Value | | $ 3,128,811 | | $ 3,163,874 | |
DOTDASH MEREDITH, INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Advertising, Printing & Publishing | | Media: Advertising, Printing & Publishing | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.41% | | 9.43% | |
Maturity Date | | Nov. 30, 2028 | | Nov. 30, 2028 | |
Principal/ Number of Shares | | 1,969,697 | | 1,974,747 | |
Cost | | $ 1,811,779 | | $ 1,809,468 | |
Fair Value | | $ 1,972,159 | | $ 1,955,000 | |
DRI HOLDING INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Advertising, Printing & Publishing | | Media: Advertising, Printing & Publishing | |
Asset Name | | Term Loan (12/21) | | Term Loan (12/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.25% | | 5.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.68% | | 10.68% | |
Maturity Date | | Dec. 15, 2028 | | Dec. 15, 2028 | |
Principal/ Number of Shares | | 3,922,456 | | 3,932,462 | |
Cost | | $ 3,805,230 | | $ 3,808,999 | |
Fair Value | | $ 3,731,236 | | $ 3,605,596 | |
DRW Holdings, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (2/21) | | Term Loan (2/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.19% | | 9.19% | |
Maturity Date | | Mar. 01, 2028 | | Mar. 01, 2028 | |
Principal/ Number of Shares | | 6,305,000 | | 6,370,000 | |
Cost | | $ 6,277,577 | | $ 6,338,820 | |
Fair Value | | $ 6,318,808 | | $ 6,354,075 | |
DTZ U.S. Borrower, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan (01/23) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0% | |
Current Rate (All In) | | 8.68% | | 8.19% | |
Maturity Date | | Jan. 31, 2030 | | Aug. 21, 2025 | |
Principal/ Number of Shares | | 2,019,155 | | 198,929 | |
Cost | | $ 2,017,361 | | $ 198,685 | |
Fair Value | | $ 2,024,203 | | $ 198,432 | |
DTZ U.S. Borrower, LLC One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan B (04/24) | | Term Loan (01/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.08% | | 8.68% | |
Maturity Date | | Jan. 31, 2030 | | Jan. 31, 2030 | |
Principal/ Number of Shares | | 1,097,250 | | 2,024,241 | |
Cost | | $ 1,072,388 | | $ 2,022,091 | |
Fair Value | | $ 1,104,108 | | $ 1,999,788 | |
DTZ U.S. Borrower, LLC Two [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan | | Term Loan (08/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0.50% | |
Current Rate (All In) | | 8.19% | | 9.33% | |
Maturity Date | | Aug. 21, 2025 | | Jan. 31, 2030 | |
Principal/ Number of Shares | | 147,374 | | 1,100,000 | |
Cost | | $ 147,247 | | $ 1,074,202 | |
Fair Value | | $ 147,420 | | $ 1,097,250 | |
Dye & Durham Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | | |
Asset Name | | Term Loan B (04/24) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 4.25% | | | |
SOFR/LIBOR Floor | | 1% | | | |
Current Rate (All In) | | 9.66% | | | |
Maturity Date | | Apr. 11, 2031 | | | |
Principal/ Number of Shares | | 1,500,000 | | | |
Cost | | $ 1,477,793 | | | |
Fair Value | | $ 1,503,750 | | | |
EAB Global, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (08/21) | | Term Loan (08/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.94% | | 8.94% | |
Maturity Date | | Aug. 16, 2028 | | Aug. 16, 2028 | |
Principal/ Number of Shares | | 977,500 | | 980,000 | |
Cost | | $ 974,753 | | $ 976,771 | |
Fair Value | | $ 979,738 | | $ 977,344 | |
Echo Global Logistics, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.18% | | 8.93% | |
Maturity Date | | Nov. 23, 2028 | | Nov. 23, 2028 | |
Principal/ Number of Shares | | 1,960,000 | | 1,965,000 | |
Cost | | $ 1,957,748 | | $ 1,962,209 | |
Fair Value | | $ 1,934,579 | | $ 1,926,761 | |
Edelman Financial Group Inc., The [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B (3/21) | | Term Loan B (3/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.94% | | 8.94% | |
Maturity Date | | Apr. 07, 2028 | | Apr. 07, 2028 | |
Principal/ Number of Shares | | 2,160,773 | | 2,166,328 | |
Cost | | $ 2,156,666 | | $ 2,161,731 | |
Fair Value | | $ 2,160,773 | | $ 2,158,616 | |
ELECTRON BIDCO INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.44% | | 8.44% | |
Maturity Date | | Nov. 01, 2028 | | Nov. 01, 2028 | |
Principal/ Number of Shares | | 490,000 | | 491,250 | |
Cost | | $ 488,626 | | $ 489,769 | |
Fair Value | | $ 491,632 | | $ 490,253 | |
ELO Touch Solutions, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Diversified & Production | | Media: Diversified & Production | |
Asset Name | | Term Loan (12/18) | | Term Loan (12/18) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 6.50% | | 6.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 11.94% | | 11.94% | |
Maturity Date | | Dec. 14, 2025 | | Dec. 14, 2025 | |
Principal/ Number of Shares | | 2,362,074 | | 2,522,373 | |
Cost | | $ 2,334,535 | | $ 2,488,308 | |
Fair Value | | $ 2,352,035 | | $ 2,485,798 | |
Embecta Corp [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.33% | | 8.33% | |
Maturity Date | | Mar. 30, 2029 | | Mar. 30, 2029 | |
Principal/ Number of Shares | | 3,091,984 | | 2,598,596 | |
Cost | | $ 3,039,668 | | $ 2,581,552 | |
Fair Value | | $ 2,902,260 | | $ 2,366,360 | |
Emerson Climate Technologies Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B (04/23) | | Term Loan B (04/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.83% | | 7.79% | |
Maturity Date | | May 31, 2030 | | May 31, 2030 | |
Principal/ Number of Shares | | 997,500 | | 1,000,000 | |
Cost | | $ 993,053 | | $ 995,376 | |
Fair Value | | $ 1,003,525 | | $ 997,250 | |
Endo Finance Holdings Inc Two [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | | |
Asset Name | | Exit Term Loan B (04/24) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 4.50% | | | |
SOFR/LIBOR Floor | | 0.50% | | | |
Current Rate (All In) | | 9.83% | | | |
Maturity Date | | Apr. 09, 2031 | | | |
Principal/ Number of Shares | | 2,000,000 | | | |
Cost | | $ 1,980,403 | | | |
Fair Value | | $ 1,997,500 | | | |
Endure Digital, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 6M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.93% | | 9.42% | |
Maturity Date | | Feb. 10, 2028 | | Feb. 10, 2028 | |
Principal/ Number of Shares | | 2,431,250 | | 2,437,500 | |
Cost | | $ 2,424,549 | | $ 2,430,093 | |
Fair Value | | $ 2,269,426 | | $ 2,380,048 | |
Entain Holdings (Gibraltar) Limited [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B3 (5/24) | | Term Loan B (10/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.75% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.17% | | 8.95% | |
Maturity Date | | Oct. 31, 2029 | | Oct. 30, 2029 | |
Principal/ Number of Shares | | 1,483,744 | | 1,487,496 | |
Cost | | $ 1,469,182 | | $ 1,472,128 | |
Fair Value | | $ 1,486,058 | | $ 1,489,355 | |
EOS U.S. FINCO LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Cargo | | Transportation: Cargo | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 6% | | 5.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 11.31% | | 11.10% | |
Maturity Date | | Oct. 06, 2029 | | Oct. 06, 2029 | |
Principal/ Number of Shares | | 968,750 | | 975,000 | |
Cost | | $ 904,370 | | $ 908,088 | |
Fair Value | | $ 758,531 | | $ 871,104 | |
Equiniti Group PLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 6M USD SOFR+ | | 6M USD SOFR+ | |
Reference Spread | | 4.50% | | 4.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.93% | | 9.93% | |
Maturity Date | | Dec. 11, 2028 | | Dec. 11, 2028 | |
Principal/ Number of Shares | | 977,500 | | 980,000 | |
Cost | | $ 970,699 | | $ 973,017 | |
Fair Value | | $ 985,447 | | $ 981,470 | |
Evertec Group LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B (09/23) | | Term Loan B (09/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.58% | | 8.83% | |
Maturity Date | | Oct. 30, 2030 | | Oct. 30, 2030 | |
Principal/ Number of Shares | | 1,125,000 | | 1,125,000 | |
Cost | | $ 1,109,376 | | $ 1,108,675 | |
Fair Value | | $ 1,133,438 | | $ 1,123,594 | |
EyeCare Partners T/L B - Restructure Source 1 [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | | |
Asset Name | | Term Loan | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 3.75% | | | |
SOFR/LIBOR Floor | | 0% | | | |
Current Rate (All In) | | 9.39% | | | |
Maturity Date | | Feb. 18, 2027 | | | |
Principal/ Number of Shares | | | | | |
Cost | | $ 1,946 | | | |
Fair Value | | | | | |
Fiesta Purchaser, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | First Lien TLB | | First Lien TLB | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.33% | | 9.32% | |
Maturity Date | | Feb. 12, 2031 | | Feb. 12, 2031 | |
Principal/ Number of Shares | | 500,000 | | 500,000 | |
Cost | | $ 495,332 | | $ 495,088 | |
Fair Value | | $ 504,095 | | $ 499,315 | |
Finco I LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B (08/23) | | Term Loan B (08/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.33% | | 8.31% | |
Maturity Date | | Jun. 27, 2029 | | Jun. 27, 2029 | |
Principal/ Number of Shares | | 2,809,718 | | 2,816,795 | |
Cost | | $ 2,807,144 | | $ 2,813,980 | |
Fair Value | | $ 2,820,647 | | $ 2,815,386 | |
First Brands Group, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | 1st Lien Term Loan (3/21) | | 1st Lien Term Loan (3/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5% | | 5% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 10.59% | | 10.57% | |
Maturity Date | | Mar. 30, 2027 | | Mar. 30, 2027 | |
Principal/ Number of Shares | | 4,850,000 | | 4,862,500 | |
Cost | | $ 4,807,992 | | $ 4,816,997 | |
Fair Value | | $ 4,793,692 | | $ 4,868,578 | |
First Eagle Investment Management [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B (02/24) | | Refinancing Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.33% | | 7.95% | |
Maturity Date | | Mar. 05, 2029 | | Feb. 01, 2027 | |
Principal/ Number of Shares | | 5,091,652 | | 5,091,652 | |
Cost | | $ 5,082,600 | | $ 5,082,259 | |
Fair Value | | $ 5,075,410 | | $ 5,068,332 | |
First Student Bidco Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Consumer | | Transportation: Consumer | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.56% | | 8.61% | |
Maturity Date | | Jul. 21, 2028 | | Jul. 21, 2028 | |
Principal/ Number of Shares | | 713,399 | | 715,360 | |
Cost | | $ 710,052 | | $ 711,800 | |
Fair Value | | $ 714,569 | | $ 709,694 | |
First Student Bidco Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Consumer | | Transportation: Consumer | |
Asset Name | | Term Loan C | | Term Loan C | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.56% | | 8.61% | |
Maturity Date | | Jul. 21, 2028 | | Jul. 21, 2028 | |
Principal/ Number of Shares | | 216,966 | | 216,966 | |
Cost | | $ 215,938 | | $ 215,877 | |
Fair Value | | $ 217,322 | | $ 215,248 | |
Fitness International, LLC (LA Fitness) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan B (1/24) | | Term Loan B (1/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.25% | | 5.25% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 10.68% | | 10.58% | |
Maturity Date | | Feb. 05, 2029 | | Feb. 05, 2029 | |
Principal/ Number of Shares | | 1,200,000 | | 1,200,000 | |
Cost | | $ 1,166,020 | | $ 1,164,361 | |
Fair Value | | $ 1,201,500 | | $ 1,165,500 | |
Flutter Financing B.V. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B3 (11/23) | | Third Amendment 2028-B Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.56% | | 8.86% | |
Maturity Date | | Nov. 25, 2030 | | Jul. 21, 2028 | |
Principal/ Number of Shares | | 3,740,625 | | 309,759 | |
Cost | | $ 3,731,146 | | $ 304,101 | |
Fair Value | | $ 3,753,081 | | $ 310,103 | |
FOCUS FINANCIAL PARTNERS, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B7 | | Term Loan B7 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.08% | | 8.08% | |
Maturity Date | | Jun. 30, 2028 | | Jun. 30, 2028 | |
Principal/ Number of Shares | | 1,468,707 | | 1,472,388 | |
Cost | | $ 1,455,320 | | $ 1,458,275 | |
Fair Value | | $ 1,470,396 | | $ 1,461,345 | |
Franchise Group, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | First Out Term Loan | | First Out Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 6M USD SOFR+ | | 6M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.36% | | 10.36% | |
Maturity Date | | Mar. 10, 2026 | | Mar. 10, 2026 | |
Principal/ Number of Shares | | 799,104 | | 799,104 | |
Cost | | $ 795,806 | | $ 795,310 | |
Fair Value | | $ 623,301 | | $ 703,211 | |
Franchise Group, Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.34% | | 10.33% | |
Maturity Date | | Mar. 10, 2026 | | Mar. 10, 2026 | |
Principal/ Number of Shares | | 2,970,000 | | 2,977,500 | |
Cost | | $ 2,878,552 | | $ 2,874,281 | |
Fair Value | | $ 2,264,625 | | $ 2,612,756 | |
Franklin Square Holdings, L.P. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B (04/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.57% | | 7.68% | |
Maturity Date | | Apr. 25, 2031 | | Aug. 01, 2025 | |
Principal/ Number of Shares | | 4,252,472 | | 4,263,723 | |
Cost | | $ 4,245,946 | | $ 4,255,884 | |
Fair Value | | $ 4,247,156 | | $ 4,258,394 | |
Froneri International (R&R Ice Cream) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Term Loan B-2 | | Term Loan B-2 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.68% | | 7.68% | |
Maturity Date | | Jan. 29, 2027 | | Jan. 29, 2027 | |
Principal/ Number of Shares | | 1,925,000 | | 1,930,000 | |
Cost | | $ 1,924,173 | | $ 1,928,989 | |
Fair Value | | $ 1,926,925 | | $ 1,928,340 | |
Garrett LX III S.a r.l. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan | | Dollar Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.84% | | 8.82% | |
Maturity Date | | Apr. 30, 2028 | | Apr. 30, 2028 | |
Principal/ Number of Shares | | 1,462,500 | | 1,466,250 | |
Cost | | $ 1,458,378 | | $ 1,461,820 | |
Fair Value | | $ 1,464,328 | | $ 1,465,634 | |
Gemini HDPE LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan B (12/20) | | Term Loan B (12/20) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.59% | | 8.57% | |
Maturity Date | | Dec. 31, 2027 | | Dec. 31, 2027 | |
Principal/ Number of Shares | | 2,156,309 | | 2,183,488 | |
Cost | | $ 2,146,417 | | $ 2,172,849 | |
Fair Value | | $ 2,162,605 | | $ 2,163,466 | |
Genesee & Wyoming, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Cargo | | Transportation: Cargo | |
Asset Name | | Term Loan B (03/24) | | Term Loan (11/19) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.30% | | 7.45% | |
Maturity Date | | Apr. 10, 2031 | | Dec. 30, 2026 | |
Principal/ Number of Shares | | 1,500,000 | | 1,443,750 | |
Cost | | $ 1,492,566 | | $ 1,440,683 | |
Fair Value | | $ 1,503,240 | | $ 1,443,577 | |
GGP Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD LIBOR+ | | 1M USD LIBOR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 2.96% | | 2.96% | |
Maturity Date | | Aug. 27, 2025 | | Aug. 27, 2025 | |
Principal/ Number of Shares | | 2,771,482 | | 2,781,634 | |
Cost | | $ 2,630,046 | | $ 2,604,347 | |
Fair Value | | $ 2,757,624 | | $ 2,766,864 | |
GIP Pilot Acquisition Partners, L.P. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Energy: Oil & Gas | | Energy: Oil & Gas | |
Asset Name | | Term Loan (05/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.50% | | 3% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.83% | | 8.33% | |
Maturity Date | | Oct. 04, 2030 | | Oct. 04, 2030 | |
Principal/ Number of Shares | | 498,750 | | 500,000 | |
Cost | | $ 496,462 | | $ 497,577 | |
Fair Value | | $ 500,620 | | $ 499,585 | |
Global Tel*Link Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | Telecommunications | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.68% | | 9.68% | |
Maturity Date | | Nov. 29, 2025 | | Nov. 29, 2025 | |
Principal/ Number of Shares | | 4,833,856 | | 4,846,612 | |
Cost | | $ 4,751,056 | | $ 4,750,154 | |
Fair Value | | $ 4,712,237 | | $ 4,708,290 | |
Go Daddy Operating Company, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B7 | | Term Loan 2/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.43% | | 7.44% | |
Maturity Date | | Aug. 10, 2027 | | Aug. 10, 2027 | |
Principal/ Number of Shares | | 944,956 | | 947,411 | |
Cost | | $ 944,956 | | $ 947,411 | |
Fair Value | | $ 944,559 | | $ 946,984 | |
GOLDEN WEST PACKAGING GROUP LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Forest Products & Paper | | Forest Products & Paper | |
Asset Name | | Term Loan (11/21) | | Term Loan (11/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.25% | | 5.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.68% | | 10.69% | |
Maturity Date | | Dec. 01, 2027 | | Dec. 01, 2027 | |
Principal/ Number of Shares | | 1,850,000 | | 1,875,000 | |
Cost | | $ 1,838,568 | | $ 1,862,167 | |
Fair Value | | $ 1,535,500 | | $ 1,556,250 | |
GOTO GROUP, INC.[Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | First Lien Term Loan | | First Lien Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 10.17% | | 10.17% | |
Maturity Date | | Apr. 30, 2028 | | Apr. 30, 2028 | |
Principal/ Number of Shares | | 1,254,792 | | 1,254,792 | |
Cost | | $ 748,762 | | $ 730,596 | |
Fair Value | | $ 1,176,368 | | $ 1,198,326 | |
GOTO GROUP, INC.One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Second-Out Term Loan (02/24) | | Second-Out Term Loan (02/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 10.17% | | 10.17% | |
Maturity Date | | Apr. 30, 2028 | | Apr. 30, 2028 | |
Principal/ Number of Shares | | 1,732,808 | | 1,732,808 | |
Cost | | $ 1,651,354 | | $ 1,646,943 | |
Fair Value | | $ 1,054,847 | | $ 1,199,970 | |
Graham Packaging Co Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan (2/21) | | Term Loan (2/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.44% | | 8.44% | |
Maturity Date | | Aug. 07, 2027 | | Aug. 07, 2027 | |
Principal/ Number of Shares | | 942,441 | | 945,831 | |
Cost | | $ 939,031 | | $ 942,144 | |
Fair Value | | $ 945,607 | | $ 944,554 | |
Great Outdoors Group, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan B2 | | Term Loan B2 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.19% | | 9.19% | |
Maturity Date | | Mar. 06, 2028 | | Mar. 06, 2028 | |
Principal/ Number of Shares | | 967,688 | | 970,169 | |
Cost | | $ 965,166 | | $ 967,400 | |
Fair Value | | $ 968,142 | | $ 969,994 | |
Griffon Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.95% | | 7.75% | |
Maturity Date | | Jan. 24, 2029 | | Jan. 24, 2029 | |
Principal/ Number of Shares | | 143,438 | | 144,063 | |
Cost | | $ 143,233 | | $ 143,842 | |
Fair Value | | $ 143,677 | | $ 143,838 | |
Grosvenor Capital Management Holdings, LLLP [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Amendment 5 Term Loan | | Amendment 5 Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.93% | | 7.94% | |
Maturity Date | | Feb. 24, 2028 | | Feb. 24, 2028 | |
Principal/ Number of Shares | | 2,800,713 | | 2,807,931 | |
Cost | | $ 2,800,245 | | $ 2,806,739 | |
Fair Value | | $ 2,801,581 | | $ 2,807,061 | |
Groupe Solmax Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Environmental Industries | | Environmental Industries | |
Asset Name | | Term Loan (6/21) | | Term Loan (6/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.31% | | 10.36% | |
Maturity Date | | May 27, 2028 | | May 27, 2028 | |
Principal/ Number of Shares | | 2,431,057 | | 2,473,405 | |
Cost | | $ 2,103,884 | | $ 2,125,105 | |
Fair Value | | $ 2,362,890 | | $ 2,402,740 | |
GYP HOLDINGS III CORP. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan (1/24) | | Term Loan (1/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.58% | | 7.58% | |
Maturity Date | | May 12, 2030 | | May 12, 2030 | |
Principal/ Number of Shares | | 248,752 | | 249,375 | |
Cost | | $ 247,678 | | $ 248,230 | |
Fair Value | | $ 249,219 | | $ 249,375 | |
Harbor Freight Tools USA, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan B (06/21) | | Term Loan B (06/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.19% | | 8.19% | |
Maturity Date | | Oct. 19, 2027 | | Oct. 19, 2027 | |
Principal/ Number of Shares | | 3,344,665 | | 3,344,665 | |
Cost | | $ 3,331,814 | | $ 3,330,419 | |
Fair Value | | $ 3,344,397 | | $ 3,319,212 | |
Helix Gen Funding, LLc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Energy: Electricity | | Energy: Electricity | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 10.06% | | 10.10% | |
Maturity Date | | Dec. 31, 2027 | | Dec. 31, 2027 | |
Principal/ Number of Shares | | 899,174 | | 932,597 | |
Cost | | $ 884,040 | | $ 915,944 | |
Fair Value | | $ 905,693 | | $ 933,763 | |
Hertz Corporation (The) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Consumer | | Transportation: Consumer | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.07% | | 9.07% | |
Maturity Date | | Jun. 30, 2028 | | Jun. 30, 2028 | |
Principal/ Number of Shares | | 2,098,750 | | 500,000 | |
Cost | | $ 2,042,159 | | $ 490,436 | |
Fair Value | | $ 1,924,113 | | $ 481,875 | |
Hillman Group Inc. (The) (New) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Term Loan B-1 (2/21) | | Term Loan B-1 (2/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.57% | | 8.19% | |
Maturity Date | | Jul. 14, 2028 | | Jul. 14, 2028 | |
Principal/ Number of Shares | | 3,163,397 | | 3,172,373 | |
Cost | | $ 3,161,165 | | $ 3,168,887 | |
Fair Value | | $ 3,167,857 | | $ 3,167,266 | |
Hilton Domestic Operating Company Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B 4 | | Term Loan B 4 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.42% | | 7.42% | |
Maturity Date | | Nov. 08, 2030 | | Nov. 08, 2030 | |
Principal/ Number of Shares | | 1,500,000 | | 1,500,000 | |
Cost | | $ 1,496,724 | | $ 1,496,471 | |
Fair Value | | $ 1,504,425 | | $ 1,501,020 | |
Hilton Grand Vacations Borrower LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B | | Term Loan (3/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0.50% | |
Current Rate (All In) | | 8.18% | | 8.19% | |
Maturity Date | | Aug. 02, 2028 | | Aug. 02, 2028 | |
Principal/ Number of Shares | | 500,000 | | 497,455 | |
Cost | | $ 500,000 | | $ 497,455 | |
Fair Value | | $ 501,875 | | $ 496,834 | |
HLF Financing SARL (Herbalife) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Non-durable | | Consumer goods: Non-durable | |
Asset Name | | Term Loan | | Term Loan B (08/18) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 6.75% | | 2.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0% | |
Current Rate (All In) | | 12.08% | | 7.94% | |
Maturity Date | | Apr. 12, 2029 | | Aug. 18, 2025 | |
Principal/ Number of Shares | | 3,116,400 | | 3,116,400 | |
Cost | | $ 3,114,216 | | $ 3,113,557 | |
Fair Value | | $ 2,988,285 | | $ 3,044,598 | |
Holley Purchaser, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan (11/21) | | Term Loan (11/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.19% | | 9.19% | |
Maturity Date | | Nov. 17, 2028 | | Nov. 17, 2028 | |
Principal/ Number of Shares | | 2,247,591 | | 2,254,003 | |
Cost | | $ 2,241,738 | | $ 2,247,557 | |
Fair Value | | $ 2,239,522 | | $ 2,188,795 | |
Hudson River Trading LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (3/21) | | Term Loan (3/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.44% | | 8.44% | |
Maturity Date | | Mar. 17, 2028 | | Mar. 17, 2028 | |
Principal/ Number of Shares | | 5,820,000 | | 5,835,000 | |
Cost | | $ 5,787,078 | | $ 5,798,864 | |
Fair Value | | $ 5,822,735 | | $ 5,792,171 | |
Hunter Douglas Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Term Loan B-1 | | Term Loan B-1 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.84% | | 8.82% | |
Maturity Date | | Feb. 26, 2029 | | Feb. 26, 2029 | |
Principal/ Number of Shares | | 2,468,656 | | 2,474,937 | |
Cost | | $ 2,240,046 | | $ 2,235,702 | |
Fair Value | | $ 2,452,782 | | $ 2,442,466 | |
Hyperion Refinance S.a.r.l. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.83% | | 8.81% | |
Maturity Date | | Feb. 15, 2031 | | Feb. 15, 2031 | |
Principal/ Number of Shares | | 3,000,000 | | 3,000,000 | |
Cost | | $ 2,986,212 | | $ 2,985,024 | |
Fair Value | | $ 3,015,000 | | $ 2,983,440 | |
Idera, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan (02/21) | | Term Loan (02/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.23% | | 9.21% | |
Maturity Date | | Mar. 02, 2028 | | Mar. 02, 2028 | |
Principal/ Number of Shares | | 4,749,901 | | 4,762,143 | |
Cost | | $ 4,744,630 | | $ 4,756,197 | |
Fair Value | | $ 4,757,168 | | $ 4,730,379 | |
IMA Financial Group, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (10/21) | | Term Loan (10/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.18% | | 9.19% | |
Maturity Date | | Nov. 01, 2028 | | Nov. 01, 2028 | |
Principal/ Number of Shares | | 2,452,455 | | 2,458,728 | |
Cost | | $ 2,444,544 | | $ 2,449,919 | |
Fair Value | | $ 2,454,001 | | $ 2,452,581 | |
INDY US BIDCO, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (11/21) | | Term Loan (11/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.08% | | 9.08% | |
Maturity Date | | Mar. 06, 2028 | | Mar. 06, 2028 | |
Principal/ Number of Shares | | 2,187,656 | | 2,193,266 | |
Cost | | $ 2,187,020 | | $ 2,192,568 | |
Fair Value | | $ 2,141,169 | | $ 2,119,243 | |
INEOS 226 Ltd. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan 3/23 | | Term Loan 3/23 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.18% | | 9.18% | |
Maturity Date | | Mar. 13, 2030 | | Mar. 13, 2030 | |
Principal/ Number of Shares | | 496,250 | | 497,500 | |
Cost | | $ 491,903 | | $ 492,907 | |
Fair Value | | $ 496,042 | | $ 490,450 | |
Ineos US Finance LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan C | | Term Loan C | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.93% | | 8.93% | |
Maturity Date | | Feb. 18, 2030 | | Feb. 18, 2030 | |
Principal/ Number of Shares | | 992,500 | | 995,000 | |
Cost | | $ 983,884 | | $ 985,838 | |
Fair Value | | $ 994,981 | | $ 985,259 | |
INEOS US PETROCHEM LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.68% | | 9.68% | |
Maturity Date | | Apr. 02, 2029 | | Apr. 02, 2029 | |
Principal/ Number of Shares | | 2,714,874 | | 2,714,874 | |
Cost | | $ 2,660,180 | | $ 2,657,733 | |
Fair Value | | $ 2,713,191 | | $ 2,667,363 | |
Informatica Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B (10/21) | | Term Loan B (10/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.19% | | 8.19% | |
Maturity Date | | Oct. 27, 2028 | | Oct. 27, 2028 | |
Principal/ Number of Shares | | 490,000 | | 491,250 | |
Cost | | $ 489,903 | | $ 491,064 | |
Fair Value | | $ 491,838 | | $ 491,250 | |
Ingram Micro Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Wholesale | | Wholesale | |
Asset Name | | Term Loan (09/23) | | Term Loan (09/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.57% | | 8.61% | |
Maturity Date | | Jun. 30, 2028 | | Jun. 30, 2028 | |
Principal/ Number of Shares | | 1,095,000 | | 1,095,000 | |
Cost | | $ 1,087,935 | | $ 1,087,525 | |
Fair Value | | $ 1,100,475 | | $ 1,093,631 | |
Inmar, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (06/23) | | Term Loan (06/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 10.83% | | 10.83% | |
Maturity Date | | May 01, 2026 | | May 01, 2026 | |
Principal/ Number of Shares | | 3,324,875 | | 3,333,250 | |
Cost | | $ 3,241,812 | | $ 3,240,468 | |
Fair Value | | $ 3,335,282 | | $ 3,305,117 | |
Innophos, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.94% | | 8.58% | |
Maturity Date | | Feb. 04, 2027 | | Feb. 04, 2027 | |
Principal/ Number of Shares | | 480,000 | | 481,250 | |
Cost | | $ 479,202 | | $ 480,346 | |
Fair Value | | $ 477,120 | | $ 475,475 | |
INSTANT BRANDS HOLDINGS INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Instant Brands TL | | Instant Brands TL | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | Prime | |
Reference Spread | | 15% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0.75% | |
Current Rate (All In) | | 20.34% | | 14.50% | |
Maturity Date | | Feb. 26, 2031 | | Apr. 07, 2028 | |
Principal/ Number of Shares | | 17,444 | | 10,085 | |
Cost | | $ 10,085 | | $ 10,085 | |
Fair Value | | $ 25,843 | | $ 10,085 | |
IRB Holding Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.18% | | 8.18% | |
Maturity Date | | Dec. 15, 2027 | | Dec. 15, 2027 | |
Principal/ Number of Shares | | 494,962 | | 494,962 | |
Cost | | $ 491,142 | | $ 490,830 | |
Fair Value | | $ 496,684 | | $ 494,101 | |
Isagenix International, LLC One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | [3] | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | [3] | Term Loan | | Term Loan | |
Asset Type | [3] | Loan | | Loan | |
Reference Rate | [3] | 6M USD SOFR+ | | 6M USD SOFR+ | |
Reference Spread | [3] | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | [3] | 0% | | 0% | |
Current Rate (All In) | [3] | 2.50% | | 2.50% | |
Maturity Date | [3] | Apr. 13, 2028 | | Apr. 13, 2028 | |
Principal/ Number of Shares | [3] | 1,286,033 | | 1,258,790 | |
Cost | [3] | $ 881,771 | | $ 838,779 | |
Fair Value | [3] | $ 1,105,989 | | $ 1,082,559 | |
Isolved Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (4/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 6M USD SOFR+ | |
Reference Spread | | 3.50% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0.50% | |
Current Rate (All In) | | 8.83% | | 9.48% | |
Maturity Date | | Oct. 14, 2030 | | Oct. 05, 2030 | |
Principal/ Number of Shares | | 623,438 | | 625,000 | |
Cost | | $ 617,530 | | $ 618,886 | |
Fair Value | | $ 625,389 | | $ 626,563 | |
Jane Street Group [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.94% | | 7.94% | |
Maturity Date | | Jan. 26, 2028 | | Jan. 26, 2028 | |
Principal/ Number of Shares | | 3,870,000 | | 3,880,000 | |
Cost | | $ 3,869,080 | | $ 3,878,565 | |
Fair Value | | $ 3,881,262 | | $ 3,869,602 | |
Journey Personal Care Corp. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Non-durable | | Consumer goods: Non-durable | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.69% | | 9.69% | |
Maturity Date | | Mar. 01, 2028 | | Mar. 01, 2028 | |
Principal/ Number of Shares | | 2,917,500 | | 2,925,000 | |
Cost | | $ 2,872,066 | | $ 2,876,836 | |
Fair Value | | $ 2,904,751 | | $ 2,850,647 | |
JP Intermediate B, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Non-durable | | Consumer goods: Non-durable | |
Asset Name | | Term Loan 7/23 | | Term Loan 7/23 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 11.09% | | 11.07% | |
Maturity Date | | Nov. 20, 2027 | | Nov. 20, 2027 | |
Principal/ Number of Shares | | 3,456,884 | | 3,456,884 | |
Cost | | $ 3,444,076 | | $ 3,442,560 | |
Fair Value | | $ 254,945 | | $ 276,551 | |
Kleopatra Finco S.a r.l. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan (1/21) (USD) | | Term Loan (1/21) (USD) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 6M USD SOFR+ | | 6M USD SOFR+ | |
Reference Spread | | 4.73% | | 4.73% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.27% | | 10.27% | |
Maturity Date | | Feb. 12, 2026 | | Feb. 12, 2026 | |
Principal/ Number of Shares | | 1,455,000 | | 1,458,750 | |
Cost | | $ 1,453,547 | | $ 1,456,824 | |
Fair Value | | $ 1,322,595 | | $ 1,400,400 | |
Kodiak BP, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.82% | | 8.86% | |
Maturity Date | | Mar. 13, 2028 | | Mar. 13, 2028 | |
Principal/ Number of Shares | | 484,888 | | 486,159 | |
Cost | | $ 484,065 | | $ 485,291 | |
Fair Value | | $ 486,532 | | $ 485,211 | |
Kodiak BP, LLC One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | | |
Asset Name | | Term Loan B2 | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 3.75% | | | |
SOFR/LIBOR Floor | | 0% | | | |
Current Rate (All In) | | 9.06% | | | |
Maturity Date | | Mar. 13, 2028 | | | |
Principal/ Number of Shares | | 500,000 | | | |
Cost | | $ 497,561 | | | |
Fair Value | | $ 503,125 | | | |
Koppers Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan B (04/24) | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.33% | | 8.93% | |
Maturity Date | | Apr. 10, 2030 | | Apr. 10, 2030 | |
Principal/ Number of Shares | | 992,513 | | 995,006 | |
Cost | | $ 966,159 | | $ 967,558 | |
Fair Value | | $ 997,475 | | $ 998,121 | |
Kraton Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | | |
Asset Name | | Term Loan 11/21 | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 3.25% | | | |
SOFR/LIBOR Floor | | 0.50% | | | |
Current Rate (All In) | | 8.84% | | | |
Maturity Date | | Mar. 15, 2029 | | | |
Principal/ Number of Shares | | 2,000,000 | | | |
Cost | | $ 1,945,550 | | | |
Fair Value | | $ 1,966,080 | | | |
KREF Holdings X LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (11/21) | | Term Loan (11/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.94% | | 8.93% | |
Maturity Date | | Sep. 01, 2027 | | Sep. 01, 2027 | |
Principal/ Number of Shares | | 485,084 | | 486,325 | |
Cost | | $ 478,707 | | $ 479,475 | |
Fair Value | | $ 472,957 | | $ 464,440 | |
Lakeland Tours, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | [3] | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | [3] | Holdco Fixed Term Loan | | Holdco Fixed Term Loan | |
Asset Type | [3] | Loan | | Loan | |
Reference Rate | [3] | #N/A | | Fixed | |
Reference Spread | [3] | 0% | | 0% | |
SOFR/LIBOR Floor | [3] | 0% | | 0% | |
Current Rate (All In) | [3] | 8% | | 8% | |
Maturity Date | [3] | Sep. 27, 2027 | | Sep. 27, 2027 | |
Principal/ Number of Shares | [3] | 1,127,568 | | 1,127,568 | |
Cost | [3] | $ 602,588 | | $ 568,253 | |
Fair Value | [3] | $ 225,514 | | $ 761,108 | |
Latham Pool Products, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | | |
Asset Name | | Term Loan 2/22 | | | |
Asset Type | | Loan | | | |
Reference Rate | | 1M USD SOFR+ | | | |
Reference Spread | | 4% | | | |
SOFR/LIBOR Floor | | 0.50% | | | |
Current Rate (All In) | | 9.42% | | | |
Maturity Date | | Feb. 23, 2029 | | | |
Principal/ Number of Shares | | 1,000,000 | | | |
Cost | | $ 985,152 | | | |
Fair Value | | $ 981,670 | | | |
Lealand Finance Company B.V. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | [3] | Energy: Oil & Gas | | Energy: Oil & Gas | |
Asset Name | [3] | Exit Term Loan | | Exit Term Loan | |
Asset Type | [3] | Loan | | Loan | |
Reference Rate | [3] | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | [3] | 1% | | 1% | |
SOFR/LIBOR Floor | [3] | 0% | | 0% | |
Current Rate (All In) | [3] | 6.44% | | 6.44% | |
Maturity Date | [3] | Dec. 31, 2027 | | Jun. 30, 2025 | |
Principal/ Number of Shares | [3] | 358,485 | | 355,751 | |
Cost | [3] | $ 358,485 | | $ 355,751 | |
Fair Value | [3] | $ 116,956 | | $ 138,149 | |
LHS BORROWER, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan (02/22) | | Term Loan (02/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.18% | | 10.18% | |
Maturity Date | | Feb. 16, 2029 | | Feb. 16, 2029 | |
Principal/ Number of Shares | | 2,469,370 | | 2,475,771 | |
Cost | | $ 2,093,137 | | $ 2,084,045 | |
Fair Value | | $ 2,368,397 | | $ 2,310,216 | |
Lifetime Brands, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Non-durable | | Consumer goods: Non-durable | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 10.94% | | 10.94% | |
Maturity Date | | Aug. 26, 2027 | | Aug. 26, 2027 | |
Principal/ Number of Shares | | 1,638,572 | | 1,659,313 | |
Cost | | $ 1,633,129 | | $ 1,653,207 | |
Fair Value | | $ 1,592,151 | | $ 1,595,015 | |
Liquid Tech Solutions Holdings, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.19% | | 10.19% | |
Maturity Date | | Mar. 17, 2028 | | Mar. 17, 2028 | |
Principal/ Number of Shares | | 972,500 | | 975,000 | |
Cost | | $ 970,797 | | $ 972,922 | |
Fair Value | | $ 969,660 | | $ 957,938 | |
LOYALTY VENTURES INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | [4] | Services: Business | [5] |
Asset Name | | Term Loan B | [4] | Term Loan B | [5] |
Asset Type | | Loan | [4] | Loan | [5] |
Reference Rate | | Prime | [4] | Prime | [5] |
Reference Spread | | 5.50% | [4] | 5.50% | [5] |
SOFR/LIBOR Floor | | 0.50% | [4] | 0.50% | [5] |
Current Rate (All In) | | 14% | [4] | 14% | [5] |
Maturity Date | | Nov. 03, 2027 | [4] | Nov. 03, 2027 | [5] |
Principal/ Number of Shares | | 2,913,525 | [4] | 2,913,525 | [5] |
Cost | | $ 2,902,962 | [4] | $ 2,902,171 | [5] |
Fair Value | | $ 21,851 | [4] | $ 25,493 | [5] |
LPL Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B1 | | Term Loan B1 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 1.75% | | 1.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.16% | | 7.18% | |
Maturity Date | | Nov. 11, 2026 | | Nov. 11, 2026 | |
Principal/ Number of Shares | | 1,192,291 | | 1,195,404 | |
Cost | | $ 1,191,670 | | $ 1,194,671 | |
Fair Value | | $ 1,193,531 | | $ 1,194,125 | |
LSF11 A5 HOLDCO LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan (01/23) | | Term Loan (01/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.68% | | 9.68% | |
Maturity Date | | Oct. 14, 2028 | | Oct. 14, 2028 | |
Principal/ Number of Shares | | 1,488,750 | | 1,492,500 | |
Cost | | $ 1,471,308 | | $ 1,473,942 | |
Fair Value | | $ 1,491,549 | | $ 1,491,754 | |
LSF11 A5 HOLDCO LLC One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.94% | | 8.94% | |
Maturity Date | | Oct. 16, 2028 | | Oct. 16, 2028 | |
Principal/ Number of Shares | | 245,000 | | 245,625 | |
Cost | | $ 244,345 | | $ 244,848 | |
Fair Value | | $ 245,382 | | $ 244,473 | |
LSF11 TRINITY BIDCO INC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Aerospace & Defense | | Aerospace & Defense | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.32% | | 9.32% | |
Maturity Date | | Jun. 14, 2030 | | Jun. 14, 2030 | |
Principal/ Number of Shares | | 978,298 | | 980,756 | |
Cost | | $ 965,207 | | $ 967,038 | |
Fair Value | | $ 982,583 | | $ 980,756 | |
LSF9 Atlantis Holdings, LLC (A Wireless) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan (2/24) | | Term Loan (2/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 6.50% | | 6.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 11.83% | | 11.83% | |
Maturity Date | | Mar. 31, 2029 | | Mar. 31, 2029 | |
Principal/ Number of Shares | | 2,775,000 | | 2,775,000 | |
Cost | | $ 2,703,222 | | $ 2,700,276 | |
Fair Value | | $ 2,816,625 | | $ 2,775,860 | |
Lumen Technologies Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | | |
Asset Name | | Term Loan B1 (3/24) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 1M USD SOFR+ | | | |
Reference Spread | | 2.35% | | | |
SOFR/LIBOR Floor | | 2% | | | |
Current Rate (All In) | | 7.79% | | | |
Maturity Date | | Apr. 15, 2029 | | | |
Principal/ Number of Shares | | 1,627,142 | | | |
Cost | | $ 1,626,419 | | | |
Fair Value | | $ 1,124,258 | | | |
Lumen Technologies Inc One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | | |
Asset Name | | Term Loan B2 (3/24) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 1M USD SOFR+ | | | |
Reference Spread | | 2.35% | | | |
SOFR/LIBOR Floor | | 2% | | | |
Current Rate (All In) | | 7.79% | | | |
Maturity Date | | Apr. 15, 2030 | | | |
Principal/ Number of Shares | | 1,627,142 | | | |
Cost | | $ 1,626,416 | | | |
Fair Value | | $ 1,094,709 | | | |
MAGNITE, INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B (01/24) | | Term Loan B (01/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.50% | | 4.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.82% | | 9.82% | |
Maturity Date | | Feb. 06, 2031 | | Feb. 06, 2031 | |
Principal/ Number of Shares | | 3,250,000 | | 3,250,000 | |
Cost | | $ 3,219,184 | | $ 3,218,266 | |
Fair Value | | $ 3,268,298 | | $ 3,241,875 | |
Marriott Ownership Resorts, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B (3/24) | | Term Loan (11/19) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 1.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.58% | | 7.18% | |
Maturity Date | | Apr. 01, 2031 | | Aug. 29, 2025 | |
Principal/ Number of Shares | | 1,317,074 | | 1,317,074 | |
Cost | | $ 1,317,074 | | $ 1,317,074 | |
Fair Value | | $ 1,315,428 | | $ 1,312,543 | |
Match Group, Inc, The [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan (1/20) | | Term Loan (1/20) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 1.75% | | 1.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.23% | | 7.27% | |
Maturity Date | | Feb. 15, 2027 | | Feb. 15, 2027 | |
Principal/ Number of Shares | | 250,000 | | 250,000 | |
Cost | | $ 249,780 | | $ 249,741 | |
Fair Value | | $ 249,688 | | $ 249,063 | |
Max US Bidco Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5% | | 5% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.31% | | 10.35% | |
Maturity Date | | Oct. 03, 2030 | | Oct. 03, 2030 | |
Principal/ Number of Shares | | 2,000,000 | | 2,000,000 | |
Cost | | $ 1,873,829 | | $ 1,870,298 | |
Fair Value | | $ 1,892,960 | | $ 1,832,500 | |
Mayfield Agency Borrower Inc. (FeeCo) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | First Lien Term Loan B (12/23) | | First Lien Term Loan B (12/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.55% | | 9.58% | |
Maturity Date | | Feb. 28, 2028 | | Feb. 28, 2028 | |
Principal/ Number of Shares | | 3,424,168 | | 3,432,772 | |
Cost | | $ 3,344,167 | | $ 3,346,276 | |
Fair Value | | $ 3,429,886 | | $ 3,432,772 | |
McGraw-Hill Education, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Advertising, Printing & Publishing | | Media: Advertising, Printing & Publishing | |
Asset Name | | Term Loan (07/21) | | Term Loan (07/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.19% | | 10.19% | |
Maturity Date | | Jul. 28, 2028 | | Jul. 28, 2028 | |
Principal/ Number of Shares | | 1,950,000 | | 1,955,000 | |
Cost | | $ 1,936,776 | | $ 1,940,387 | |
Fair Value | | $ 1,953,822 | | $ 1,946,281 | |
MedAssets Software Inter Hldg, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan (11/21) (USD) | | Term Loan (11/21) (USD) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.42% | | 9.44% | |
Maturity Date | | Dec. 18, 2028 | | Dec. 18, 2028 | |
Principal/ Number of Shares | | 490,000 | | 491,250 | |
Cost | | $ 487,766 | | $ 488,835 | |
Fair Value | | $ 389,550 | | $ 409,275 | |
Mermaid Bidco Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B2 | | Term Loan B2 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.58% | | 9.88% | |
Maturity Date | | Dec. 22, 2027 | | Dec. 22, 2027 | |
Principal/ Number of Shares | | 1,961,459 | | 1,966,412 | |
Cost | | $ 1,943,656 | | $ 1,947,595 | |
Fair Value | | $ 1,976,170 | | $ 1,968,870 | |
Michaels Companies Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan B (Magic Mergeco) | | Term Loan B (Magic Mergeco) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.82% | | 9.86% | |
Maturity Date | | Apr. 08, 2028 | | Apr. 08, 2028 | |
Principal/ Number of Shares | | 2,436,137 | | 2,442,400 | |
Cost | | $ 2,423,899 | | $ 2,429,364 | |
Fair Value | | $ 2,217,981 | | $ 1,996,417 | |
Milano Acquisition Corp. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | | |
Asset Name | | Term Loan B | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 4% | | | |
SOFR/LIBOR Floor | | 0.75% | | | |
Current Rate (All In) | | 9.41% | | | |
Maturity Date | | Oct. 01, 2027 | | | |
Principal/ Number of Shares | | 2,000,000 | | | |
Cost | | $ 1,909,216 | | | |
Fair Value | | $ 1,940,840 | | | |
MIWD Holdco II LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | | |
Asset Name | | Term Loan B2 (03/24) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 1M USD SOFR+ | | | |
Reference Spread | | 3.50% | | | |
SOFR/LIBOR Floor | | 0% | | | |
Current Rate (All In) | | 8.83% | | | |
Maturity Date | | Mar. 21, 2031 | | | |
Principal/ Number of Shares | | 500,000 | | | |
Cost | | $ 497,527 | | | |
Fair Value | | $ 503,440 | | | |
MKS Instruments, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.82% | | 7.82% | |
Maturity Date | | Aug. 17, 2029 | | Aug. 17, 2029 | |
Principal/ Number of Shares | | 1,346,646 | | 1,971,537 | |
Cost | | $ 1,344,200 | | $ 1,967,675 | |
Fair Value | | $ 1,352,935 | | $ 1,966,253 | |
Momentive Performance Materials Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan (03/23) | | Term Loan (03/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.50% | | 4.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.83% | | 9.83% | |
Maturity Date | | Mar. 28, 2028 | | Mar. 28, 2028 | |
Principal/ Number of Shares | | 495,000 | | 496,250 | |
Cost | | $ 478,839 | | $ 479,007 | |
Fair Value | | $ 489,743 | | $ 485,084 | |
Moneygram International, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.85% | | 10.88% | |
Maturity Date | | May 31, 2030 | | May 31, 2030 | |
Principal/ Number of Shares | | 2,986,247 | | 2,993,750 | |
Cost | | $ 2,620,379 | | $ 2,617,290 | |
Fair Value | | $ 2,984,395 | | $ 2,936,989 | |
Mosel Bidco SE [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.06% | | 10.10% | |
Maturity Date | | Sep. 16, 2030 | | Sep. 16, 2030 | |
Principal/ Number of Shares | | 500,000 | | 500,000 | |
Cost | | $ 495,352 | | $ 495,262 | |
Fair Value | | $ 503,750 | | $ 500,625 | |
MPH Acquisition Holdings LLC (Multiplan) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B (08/21) | | Term Loan B (08/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.86% | | 9.85% | |
Maturity Date | | Sep. 01, 2028 | | Sep. 01, 2028 | |
Principal/ Number of Shares | | 2,954,545 | | 2,962,121 | |
Cost | | $ 2,738,763 | | $ 2,734,973 | |
Fair Value | | $ 2,465,657 | | $ 2,861,320 | |
NAB Holdings, LLC (North American Bancard) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (11/21) | | Term Loan (11/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.21% | | 8.25% | |
Maturity Date | | Nov. 23, 2028 | | Nov. 23, 2028 | |
Principal/ Number of Shares | | 2,932,500 | | 2,940,000 | |
Cost | | $ 2,927,977 | | $ 2,935,048 | |
Fair Value | | $ 2,936,166 | | $ 2,929,504 | |
Napa Management Services Corp [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan B (02/22) | | Term Loan B (02/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.25% | | 5.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.68% | | 10.68% | |
Maturity Date | | Feb. 22, 2029 | | Feb. 22, 2029 | |
Principal/ Number of Shares | | 2,962,217 | | 2,969,773 | |
Cost | | $ 2,459,723 | | $ 2,447,043 | |
Fair Value | | $ 2,836,322 | | $ 2,806,436 | |
Natgasoline LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.94% | | 8.94% | |
Maturity Date | | Nov. 14, 2025 | | Nov. 14, 2025 | |
Principal/ Number of Shares | | 3,296,699 | | 3,305,649 | |
Cost | | $ 3,287,487 | | $ 3,294,914 | |
Fair Value | | $ 3,280,216 | | $ 3,289,120 | |
National Mentor Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan C 2/21 | | Term Loan 2/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.16% | | 9.18% | |
Maturity Date | | Mar. 02, 2028 | | Mar. 02, 2028 | |
Principal/ Number of Shares | | 87,464 | | 2,708,195 | |
Cost | | $ 87,220 | | $ 2,701,639 | |
Fair Value | | $ 83,921 | | $ 2,522,007 | |
National Mentor Holdings, Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan 2/21 | | Term Loan C 2/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD LIBOR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.48% | | 9.20% | |
Maturity Date | | Mar. 02, 2028 | | Mar. 02, 2028 | |
Principal/ Number of Shares | | 2,701,233 | | 87,464 | |
Cost | | $ 2,695,618 | | $ 87,200 | |
Fair Value | | $ 2,591,833 | | $ 81,450 | |
Nexstar Broadcasting, Inc. (Mission Broadcasting) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Broadcasting & Subscription | | Media: Broadcasting & Subscription | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.94% | | 7.94% | |
Maturity Date | | Sep. 18, 2026 | | Sep. 18, 2026 | |
Principal/ Number of Shares | | 657,625 | | 657,625 | |
Cost | | $ 654,369 | | $ 654,056 | |
Fair Value | | $ 658,941 | | $ 655,705 | |
Next Level Apparel, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 7.50% | | 7.50% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 12.92% | | 12.92% | |
Maturity Date | | Aug. 09, 2026 | | Aug. 09, 2026 | |
Principal/ Number of Shares | | 2,448,323 | | 2,605,709 | |
Cost | | $ 2,438,190 | | $ 2,579,219 | |
Fair Value | | $ 1,915,813 | | $ 2,019,425 | |
NortonLifeLock Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.43% | | 7.43% | |
Maturity Date | | Sep. 12, 2029 | | Sep. 12, 2029 | |
Principal/ Number of Shares | | 993,445 | | 997,195 | |
Cost | | $ 990,163 | | $ 993,475 | |
Fair Value | | $ 993,942 | | $ 994,014 | |
Nouryon Finance B.V. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan B (04/24) | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.83% | | 9.42% | |
Maturity Date | | Apr. 03, 2028 | | Apr. 03, 2028 | |
Principal/ Number of Shares | | 497,494 | | 497,500 | |
Cost | | $ 493,137 | | $ 492,525 | |
Fair Value | | $ 500,603 | | $ 497,192 | |
Novae LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5% | | 5% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.48% | | 10.52% | |
Maturity Date | | Dec. 22, 2028 | | Dec. 22, 2028 | |
Principal/ Number of Shares | | 1,960,000 | | 1,965,000 | |
Cost | | $ 1,949,488 | | $ 1,954,113 | |
Fair Value | | $ 1,953,258 | | $ 1,948,632 | |
Nuvei Technologies Corp. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.46% | | 8.43% | |
Maturity Date | | Dec. 19, 2030 | | Dec. 19, 2030 | |
Principal/ Number of Shares | | 2,094,750 | | 2,100,000 | |
Cost | | $ 2,079,418 | | $ 2,084,250 | |
Fair Value | | $ 2,101,118 | | $ 2,100,336 | |
Olaplex, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Non-durable | | Consumer goods: Non-durable | |
Asset Name | | Term Loan (2/22) | | Term Loan (2/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.93% | | 8.93% | |
Maturity Date | | Feb. 23, 2029 | | Feb. 23, 2029 | |
Principal/ Number of Shares | | 2,461,108 | | 2,467,387 | |
Cost | | $ 2,374,641 | | $ 2,376,707 | |
Fair Value | | $ 2,339,431 | | $ 2,249,442 | |
Open Text Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B (08/23) | | Term Loan B (08/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.58% | | 8.18% | |
Maturity Date | | Jan. 31, 2030 | | Jan. 31, 2030 | |
Principal/ Number of Shares | | 933,133 | | 1,380,397 | |
Cost | | $ 908,855 | | $ 1,343,151 | |
Fair Value | | $ 939,021 | | $ 1,381,267 | |
Oxbow Carbon, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Metals & Mining | | Metals & Mining | |
Asset Name | | Term Loan B (04/23) | | Term Loan B (04/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 4% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.81% | | 9.43% | |
Maturity Date | | May 02, 2030 | | May 02, 2030 | |
Principal/ Number of Shares | | 496,250 | | 497,500 | |
Cost | | $ 487,397 | | $ 488,294 | |
Fair Value | | $ 496,563 | | $ 496,669 | |
PACIFIC DENTAL SERVICES, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan B (02//24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0.75% | |
Current Rate (All In) | | 8.57% | | 8.94% | |
Maturity Date | | Mar. 17, 2031 | | Apr. 21, 2028 | |
Principal/ Number of Shares | | 1,200,000 | | 895,408 | |
Cost | | $ 1,198,598 | | $ 894,474 | |
Fair Value | | $ 1,208,256 | | $ 893,734 | |
Pacific Gas & Electric [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Utilities: Electric | | Utilities: Electric | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.83% | | 7.83% | |
Maturity Date | | Jun. 23, 2027 | | Jun. 23, 2027 | |
Principal/ Number of Shares | | 250,000 | | 250,000 | |
Cost | | $ 249,129 | | $ 248,893 | |
Fair Value | | $ 250,860 | | $ 249,923 | |
PACTIV EVERGREEN GROUP HOLDINGS INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan B4 (05/24) | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.68% | | 8.69% | |
Maturity Date | | Sep. 20, 2028 | | Sep. 20, 2028 | |
Principal/ Number of Shares | | 975,000 | | 975,000 | |
Cost | | $ 972,255 | | $ 971,827 | |
Fair Value | | $ 976,570 | | $ 975,994 | |
Padagis LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.31% | | 10.34% | |
Maturity Date | | Jul. 06, 2028 | | Jul. 06, 2028 | |
Principal/ Number of Shares | | 941,176 | | 941,176 | |
Cost | | $ 935,003 | | $ 934,588 | |
Fair Value | | $ 918,824 | | $ 896,471 | |
PAR PETROLEUM LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Energy: Oil & Gas | | Energy: Oil & Gas | |
Asset Name | | Term Loan B | | Term Loan 2/23 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.75% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.05% | | 9.69% | |
Maturity Date | | Feb. 28, 2030 | | Feb. 27, 2030 | |
Principal/ Number of Shares | | 2,477,481 | | 2,483,737 | |
Cost | | $ 2,454,534 | | $ 2,460,184 | |
Fair Value | | $ 2,491,107 | | $ 2,482,198 | |
PATAGONIA HOLDCO LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | Telecommunications | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.75% | | 5.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 11.07% | | 11.06% | |
Maturity Date | | Aug. 01, 2029 | | Aug. 01, 2029 | |
Principal/ Number of Shares | | 2,970,000 | | 1,975,000 | |
Cost | | $ 2,614,004 | | $ 1,671,950 | |
Fair Value | | $ 2,771,990 | | $ 1,816,013 | |
Pathway Partners Vet Management Company LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.19% | | 9.19% | |
Maturity Date | | Mar. 31, 2027 | | Mar. 30, 2027 | |
Principal/ Number of Shares | | 480,303 | | 481,544 | |
Cost | | $ 475,007 | | $ 475,840 | |
Fair Value | | $ 374,771 | | $ 411,321 | |
PCI Gaming Authority [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.94% | | 7.94% | |
Maturity Date | | May 29, 2026 | | May 29, 2026 | |
Principal/ Number of Shares | | 794,490 | | 794,490 | |
Cost | | $ 793,256 | | $ 793,022 | |
Fair Value | | $ 796,675 | | $ 794,156 | |
PEARLS (Netherlands) Bidco B.V. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | USD Term Loan (02/22) | | USD Term Loan (02/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.33% | | 9.06% | |
Maturity Date | | Feb. 28, 2029 | | Feb. 28, 2029 | |
Principal/ Number of Shares | | 980,000 | | 982,500 | |
Cost | | $ 978,867 | | $ 981,042 | |
Fair Value | | $ 980,000 | | $ 972,066 | |
PEDIATRIC ASSOCIATES HOLDING COMPANY, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan (12/22) | | Term Loan (12/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.69% | | 8.69% | |
Maturity Date | | Dec. 29, 2028 | | Dec. 29, 2028 | |
Principal/ Number of Shares | | 1,470,887 | | 1,474,639 | |
Cost | | $ 1,466,959 | | $ 1,470,327 | |
Fair Value | | $ 1,437,056 | | $ 1,325,332 | |
Penn National Gaming, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.18% | | 8.18% | |
Maturity Date | | May 03, 2029 | | May 03, 2029 | |
Principal/ Number of Shares | | 982,500 | | 985,000 | |
Cost | | $ 979,071 | | $ 981,209 | |
Fair Value | | $ 984,101 | | $ 979,720 | |
Peraton Corp. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Aerospace & Defense | | Aerospace & Defense | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.18% | | 9.18% | |
Maturity Date | | Feb. 01, 2028 | | Feb. 01, 2028 | |
Principal/ Number of Shares | | 5,222,587 | | 5,236,340 | |
Cost | | $ 5,212,356 | | $ 5,225,013 | |
Fair Value | | $ 5,224,415 | | $ 5,236,340 | |
PHYSICIAN PARTNERS, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 6M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.56% | | 9.46% | |
Maturity Date | | Dec. 23, 2028 | | Dec. 23, 2028 | |
Principal/ Number of Shares | | 2,951,152 | | 2,958,680 | |
Cost | | $ 2,895,186 | | $ 2,899,926 | |
Fair Value | | $ 2,217,791 | | $ 2,608,254 | |
Pitney Bowes Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.44% | | 9.44% | |
Maturity Date | | Mar. 17, 2028 | | Mar. 17, 2028 | |
Principal/ Number of Shares | | 3,889,798 | | 3,899,823 | |
Cost | | $ 3,869,799 | | $ 3,878,054 | |
Fair Value | | $ 3,880,074 | | $ 3,880,324 | |
Plastipak Holdings Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan B (11/21) | | Term Loan B (11/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.93% | | 7.93% | |
Maturity Date | | Dec. 01, 2028 | | Dec. 01, 2028 | |
Principal/ Number of Shares | | 1,795,294 | | 1,795,294 | |
Cost | | $ 1,789,772 | | $ 1,789,191 | |
Fair Value | | $ 1,800,303 | | $ 1,791,309 | |
Playtika Holding Corp. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B (3/21) | | Term Loan B (3/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.19% | | 8.19% | |
Maturity Date | | Mar. 13, 2028 | | Mar. 13, 2028 | |
Principal/ Number of Shares | | 4,365,000 | | 4,376,250 | |
Cost | | $ 4,359,844 | | $ 4,370,414 | |
Fair Value | | $ 4,367,532 | | $ 4,362,377 | |
PMHC II, INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan (02/22) | | Term Loan (02/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.71% | | 9.72% | |
Maturity Date | | Apr. 21, 2029 | | Apr. 21, 2029 | |
Principal/ Number of Shares | | 1,970,000 | | 1,975,000 | |
Cost | | $ 1,963,112 | | $ 1,967,432 | |
Fair Value | | $ 1,943,267 | | $ 1,926,968 | |
PointClickCare Technologies, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan (04/24) | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.32% | | 8.61% | |
Maturity Date | | Dec. 29, 2027 | | Dec. 29, 2027 | |
Principal/ Number of Shares | | 485,000 | | 486,250 | |
Cost | | $ 483,674 | | $ 484,831 | |
Fair Value | | $ 486,518 | | $ 485,642 | |
Polymer Process Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 4.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.19% | | 10.19% | |
Maturity Date | | Feb. 12, 2028 | | Feb. 12, 2028 | |
Principal/ Number of Shares | | 5,335,000 | | 5,348,750 | |
Cost | | $ 5,303,127 | | $ 5,313,507 | |
Fair Value | | $ 5,122,934 | | $ 5,071,310 | |
Pre-Paid Legal Services, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan (12/21) | | Term Loan (12/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.19% | | 9.19% | |
Maturity Date | | Dec. 15, 2028 | | Dec. 15, 2028 | |
Principal/ Number of Shares | | 2,940,000 | | 2,947,500 | |
Cost | | $ 2,922,984 | | $ 2,929,343 | |
Fair Value | | $ 2,935,267 | | $ 2,939,512 | |
Presidio, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Services: Business | |
Asset Name | | | | Term Loan B (1/20) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 3M USD SOFR+ | |
Reference Spread | | | | 3.50% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 8.91% | |
Maturity Date | | | | Jan. 22, 2027 | |
Principal/ Number of Shares | | | | 482,500 | |
Cost | | | | $ 482,164 | |
Fair Value | | | | $ 483,103 | |
Presidio, Inc. [Member] | Restricted Stock [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | | |
Asset Name | | Term Loan B (1/20) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 3.50% | | | |
SOFR/LIBOR Floor | | 0% | | | |
Current Rate (All In) | | 8.93% | | | |
Maturity Date | | Jan. 22, 2027 | | | |
Principal/ Number of Shares | | 481,250 | | | |
Cost | | $ 481,071 | | | |
Fair Value | | $ 481,452 | | | |
Prime Security Services Borrower, LLC (ADT) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan B (04/24) | | Term Loan B (10/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.58% | | 7.83% | |
Maturity Date | | Oct. 14, 2030 | | Oct. 11, 2030 | |
Principal/ Number of Shares | | 1,995,000 | | 2,000,000 | |
Cost | | $ 1,976,580 | | $ 1,980,728 | |
Fair Value | | $ 2,001,903 | | $ 1,998,300 | |
PRIORITY HOLDINGS, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan B (5/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 5.75% | |
SOFR/LIBOR Floor | | 0.50% | | 1% | |
Current Rate (All In) | | 10.07% | | 11.19% | |
Maturity Date | | May 16, 2031 | | Apr. 27, 2027 | |
Principal/ Number of Shares | | 2,917,500 | | 2,925,000 | |
Cost | | $ 2,900,843 | | $ 2,906,770 | |
Fair Value | | $ 2,921,147 | | $ 2,921,344 | |
PriSo Acquisition Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan (01/21) | | Term Loan (01/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.81% | | 8.84% | |
Maturity Date | | Dec. 28, 2027 | | Dec. 28, 2027 | |
Principal/ Number of Shares | | 484,991 | | 486,242 | |
Cost | | $ 483,756 | | $ 484,862 | |
Fair Value | | $ 479,487 | | $ 472,311 | |
Project Leopard Holdings, Inc. (NEW) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B (06/22) | | Term Loan B (06/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.25% | | 5.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.68% | | 10.66% | |
Maturity Date | | Jul. 20, 2029 | | Jul. 20, 2029 | |
Principal/ Number of Shares | | 987,500 | | 990,000 | |
Cost | | $ 931,745 | | $ 931,883 | |
Fair Value | | $ 913,793 | | $ 907,711 | |
Propulsion (BC) Finco [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Aerospace & Defense | | Aerospace & Defense | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.06% | | 9.10% | |
Maturity Date | | Sep. 14, 2029 | | Sep. 14, 2029 | |
Principal/ Number of Shares | | 748,106 | | 750,000 | |
Cost | | $ 740,864 | | $ 742,504 | |
Fair Value | | $ 753,717 | | $ 748,748 | |
PUG LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan B (03/24) | | Term Loan B (02/20) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 10.08% | | 8.94% | |
Maturity Date | | Mar. 15, 2030 | | Feb. 12, 2027 | |
Principal/ Number of Shares | | 475,176 | | 475,176 | |
Cost | | $ 474,258 | | $ 474,168 | |
Fair Value | | $ 474,881 | | $ 466,010 | |
Quartz AcquireCo, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.81% | | 8.83% | |
Maturity Date | | Jun. 28, 2030 | | Jun. 28, 2030 | |
Principal/ Number of Shares | | 1,244,373 | | 997,500 | |
Cost | | $ 1,235,260 | | $ 988,167 | |
Fair Value | | $ 1,249,040 | | $ 996,253 | |
QUEST BORROWER LIMITED [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan (1/22) | | Term Loan (1/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.73% | | 9.71% | |
Maturity Date | | Feb. 01, 2029 | | Feb. 01, 2029 | |
Principal/ Number of Shares | | 1,965,000 | | 1,970,000 | |
Cost | | $ 1,951,003 | | $ 1,954,941 | |
Fair Value | | $ 1,457,794 | | $ 1,552,734 | |
Quikrete Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | | |
Asset Name | | Quikrete 3/24 (2031) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 1M USD SOFR+ | | | |
Reference Spread | | 2.50% | | | |
SOFR/LIBOR Floor | | 0% | | | |
Current Rate (All In) | | 7.83% | | | |
Maturity Date | | Apr. 14, 2031 | | | |
Principal/ Number of Shares | | 1,000,000 | | | |
Cost | | $ 997,581 | | | |
Fair Value | | $ 1,003,630 | | | |
R1 RCM INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan (12/23) | | Term Loan (12/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.36% | | 8.36% | |
Maturity Date | | Jun. 21, 2029 | | Jun. 21, 2029 | |
Principal/ Number of Shares | | 1,200,000 | | 1,200,000 | |
Cost | | $ 1,185,480 | | $ 1,185,480 | |
Fair Value | | $ 1,206,300 | | $ 1,200,000 | |
R1 RCM INC. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.33% | | 8.33% | |
Maturity Date | | Jun. 21, 2029 | | Jun. 21, 2029 | |
Principal/ Number of Shares | | 1,196,962 | | 1,200,000 | |
Cost | | $ 1,183,318 | | $ 1,185,733 | |
Fair Value | | $ 1,203,246 | | $ 1,200,000 | |
Rackspace Technology Global, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Super-Priority Term Loan (03/24) | | Term Loan (1/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 6.25% | | 2.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 11.69% | | 8.19% | |
Maturity Date | | May 15, 2028 | | Feb. 15, 2028 | |
Principal/ Number of Shares | | 551,042 | | 2,944,353 | |
Cost | | $ 545,646 | | $ 2,869,199 | |
Fair Value | | $ 553,566 | | $ 1,278,173 | |
Rackspace Technology Global, Inc One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | | |
Asset Name | | Term Loan (3/24) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 1M USD SOFR+ | | | |
Reference Spread | | 2.75% | | | |
SOFR/LIBOR Floor | | 0.75% | | | |
Current Rate (All In) | | 8.19% | | | |
Maturity Date | | May 15, 2028 | | | |
Principal/ Number of Shares | | 2,936,992 | | | |
Cost | | $ 2,865,773 | | | |
Fair Value | | $ 1,308,812 | | | |
RAND PARENT LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Cargo | | Transportation: Cargo | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.56% | | 9.60% | |
Maturity Date | | Mar. 16, 2030 | | Mar. 16, 2030 | |
Principal/ Number of Shares | | 2,475,000 | | 2,481,250 | |
Cost | | $ 2,396,832 | | $ 2,400,653 | |
Fair Value | | $ 2,480,420 | | $ 2,476,213 | |
RealPage, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan (04/21) | | Term Loan (04/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.44% | | 8.44% | |
Maturity Date | | Apr. 24, 2028 | | Apr. 24, 2028 | |
Principal/ Number of Shares | | 975,000 | | 977,500 | |
Cost | | $ 974,092 | | $ 976,326 | |
Fair Value | | $ 961,350 | | $ 950,501 | |
Rent-A-Center, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan B2 (9/21) | | Term Loan B2 (9/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 6M USD SOFR+ | |
Reference Spread | | 2.75% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.08% | | 9.12% | |
Maturity Date | | Feb. 17, 2028 | | Feb. 17, 2028 | |
Principal/ Number of Shares | | 1,855,175 | | 1,860,192 | |
Cost | | $ 1,825,029 | | $ 1,827,856 | |
Fair Value | | $ 1,858,273 | | $ 1,856,323 | |
Research Now Group, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Advertising, Printing & Publishing | | Media: Advertising, Printing & Publishing | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 11.09% | | 11.07% | |
Maturity Date | | Dec. 20, 2024 | | Dec. 20, 2024 | |
Principal/ Number of Shares | | 4,241,580 | | 4,252,891 | |
Cost | | $ 4,227,343 | | $ 4,231,426 | |
Fair Value | | $ 3,154,082 | | $ 2,426,275 | |
Resideo Funding Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan B (05/24) | | Term Loan (1/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0.50% | |
Current Rate (All In) | | 7.33% | | 7.69% | |
Maturity Date | | Feb. 11, 2028 | | Feb. 11, 2028 | |
Principal/ Number of Shares | | 1,455,000 | | 1,458,750 | |
Cost | | $ 1,454,141 | | $ 1,457,581 | |
Fair Value | | $ 1,457,735 | | $ 1,454,651 | |
Resolute Investment Managers (American Beacon), Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (12/23) | | Term Loan (12/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 6.50% | | 6.50% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 12.07% | | 12.11% | |
Maturity Date | | Apr. 30, 2027 | | Apr. 30, 2027 | |
Principal/ Number of Shares | | 1,963,234 | | 1,968,154 | |
Cost | | $ 1,963,234 | | $ 1,968,154 | |
Fair Value | | $ 1,926,423 | | $ 1,936,172 | |
Restoration Hardware, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan (9/21) | | Term Loan (9/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.94% | | 7.94% | |
Maturity Date | | Oct. 20, 2028 | | Oct. 20, 2028 | |
Principal/ Number of Shares | | 3,418,609 | | 3,427,375 | |
Cost | | $ 3,415,052 | | $ 3,422,882 | |
Fair Value | | $ 3,332,665 | | $ 3,328,838 | |
Reynolds Consumer Products LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 1.75% | | 1.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.18% | | 7.18% | |
Maturity Date | | Feb. 04, 2027 | | Jan. 29, 2027 | |
Principal/ Number of Shares | | 1,087,614 | | 1,117,917 | |
Cost | | $ 1,087,614 | | $ 1,117,917 | |
Fair Value | | $ 1,091,051 | | $ 1,117,078 | |
Russell Investments US Inst’l Holdco, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | [3] | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B PIK (3/24) | [3] | Term Loan (10/20) | |
Asset Type | | Loan | [3] | Loan | |
Reference Rate | | 3M USD SOFR+ | [3] | 1M USD SOFR+ | |
Reference Spread | | 5% | [3] | 3.50% | |
SOFR/LIBOR Floor | | 1% | [3] | 1% | |
Current Rate (All In) | | 10.33% | [3] | 8.93% | |
Maturity Date | | May 30, 2027 | [3] | Jun. 02, 2025 | |
Principal/ Number of Shares | | 5,726,925 | [3] | 5,503,217 | |
Cost | | $ 5,714,072 | [3] | $ 5,487,956 | |
Fair Value | | $ 5,122,735 | [3] | $ 5,313,356 | |
RV Retailer LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.17% | | 9.17% | |
Maturity Date | | Feb. 08, 2028 | | Feb. 08, 2028 | |
Principal/ Number of Shares | | 2,920,287 | | 2,927,756 | |
Cost | | $ 2,885,791 | | $ 2,890,768 | |
Fair Value | | $ 2,705,646 | | $ 2,728,317 | |
Ryan Specialty Group LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.07% | | 8.08% | |
Maturity Date | | Sep. 01, 2027 | | Sep. 01, 2027 | |
Principal/ Number of Shares | | 1,459,715 | | 1,463,497 | |
Cost | | $ 1,451,231 | | $ 1,454,416 | |
Fair Value | | $ 1,467,379 | | $ 1,463,497 | |
S&S HOLDINGS LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5% | | 5% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.42% | | 10.42% | |
Maturity Date | | Mar. 10, 2028 | | Mar. 10, 2028 | |
Principal/ Number of Shares | | 2,427,437 | | 2,433,693 | |
Cost | | $ 2,388,922 | | $ 2,393,141 | |
Fair Value | | $ 2,432,753 | | $ 2,405,560 | |
Sally Holdings LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.58% | | 7.58% | |
Maturity Date | | Feb. 28, 2030 | | Feb. 28, 2030 | |
Principal/ Number of Shares | | 495,000 | | 496,250 | |
Cost | | $ 491,829 | | $ 492,943 | |
Fair Value | | $ 495,619 | | $ 495,421 | |
Schweitzer-Mauduit International, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.19% | | 9.19% | |
Maturity Date | | Apr. 20, 2028 | | Apr. 20, 2028 | |
Principal/ Number of Shares | | 1,297,546 | | 1,297,546 | |
Cost | | $ 1,293,746 | | $ 1,293,069 | |
Fair Value | | $ 1,294,302 | | $ 1,294,847 | |
Scientific Games Holdings LP [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.56% | | 8.58% | |
Maturity Date | | Apr. 04, 2029 | | Apr. 04, 2029 | |
Principal/ Number of Shares | | 492,500 | | 493,750 | |
Cost | | $ 491,755 | | $ 492,933 | |
Fair Value | | $ 493,618 | | $ 492,516 | |
Sedgwick Claims Management Services, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B 2/23 | | Term Loan B 2/23 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.08% | | 9.08% | |
Maturity Date | | Feb. 17, 2028 | | Feb. 17, 2028 | |
Principal/ Number of Shares | | 990,000 | | 992,500 | |
Cost | | $ 982,275 | | $ 984,017 | |
Fair Value | | $ 994,584 | | $ 993,294 | |
SETANTA AIRCRAFT LEASING DAC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Aerospace & Defense | | Aerospace & Defense | |
Asset Name | | Term Loan B (05/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 1.75% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.07% | | 7.61% | |
Maturity Date | | Nov. 05, 2028 | | Nov. 02, 2028 | |
Principal/ Number of Shares | | 500,000 | | 1,000,000 | |
Cost | | $ 499,260 | | $ 998,338 | |
Fair Value | | $ 501,615 | | $ 1,000,560 | |
Sitel Worldwide Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | USD Term Loan (7/21) | | USD Term Loan (7/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.19% | | 9.19% | |
Maturity Date | | Aug. 28, 2028 | | Aug. 28, 2028 | |
Principal/ Number of Shares | | 1,950,000 | | 1,955,000 | |
Cost | | $ 1,944,692 | | $ 1,948,734 | |
Fair Value | | $ 1,529,405 | | $ 1,873,144 | |
SiteOne Landscape Supply, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (3/21) | | Term Loan (3/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.44% | | 7.44% | |
Maturity Date | | Mar. 18, 2028 | | Mar. 18, 2028 | |
Principal/ Number of Shares | | 1,264,119 | | 1,267,378 | |
Cost | | $ 1,259,183 | | $ 1,261,906 | |
Fair Value | | $ 1,270,440 | | $ 1,267,378 | |
SMG US Midco 2, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (01/20) | | Term Loan (01/20) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 6M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.24% | | 8.07% | |
Maturity Date | | Jan. 23, 2025 | | Jan. 23, 2025 | |
Principal/ Number of Shares | | 478,750 | | 480,000 | |
Cost | | $ 478,750 | | $ 480,000 | |
Fair Value | | $ 478,602 | | $ 479,702 | |
Smyrna Ready Mix Concrete, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.82% | | 8.82% | |
Maturity Date | | Apr. 01, 2029 | | Apr. 01, 2029 | |
Principal/ Number of Shares | | 512,932 | | 514,217 | |
Cost | | $ 509,730 | | $ 510,811 | |
Fair Value | | $ 516,138 | | $ 514,860 | |
Sotheby’s [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (7/21) | | Term Loan (7/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.50% | | 4.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.09% | | 10.08% | |
Maturity Date | | Jan. 15, 2027 | | Jan. 15, 2027 | |
Principal/ Number of Shares | | 3,182,833 | | 3,191,015 | |
Cost | | $ 3,154,509 | | $ 3,159,783 | |
Fair Value | | $ 2,983,906 | | $ 3,159,903 | |
Sparta U.S. HoldCo LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan (04/21) | | Term Loan (04/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.93% | | 8.69% | |
Maturity Date | | Aug. 02, 2028 | | Aug. 02, 2028 | |
Principal/ Number of Shares | | 1,955,000 | | 1,960,000 | |
Cost | | $ 1,949,188 | | $ 1,953,602 | |
Fair Value | | $ 1,960,943 | | $ 1,955,453 | |
Specialty Pharma III Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.68% | | 9.68% | |
Maturity Date | | Mar. 31, 2028 | | Mar. 31, 2028 | |
Principal/ Number of Shares | | 1,950,000 | | 1,955,000 | |
Cost | | $ 1,938,805 | | $ 1,942,520 | |
Fair Value | | $ 1,891,500 | | $ 1,857,250 | |
Spin Holdco, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan 3/21 | | Term Loan 3/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.59% | | 9.62% | |
Maturity Date | | Mar. 04, 2028 | | Mar. 04, 2028 | |
Principal/ Number of Shares | | 2,910,000 | | 2,917,500 | |
Cost | | $ 2,900,294 | | $ 2,907,433 | |
Fair Value | | $ 2,498,963 | | $ 2,644,510 | |
SRAM, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Term Loan (05/21) | | Term Loan (05/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.19% | | 8.19% | |
Maturity Date | | May 12, 2028 | | May 12, 2028 | |
Principal/ Number of Shares | | 2,396,364 | | 2,523,636 | |
Cost | | $ 2,394,431 | | $ 2,521,215 | |
Fair Value | | $ 2,391,882 | | $ 2,517,327 | |
STANDARD INDUSTRIES INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.69% | | 7.68% | |
Maturity Date | | Sep. 22, 2028 | | Sep. 22, 2028 | |
Principal/ Number of Shares | | 617,750 | | 620,250 | |
Cost | | $ 614,049 | | $ 616,132 | |
Fair Value | | $ 619,115 | | $ 619,785 | |
Staples, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Wholesale | | Wholesale | |
Asset Name | | Term Loan (03/19) | | Term Loan (03/19) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5% | | 5% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 10.43% | | 10.44% | |
Maturity Date | | Apr. 16, 2026 | | Apr. 16, 2026 | |
Principal/ Number of Shares | | 4,284,976 | | 4,296,252 | |
Cost | | $ 4,224,044 | | $ 4,227,884 | |
Fair Value | | $ 4,242,554 | | $ 4,185,881 | |
Star Parent, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B (09/23) | | Term Loan B (09/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.31% | | 9.35% | |
Maturity Date | | Sep. 30, 2030 | | Sep. 19, 2030 | |
Principal/ Number of Shares | | 1,250,000 | | 1,250,000 | |
Cost | | $ 1,232,700 | | $ 1,232,293 | |
Fair Value | | $ 1,250,163 | | $ 1,233,600 | |
Storable, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.83% | | 8.83% | |
Maturity Date | | Apr. 17, 2028 | | Apr. 17, 2028 | |
Principal/ Number of Shares | | 488,750 | | 490,000 | |
Cost | | $ 488,366 | | $ 489,451 | |
Fair Value | | $ 489,728 | | $ 489,084 | |
Superannuation & Investments US LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.19% | | 9.19% | |
Maturity Date | | Dec. 01, 2028 | | Dec. 01, 2028 | |
Principal/ Number of Shares | | 977,500 | | 980,000 | |
Cost | | $ 971,012 | | $ 972,893 | |
Fair Value | | $ 977,256 | | $ 979,510 | |
SupplyOne, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Wholesale | | | |
Asset Name | | Term Loan B (03/24) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 1M USD SOFR+ | | | |
Reference Spread | | 4.25% | | | |
SOFR/LIBOR Floor | | 0% | | | |
Current Rate (All In) | | 9.58% | | | |
Maturity Date | | Mar. 27, 2031 | | | |
Principal/ Number of Shares | | 500,000 | | | |
Cost | | $ 495,096 | | | |
Fair Value | | $ 504,585 | | | |
Sweetwater Borrower, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan (8/21) | | Term Loan (8/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.69% | | 9.69% | |
Maturity Date | | Aug. 02, 2028 | | Aug. 02, 2028 | |
Principal/ Number of Shares | | 2,191,005 | | 2,197,331 | |
Cost | | $ 2,116,045 | | $ 2,118,286 | |
Fair Value | | $ 2,195,562 | | $ 2,186,345 | |
Syncsort Incorporated [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B (10/21) | | Term Loan B (10/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.25% | | 4% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.84% | | 9.59% | |
Maturity Date | | Apr. 24, 2028 | | Apr. 24, 2028 | |
Principal/ Number of Shares | | 2,438,722 | | 2,444,975 | |
Cost | | $ 2,438,116 | | $ 2,444,257 | |
Fair Value | | $ 2,420,041 | | $ 2,421,748 | |
Ta TT Buyer LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Broadcasting & Subscription | | Media: Broadcasting & Subscription | |
Asset Name | | Term Loan 3/22 | | Term Loan 3/22 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.25% | | 5% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 10.55% | | 10.35% | |
Maturity Date | | Apr. 02, 2029 | | Apr. 02, 2029 | |
Principal/ Number of Shares | | 984,957 | | 987,475 | |
Cost | | $ 977,257 | | $ 979,563 | |
Fair Value | | $ 984,957 | | $ 987,060 | |
Tenable Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan B (6/21) | | Term Loan B (6/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.19% | | 8.19% | |
Maturity Date | | Jul. 07, 2028 | | Jul. 07, 2028 | |
Principal/ Number of Shares | | 977,500 | | 980,000 | |
Cost | | $ 976,300 | | $ 978,620 | |
Fair Value | | $ 977,500 | | $ 977,962 | |
Teneo Holdings LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B (03/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.75% | | 5.25% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 10.08% | | 10.68% | |
Maturity Date | | Mar. 13, 2031 | | Jul. 15, 2025 | |
Principal/ Number of Shares | | 3,500,000 | | 4,337,912 | |
Cost | | $ 3,465,508 | | $ 4,305,238 | |
Fair Value | | $ 3,526,250 | | $ 4,332,490 | |
Ten-X, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan 5/23 | | Term Loan 5/23 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 6% | | 6% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 11.33% | | 11.33% | |
Maturity Date | | May 25, 2028 | | May 25, 2028 | |
Principal/ Number of Shares | | 1,875,000 | | 1,880,000 | |
Cost | | $ 1,875,000 | | $ 1,879,762 | |
Fair Value | | $ 1,802,344 | | $ 1,809,030 | |
The Dun & Bradstreet Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (01/24) | | Term Loan (01/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.07% | | 8.07% | |
Maturity Date | | Jan. 18, 2029 | | Jan. 18, 2029 | |
Principal/ Number of Shares | | 1,148,788 | | 1,148,788 | |
Cost | | $ 1,147,353 | | $ 1,146,995 | |
Fair Value | | $ 1,151,821 | | $ 1,145,629 | |
Thor Industries, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Automotive | | Automotive | |
Asset Name | | Term Loan B2 | | Term Loan B2 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.07% | | 8.07% | |
Maturity Date | | Nov. 15, 2030 | | Nov. 15, 2030 | |
Principal/ Number of Shares | | 658,992 | | 847,276 | |
Cost | | $ 652,965 | | $ 839,124 | |
Fair Value | | $ 662,564 | | $ 847,276 | |
TIBCO Software Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | | |
Asset Name | | Term Loan (3/24) | | | |
Asset Type | | Loan | | | |
Reference Rate | | 3M USD SOFR+ | | | |
Reference Spread | | 4.50% | | | |
SOFR/LIBOR Floor | | 0.50% | | | |
Current Rate (All In) | | 9.93% | | | |
Maturity Date | | Mar. 24, 2031 | | | |
Principal/ Number of Shares | | 500,000 | | | |
Cost | | $ 499,375 | | | |
Fair Value | | $ 502,500 | | | |
Torrid LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Wholesale | | Wholesale | |
Asset Name | | Term Loan 5/21 | | Term Loan 5/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 6M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 11.11% | | 11.11% | |
Maturity Date | | Jun. 14, 2028 | | Jun. 14, 2028 | |
Principal/ Number of Shares | | 3,246,912 | | 3,293,297 | |
Cost | | $ 2,862,514 | | $ 2,885,799 | |
Fair Value | | $ 2,801,826 | | $ 2,766,369 | |
TORY BURCH LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Retail | | Retail | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.69% | | 8.69% | |
Maturity Date | | Apr. 15, 2028 | | Apr. 15, 2028 | |
Principal/ Number of Shares | | 2,302,165 | | 2,308,083 | |
Cost | | $ 2,175,006 | | $ 2,173,521 | |
Fair Value | | $ 2,304,628 | | $ 2,279,878 | |
Tosca Services, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Containers, Packaging & Glass | | Containers, Packaging & Glass | |
Asset Name | | Term Loan (2/21) | | Term Loan (2/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.50% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.09% | | 9.07% | |
Maturity Date | | Aug. 18, 2027 | | Aug. 18, 2027 | |
Principal/ Number of Shares | | 483,750 | | 485,000 | |
Cost | | $ 480,153 | | $ 481,026 | |
Fair Value | | $ 430,020 | | $ 403,360 | |
Trans Union LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B7 (02/24) | | Term Loan B7 (02/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.33% | | 7.33% | |
Maturity Date | | Dec. 01, 2028 | | Dec. 01, 2028 | |
Principal/ Number of Shares | | 609,032 | | 609,032 | |
Cost | | $ 608,222 | | $ 608,154 | |
Fair Value | | $ 610,902 | | $ 608,161 | |
TRITON WATER HOLDINGS, INC. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Beverage, Food & Tobacco | | Beverage, Food & Tobacco | |
Asset Name | | Term Loan (03/21) | | Term Loan (03/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.81% | | 8.86% | |
Maturity Date | | Mar. 31, 2028 | | Mar. 31, 2028 | |
Principal/ Number of Shares | | 1,458,754 | | 1,462,504 | |
Cost | | $ 1,454,375 | | $ 1,457,793 | |
Fair Value | | $ 1,455,939 | | $ 1,435,389 | |
Tronox Finance LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.50% | | 2.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.94% | | 7.94% | |
Maturity Date | | Mar. 10, 2028 | | Mar. 10, 2028 | |
Principal/ Number of Shares | | 346,923 | | 346,923 | |
Cost | | $ 346,562 | | $ 346,548 | |
Fair Value | | $ 348,224 | | $ 345,584 | |
Tronox Finance LLC One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Term Loan B (04/24) | | Incremental Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.75% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0.50% | |
Current Rate (All In) | | 8.08% | | 8.85% | |
Maturity Date | | Apr. 04, 2029 | | Aug. 11, 2028 | |
Principal/ Number of Shares | | 1,995,000 | | 2,000,000 | |
Cost | | $ 1,977,441 | | $ 1,981,659 | |
Fair Value | | $ 2,003,239 | | $ 1,997,500 | |
TruGreen Limited Partnership [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.43% | | 9.43% | |
Maturity Date | | Oct. 29, 2027 | | Oct. 29, 2027 | |
Principal/ Number of Shares | | 942,326 | | 944,761 | |
Cost | | $ 938,594 | | $ 940,433 | |
Fair Value | | $ 885,786 | | $ 912,034 | |
Uber Technologies, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Transportation: Consumer | | Transportation: Consumer | |
Asset Name | | Term Loan 2/23 | | Term Loan 2/23 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.08% | | 8.13% | |
Maturity Date | | Mar. 03, 2030 | | Mar. 03, 2030 | |
Principal/ Number of Shares | | 394,188 | | 395,438 | |
Cost | | $ 393,320 | | $ 394,559 | |
Fair Value | | $ 396,652 | | $ 396,284 | |
Ultra Clean Holdings, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term loan (03/24) | | Incremental Term Loan 3/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.50% | | 3.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.83% | | 9.19% | |
Maturity Date | | Feb. 25, 2028 | | Aug. 27, 2025 | |
Principal/ Number of Shares | | 1,257,230 | | 763,480 | |
Cost | | $ 1,253,647 | | $ 761,941 | |
Fair Value | | $ 1,265,088 | | $ 764,755 | |
Unimin Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Metals & Mining | | Metals & Mining | |
Asset Name | | Term Loan (12/20) | | Term Loan (12/20) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 9.57% | | 9.59% | |
Maturity Date | | Jul. 31, 2026 | | Jul. 31, 2026 | |
Principal/ Number of Shares | | 496,815 | | 496,815 | |
Cost | | $ 483,060 | | $ 481,603 | |
Fair Value | | $ 493,834 | | $ 494,207 | |
Univision Communications Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Broadcasting & Subscription | | Media: Broadcasting & Subscription | |
Asset Name | | Term Loan B (6/21) | | Term Loan B (6/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.69% | | 8.69% | |
Maturity Date | | Mar. 15, 2026 | | Mar. 15, 2026 | |
Principal/ Number of Shares | | 2,415,600 | | 2,421,809 | |
Cost | | $ 2,412,716 | | $ 2,418,336 | |
Fair Value | | $ 2,414,996 | | $ 2,418,031 | |
Univision Communications Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Broadcasting & Subscription | | Media: Broadcasting & Subscription | |
Asset Name | | Term Loan B (6/22) | | Term Loan B (6/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.56% | | 9.60% | |
Maturity Date | | Jun. 25, 2029 | | Jun. 25, 2029 | |
Principal/ Number of Shares | | 245,625 | | 246,250 | |
Cost | | $ 239,831 | | $ 240,243 | |
Fair Value | | $ 245,441 | | $ 246,250 | |
Vaco Holdings, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan (01/22) | | Term Loan (01/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 6M USD SOFR+ | | 6M USD SOFR+ | |
Reference Spread | | 5% | | 5% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 10.43% | | 10.43% | |
Maturity Date | | Jan. 19, 2029 | | Jan. 19, 2029 | |
Principal/ Number of Shares | | 2,312,637 | | 2,318,552 | |
Cost | | $ 2,257,185 | | $ 2,260,590 | |
Fair Value | | $ 2,305,422 | | $ 2,287,251 | |
Vericast Corp. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | [3] | Media: Advertising, Printing & Publishing | | Media: Advertising, Printing & Publishing | |
Asset Name | [3] | Term Loan (12/23) | | Term Loan (12/23) | |
Asset Type | [3] | Loan | | Loan | |
Reference Rate | [3] | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | [3] | 7.75% | | 7.75% | |
SOFR/LIBOR Floor | [3] | 0% | | 0% | |
Current Rate (All In) | [3] | 13.32% | | 13.36% | |
Maturity Date | [3] | Jun. 16, 2026 | | Jun. 16, 2026 | |
Principal/ Number of Shares | [3] | 1,216,065 | | 1,208,512 | |
Cost | [3] | $ 1,215,327 | | $ 1,207,739 | |
Fair Value | [3] | $ 1,224,176 | | $ 1,111,831 | |
Verifone Systems, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (7/18) | | Term Loan (7/18) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 4% | | 4% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.60% | | 9.59% | |
Maturity Date | | Aug. 20, 2025 | | Aug. 20, 2025 | |
Principal/ Number of Shares | | 1,350,172 | | 1,353,744 | |
Cost | | $ 1,348,518 | | $ 1,351,272 | |
Fair Value | | $ 1,156,652 | | $ 1,170,988 | |
Vertex Aerospace Services Corp [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Aerospace & Defense | | Aerospace & Defense | |
Asset Name | | Term Loan (10/21) | | Term Loan (10/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 3.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 8.08% | | 8.68% | |
Maturity Date | | Dec. 06, 2030 | | Dec. 06, 2028 | |
Principal/ Number of Shares | | 980,075 | | 982,538 | |
Cost | | $ 977,321 | | $ 979,566 | |
Fair Value | | $ 983,143 | | $ 982,459 | |
VFH Parent LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan (01/22) | | Term Loan (01/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.43% | | 8.43% | |
Maturity Date | | Jan. 12, 2029 | | Jan. 12, 2029 | |
Principal/ Number of Shares | | 2,975,130 | | 2,975,130 | |
Cost | | $ 2,971,218 | | $ 2,970,557 | |
Fair Value | | $ 2,977,926 | | $ 2,970,667 | |
Viasat Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | Telecommunications | |
Asset Name | | Term Loan (2/22) | | Term Loan (2/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.50% | | 4.50% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.83% | | 9.83% | |
Maturity Date | | Mar. 05, 2029 | | Mar. 05, 2029 | |
Principal/ Number of Shares | | 2,959,849 | | 2,967,381 | |
Cost | | $ 2,904,035 | | $ 2,908,179 | |
Fair Value | | $ 2,711,962 | | $ 2,909,903 | |
Virtus Investment Partners, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan B (9/21) | | Term Loan B (9/21) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.69% | | 7.69% | |
Maturity Date | | Sep. 28, 2028 | | Sep. 28, 2028 | |
Principal/ Number of Shares | | 2,761,364 | | 2,823,409 | |
Cost | | $ 2,756,082 | | $ 2,817,201 | |
Fair Value | | $ 2,757,912 | | $ 2,819,880 | |
Vistra Operations Company LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Energy: Electricity | | Energy: Electricity | |
Asset Name | | 2018 Incremental Term Loan | | 2018 Incremental Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.33% | | 7.33% | |
Maturity Date | | Dec. 20, 2030 | | Dec. 20, 2030 | |
Principal/ Number of Shares | | 1,884,669 | | 1,889,393 | |
Cost | | $ 1,876,723 | | $ 1,880,083 | |
Fair Value | | $ 1,890,719 | | $ 1,880,135 | |
Vizient, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan 4/22 | | Term Loan 4/22 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.68% | | 7.68% | |
Maturity Date | | May 16, 2029 | | May 16, 2029 | |
Principal/ Number of Shares | | 491,250 | | 492,500 | |
Cost | | $ 487,578 | | $ 488,534 | |
Fair Value | | $ 493,441 | | $ 492,731 | |
VM Consolidated, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Construction & Building | | Construction & Building | |
Asset Name | | Term Loan B (01/24) | | Term Loan B (01/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.75% | | 2.75% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.08% | | 8.08% | |
Maturity Date | | Mar. 24, 2028 | | Mar. 24, 2028 | |
Principal/ Number of Shares | | 1,835,482 | | 1,841,374 | |
Cost | | $ 1,834,853 | | $ 1,840,186 | |
Fair Value | | $ 1,848,477 | | $ 1,843,676 | |
Vouvray US Finance LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 6% | | 6% | |
SOFR/LIBOR Floor | | 1% | | 1% | |
Current Rate (All In) | | 11.33% | | 11.33% | |
Maturity Date | | Sep. 30, 2025 | | Sep. 30, 2025 | |
Principal/ Number of Shares | | 465,000 | | 466,250 | |
Cost | | $ 465,000 | | $ 466,250 | |
Fair Value | | $ 477,206 | | $ 472,078 | |
Walker & Dunlop, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan | | Term Loan B (12/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 3% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.68% | | 8.43% | |
Maturity Date | | Dec. 15, 2028 | | Dec. 15, 2028 | |
Principal/ Number of Shares | | 495,000 | | 496,250 | |
Cost | | $ 487,053 | | $ 487,839 | |
Fair Value | | $ 495,619 | | $ 495,009 | |
Warner Music Group Corp. (WMG Acquisition Corp.) [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | First Lien TL I (01/24) | | First Lien TL I (01/24) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.33% | | 7.33% | |
Maturity Date | | Jan. 24, 2031 | | Jan. 24, 2031 | |
Principal/ Number of Shares | | 1,250,000 | | 1,250,000 | |
Cost | | $ 1,249,971 | | $ 1,249,906 | |
Fair Value | | $ 1,252,775 | | $ 1,247,463 | |
Watlow Electric Manufacturing Company [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B | | Term Loan B | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.75% | | 3.75% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.34% | | 9.33% | |
Maturity Date | | Mar. 02, 2028 | | Mar. 02, 2028 | |
Principal/ Number of Shares | | 2,791,322 | | 2,831,632 | |
Cost | | $ 2,782,487 | | $ 2,822,010 | |
Fair Value | | $ 2,794,225 | | $ 2,826,337 | |
WeddingWire, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Consumer | | Services: Consumer | |
Asset Name | | Term Loan (09/23) | | Term Loan (09/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.50% | | 4.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.82% | | 9.82% | |
Maturity Date | | Jan. 29, 2028 | | Jan. 29, 2028 | |
Principal/ Number of Shares | | 4,808,923 | | 4,808,923 | |
Cost | | $ 4,807,138 | | $ 4,806,669 | |
Fair Value | | $ 4,820,946 | | $ 4,784,879 | |
WEX Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Services: Business | | Services: Business | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.33% | | 7.33% | |
Maturity Date | | Apr. 01, 2028 | | Mar. 31, 2028 | |
Principal/ Number of Shares | | 2,917,330 | | 2,924,849 | |
Cost | | $ 2,911,409 | | $ 2,918,448 | |
Fair Value | | $ 2,926,199 | | $ 2,919,379 | |
WildBrain Ltd. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Media: Diversified & Production | | Media: Diversified & Production | |
Asset Name | | Term Loan | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.75% | | 0.75% | |
Current Rate (All In) | | 9.69% | | 9.69% | |
Maturity Date | | Mar. 27, 2028 | | Mar. 27, 2028 | |
Principal/ Number of Shares | | 2,997,300 | | 3,005,025 | |
Cost | | $ 2,947,371 | | $ 2,952,048 | |
Fair Value | | $ 2,897,400 | | $ 2,899,849 | |
Windsor Holdings III, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Chemicals, Plastics, & Rubber | | Chemicals, Plastics, & Rubber | |
Asset Name | | Windsor Holdings III TL | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4% | | 4.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 9.32% | | 9.82% | |
Maturity Date | | Aug. 01, 2030 | | Aug. 01, 2030 | |
Principal/ Number of Shares | | 498,750 | | 500,000 | |
Cost | | $ 498,750 | | $ 500,000 | |
Fair Value | | $ 503,947 | | $ 500,390 | |
Wyndham Hotels & Resorts, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Hotel, Gaming & Leisure | | Hotel, Gaming & Leisure | |
Asset Name | | Term Loan (05/24) | | Term Loan 5/23 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 1.75% | | 2.25% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.17% | | 7.68% | |
Maturity Date | | May 24, 2030 | | May 24, 2030 | |
Principal/ Number of Shares | | 992,500 | | 995,000 | |
Cost | | $ 988,251 | | $ 990,380 | |
Fair Value | | $ 993,989 | | $ 996,124 | |
Xperi Corporation [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | High Tech Industries | | High Tech Industries | |
Asset Name | | Term Loan B (05/24) | | Term Loan | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 3% | | 3.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 8.32% | | 8.94% | |
Maturity Date | | Jun. 08, 2028 | | Jun. 08, 2028 | |
Principal/ Number of Shares | | 1,947,945 | | 1,983,094 | |
Cost | | $ 1,945,147 | | $ 1,979,717 | |
Fair Value | | $ 1,948,763 | | $ 1,977,303 | |
Zayo Group, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Telecommunications | | Telecommunications | |
Asset Name | | Term Loan 4/22 | | Term Loan 4/22 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 4.25% | | 4.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 9.65% | | 9.65% | |
Maturity Date | | Mar. 09, 2027 | | Mar. 09, 2027 | |
Principal/ Number of Shares | | 980,000 | | 982,500 | |
Cost | | $ 964,355 | | $ 965,514 | |
Fair Value | | $ 856,628 | | $ 884,555 | |
ZEBRA BUYER (Allspring) LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Banking, Finance, Insurance & Real Estate | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | Term Loan 4/21 | | Term Loan 4/21 | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 3M USD SOFR+ | |
Reference Spread | | 3.25% | | 3.25% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 8.82% | | 8.89% | |
Maturity Date | | Nov. 01, 2028 | | Nov. 01, 2028 | |
Principal/ Number of Shares | | 1,861,760 | | 1,866,509 | |
Cost | | $ 1,853,650 | | $ 1,857,862 | |
Fair Value | | $ 1,856,230 | | $ 1,862,142 | |
Zekelman Industries, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Metals & Mining | | Metals & Mining | |
Asset Name | | Term Loan B (03/24) | | Term Loan (01/20) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 2.25% | | 2% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 7.57% | | 7.44% | |
Maturity Date | | Jan. 24, 2031 | | Jan. 25, 2027 | |
Principal/ Number of Shares | | 1,454,029 | | 954,029 | |
Cost | | $ 1,452,837 | | $ 954,029 | |
Fair Value | | $ 1,455,061 | | $ 953,733 | |
Zest Acquisition Corp. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Healthcare & Pharmaceuticals | | Healthcare & Pharmaceuticals | |
Asset Name | | Term Loan (1/23) | | Term Loan (1/23) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 3M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 5.50% | | 5.50% | |
SOFR/LIBOR Floor | | 0% | | 0% | |
Current Rate (All In) | | 10.83% | | 10.83% | |
Maturity Date | | Feb. 08, 2028 | | Feb. 08, 2028 | |
Principal/ Number of Shares | | 1,975,000 | | 1,980,000 | |
Cost | | $ 1,897,489 | | $ 1,897,656 | |
Fair Value | | $ 1,937,969 | | $ 1,940,400 | |
Zodiac Pool Solutions [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | Consumer goods: Durable | | Consumer goods: Durable | |
Asset Name | | Term Loan (1/22) | | Term Loan (1/22) | |
Asset Type | | Loan | | Loan | |
Reference Rate | | 1M USD SOFR+ | | 1M USD SOFR+ | |
Reference Spread | | 1.93% | | 1.93% | |
SOFR/LIBOR Floor | | 0.50% | | 0.50% | |
Current Rate (All In) | | 7.35% | | 7.35% | |
Maturity Date | | Jan. 29, 2029 | | Jan. 29, 2029 | |
Principal/ Number of Shares | | 488,750 | | 490,000 | |
Cost | | $ 488,112 | | $ 489,237 | |
Fair Value | | $ 489,226 | | $ 488,772 | |
AIS HoldCo, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Services: Business | |
Asset Name | | | | Term Loan | |
Asset Type | | | | Loan | |
Reference Rate | | | | 3M USD SOFR+ | |
Reference Spread | | | | 5% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 10.57% | |
Maturity Date | | | | Aug. 15, 2025 | |
Principal/ Number of Shares | | | | 4,551,925 | |
Cost | | | | $ 4,499,117 | |
Fair Value | | | | $ 4,392,607 | |
Arches Buyer Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Services: Consumer | |
Asset Name | | | | Term Loan B | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3.25% | |
SOFR/LIBOR Floor | | | | 0.50% | |
Current Rate (All In) | | | | 8.68% | |
Maturity Date | | | | Dec. 06, 2027 | |
Principal/ Number of Shares | | | | 1,469,697 | |
Cost | | | | $ 1,463,299 | |
Fair Value | | | | $ 1,405,398 | |
Asplundh Tree Expert, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Services: Business | |
Asset Name | | | | Term Loan 2/21 | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 1.75% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 7.18% | |
Maturity Date | | | | Sep. 07, 2027 | |
Principal/ Number of Shares | | | | 967,500 | |
Cost | | | | $ 965,030 | |
Fair Value | | | | $ 966,068 | |
AssuredPartners Capital, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | | | Term Loan B (2/20) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3.50% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 8.94% | |
Maturity Date | | | | Feb. 12, 2027 | |
Principal/ Number of Shares | | | | 979,592 | |
Cost | | | | $ 977,377 | |
Fair Value | | | | $ 979,866 | |
Assuredpartners Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | | | Incremental Term Loan (7/21) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3.50% | |
SOFR/LIBOR Floor | | | | 0.50% | |
Current Rate (All In) | | | | 8.94% | |
Maturity Date | | | | Feb. 12, 2027 | |
Principal/ Number of Shares | | | | 975,000 | |
Cost | | | | $ 975,000 | |
Fair Value | | | | $ 975,000 | |
Axalta Coating Systems US Holdings [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Chemicals, Plastics, & Rubber | |
Asset Name | | | | Term Loan B (08/23) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 3M USD SOFR+ | |
Reference Spread | | | | 2.50% | |
SOFR/LIBOR Floor | | | | 0.50% | |
Current Rate (All In) | | | | 7.85% | |
Maturity Date | | | | Dec. 20, 2029 | |
Principal/ Number of Shares | | | | 867,888 | |
Cost | | | | $ 860,595 | |
Fair Value | | | | $ 868,183 | |
Baldwin Risk Partners, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Banking, Finance, Insurance & Real Estate | |
Asset Name | | | | Term Loan | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3.50% | |
SOFR/LIBOR Floor | | | | 0.50% | |
Current Rate (All In) | | | | 8.94% | |
Maturity Date | | | | Oct. 14, 2027 | |
Principal/ Number of Shares | | | | 1,960,048 | |
Cost | | | | $ 1,946,212 | |
Fair Value | | | | $ 1,946,171 | |
Barnes Group Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Aerospace & Defense | |
Asset Name | | | | Term Loan B | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 8.43% | |
Maturity Date | | | | Aug. 09, 2030 | |
Principal/ Number of Shares | | | | 249,375 | |
Cost | | | | $ 247,649 | |
Fair Value | | | | $ 249,500 | |
Bausch Health Companies Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Healthcare & Pharmaceuticals | |
Asset Name | | | | Term Loan B (1/22) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 5.25% | |
SOFR/LIBOR Floor | | | | 0.50% | |
Current Rate (All In) | | | | 10.67% | |
Maturity Date | | | | Feb. 01, 2027 | |
Principal/ Number of Shares | | | | 1,850,000 | |
Cost | | | | $ 1,710,365 | |
Fair Value | | | | $ 1,465,552 | |
Catalent Pharma Solutions, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Healthcare & Pharmaceuticals | |
Asset Name | | | | Term Loan B4 | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3% | |
SOFR/LIBOR Floor | | | | 0.50% | |
Current Rate (All In) | | | | 8.32% | |
Maturity Date | | | | Feb. 22, 2028 | |
Principal/ Number of Shares | | | | 600,000 | |
Cost | | | | $ 595,597 | |
Fair Value | | | | $ 601,500 | |
Catalent Pharma Solutions, Inc. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Healthcare & Pharmaceuticals | |
Asset Name | | | | Term Loan B3 (2/21) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 2% | |
SOFR/LIBOR Floor | | | | 0.50% | |
Current Rate (All In) | | | | 7.43% | |
Maturity Date | | | | Feb. 22, 2028 | |
Principal/ Number of Shares | | | | 598,462 | |
Cost | | | | $ 587,525 | |
Fair Value | | | | $ 597,588 | |
Cengage Learning, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Media: Advertising, Printing & Publishing | |
Asset Name | | | | Term Loan B (6/21) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 3M USD SOFR+ | |
Reference Spread | | | | 4.75% | |
SOFR/LIBOR Floor | | | | 1% | |
Current Rate (All In) | | | | 10.33% | |
Maturity Date | | | | Jul. 14, 2026 | |
Principal/ Number of Shares | | | | 2,932,500 | |
Cost | | | | $ 2,917,832 | |
Fair Value | | | | $ 2,930,682 | |
CenturyLink, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Telecommunications | |
Asset Name | | | | Term Loan B (1/20) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 2.25% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 7.69% | |
Maturity Date | | | | Mar. 15, 2027 | |
Principal/ Number of Shares | | | | 3,838,165 | |
Cost | | | | $ 3,835,627 | |
Fair Value | | | | $ 2,781,480 | |
Daseke Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Transportation: Cargo | |
Asset Name | | | | Term Loan 2/21 | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 4% | |
SOFR/LIBOR Floor | | | | 0.75% | |
Current Rate (All In) | | | | 9.44% | |
Maturity Date | | | | Mar. 05, 2028 | |
Principal/ Number of Shares | | | | 1,162,500 | |
Cost | | | | $ 1,159,080 | |
Fair Value | | | | $ 1,162,860 | |
Delos Aircraft DAC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Transportation: Consumer | |
Asset Name | | | | Term Loan B | |
Asset Type | | | | Loan | |
Reference Rate | | | | 3M USD SOFR+ | |
Reference Spread | | | | 2% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 7.35% | |
Maturity Date | | | | Oct. 31, 2027 | |
Principal/ Number of Shares | | | | 250,000 | |
Cost | | | | $ 250,000 | |
Fair Value | | | | $ 250,438 | |
Electrical Components Inter., Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Capital Equipment | |
Asset Name | | | | Term Loan (6/18) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 4.25% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 9.68% | |
Maturity Date | | | | Jun. 26, 2025 | |
Principal/ Number of Shares | | | | 1,868,421 | |
Cost | | | | $ 1,868,421 | |
Fair Value | | | | $ 1,861,415 | |
Endo Luxembourg Finance Company I S.a.r.l. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Healthcare & Pharmaceuticals | |
Asset Name | | | | Term Loan (3/21) | |
Asset Type | | | | Loan | |
Reference Rate | | | | Prime | |
Reference Spread | | | | 6% | |
SOFR/LIBOR Floor | | | | 0.75% | |
Current Rate (All In) | | | | 14.50% | |
Maturity Date | | | | Mar. 27, 2028 | |
Principal/ Number of Shares | | | | 2,335,285 | |
Cost | | | | $ 2,330,451 | |
Fair Value | | | | $ 1,522,606 | |
EyeCare Partners, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Healthcare & Pharmaceuticals | |
Asset Name | | | | Term Loan | |
Asset Type | | | | Loan | |
Reference Rate | | | | 3M USD SOFR+ | |
Reference Spread | | | | 3.75% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 9.39% | |
Maturity Date | | | | Feb. 18, 2027 | |
Principal/ Number of Shares | | | | | |
Cost | | | | $ 1,951 | |
Fair Value | | | | | |
Flutter Financing B.V. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Hotel, Gaming & Leisure | |
Asset Name | | | | Term Loan B3 (11/23) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 3M USD SOFR+ | |
Reference Spread | | | | 2.25% | |
SOFR/LIBOR Floor | | | | 0.50% | |
Current Rate (All In) | | | | 7.70% | |
Maturity Date | | | | Nov. 25, 2030 | |
Principal/ Number of Shares | | | | 3,000,000 | |
Cost | | | | $ 2,992,850 | |
Fair Value | | | | $ 2,984,370 | |
Hilton Grand Vacations Borrower LLC One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Hotel, Gaming & Leisure | |
Asset Name | | | | Term Loan B | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 2.75% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 8.18% | |
Maturity Date | | | | Aug. 02, 2028 | |
Principal/ Number of Shares | | | | 500,000 | |
Cost | | | | $ 500,000 | |
Fair Value | | | | $ 499,375 | |
INSTANT BRANDS HOLDINGS INC. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | [5] | | | Consumer goods: Durable | |
Asset Name | [5] | | | Term Loan 4/21 | |
Asset Type | [5] | | | Loan | |
Reference Rate | [5] | | | Prime | |
Reference Spread | [5] | | | 4% | |
SOFR/LIBOR Floor | [5] | | | 0.75% | |
Current Rate (All In) | [5] | | | 14.50% | |
Maturity Date | [5] | | | Apr. 07, 2028 | |
Principal/ Number of Shares | [5] | | | 3,942,576 | |
Cost | [5] | | | $ 3,929,234 | |
Fair Value | [5] | | | $ 256,267 | |
INSTANT BRANDS HOLDINGS INC. Two [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | [3] | | | Consumer goods: Durable | |
Asset Name | [3] | | | PIK DIP Term Loan | |
Asset Type | [3] | | | Loan | |
Reference Rate | [3] | | | 1M USD SOFR+ | |
Reference Spread | [3] | | | 3% | |
SOFR/LIBOR Floor | [3] | | | 1% | |
Current Rate (All In) | [3] | | | 15.45% | |
Maturity Date | [3] | | | Jan. 31, 2024 | |
Principal/ Number of Shares | [3] | | | 1,523,653 | |
Cost | [3] | | | $ 1,523,115 | |
Fair Value | [3] | | | $ 1,557,935 | |
New Trojan Parent, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | [3] | | | Consumer goods: Durable | |
Asset Name | [3] | | | Term Loan | |
Asset Type | [3] | | | Loan | |
Reference Rate | [3] | | | 1M USD SOFR+ | |
Reference Spread | [3] | | | 5.25% | |
SOFR/LIBOR Floor | [3] | | | 0.50% | |
Current Rate (All In) | [3] | | | 10.69% | |
Maturity Date | [3] | | | Jan. 06, 2028 | |
Principal/ Number of Shares | [3] | | | | |
Cost | [3] | | | $ 40,239 | |
Fair Value | [3] | | | | |
Nouryon Finance B.V. One [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Chemicals, Plastics, & Rubber | |
Asset Name | | | | Term Loan (05/23) | |
Asset Type | | | | Loan | |
Reference Rate | | | | 3M USD SOFR+ | |
Reference Spread | | | | 4% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 9.42% | |
Maturity Date | | | | Apr. 03, 2028 | |
Principal/ Number of Shares | | | | 498,747 | |
Cost | | | | $ 494,084 | |
Fair Value | | | | $ 498,228 | |
Organon & Co. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Healthcare & Pharmaceuticals | |
Asset Name | | | | Term Loan USD | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3% | |
SOFR/LIBOR Floor | | | | 0.50% | |
Current Rate (All In) | | | | 8.43% | |
Maturity Date | | | | Jun. 02, 2028 | |
Principal/ Number of Shares | | | | 2,118,750 | |
Cost | | | | $ 2,112,577 | |
Fair Value | | | | $ 2,120,085 | |
Reynolds Group Holdings Inc.[Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Containers, Packaging & Glass | |
Asset Name | | | | Term Loan B2 | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3.25% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 8.69% | |
Maturity Date | | | | Feb. 05, 2026 | |
Principal/ Number of Shares | | | | 1,933,578 | |
Cost | | | | $ 1,929,763 | |
Fair Value | | | | $ 1,936,692 | |
Transdigm, Inc. [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Aerospace & Defense | |
Asset Name | | | | Term Loan H | |
Asset Type | | | | Loan | |
Reference Rate | | | | 3M USD SOFR+ | |
Reference Spread | | | | 3.25% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 8.60% | |
Maturity Date | | | | Feb. 22, 2027 | |
Principal/ Number of Shares | | | | 1,973,436 | |
Cost | | | | $ 1,970,279 | |
Fair Value | | | | $ 1,977,580 | |
United Natural Foods, Inc [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Beverage, Food & Tobacco | |
Asset Name | | | | Term Loan B | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3.25% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 8.69% | |
Maturity Date | | | | Oct. 22, 2025 | |
Principal/ Number of Shares | | | | 1,241,834 | |
Cost | | | | $ 1,218,443 | |
Fair Value | | | | $ 1,239,922 | |
Utz Quality Foods, LLC [Member] | Saratoga Investment Corp. CLO 2013-1, Ltd. [Member] | | | | | |
Investment in Saratoga CLO (Details) - Schedule of Investments Cash and Cash Equivalents [Line Items] | | | | | |
Industry | | | | Beverage, Food & Tobacco | |
Asset Name | | | | Term Loan B | |
Asset Type | | | | Loan | |
Reference Rate | | | | 1M USD SOFR+ | |
Reference Spread | | | | 3% | |
SOFR/LIBOR Floor | | | | 0% | |
Current Rate (All In) | | | | 8.44% | |
Maturity Date | | | | Jan. 20, 2028 | |
Principal/ Number of Shares | | | | 1,478,977 | |
Cost | | | | $ 1,478,749 | |
Fair Value | | | | $ 1,478,252 | |
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[1] Included within cash and cash equivalents in Saratoga CLO's Statements of Assets and Liabilities as of May 31, 2024. Investments include Payment-in-Kind Interest. As of May 31, 2024, the investment was in default and on non-accrual status. | |