Schedule of Investments - USD ($) $ in Thousands | 10 Months Ended | 12 Months Ended | |
Dec. 31, 2022 | Dec. 31, 2023 | Mar. 31, 2022 |
Schedule of Investment - Cost | | | | |
Cash equivalents | | $ 1,303 | $ 220 | |
Total Investments and Cash Equivalents | | 288,063 | 376,208 | |
Schedule of Investment - Fair Value | | | | |
Total Investments and Cash Equivalents | | 274,034 | 359,342 | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 272,731 | 359,122 | |
Cash equivalents | | $ 1,303 | $ 220 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments and Cash Equivalents | | 198.84% | 172.81% | |
Cash equivalents | | 0.94% | 0.10% | |
Derivative Asset, Notional Amount | | $ 12,000 | $ 12,000 | |
Derivative Asset | | $ 375 | $ 271 | |
Qualifying Assets Required Of Acquiree At Time Of Acquisition Of Total Assets Percentage | | 70% | 70% | |
Cash and Cash equivalents average yield term | | P1Y | | |
Cash and Cash equivalents yield percentage | | 1.50% | 5.20% | |
Aggregate acquisitions of investments | | $ 314,042 | $ 184,193 | |
Aggregate dispositions of investments | | $ 29,674 | $ 92,393 | |
Non-qualifying assets as percentage of total assets | | 26.80% | 22.70% | |
Second Lien Secured Debt | | | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 2,012 | |
Corporate Bond | | | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 65,814 | $ 92,736 | |
Investment, non-controlled/non-affiliated | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | [1] | Investment, non-controlled/non-affiliated | Investment, non-controlled/non-affiliated | Investment, non-controlled/non-affiliated |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 286,760 | $ 351,267 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | [1] | $ 272,731 | $ 331,288 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 197.90% | 159.33% | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 217,811 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 206,917 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 150.14% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Beverage, Food, & Tobacco | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 9,502 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 8,913 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 6.47% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Construction & Building | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 23,923 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 23,486 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 17.04% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Consumer Goods: Durable | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 22,026 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 20,891 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 15.16% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Consumer Goods: Non-Durable | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 23,703 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 22,668 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 16.45% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | FIRE: Real Estate | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 16,412 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 15,674 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 11.37% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Healthcare & Pharmaceuticals | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 34,087 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 33,625 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 24.40% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Retail | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 18,244 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 16,987 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 12.33% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Services: Business | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 12,329 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 11,909 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 8.64% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Services: Consumer | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 18,496 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 18,980 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 13.77% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Software | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 10,685 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 7,754 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 5.63% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Technology Enabled Services | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 8,945 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 6,069 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 4.40% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Transportation: Consumer | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 12,704 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 12,515 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 9.08% | | |
Investment, non-controlled/non-affiliated | First Lien Term Loan | Wholesale | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 6,755 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 7,446 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 5.40% | | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 278,077 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 260,956 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 125.50% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Beverage, Food, & Tobacco | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 6,824 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 6,223 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 2.99% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Construction & Building | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 11,682 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 12,068 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 5.80% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Consumer Goods: Durable | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 24,411 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 15,697 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 7.55% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Consumer Goods: Non-Durable | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 13,779 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 13,813 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 6.65% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Environmental Industries | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 10,966 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 10,999 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 5.28% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | FIRE: Insurance | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 19,998 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 20,544 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 9.89% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | FIRE: Real Estate | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 19,861 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 19,910 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 9.58% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Healthcare & Pharmaceuticals | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 30,246 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 27,701 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 13.33% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Hotel, Gaming and Leisure | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 14,669 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 14,523 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 6.98% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Metal & Mining | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 11,997 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 12,298 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 5.91% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Retail | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 18,257 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 14,971 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 7.20% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Services: Business | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 24,598 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 25,255 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 12.14% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Services: Consumer | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 12,438 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 12,572 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 6.05% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Software | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 4,761 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 2,937 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 1.41% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Technology Enabled Services | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 30,967 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 28,348 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 13.63% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Transportation: Consumer | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 17,473 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 17,250 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 8.30% | |
Investment, non-controlled/non-affiliated | First Lien Secured Debt | Wholesale | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 5,150 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 5,847 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 2.81% | |
Investment, non-controlled/non-affiliated | Corporate Bond | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 68,949 | $ 73,190 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 65,814 | $ 70,332 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 47.76% | 33.83% | |
Investment, non-controlled/non-affiliated | Corporate Bond | Construction & Building | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 12,814 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 13,426 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 6.46% | |
Investment, non-controlled/non-affiliated | Corporate Bond | Capital Equipment | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 4,291 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 3,895 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 2.83% | | |
Investment, non-controlled/non-affiliated | Corporate Bond | Chemicals, Plastics, & Rubber | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 4,909 | $ 4,549 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 5,048 | $ 4,792 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 3.66% | 2.30% | |
Investment, non-controlled/non-affiliated | Corporate Bond | Environmental Industries | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 12,681 | $ 13,196 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 13,040 | $ 13,447 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 9.46% | 6.47% | |
Investment, non-controlled/non-affiliated | Corporate Bond | Retail | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 18,182 | $ 17,004 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 16,512 | $ 12,647 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 11.98% | 6.08% | |
Investment, non-controlled/non-affiliated | Corporate Bond | Services: Business | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 9,842 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 8,942 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 6.49% | | |
Investment, non-controlled/non-affiliated | Corporate Bond | Services: Consumer | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 4,377 | $ 10,898 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 3,812 | $ 11,320 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 2.77% | 5.45% | |
Investment, non-controlled/non-affiliated | Corporate Bond | Software | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 14,667 | $ 14,729 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 14,565 | $ 14,700 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 10.57% | 7.07% | |
Investments, non-controlled/affiliated | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 0 | $ 24,721 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 27,834 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 13.38% | |
Investments, non-controlled/affiliated | Carlson Travel, Inc. | | | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 5,430 | |
Investments, non-controlled/affiliated | TPC Group Inc | | | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 22,404 | |
Investments, non-controlled/affiliated | Second Lien Secured Debt | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 1,749 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 2,012 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 0.97% | |
Investments, non-controlled/affiliated | Second Lien Secured Debt | Services: Business | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 1,749 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 2,012 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 0.97% | |
Investments, non-controlled/affiliated | Corporate Bond | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 22,143 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 22,404 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 10.77% | |
Investments, non-controlled/affiliated | Corporate Bond | Chemicals, Plastics, & Rubber | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 22,143 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 22,404 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 10.77% | |
Investments, non-controlled/affiliated | Equity | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 829 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 3,418 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 1.64% | |
Investments, non-controlled/affiliated | Equity | Services: Business | | | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 829 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 3,418 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 1.64% | |
Investment, Identifier [Axis]: ALCHEMY US HOLDCO 1, LLC First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:AlchemyUsHoldco1LlcMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Metal & Mining | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.50% | |
Interest Rate | | | 6.15% | |
Maturity Date | | | Oct. 10, 2025 | |
Par Amount /Shares | | | $ 12,422 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 11,997 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 12,298 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 5.91% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Accession Risk Management Group, Inc. (fka RSC Acquisition, Inc.) (Delayed Draw Loan) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:AccessionRiskManagementGroupInc.FkaRscAcquisitionInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | FIRE: Insurance | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6% | |
Maturity Date | | | Nov. 01, 2029 | |
Par Amount /Shares | | | $ 4,916 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | (74) | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ (49) | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | (0.02%) | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Accession Risk Management Group, Inc. (fka RSC Acquisition, Inc.) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:AccessionRiskManagementGroupInc.FkaRscAcquisitionInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | FIRE: Insurance | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6% | |
Maturity Date | | | Nov. 01, 2029 | |
Par Amount /Shares | | | $ 1,084 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 1,078 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 1,073 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 0.52% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Amer Sports Holding Oy (fka Mascot Bidco Oy) (Finland), First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:AmerSportsHoldingOyfkaMascotBidcoOyFinlandMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Consumer Goods: Non-Durable | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthEURIBORMember | | |
Floor | | 0% | | |
Interest Rate | | 4.50% | | |
Maturity Date | | Mar. 30, 2026 | | |
Par Amount /Shares | | $ 5,140 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 4,694 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 5,070 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 3.68% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Aptos Canada, Inc., Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:AptosCanadaInc.Member | rweic:AptosCanadaInc.Member | |
Investment, Type [Extensible Enumeration] | | Corporate Bond | Corporate Bond | |
Investment, Industry Sector [Extensible Enumeration] | | | Software | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:OneMonthLIBORMember | rweic:OneMonthSOFRMember | |
Floor | | 1% | 1% | |
Interest Rate | | 7.50% | 7.61% | |
Maturity Date | | Mar. 04, 2027 | Mar. 02, 2027 | |
Par Amount /Shares | | $ 15,000 | $ 15,000 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 14,667 | 14,729 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 14,565 | $ 14,700 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 10.57% | 7.07% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: At Home Group, Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:AtHomeGroupInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Retail | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:OneMonthSOFRMember | |
Floor | | | 0.50% | |
Interest Rate | | | 4.36% | |
Maturity Date | | | Jul. 24, 2028 | |
Par Amount /Shares | | | $ 5,697 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 4,736 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 2,459 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 1.18% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: At Home Group, Inc., Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:AtHomeGroupInc.Member | rweic:AtHomeGroupInc.Member | |
Investment, Type [Extensible Enumeration] | | Corporate Bond | Corporate Bond | |
Investment, Industry Sector [Extensible Enumeration] | | | Retail | |
Interest Rate | | 4.88% | 4.88% | |
Maturity Date | | Jul. 15, 2028 | Jul. 15, 2028 | |
Par Amount /Shares | | $ 8,418 | $ 8,418 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 6,641 | 6,895 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 5,941 | $ 3,064 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 4.31% | 1.47% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: At Home Group, Inc., First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:AtHomeGroupInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Retail | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 0.50% | | |
Interest Rate | | 4.25% | | |
Maturity Date | | Jul. 24, 2028 | | |
Par Amount /Shares | | $ 5,755 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 4,642 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 4,507 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 3.27% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Athena Holdco S.A.S. (Delayed Draw Loan) (France) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | Athena Holdco S.A.S. | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | FIRE: Insurance | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthEURIBORMember | |
Floor | | | 0% | |
Interest Rate | | | 6.50% | |
Maturity Date | | | Apr. 18, 2030 | |
Par Amount /Shares | | | $ 2,318 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | (62) | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ (25) | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | (0.01%) | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Athena Holdco S.A.S. (France) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | Athena Holdco S.A.S. | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | FIRE: Insurance | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthEURIBORMember | |
Floor | | | 0% | |
Interest Rate | | | 6.50% | |
Maturity Date | | | Apr. 18, 2030 | |
Par Amount /Shares | | | $ 17,900 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 19,056 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 19,545 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 9.40% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Atlas Purchaser, Inc, First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:AtlasPurchaserIncMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Software | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 0.75% | | |
Interest Rate | | 5.25% | | |
Maturity Date | | May 08, 2028 | | |
Par Amount /Shares | | $ 11,113 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 10,685 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 7,754 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 5.63% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Atlas Purchaser, Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:AtlasPurchaserIncMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Software | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.75% | |
Interest Rate | | | 5.51% | |
Maturity Date | | | May 08, 2028 | |
Par Amount /Shares | | | $ 4,978 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 4,761 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 2,937 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 1.41% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Bad Boy Mowers JV Acquisition, LLC First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:BadBoyMowersJvAcquisitionLlcMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Consumer Goods: Durable | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6% | |
Maturity Date | | | Nov. 09, 2029 | |
Par Amount /Shares | | | $ 12,000 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 11,703 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 11,700 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 5.63% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Bioceres Crop Solutions Corp. (Argentina), Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:BioceresCropSolutionsCorp.ArgentinaMember | rweic:BioceresCropSolutionsCorp.ArgentinaMember | |
Investment, Type [Extensible Enumeration] | | Corporate Bond | Corporate Bond | |
Investment, Industry Sector [Extensible Enumeration] | | | Environmental Industries | |
Interest Rate | | 5% | 5% | |
Interest rate - PIK | | 4% | 4% | |
Maturity Date | | Aug. 05, 2026 | Aug. 05, 2026 | |
Par Amount /Shares | | $ 12,681 | $ 13,196 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 12,681 | 13,196 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 13,040 | $ 13,447 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 9.46% | 6.47% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Boardriders, Inc, First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:BoardridersIncMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Consumer Goods: Non-Durable | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 1% | | |
Interest Rate | | 6.50% | | |
Interest rate - PIK | | 1.50% | | |
Maturity Date | | Apr. 23, 2024 | | |
Par Amount /Shares | | $ 10,070 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 9,640 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 8,623 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 6.26% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Brand Industrial Services, Inc., First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:BrandIndustrialServicesInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Construction & Building | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 1% | | |
Interest Rate | | 4.25% | | |
Maturity Date | | Jun. 21, 2024 | | |
Par Amount /Shares | | $ 13,098 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 12,225 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 11,690 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 8.48% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Carlson Travel, Inc. Equity - Common Stock | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | us-gaap:InvestmentAffiliatedIssuerControlledMember | |
Investment, Issuer Name [Extensible Enumeration] | | | Carlson Travel, Inc. | |
Investment, Type [Extensible Enumeration] | | | Equity | |
Investment, Industry Sector [Extensible Enumeration] | | | Services: Business | |
Par Amount /Shares | | | $ 2,426 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 267 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 0.13% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Carlson Travel, Inc. Equity - Preferred Equity | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | us-gaap:InvestmentAffiliatedIssuerControlledMember | |
Investment, Issuer Name [Extensible Enumeration] | | | Carlson Travel, Inc. | |
Investment, Type [Extensible Enumeration] | | | Equity | |
Investment, Industry Sector [Extensible Enumeration] | | | Services: Business | |
Par Amount /Shares | | | $ 1,703 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 829 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 3,151 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 1.51% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Carlson Travel, Inc. Second Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | us-gaap:InvestmentAffiliatedIssuerControlledMember | |
Investment, Issuer Name [Extensible Enumeration] | | | Carlson Travel, Inc. | |
Investment, Type [Extensible Enumeration] | | | Second Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Services: Business | |
Floor | | | 0% | |
Interest rate - PIK | | | 15% | |
Maturity Date | | | May 08, 2029 | |
Par Amount /Shares | | | $ 1,749 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 1,749 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 2,012 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 0.97% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Carlson Travel, Inc., Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Carlson Travel, Inc. | | |
Investment, Type [Extensible Enumeration] | | Corporate Bond | | |
Interest Rate | | 8.50% | | |
Maturity Date | | Nov. 19, 2026 | | |
Par Amount /Shares | | $ 10,610 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 9,842 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 8,942 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 6.49% | | |
Investment, Identifier [Axis]: Claire’s Stores, Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:ClairesStoresInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Retail | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:OneMonthSOFRMember | |
Interest Rate | | | 6.60% | |
Maturity Date | | | Dec. 18, 2026 | |
Par Amount /Shares | | | $ 13,750 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 13,521 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 12,512 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 6.02% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Claire's Stores, Inc., First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:ClairesStoresInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Retail | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:OneMonthLIBORMember | | |
Interest Rate | | 6.50% | | |
Maturity Date | | Dec. 18, 2026 | | |
Par Amount /Shares | | $ 13,893 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 13,602 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 12,480 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 9.06% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Covetrus, Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:CovetrusInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Healthcare & Pharmaceuticals | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.50% | |
Interest Rate | | | 5% | |
Maturity Date | | | Oct. 13, 2029 | |
Par Amount /Shares | | | $ 4,411 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 4,166 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 4,403 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 2.12% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Covetrus, Inc., First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:CovetrusInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Healthcare & Pharmaceuticals | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthSOFRMember | | |
Floor | | 0.50% | | |
Interest Rate | | 5% | | |
Maturity Date | | Oct. 13, 2029 | | |
Par Amount /Shares | | $ 15,500 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 14,578 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 14,485 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 10.51% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Delivery Hero Germany GmbH First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:DeliveryHeroGermanyGmbhMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Services: Consumer | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthSOFRMember | | |
Floor | | 0.50% | | |
Interest Rate | | 5.75% | | |
Maturity Date | | Jul. 09, 2027 | | |
Par Amount /Shares | | $ 9,712 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 9,241 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 9,315 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 6.76% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Electronics For Imaging, Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:ElectronicsForImagingInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Technology Enabled Services | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:OneMonthSOFRMember | |
Floor | | | 0% | |
Interest Rate | | | 5.10% | |
Maturity Date | | | Jul. 23, 2026 | |
Par Amount /Shares | | | $ 9,027 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 8,871 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 5,428 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 2.61% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Electronics For Imaging, Inc., First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:ElectronicsForImagingInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Technology Enabled Services | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 0% | | |
Interest Rate | | 5% | | |
Maturity Date | | Jul. 23, 2026 | | |
Par Amount /Shares | | $ 9,154 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 8,945 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 6,069 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 4.40% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Farfetch US Holdings Inc. (United Kingdom) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:FarfetchUSHoldingsInc.UnitedKingdomMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Consumer Goods: Non-Durable | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.50% | |
Interest Rate | | | 6.25% | |
Maturity Date | | | Oct. 20, 2027 | |
Par Amount /Shares | | | $ 9,900 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 9,375 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 9,372 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 4.51% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Farfetch US Holdings Inc. (United Kingdom), First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:FarfetchUSHoldingsInc.UnitedKingdomMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Consumer Goods: Non-Durable | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthSOFRMember | | |
Floor | | 0.50% | | |
Interest Rate | | 6.25% | | |
Maturity Date | | Oct. 20, 2027 | | |
Par Amount /Shares | | $ 10,000 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 9,369 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 8,975 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 6.51% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Gannett Fleming, Inc First Lien Secured Debt - Revolver | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | Gannett Fleming, Inc | |
Investment, Type [Extensible Enumeration] | | | rweic:FirstLienSecuredDebtRevolverMember | |
Investment, Industry Sector [Extensible Enumeration] | | | Construction & Building | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6.60% | |
Maturity Date | | | Dec. 20, 2028 | |
Par Amount /Shares | | | $ 1,364 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ (4) | |
Schedule of Investments - Percentage of Net Assets | | | | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Gannett Fleming, Inc First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | Gannett Fleming, Inc | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Construction & Building | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthSOFRMember | | |
Floor | | 1% | | |
Interest Rate | | 6.60% | | |
Maturity Date | | Dec. 20, 2028 | | |
Par Amount /Shares | | $ 8,636 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 8,388 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 8,420 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 6.11% | | |
Investment, Significant Unobservable Input [true false] | | true | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Gannett Fleming, Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | Gannett Fleming, Inc | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Construction & Building | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6.60% | |
Maturity Date | | | Dec. 20, 2028 | |
Par Amount /Shares | | | $ 8,550 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 8,336 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 8,528 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 4.10% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Gannett Fleming, Inc. Revolver | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:GannettFlemingInc.RevolverMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Senior Secured Loans Revolver [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Construction & Building | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthSOFRMember | | |
Floor | | 1% | | |
Interest Rate | | 6.60% | | |
Maturity Date | | Dec. 20, 2028 | | |
Par Amount /Shares | | $ 1,364 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ (34) | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | (0.02%) | | |
Investment, Significant Unobservable Input [true false] | | true | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Guitar Center, Inc., Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:GuitarCenterInc.Member | rweic:GuitarCenterInc.Member | |
Investment, Type [Extensible Enumeration] | | Corporate Bond | Corporate Bond | |
Investment, Industry Sector [Extensible Enumeration] | | | Retail | |
Interest Rate | | 8.50% | 8.50% | |
Maturity Date | | Jan. 15, 2026 | Jan. 15, 2026 | |
Par Amount /Shares | | $ 12,770 | $ 10,888 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 11,541 | 10,109 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 10,571 | $ 9,583 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 7.67% | 4.61% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Hornblower Holdings, LP First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:HornblowerHoldingsLPMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Transportation: Consumer | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | us-gaap:PrimeRateMember | |
Floor | | | 1% | |
Interest Rate | | | 7.13% | |
Maturity Date | | | Nov. 10, 2025 | |
Par Amount /Shares | | | $ 17,326 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 17,473 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 17,250 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 8.30% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Hornblower Holdings, LP, First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:HornblowerHoldingsLPMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Transportation: Consumer | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 1% | | |
Interest Rate | | 8.13% | | |
Maturity Date | | Nov. 10, 2025 | | |
Par Amount /Shares | | $ 12,515 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 12,704 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 12,515 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 9.08% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Houghton Mifflin Harcourt Co First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:HoughtonMifflinHarcourtCoMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Services: Consumer | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:OneMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 8.10% | |
Maturity Date | | | Apr. 07, 2028 | |
Par Amount /Shares | | | $ 12,438 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 12,438 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 12,572 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 6.05% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Inotiv, Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:InotivInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Healthcare & Pharmaceuticals | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:SixMonthSofrMember | |
Floor | | | 1% | |
Interest Rate | | | 6.50% | |
Interest rate - PIK | | | 0.25% | |
Maturity Date | | | Nov. 05, 2026 | |
Par Amount /Shares | | | $ 11,918 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 11,808 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 11,442 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 5.50% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Inotiv, Inc., First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:InotivInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Healthcare & Pharmaceuticals | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:SixMonthLIBORMember | | |
Floor | | 1% | | |
Interest Rate | | 6.25% | | |
Maturity Date | | Nov. 05, 2026 | | |
Par Amount /Shares | | $ 11,922 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 11,778 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 11,386 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 8.26% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Interest Rate Swap Maturity Date June 17, 2027 Derivatives | | | | |
Schedule of Investments | | | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthUsdLIBORBBAMember | rweic:ThreeMonthUsdLIBORBBAMember | |
Securities Borrowed, Counterparty Name [Extensible Enumeration] | | rweic:GoldmanSachsAndCo.LLCMember | rweic:GoldmanSachsAndCo.LLCMember | |
Par Amount /Shares | | $ 7,000 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 153 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Derivative, Swaption Interest Rate | | 3.5461% | 3.5461% | |
Derivative, Maturity Date | | Jun. 17, 2027 | Jun. 17, 2027 | |
Derivative Asset, Notional Amount | | | $ 7,000 | |
Derivative Asset | | | $ 98 | |
Investment, Identifier [Axis]: Interest Rate Swap, Maturity Date July 7, 2027, Derivatives | | | | |
Schedule of Investments | | | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthUsdLIBORBBAMember | rweic:ThreeMonthUsdLIBORBBAMember | |
Securities Borrowed, Counterparty Name [Extensible Enumeration] | | rweic:GoldmanSachsAndCo.LLCMember | rweic:GoldmanSachsAndCo.LLCMember | |
Par Amount /Shares | | $ 5,000 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 222 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Derivative, Swaption Interest Rate | | 2.8601% | 2.8601% | |
Derivative, Maturity Date | | Jul. 07, 2027 | Jul. 07, 2027 | |
Derivative Asset, Notional Amount | | | $ 5,000 | |
Derivative Asset | | | $ 173 | |
Investment, Identifier [Axis]: Ironhorse Purchaser, LLC (Delayed Draw Loan) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | Ironhorse Purchaser, LLC | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Environmental Industries | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6.76% | |
Maturity Date | | | Sep. 30, 2027 | |
Par Amount /Shares | | | $ 1,043 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ (15) | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | (0.01%) | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Ironhorse Purchaser, LLC First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | Ironhorse Purchaser, LLC | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Environmental Industries | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6.76% | |
Maturity Date | | | Sep. 30, 2027 | |
Par Amount /Shares | | | $ 10,575 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 10,384 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 10,426 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 5.01% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Ironhorse Purchaser, LLC First Lien Secured Debt - Revolver | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | Ironhorse Purchaser, LLC | |
Investment, Type [Extensible Enumeration] | | | rweic:FirstLienSecuredDebtRevolverMember | |
Investment, Industry Sector [Extensible Enumeration] | | | Environmental Industries | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6.76% | |
Maturity Date | | | Sep. 30, 2027 | |
Par Amount /Shares | | | $ 1,000 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 582 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 588 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 0.28% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: JPW Industries Holding Corporation, Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:JpwIndustriesHoldingCorporationMember | | |
Investment, Type [Extensible Enumeration] | | Corporate Bond | | |
Interest Rate | | 9% | | |
Maturity Date | | Oct. 01, 2024 | | |
Par Amount /Shares | | $ 4,520 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 4,291 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 3,895 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 2.83% | | |
Investment, Identifier [Axis]: LSB Industries, Inc., Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:LsbIndustriesInc.Member | rweic:LsbIndustriesInc.Member | |
Investment, Type [Extensible Enumeration] | | Corporate Bond | Corporate Bond | |
Investment, Industry Sector [Extensible Enumeration] | | | Chemicals, Plastics, & Rubber | |
Interest Rate | | 6.25% | 6.25% | |
Maturity Date | | Oct. 15, 2028 | Oct. 15, 2028 | |
Par Amount /Shares | | $ 5,540 | $ 5,043 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 4,909 | 4,549 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 5,048 | $ 4,792 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 3.66% | 2.30% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: MB2 Dental Solutions, LLC (Delayed Draw Loan) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | MB2 Dental Solutions, LLC [Member] | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Healthcare & Pharmaceuticals | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:OneMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6.60% | |
Maturity Date | | | Jan. 29, 2027 | |
Par Amount /Shares | | | $ 9,974 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 6,525 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 6,714 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 3.23% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: MoneyGram International Inc Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:MoneygramInternationalIncMember | |
Investment, Type [Extensible Enumeration] | | | Corporate Bond | |
Investment, Industry Sector [Extensible Enumeration] | | | Services: Consumer | |
Interest Rate | | | 9% | |
Maturity Date | | | Jun. 01, 2030 | |
Par Amount /Shares | | | $ 7,721 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 6,480 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 7,586 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 3.65% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: New AMI I (Associated Materials) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:NewAmiITLMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Construction & Building | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:OneMonthSOFRMember | |
Floor | | | 0.50% | |
Interest Rate | | | 6% | |
Maturity Date | | | Mar. 08, 2029 | |
Par Amount /Shares | | | $ 3,960 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 3,346 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 3,544 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 1.70% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: New AMI I (Associated Materials) First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:NewAmiITLMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Construction & Building | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthSOFRMember | | |
Floor | | 0.50% | | |
Interest Rate | | 6% | | |
Maturity Date | | Mar. 08, 2029 | | |
Par Amount /Shares | | $ 4,000 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 3,310 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 3,410 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 2.47% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: PDS Holdco Inc. (Delayed Draw Loan) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:PDSHoldcoInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Healthcare & Pharmaceuticals | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.75% | |
Interest Rate | | | 4.50% | |
Maturity Date | | | Aug. 18, 2028 | |
Par Amount /Shares | | | $ 739 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 680 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 452 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 0.22% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: PDS Holdco Inc. (Delayed Draw Loan) First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:PDSHoldcoInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Healthcare & Pharmaceuticals | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 0.75% | | |
Interest Rate | | 4.50% | | |
Maturity Date | | Aug. 18, 2028 | | |
Par Amount /Shares | | $ 747 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 679 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 681 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 0.50% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: PDS Holdco Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:PDSHoldcoInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Healthcare & Pharmaceuticals | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.75% | |
Interest Rate | | | 4.50% | |
Maturity Date | | | Aug. 18, 2028 | |
Par Amount /Shares | | | $ 7,680 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 7,067 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 4,690 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 2.26% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: PDS Holdco Inc., First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:PDSHoldcoInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Healthcare & Pharmaceuticals | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 0.75% | | |
Interest Rate | | 4.50% | | |
Maturity Date | | Aug. 18, 2028 | | |
Par Amount /Shares | | $ 7,758 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 7,052 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 7,073 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 5.13% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: PT Intermediate Holdings III, LLC (Delayed Draw Loan) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | PT Intermediate Holdings III, LLC | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Services: Business | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.75% | |
Interest Rate | | | 6.50% | |
Maturity Date | | | Nov. 01, 2028 | |
Par Amount /Shares | | | $ 4,350 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | (28) | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 11 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: PT Intermediate Holdings III, LLC First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | PT Intermediate Holdings III, LLC | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Services: Business | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.75% | |
Interest Rate | | | 6.50% | |
Maturity Date | | | Nov. 01, 2028 | |
Par Amount /Shares | | | $ 10,572 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 10,442 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 10,599 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 5.10% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Parfums Holding Company, Inc First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:ParfumsHoldingCompanyInc.Member | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Consumer Goods: Non-Durable | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1.50% | |
Interest Rate | | | 6.26% | |
Maturity Date | | | Jun. 30, 2026 | |
Par Amount /Shares | | | $ 4,538 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 4,404 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 4,441 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 2.14% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Peloton Interactive, Inc., First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:PelotonInteractiveInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Consumer Goods: Durable | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:SixMonthSofrMember | | |
Floor | | 0.50% | | |
Interest Rate | | 7% | | |
Maturity Date | | May 25, 2027 | | |
Par Amount /Shares | | $ 9,681 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 9,282 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 9,496 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 6.89% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Pennsylvania Real Estate Investment Trust First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | Pennsylvania Real Estate Investment Trust | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | FIRE: Real Estate | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | us-gaap:PrimeRateMember | |
Floor | | | 0.50% | |
Interest Rate | | | 6.50% | |
Maturity Date | | | Dec. 10, 2024 | |
Par Amount /Shares | | | $ 14,456 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 14,456 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 14,492 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 6.97% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Pennsylvania Real Estate Investment Trust First Lien Secured Debt - Revolver | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | Pennsylvania Real Estate Investment Trust | |
Investment, Type [Extensible Enumeration] | | | rweic:FirstLienSecuredDebtRevolverMember | |
Investment, Industry Sector [Extensible Enumeration] | | | FIRE: Real Estate | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | us-gaap:PrimeRateMember | |
Floor | | | 0.50% | |
Interest Rate | | | 6.50% | |
Maturity Date | | | Dec. 10, 2024 | |
Par Amount /Shares | | | $ 5,405 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 5,405 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 5,418 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 2.61% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Pennsylvania Real Estate Investment Trust, First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | Pennsylvania Real Estate Investment Trust | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | FIRE: Real Estate | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:OneMonthLIBORMember | | |
Floor | | 0.50% | | |
Interest Rate | | 5.74% | | |
Maturity Date | | Dec. 10, 2023 | | |
Par Amount /Shares | | $ 15,700 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 15,454 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 14,934 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 10.83% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Pennsylvania Real Estate Investment Trust, Revolver | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:PennsylvaniaRealEstateInvestmentTrustRevolverMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Senior Secured Loans Revolver [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | FIRE: Real Estate | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:OneMonthLIBORMember | | |
Floor | | 0.50% | | |
Interest Rate | | 3.50% | | |
Maturity Date | | Dec. 10, 2023 | | |
Par Amount /Shares | | $ 6,142 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 958 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 740 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 0.54% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Planet US Buyer LLC (Wood Mackenzie) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:PlanetUsBuyerLlcWoodMackenzieMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Technology Enabled Services | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.75% | |
Interest Rate | | | 6.75% | |
Maturity Date | | | Jan. 30, 2030 | |
Par Amount /Shares | | | $ 22,761 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 22,141 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 22,920 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 11.02% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Planet US Buyer LLC (Wood Mackenzie) First Lien Secured Debt - Revolver | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:PlanetUsBuyerLlcWoodMackenzieMember | |
Investment, Type [Extensible Enumeration] | | | rweic:FirstLienSecuredDebtRevolverMember | |
Investment, Industry Sector [Extensible Enumeration] | | | Technology Enabled Services | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.75% | |
Interest Rate | | | 6.75% | |
Maturity Date | | | Jan. 30, 2030 | |
Par Amount /Shares | | | $ 1,835 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ (45) | |
Schedule of Investments - Percentage of Net Assets | | | | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: S&S Holdings, LLC First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:SSHoldingsLLCMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Services: Business | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.50% | |
Interest Rate | | | 5.10% | |
Maturity Date | | | Mar. 11, 2028 | |
Par Amount /Shares | | | $ 15,016 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 14,184 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 14,645 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 7.04% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: S&S Holdings, LLC, First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:SSHoldingsLLCMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Services: Business | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 0.50% | | |
Interest Rate | | 5% | | |
Maturity Date | | Mar. 11, 2028 | | |
Par Amount /Shares | | $ 13,171 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 12,329 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 11,909 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 8.64% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: SVP Singer Holdings Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:SvpSingerHoldingsIncMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Consumer Goods: Durable | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 0.75% | |
Interest Rate | | | 6.75% | |
Maturity Date | | | Jul. 28, 2028 | |
Par Amount /Shares | | | $ 13,322 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 12,708 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 3,997 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 1.92% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: SVP Singer Holdings Inc. First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:SvpSingerHoldingsIncMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Consumer Goods: Durable | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 0.75% | | |
Interest Rate | | 6.75% | | |
Maturity Date | | Jul. 28, 2028 | | |
Par Amount /Shares | | $ 13,459 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 12,744 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 11,395 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 8.27% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Spring Education Group, Inc., First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:SpringEducationGroupInc.Member | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Services: Consumer | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Interest Rate | | 4% | | |
Maturity Date | | Jul. 30, 2025 | | |
Par Amount /Shares | | $ 9,922 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 9,255 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 9,665 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 7.01% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Stonemor, Inc., Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:StonemorInc.Member | rweic:StonemorInc.Member | |
Investment, Type [Extensible Enumeration] | | Corporate Bond | Corporate Bond | |
Investment, Industry Sector [Extensible Enumeration] | | | Services: Consumer | |
Interest Rate | | 8.50% | 8.50% | |
Maturity Date | | May 15, 2029 | May 15, 2029 | |
Par Amount /Shares | | $ 4,732 | $ 4,732 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 4,377 | 4,418 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 3,812 | $ 3,734 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 2.77% | 1.80% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: TPC Group Inc. Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | us-gaap:InvestmentAffiliatedIssuerControlledMember | |
Investment, Issuer Name [Extensible Enumeration] | | | TPC Group Inc | |
Investment, Type [Extensible Enumeration] | | | Corporate Bond | |
Investment, Industry Sector [Extensible Enumeration] | | | Chemicals, Plastics, & Rubber | |
Interest Rate | | | 13% | |
Maturity Date | | | Dec. 16, 2027 | |
Par Amount /Shares | | | $ 22,023 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 22,143 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 22,404 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 10.77% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Unique Bidco AB (Sweden) First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:UniqueBidcoABSwedenMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Wholesale | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:OneMonthEURIBORMember | |
Floor | | | 0% | |
Interest Rate | | | 5.25% | |
Maturity Date | | | Mar. 11, 2029 | |
Par Amount /Shares | | | $ 5,577 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 5,150 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 5,847 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 2.81% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Unique Bidco AB (Sweden), First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:UniqueBidcoABSwedenMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Wholesale | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthEURIBORMember | | |
Floor | | 0% | | |
Interest Rate | | 5.25% | | |
Maturity Date | | Mar. 11, 2029 | | |
Par Amount /Shares | | $ 7,420 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 6,755 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 7,446 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 5.40% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Wellful Inc. First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:WellfulIncMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Beverage, Food, & Tobacco | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:OneMonthSOFRMember | |
Floor | | | 0.75% | |
Interest Rate | | | 6.25% | |
Maturity Date | | | Apr. 21, 2027 | |
Par Amount /Shares | | | $ 7,061 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 6,824 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 6,223 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 2.99% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Wellful Inc. First Lien Term Loan | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | Investment, non-controlled/non-affiliated | | |
Investment, Issuer Name [Extensible Enumeration] | | rweic:WellfulIncMember | | |
Investment, Type [Extensible Enumeration] | | First Lien Term Loan [Member] | | |
Investment, Industry Sector [Extensible Enumeration] | | Beverage, Food, & Tobacco | | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | rweic:ThreeMonthLIBORMember | | |
Floor | | 0.75% | | |
Interest Rate | | 6.25% | | |
Maturity Date | | Apr. 21, 2027 | | |
Par Amount /Shares | | $ 9,889 | | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | 9,502 | | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | $ 8,913 | | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | 6.47% | | |
Investment, Significant Unobservable Input [true false] | | false | | |
Investment, Restriction Status [true false] | | true | | |
Investment, Identifier [Axis]: Werner FinCo LP Corporate Bond | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:WernerFincoLpMember | |
Investment, Type [Extensible Enumeration] | | | Corporate Bond | |
Investment, Industry Sector [Extensible Enumeration] | | | Construction & Building | |
Interest Rate | | | 11.50% | |
Maturity Date | | | Jun. 15, 2028 | |
Par Amount /Shares | | | $ 12,944 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 12,814 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 13,426 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 6.46% | |
Investment, Significant Unobservable Input [true false] | | | false | |
Investment, Restriction Status [true false] | | | true | |
Investment, Identifier [Axis]: Xponential Fitness LLC First Lien Secured Debt | | | | |
Schedule of Investments | | | | |
Investment, Issuer Affiliation [Extensible Enumeration] | | | Investment, non-controlled/non-affiliated | |
Investment, Issuer Name [Extensible Enumeration] | | | rweic:XponentialFitnessLlcMember | |
Investment, Type [Extensible Enumeration] | | | First Lien Secured Debt | |
Investment, Industry Sector [Extensible Enumeration] | | | Hotel, Gaming and Leisure | |
Investment, Variable Interest Rate, Type [Extensible Enumeration] | | | rweic:ThreeMonthSOFRMember | |
Floor | | | 1% | |
Interest Rate | | | 6.76% | |
Maturity Date | | | Feb. 28, 2025 | |
Par Amount /Shares | | | $ 14,853 | |
Schedule of Investment - Cost | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | 14,669 | |
Schedule of Investment - Fair Value | | | | |
Total Investments (Non-controlled/Non-affiliated/Affiliated) | | | $ 14,523 | |
Schedule of Investments - Percentage of Net Assets | | | | |
Total Investments (Non-controlled/Non-affiliated/affiliated) | | | 6.98% | |
Investment, Significant Unobservable Input [true false] | | | true | |
Investment, Restriction Status [true false] | | | true | |
| |
[1] Non-controlled/non-affiliated at amortized cost $351,267 and $286,760 as of December 31, 2023 and December 31, 2022, respectively. | |