Consolidated Schedule of Investments - USD ($) $ in Thousands | Mar. 31, 2024 | Dec. 31, 2023 |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 195,368 | | $ 220,859 | |
Fair Value | [1] | $ 191,906 | | $ 215,975 | |
Percentage of Net Assets | [1] | 98.13% | | 97.26% | |
Investment, Identifier [Axis]: Common Stocks | Chemicals | K2 Propco Class S Units | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Par Amount | [1],[2] | $ 897 | | | |
Cost | [1],[2] | 285 | | | |
Fair Value | [1],[2] | $ 285 | | | |
Percentage of Net Assets | [1],[2] | 0.15% | | | |
Investment, Identifier [Axis]: Common Stocks | Chemicals | K2 Pure Solutions Class S Units | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Par Amount | [1],[2] | $ 113 | | | |
Cost | [1],[2] | 36 | | | |
Fair Value | [1],[2] | $ 36 | | | |
Percentage of Net Assets | [1],[2] | 0.02% | | | |
Investment, Identifier [Axis]: Common Stocks | Chemicals | Total Chemicals | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 321 | | | |
Fair Value | [1] | $ 321 | | | |
Percentage of Net Assets | [1] | 0.17% | | | |
Investment, Identifier [Axis]: Common Stocks | Retailers | Total Retailers | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 359 | | $ 359 | |
Fair Value | [1] | $ 263 | | $ 263 | |
Percentage of Net Assets | [1] | 0.13% | | 0.12% | |
Investment, Identifier [Axis]: Common Stocks | Retailers | West Marine/Rising Tide Holdings, Inc. | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Par Amount | [1],[2],[3] | $ 25,000 | | $ 25,000 | |
Cost | [1],[2],[3] | 359 | | 359 | |
Fair Value | [1],[2],[3] | $ 263 | | $ 263 | |
Percentage of Net Assets | [1],[2],[3] | 0.13% | | 0.12% | |
Investment, Identifier [Axis]: Common Stocks | Total Common Stocks | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 680 | | $ 359 | |
Fair Value | [1] | $ 584 | | $ 263 | |
Percentage of Net Assets | [1] | 0.30% | | 0.12% | |
Investment, Identifier [Axis]: Corporate Bonds | Automotive | Rivian Holdings/Auto LLC 144 | SOFR + 5.625% | 11.493% | 10/15/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[4],[5] | 5.625% | | | |
Interest Rate | [1],[4],[6] | 11.493% | | | |
Maturity Date | [1],[4] | Oct. 15, 2026 | | | |
Par Amount | [1],[4] | $ 18,601 | | | |
Cost | [1],[4] | 18,394 | | | |
Fair Value | [1],[4] | $ 18,800 | | | |
Percentage of Net Assets | [1],[4] | 9.61% | | | |
Investment, Identifier [Axis]: Corporate Bonds | Automotive | Rivian Holdings/Auto LLC 144A | SOFR + 5.625% | 11.493 % | 10/15/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[7],[8] | | | 5.625% | |
Interest Rate | [1],[6],[7] | | | 11.493% | |
Maturity Date | [1],[7] | | | Oct. 15, 2026 | |
Par Amount | [1],[7] | | | $ 28,601 | |
Cost | [1],[7] | | | 28,255 | |
Fair Value | [1],[7] | | | $ 28,658 | |
Percentage of Net Assets | [1],[7] | | | 12.91% | |
Investment, Identifier [Axis]: Corporate Bonds | Automotive | Total Automotive | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 18,394 | | $ 28,255 | |
Fair Value | [1] | $ 18,800 | | $ 28,658 | |
Percentage of Net Assets | [1] | 9.61% | | 12.91% | |
Investment, Identifier [Axis]: Corporate Bonds | Automotive | Total Corporate Bonds | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | | | $ 28,255 | |
Fair Value | [1] | | | $ 28,658 | |
Percentage of Net Assets | [1] | | | 12.91% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Consumer Services | BCPE Empire Holdings, Inc. Extended Term Loan | SOFR + 4.750% | 10.106 % | 12/11/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 4.75% | |
Interest Rate | [1] | | | 10.106% | |
Maturity Date | [1] | | | Dec. 11, 2028 | |
Par Amount | [1] | | | $ 2,494 | |
Cost | [1] | | | 2,496 | |
Fair Value | [1] | | | $ 2,504 | |
Percentage of Net Assets | [1] | | | 1.13% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Consumer Services | BCPE Empire Holdings, Inc. Term Loan | SOFR + 4.000% | 9.330 % | 12/11/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 4% | | | |
Interest Rate | [1],[9] | 9.33% | | | |
Maturity Date | [1],[9] | Dec. 11, 2028 | | | |
Par Amount | [1],[9] | $ 2,494 | | | |
Cost | [1],[9] | 2,496 | | | |
Fair Value | [1],[9] | $ 2,499 | | | |
Percentage of Net Assets | [1],[9] | 1.28% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Diversified Manufacturing | TK Elevator Midco GmbH Facility B1 Loan | SOFR + 3.928% | 9.381 % | 07/30/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 3.928% | |
Interest Rate | [1] | | | 9.381% | |
Maturity Date | [1] | | | Jul. 30, 2027 | |
Par Amount | [1] | | | $ 2,494 | |
Cost | [1] | | | 2,494 | |
Fair Value | [1] | | | $ 2,503 | |
Percentage of Net Assets | [1] | | | 1.13% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Diversified Manufacturing | TK Elevator Midco GmbH Facility B2 Loan | SOFR + 3.500% | 9.081% | 04/30/2030 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 3.50% | | | |
Interest Rate | [1],[9] | 9.081% | | | |
Maturity Date | [1],[9] | Apr. 30, 2030 | | | |
Par Amount | [1],[9] | $ 2,488 | | | |
Cost | [1],[9] | 2,487 | | | |
Fair Value | [1],[9] | $ 2,498 | | | |
Percentage of Net Assets | [1],[9] | 1.28% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Entertainment | AP Core Holdings II, LLC Term B-1 Loan | SOFR + 5.614% | 10.945% | 09/01/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5] | 5.614% | | | |
Interest Rate | [1] | 10.945% | | | |
Maturity Date | [1] | Sep. 01, 2027 | | | |
Par Amount | [1] | $ 2,134 | | | |
Cost | [1] | 2,112 | | | |
Fair Value | [1] | $ 2,097 | | | |
Percentage of Net Assets | [1] | 1.07% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Entertainment | AP Core Holdings II, LLC Term B-1 Loan | SOFR + 5.614% | 10.970 % | 09/01/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 5.614% | |
Interest Rate | [1] | | | 10.97% | |
Maturity Date | [1] | | | Sep. 01, 2027 | |
Par Amount | [1] | | | $ 2,165 | |
Cost | [1] | | | 2,140 | |
Fair Value | [1] | | | $ 2,124 | |
Percentage of Net Assets | [1] | | | 0.96% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Entertainment | AP Core Holdings II, LLC Term B-2 Loan | SOFR + 5.614% | 10.945% | 09/01/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5] | 5.614% | | | |
Interest Rate | [1] | 10.945% | | | |
Maturity Date | [1] | Sep. 01, 2027 | | | |
Par Amount | [1] | $ 2,231 | | | |
Cost | [1] | 2,207 | | | |
Fair Value | [1] | $ 2,189 | | | |
Percentage of Net Assets | [1] | 1.12% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Entertainment | AP Core Holdings II, LLC Term B-2 Loan | SOFR + 5.614% | 10.970 % | 09/01/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 5.614% | |
Interest Rate | [1] | | | 10.97% | |
Maturity Date | [1] | | | Sep. 01, 2027 | |
Par Amount | [1] | | | $ 2,231 | |
Cost | [1] | | | 2,205 | |
Fair Value | [1] | | | $ 2,184 | |
Percentage of Net Assets | [1] | | | 0.98% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Entertainment | PLNTF Holdings, LLC Initial Term Loan | SOFR + 8.262% | 13.590% | 03/22/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 8.262% | | | |
Interest Rate | [1],[9] | 13.59% | | | |
Maturity Date | [1],[9] | Mar. 22, 2026 | | | |
Par Amount | [1],[9] | $ 11,087 | | | |
Cost | [1],[9] | 10,977 | | | |
Fair Value | [1],[9] | $ 11,018 | | | |
Percentage of Net Assets | [1],[9] | 5.63% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Entertainment | PLNTF Holdings, LLC Initial Term Loan | SOFR + 8.262% | 13.633 % | 03/22/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8],[9] | | | 8.262% | |
Interest Rate | [1],[9] | | | 13.633% | |
Maturity Date | [1],[9] | | | Mar. 22, 2026 | |
Par Amount | [1],[9] | | | $ 11,116 | |
Cost | [1],[9] | | | 10,989 | |
Fair Value | [1],[9] | | | $ 10,671 | |
Percentage of Net Assets | [1],[9] | | | 4.80% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Financial Other | Asurion, LLC B-8 Term Loan | SOFR + 3.364% | 8.692% | 12/23/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 3.364% | | | |
Interest Rate | [1],[9] | 8.692% | | | |
Maturity Date | [1],[9] | Dec. 23, 2026 | | | |
Par Amount | [1],[9] | $ 2,487 | | | |
Cost | [1],[9] | 2,427 | | | |
Fair Value | [1],[9] | $ 2,443 | | | |
Percentage of Net Assets | [1],[9] | 1.25% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Financial Other | Asurion, LLC B-8 Term Loan | SOFR + 3.364% | 8.720 % | 12/23/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 3.364% | |
Interest Rate | [1] | | | 8.72% | |
Maturity Date | [1] | | | Dec. 23, 2026 | |
Par Amount | [1] | | | $ 2,494 | |
Cost | [1] | | | 2,428 | |
Fair Value | [1] | | | $ 2,492 | |
Percentage of Net Assets | [1] | | | 1.12% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Healthcare | U.S. Renal Care, Inc. Closing Date Term Loan | SOFR + 5.356% | 10.442% | 06/20/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5] | 5.356% | | | |
Interest Rate | [1] | 10.442% | | | |
Maturity Date | [1] | Jun. 20, 2028 | | | |
Par Amount | [1] | $ 1,587 | | | |
Cost | [1] | 993 | | | |
Fair Value | [1] | $ 1,383 | | | |
Percentage of Net Assets | [1] | 0.71% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Healthcare | U.S. Renal Care, Inc. Closing Date Term Loan | SOFR + 5.356% | 10.470 % | 06/20/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 5.356% | |
Interest Rate | [1] | | | 10.47% | |
Maturity Date | [1] | | | Jun. 20, 2028 | |
Par Amount | [1] | | | $ 1,591 | |
Cost | [1] | | | 977 | |
Fair Value | [1] | | | $ 1,213 | |
Percentage of Net Assets | [1] | | | 0.55% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | IT Services | Alorica, Inc. Term Loan | SOFR + 6.875% | 12.205% | 12/21/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[2],[5] | 6.875% | | | |
Interest Rate | [1],[2] | 12.205% | | | |
Maturity Date | [1],[2] | Dec. 21, 2027 | | | |
Par Amount | [1],[2] | $ 11,690 | | | |
Cost | [1],[2] | 11,591 | | | |
Fair Value | [1],[2] | $ 11,562 | | | |
Percentage of Net Assets | [1],[2] | 5.91% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | IT Services | Alorica, Inc. Term Loan | SOFR + 6.875% | 12.231 % | 12/21/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[2],[8] | | | 6.875% | |
Interest Rate | [1],[2] | | | 12.231% | |
Maturity Date | [1],[2] | | | Dec. 21, 2027 | |
Par Amount | [1],[2] | | | $ 12,250 | |
Cost | [1],[2] | | | 12,137 | |
Fair Value | [1],[2] | | | $ 11,999 | |
Percentage of Net Assets | [1],[2] | | | 5.40% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Insurance Life | Integrity Marketing Acquisition, LLC Delayed Draw Term Loan | SOFR + 6.000% | 11.343% | 08/27/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[2],[5] | 6% | | | |
Interest Rate | [1],[2] | 11.343% | | | |
Maturity Date | [1],[2] | Aug. 27, 2026 | | | |
Par Amount | [1],[2] | $ 3,682 | | | |
Cost | [1],[2] | 3,682 | | | |
Fair Value | [1],[2] | $ 3,682 | | | |
Percentage of Net Assets | [1],[2] | 1.88% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Insurance Life | Integrity Marketing Acquisition, LLC Delayed Draw Term Loan | SOFR + 6.000% | 11.388 % | 08/27/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[2],[8] | | | 6% | |
Interest Rate | [1],[2] | | | 11.388% | |
Maturity Date | [1],[2] | | | Aug. 27, 2026 | |
Par Amount | [1],[2] | | | $ 3,691 | |
Cost | [1],[2] | | | 3,691 | |
Fair Value | [1],[2] | | | $ 3,671 | |
Percentage of Net Assets | [1],[2] | | | 1.65% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Insurance Life | Integrity Marketing Acquisition, LLC Incremental Term Loan | SOFR + 6.000% | 11.343% | 08/27/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[2],[5] | 6% | | | |
Interest Rate | [1],[2] | 11.343% | | | |
Maturity Date | [1],[2] | Aug. 27, 2026 | | | |
Par Amount | [1],[2] | $ 5,514 | | | |
Cost | [1],[2] | 5,404 | | | |
Fair Value | [1],[2] | $ 5,514 | | | |
Percentage of Net Assets | [1],[2] | 2.82% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Insurance Life | Integrity Marketing Acquisition, LLC Incremental Term Loan | SOFR + 6.000% | 11.388 % | 08/27/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[2],[8] | | | 6% | |
Interest Rate | [1],[2] | | | 11.388% | |
Maturity Date | [1],[2] | | | Aug. 27, 2026 | |
Par Amount | [1],[2] | | | $ 5,528 | |
Cost | [1],[2] | | | 5,417 | |
Fair Value | [1],[2] | | | $ 5,498 | |
Percentage of Net Assets | [1],[2] | | | 2.48% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Packaging | Clydesdale Acquisition Holdings, Inc. Seven Year Term Loan | SOFR + 4.275% | 9.105% | 04/13/2029 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 4.275% | | | |
Interest Rate | [1],[9] | 9.105% | | | |
Maturity Date | [1],[9] | Apr. 13, 2029 | | | |
Par Amount | [1],[9] | $ 2,197 | | | |
Cost | [1],[9] | 2,120 | | | |
Fair Value | [1],[9] | $ 2,203 | | | |
Percentage of Net Assets | [1],[9] | 1.13% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Packaging | Clydesdale Acquisition Holdings, Inc. Seven Year Term Loan | SOFR + 4.275% | 9.631 % | 04/13/2029 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8],[9] | | | 4.275% | |
Interest Rate | [1],[9] | | | 9.631% | |
Maturity Date | [1],[9] | | | Apr. 13, 2029 | |
Par Amount | [1],[9] | | | $ 2,203 | |
Cost | [1],[9] | | | 2,122 | |
Fair Value | [1],[9] | | | $ 2,215 | |
Percentage of Net Assets | [1],[9] | | | 1% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Packaging | LABL, Inc. Initial Dollar Term Loan | SOFR + 5.100% | 10.430% | 10/29/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5] | 5.10% | | | |
Interest Rate | [1] | 10.43% | | | |
Maturity Date | [1] | Oct. 29, 2028 | | | |
Par Amount | [1] | $ 2,487 | | | |
Cost | [1] | 2,480 | | | |
Fair Value | [1] | $ 2,441 | | | |
Percentage of Net Assets | [1] | 1.25% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Packaging | LABL, Inc. Initial Dollar Term Loan | SOFR + 5.100% | 10.456 % | 10/29/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 5.10% | |
Interest Rate | [1] | | | 10.456% | |
Maturity Date | [1] | | | Oct. 29, 2028 | |
Par Amount | [1] | | | $ 2,494 | |
Cost | [1] | | | 2,485 | |
Fair Value | [1] | | | $ 2,398 | |
Percentage of Net Assets | [1] | | | 1.08% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Pharmaceuticals | Gainwell Acquisition Corp. Term B Loan | SOFR + 4.100% | 9.409% | 10/01/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 4.10% | | | |
Interest Rate | [1],[9] | 9.409% | | | |
Maturity Date | [1],[9] | Oct. 01, 2027 | | | |
Par Amount | [1],[9] | $ 2,232 | | | |
Cost | [1],[9] | 2,217 | | | |
Fair Value | [1],[9] | $ 2,139 | | | |
Percentage of Net Assets | [1],[9] | 1.09% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Pharmaceuticals | Gainwell Acquisition Corp. Term B Loan | SOFR + 4.100% | 9.448 % | 10/01/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8],[9] | | | 4.10% | |
Interest Rate | [1],[9] | | | 9.448% | |
Maturity Date | [1],[9] | | | Oct. 01, 2027 | |
Par Amount | [1],[9] | | | $ 2,238 | |
Cost | [1],[9] | | | 2,221 | |
Fair Value | [1],[9] | | | $ 2,182 | |
Percentage of Net Assets | [1],[9] | | | 0.98% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Retailers | LBM Acquisition, LLC Initial Term Loan | SOFR + 3.850% | 9.177% | 12/17/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 3.85% | | | |
Interest Rate | [1],[9] | 9.177% | | | |
Maturity Date | [1],[9] | Dec. 17, 2027 | | | |
Par Amount | [1],[9] | $ 2,216 | | | |
Cost | [1],[9] | 2,202 | | | |
Fair Value | [1],[9] | $ 2,215 | | | |
Percentage of Net Assets | [1],[9] | 1.13% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Retailers | LBM Acquisition, LLC Initial Term Loan | SOFR + 3.850% | 9.206 % | 12/17/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8],[9] | | | 3.85% | |
Interest Rate | [1],[9] | | | 9.206% | |
Maturity Date | [1],[9] | | | Dec. 17, 2027 | |
Par Amount | [1],[9] | | | $ 2,222 | |
Cost | [1],[9] | | | 2,207 | |
Fair Value | [1],[9] | | | $ 2,201 | |
Percentage of Net Assets | [1],[9] | | | 0.99% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Retailers | Rising Tide Holdings, Inc. FILO Term Loan | SOFR + 9.000% | 14.327% | 06/01/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[2],[5] | 9% | | | |
Interest Rate | [1],[2] | 14.327% | | | |
Maturity Date | [1],[2] | Jun. 01, 2026 | | | |
Par Amount | [1],[2] | $ 4,570 | | | |
Cost | [1],[2] | 4,436 | | | |
Fair Value | [1],[2] | $ 4,429 | | | |
Percentage of Net Assets | [1],[2] | 2.27% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Retailers | Rising Tide Holdings, Inc. FILO Term Loan | SOFR + 9.000% | 14.356 % | 06/01/2026 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[2],[8] | | | 9% | |
Interest Rate | [1],[2] | | | 14.356% | |
Maturity Date | [1],[2] | | | Jun. 01, 2026 | |
Par Amount | [1],[2] | | | $ 4,570 | |
Cost | [1],[2] | | | 4,426 | |
Fair Value | [1],[2] | | | $ 4,406 | |
Percentage of Net Assets | [1],[2] | | | 1.98% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | Endurance International Group Holdings, Inc. Initial Term Loan | SOFR + 3.928% | 9.422% | 02/10/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1] | 3.928% | [5],[9] | 3.928% | [8] |
Interest Rate | [1] | 9.422% | [9] | 9.422% | |
Maturity Date | [1] | Feb. 10, 2028 | [9] | Feb. 10, 2028 | |
Par Amount | [1] | $ 6,876 | [9] | $ 6,894 | |
Cost | [1] | 6,593 | [9] | 6,594 | |
Fair Value | [1] | $ 6,727 | [9] | $ 6,772 | |
Percentage of Net Assets | [1] | 3.44% | [9] | 3.05% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | MH Sub I, LLC Term Loan | SOFR + 4.250% | 9.580% | 05/03/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 4.25% | | | |
Interest Rate | [1],[9] | 9.58% | | | |
Maturity Date | [1],[9] | May 03, 2028 | | | |
Par Amount | [1],[9] | $ 2,487 | | | |
Cost | [1],[9] | 2,403 | | | |
Fair Value | [1],[9] | $ 2,476 | | | |
Percentage of Net Assets | [1],[9] | 1.27% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | MH Sub I, LLC Term Loan | SOFR + 4.250% | 9.606 % | 05/03/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 4.25% | |
Interest Rate | [1] | | | 9.606% | |
Maturity Date | [1] | | | May 03, 2028 | |
Par Amount | [1] | | | $ 2,494 | |
Cost | [1] | | | 2,405 | |
Fair Value | [1] | | | $ 2,456 | |
Percentage of Net Assets | [1] | | | 1.11% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | Mavenir Systems, Inc. Initial Term Loan | SOFR + 5.012% | 10.335% | 08/18/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[4],[5] | 5.012% | | | |
Interest Rate | [1],[4] | 10.335% | | | |
Maturity Date | [1],[4] | Aug. 18, 2028 | | | |
Par Amount | [1],[4] | $ 9,800 | | | |
Cost | [1],[4] | 9,726 | | | |
Fair Value | [1],[4] | $ 7,011 | | | |
Percentage of Net Assets | [1],[4] | 3.59% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | Mavenir Systems, Inc. Initial Term Loan | SOFR + 5.012% | 10.390 % | 08/18/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[7],[8] | | | 5.012% | |
Interest Rate | [1],[7] | | | 10.39% | |
Maturity Date | [1],[7] | | | Aug. 18, 2028 | |
Par Amount | [1],[7] | | | $ 9,825 | |
Cost | [1],[7] | | | 9,746 | |
Fair Value | [1],[7] | | | $ 6,951 | |
Percentage of Net Assets | [1],[7] | | | 3.13% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | McAfee Corp. Term Loan | SOFR + 3.850% | 9.176% | 03/01/2029 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 3.85% | | | |
Interest Rate | [1],[9] | 9.176% | | | |
Maturity Date | [1],[9] | Mar. 01, 2029 | | | |
Par Amount | [1],[9] | $ 2,346 | | | |
Cost | [1],[9] | 2,240 | | | |
Fair Value | [1],[9] | $ 2,348 | | | |
Percentage of Net Assets | [1],[9] | 1.20% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | McAfee Corp. Term Loan | SOFR + 3.850% | 9.193 % | 03/01/2029 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8],[9] | | | 3.85% | |
Interest Rate | [1],[9] | | | 9.193% | |
Maturity Date | [1],[9] | | | Mar. 01, 2029 | |
Par Amount | [1],[9] | | | $ 2,352 | |
Cost | [1],[9] | | | 2,241 | |
Fair Value | [1],[9] | | | $ 2,348 | |
Percentage of Net Assets | [1],[9] | | | 1.06% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | Planview Parent, Inc. Closing Date Term Loan | SOFR + 4.262% | 9.564% | 12/17/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 4.262% | | | |
Interest Rate | [1],[9] | 9.564% | | | |
Maturity Date | [1],[9] | Dec. 17, 2027 | | | |
Par Amount | [1],[9] | $ 6,876 | | | |
Cost | [1],[9] | 6,747 | | | |
Fair Value | [1],[9] | $ 6,868 | | | |
Percentage of Net Assets | [1],[9] | 3.51% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | Planview Parent, Inc. Closing Date Term Loan | SOFR + 4.262% | 9.610 % | 12/17/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8],[9] | | | 4.262% | |
Interest Rate | [1],[9] | | | 9.61% | |
Maturity Date | [1],[9] | | | Dec. 17, 2027 | |
Par Amount | [1],[9] | | | $ 6,893 | |
Cost | [1],[9] | | | 6,758 | |
Fair Value | [1],[9] | | | $ 6,850 | |
Percentage of Net Assets | [1],[9] | | | 3.08% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | Polaris Newco, LLC Dollar Term Loan | SOFR + 4.114% | 9.470 % | 06/02/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 4.114% | |
Interest Rate | [1] | | | 9.47% | |
Maturity Date | [1] | | | Jun. 02, 2028 | |
Par Amount | [1] | | | $ 2,400 | |
Cost | [1] | | | 2,331 | |
Fair Value | [1] | | | $ 2,371 | |
Percentage of Net Assets | [1] | | | 1.07% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | Polaris Newco, LLC Dollar Term Loan | SOFR + 4.262% | 9.574% | 06/02/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5] | 4.262% | | | |
Interest Rate | [1] | 9.574% | | | |
Maturity Date | [1] | Jun. 02, 2028 | | | |
Par Amount | [1] | $ 2,394 | | | |
Cost | [1] | 2,328 | | | |
Fair Value | [1] | $ 2,373 | | | |
Percentage of Net Assets | [1] | 1.21% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | TIBCO Software, Inc. Dollar Term Loan B | SOFR + 4.600% | 9.909% | 03/30/2029 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5],[9] | 4.60% | | | |
Interest Rate | [1],[9] | 9.909% | | | |
Maturity Date | [1],[9] | Mar. 30, 2029 | | | |
Par Amount | [1],[9] | $ 2,487 | | | |
Cost | [1],[9] | 2,387 | | | |
Fair Value | [1],[9] | $ 2,479 | | | |
Percentage of Net Assets | [1],[9] | 1.27% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Technology | TIBCO Software, Inc. Dollar Term Loan B | SOFR + 4.600% | 9.948 % | 03/30/2029 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 4.60% | |
Interest Rate | [1] | | | 9.948% | |
Maturity Date | [1] | | | Mar. 30, 2029 | |
Par Amount | [1] | | | $ 2,494 | |
Cost | [1] | | | 2,389 | |
Fair Value | [1] | | | $ 2,442 | |
Percentage of Net Assets | [1] | | | 1.10% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Consumer Services | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 2,496 | | $ 2,496 | |
Fair Value | [1] | $ 2,499 | | $ 2,504 | |
Percentage of Net Assets | [1] | 1.28% | | 1.13% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Diversified Manufacturing | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 2,487 | | $ 2,494 | |
Fair Value | [1] | $ 2,498 | | $ 2,503 | |
Percentage of Net Assets | [1] | 1.28% | | 1.13% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Entertainment | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 15,296 | | $ 15,334 | |
Fair Value | [1] | $ 15,304 | | $ 14,979 | |
Percentage of Net Assets | [1] | 7.82% | | 6.74% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Financial Other | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 2,427 | | $ 2,428 | |
Fair Value | [1] | $ 2,443 | | $ 2,492 | |
Percentage of Net Assets | [1] | 1.25% | | 1.12% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total First Lien Senior Secured | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 97,000 | | $ 97,624 | |
Fair Value | [1] | $ 95,524 | | $ 95,381 | |
Percentage of Net Assets | [1] | 48.85% | | 42.95% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Healthcare | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 993 | | $ 977 | |
Fair Value | [1] | $ 1,383 | | $ 1,213 | |
Percentage of Net Assets | [1] | 0.71% | | 0.55% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total IT Services | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 11,591 | | $ 12,137 | |
Fair Value | [1] | $ 11,562 | | $ 11,999 | |
Percentage of Net Assets | [1] | 5.91% | | 5.40% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Insurance Life | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 9,086 | | $ 9,108 | |
Fair Value | [1] | $ 9,196 | | $ 9,169 | |
Percentage of Net Assets | [1] | 4.70% | | 4.13% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Packaging | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 4,600 | | $ 4,607 | |
Fair Value | [1] | $ 4,644 | | $ 4,613 | |
Percentage of Net Assets | [1] | 2.38% | | 2.08% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Pharmaceuticals | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 2,217 | | $ 2,221 | |
Fair Value | [1] | $ 2,139 | | $ 2,182 | |
Percentage of Net Assets | [1] | 1.09% | | 0.98% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Retailers | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 6,638 | | $ 6,633 | |
Fair Value | [1] | $ 6,644 | | $ 6,607 | |
Percentage of Net Assets | [1] | 3.40% | | 2.97% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Second Lien Senior Secured | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | | | $ 2,875 | |
Fair Value | [1] | | | $ 2,878 | |
Percentage of Net Assets | [1] | | | 1.30% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Technology | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 32,424 | | $ 32,464 | |
Fair Value | [1] | $ 30,282 | | $ 30,190 | |
Percentage of Net Assets | [1] | 15.49% | | 13.60% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Total Wireless | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 6,745 | | $ 6,725 | |
Fair Value | [1] | $ 6,930 | | $ 6,930 | |
Percentage of Net Assets | [1] | 3.54% | | 3.12% | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Wireless | Windstream Services, LLC Incremental Term Loan | SOFR + 4.100% | 9.430% | 02/23/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5] | 4.10% | | | |
Interest Rate | [1] | 9.43% | | | |
Maturity Date | [1] | Feb. 23, 2027 | | | |
Par Amount | [1] | $ 7,000 | | | |
Cost | [1] | 6,745 | | | |
Fair Value | [1] | $ 6,930 | | | |
Percentage of Net Assets | [1] | 3.54% | | | |
Investment, Identifier [Axis]: Debt Investments | First Lien Senior Secured | Wireless | Windstream Services, LLC Incremental Term Loan | SOFR + 4.100% | 9.456 % | 02/23/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 4.10% | |
Interest Rate | [1] | | | 9.456% | |
Maturity Date | [1] | | | Feb. 23, 2027 | |
Par Amount | [1] | | | $ 7,000 | |
Cost | [1] | | | 6,725 | |
Fair Value | [1] | | | $ 6,930 | |
Percentage of Net Assets | [1] | | | 3.12% | |
Investment, Identifier [Axis]: Debt Investments | Second Lien Senior Secured | Chemicals | K2 Pure Solutions Nocal Holding Term Loan | 17.000% | 01/30/2029 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[2],[6],[10] | 17% | | | |
Maturity Date | [1],[2],[10] | Jan. 30, 2029 | | | |
Par Amount | [1],[2],[10] | $ 5,057 | | | |
Cost | [1],[2],[10] | 4,645 | | | |
Fair Value | [1],[2],[10] | $ 4,631 | | | |
Percentage of Net Assets | [1],[2],[10] | 2.37% | | | |
Investment, Identifier [Axis]: Debt Investments | Second Lien Senior Secured | Technology | Altar BidCo, Inc. Initial Term Loan | SOFR + 5.600% | 10.399% | 02/01/2030 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[5] | 5.60% | | | |
Interest Rate | [1],[6] | 10.399% | | | |
Maturity Date | [1] | Feb. 01, 2030 | | | |
Par Amount | [1] | $ 2,900 | | | |
Cost | [1] | 2,875 | | | |
Fair Value | [1] | $ 2,872 | | | |
Percentage of Net Assets | [1] | 1.47% | | | |
Investment, Identifier [Axis]: Debt Investments | Second Lien Senior Secured | Technology | Altar BidCo, Inc. Initial Term Loan | SOFR + 5.600% | 10.813 % | 02/01/2030 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Reference Rate Spread | [1],[8] | | | 5.60% | |
Interest Rate | [1] | | | 10.813% | |
Maturity Date | [1] | | | Feb. 01, 2030 | |
Par Amount | [1] | | | $ 2,900 | |
Cost | [1] | | | 2,875 | |
Fair Value | [1] | | | $ 2,878 | |
Percentage of Net Assets | [1] | | | 1.30% | |
Investment, Identifier [Axis]: Debt Investments | Second Lien Senior Secured | Total Chemicals | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 4,645 | | | |
Fair Value | [1] | $ 4,631 | | | |
Percentage of Net Assets | [1] | 2.37% | | | |
Investment, Identifier [Axis]: Debt Investments | Second Lien Senior Secured | Total Second Lien Senior Secured | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 7,520 | | | |
Fair Value | [1] | $ 7,503 | | | |
Percentage of Net Assets | [1] | 3.84% | | | |
Investment, Identifier [Axis]: Debt Investments | Second Lien Senior Secured | Total Technology | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 2,875 | | $ 2,875 | |
Fair Value | [1] | $ 2,872 | | $ 2,878 | |
Percentage of Net Assets | [1] | 1.47% | | 1.30% | |
Investment, Identifier [Axis]: Debt Investments | Senior Unsecured | Consumer Services | LEAF Home Solutions Note | 12.000% | 02/26/2027 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[2],[6],[9],[10] | 12% | | 12% | |
Maturity Date | [1],[2],[9],[10] | Feb. 26, 2027 | | Feb. 26, 2027 | |
Par Amount | [1],[2],[9],[10] | $ 34,170 | | $ 32,235 | |
Cost | [1],[2],[9],[10] | 33,927 | | 32,090 | |
Fair Value | [1],[2],[9],[10] | $ 32,208 | | $ 29,526 | |
Percentage of Net Assets | [1],[2],[9],[10] | 16.47% | | 13.30% | |
Investment, Identifier [Axis]: Debt Investments | Senior Unsecured | Corporate Bonds | Total Corporate Bonds | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 18,394 | | | |
Fair Value | [1] | $ 18,800 | | | |
Percentage of Net Assets | [1] | 9.61% | | | |
Investment, Identifier [Axis]: Debt Investments | Senior Unsecured | Technology | GCOM | 17.000% | 02/16/2029 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[2],[6],[10],[11] | 17% | | 17% | |
Maturity Date | [1],[2],[10],[11] | Feb. 16, 2029 | | Feb. 16, 2029 | |
Par Amount | [1],[2],[10],[11] | $ 13,848 | | $ 13,277 | |
Cost | [1],[2],[10],[11] | 11,262 | | 10,622 | |
Fair Value | [1],[2],[10],[11] | $ 10,980 | | $ 10,535 | |
Percentage of Net Assets | [1],[2],[10],[11] | 5.61% | | 4.74% | |
Investment, Identifier [Axis]: Debt Investments | Senior Unsecured | Total Consumer Services | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 33,927 | | $ 32,090 | |
Fair Value | [1] | $ 32,208 | | $ 29,526 | |
Percentage of Net Assets | [1] | 16.47% | | 13.30% | |
Investment, Identifier [Axis]: Debt Investments | Senior Unsecured | Total Senior Unsecured | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 45,189 | | $ 42,712 | |
Fair Value | [1] | $ 43,188 | | $ 40,061 | |
Percentage of Net Assets | [1] | 22.08% | | 18.04% | |
Investment, Identifier [Axis]: Debt Investments | Senior Unsecured | Total Technology | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 11,262 | | $ 10,622 | |
Fair Value | [1] | $ 10,980 | | $ 10,535 | |
Percentage of Net Assets | [1] | 5.61% | | 4.74% | |
Investment, Identifier [Axis]: Debt Investments | Total Debt Investments | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | | | $ 143,211 | |
Fair Value | [1] | | | $ 138,320 | |
Percentage of Net Assets | [1] | | | 62.29% | |
Investment, Identifier [Axis]: Short-Term Investments | Total U.S. Treasury Bills | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 24,094 | | $ 46,543 | |
Fair Value | [1] | $ 24,095 | | $ 46,553 | |
Percentage of Net Assets | [1] | 12.32% | | 20.96% | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 0.000 % | 01/02/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | | | 0% | |
Maturity Date | [1] | | | Jan. 02, 2024 | |
Par Amount | [1] | | | $ 8,000 | |
Cost | [1] | | | 7,999 | |
Fair Value | [1] | | | $ 8,000 | |
Percentage of Net Assets | [1] | | | 3.61% | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 4.660% | 04/09/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | 4.66% | | | |
Maturity Date | [1] | Apr. 09, 2024 | | | |
Par Amount | [1] | $ 1,124 | | | |
Cost | [1] | 1,123 | | | |
Fair Value | [1] | $ 1,123 | | | |
Percentage of Net Assets | [1] | 0.57% | | | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 4.820 % | 01/23/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | | | 4.82% | |
Maturity Date | [1] | | | Jan. 23, 2024 | |
Par Amount | [1] | | | $ 6,200 | |
Cost | [1] | | | 6,180 | |
Fair Value | [1] | | | $ 6,181 | |
Percentage of Net Assets | [1] | | | 2.78% | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 5.094 % | 02/20/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | | | 5.094% | |
Maturity Date | [1] | | | Feb. 20, 2024 | |
Par Amount | [1] | | | $ 4,300 | |
Cost | [1] | | | 4,268 | |
Fair Value | [1] | | | $ 4,269 | |
Percentage of Net Assets | [1] | | | 1.92% | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 5.096 % | 03/14/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | | | 5.096% | |
Maturity Date | [1] | | | Mar. 14, 2024 | |
Par Amount | [1] | | | $ 27,200 | |
Cost | [1] | | | 26,911 | |
Fair Value | [1] | | | $ 26,918 | |
Percentage of Net Assets | [1] | | | 12.12% | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 5.128% | 06/04/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | 5.128% | | | |
Maturity Date | [1] | Jun. 04, 2024 | | | |
Par Amount | [1] | $ 5,200 | | | |
Cost | [1] | 5,152 | | | |
Fair Value | [1] | $ 5,152 | | | |
Percentage of Net Assets | [1] | 2.64% | | | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 5.133% | 05/02/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | 5.133% | | | |
Maturity Date | [1] | May 02, 2024 | | | |
Par Amount | [1] | $ 2,600 | | | |
Cost | [1] | 2,588 | | | |
Fair Value | [1] | $ 2,588 | | | |
Percentage of Net Assets | [1] | 1.32% | | | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 5.137 % | 03/28/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | | | 5.137% | |
Maturity Date | [1] | | | Mar. 28, 2024 | |
Par Amount | [1] | | | $ 1,200 | |
Cost | [1] | | | 1,185 | |
Fair Value | [1] | | | $ 1,185 | |
Percentage of Net Assets | [1] | | | 0.53% | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 5.195% | 05/21/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | 5.195% | | | |
Maturity Date | [1] | May 21, 2024 | | | |
Par Amount | [1] | $ 1,700 | | | |
Cost | [1] | 1,688 | | | |
Fair Value | [1] | $ 1,688 | | | |
Percentage of Net Assets | [1] | 0.86% | | | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 5.195% | 06/13/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | 5.195% | | | |
Maturity Date | [1] | Jun. 13, 2024 | | | |
Par Amount | [1] | $ 7,500 | | | |
Cost | [1] | 7,420 | | | |
Fair Value | [1] | $ 7,421 | | | |
Percentage of Net Assets | [1] | 3.80% | | | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 5.215% | 05/30/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | 5.215% | | | |
Maturity Date | [1] | May 30, 2024 | | | |
Par Amount | [1] | $ 1,100 | | | |
Cost | [1] | 1,091 | | | |
Fair Value | [1] | $ 1,091 | | | |
Percentage of Net Assets | [1] | 0.56% | | | |
Investment, Identifier [Axis]: Short-Term Investments | U.S. Treasury Bills | U.S. Treasury Bill | 5.222% | 07/02/2024 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Interest Rate | [1],[6] | 5.222% | | | |
Maturity Date | [1] | Jul. 02, 2024 | | | |
Par Amount | [1] | $ 5,100 | | | |
Cost | [1] | 5,032 | | | |
Fair Value | [1] | $ 5,032 | | | |
Percentage of Net Assets | [1] | 2.57% | | | |
Investment, Identifier [Axis]: Total Debt Investments | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 149,709 | | | |
Fair Value | [1] | $ 146,215 | | | |
Percentage of Net Assets | [1] | 74.77% | | | |
Investment, Identifier [Axis]: Total Non-Controlled Non-Affiliated Investments | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 195,368 | | $ 220,859 | |
Fair Value | [1] | $ 191,906 | | $ 215,975 | |
Percentage of Net Assets | [1] | 98.13% | | 97.26% | |
Investment, Identifier [Axis]: Total Short-Term Investments | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 24,094 | | $ 46,543 | |
Fair Value | [1] | $ 24,095 | | $ 46,553 | |
Percentage of Net Assets | [1] | 12.32% | | 20.96% | |
Investment, Identifier [Axis]: Total Warrants | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 2,491 | | $ 2,491 | |
Fair Value | [1] | $ 2,212 | | $ 2,181 | |
Percentage of Net Assets | [1] | 1.13% | | 0.98% | |
Investment, Identifier [Axis]: Warrants | Retailers | Total Retailers | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Percentage of Net Assets | [1] | 0% | | 0% | |
Investment, Identifier [Axis]: Warrants | Retailers | West Marine/Rising Tide Holdings, Inc. | 09/08/2028 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Maturity Date | [1],[2],[3] | Sep. 08, 2028 | | Sep. 08, 2028 | |
Par Amount | [1],[2],[3] | $ 47,166 | | $ 47,166 | |
Percentage of Net Assets | [1],[2],[3] | 0% | | 0% | |
Investment, Identifier [Axis]: Warrants | Technology | GCOM | 08/11/2033 | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Maturity Date | [1],[2],[3],[11] | Aug. 11, 2033 | | Aug. 11, 2033 | |
Par Amount | [1],[2],[3],[11] | $ 2,491,250 | | $ 2,491,250 | |
Cost | [1],[2],[3],[11] | 2,491 | | 2,491 | |
Fair Value | [1],[2],[3],[11] | $ 2,212 | | $ 2,181 | |
Percentage of Net Assets | [1],[2],[3],[11] | 1.13% | | 0.98% | |
Investment, Identifier [Axis]: Warrants | Technology | Total Technology | | | | | |
Summary of Investment Holdings [Line Items] | | | | | |
Cost | [1] | $ 2,491 | | $ 2,491 | |
Fair Value | [1] | $ 2,212 | | $ 2,181 | |
Percentage of Net Assets | [1] | 1.13% | | 0.98% | |
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[1]All investments are U.S. domiciled.[2]The fair value of the investment was valued using significant unobservable inputs. See Note 6. Fair Value Measurements in the Notes to Unaudited Consolidated Financial Statements.[3]Non-income producing security.[4]The investment is treated as a non-qualifying asset under Section 55(a) of the Investment Company Act of 1940, as amended (the “1940 Act’’). Under the 1940 Act, the Company cannot acquire any non-qualifying asset unless, at the time the acquisition is made, qualifying assets represent at least 70% of the Company’s total assets. As of March 31, 2024, total non-qualifying assets at fair value represented 13.2% of the Company’s total net assets calculated in accordance with the 1940 Act.[5]Unless otherwise indicated, the interest rate on the principal balance outstanding for all floating rate loans is indexed to the Term Secured Overnight Financing Rate (“SOFR”), which typically resets semiannually, quarterly, or monthly at the borrower’s option. The applicable base rate may be subject to a floor. The borrower may also elect to have multiple interest reset periods for each loan. For each of these loans, we have provided the applicable margin over the reference rate based on each respective credit agreement. As of March 31, 2024, the reference rates for the floating rate loans were the 1 Month SOFR of 5.33%, 3 Month SOFR of 5.30% and 6 Month SOFR of 5.22%.[6]Interest rates on short-term investments are annualized.[7]The investment is treated as a non-qualifying asset under Section 55(a) of the Investment Company Act of 1940, as amended (the “1940 Act’’). Under the 1940 Act, the Company cannot acquire any non-qualifying asset unless, at the time the acquisition is made, qualifying assets represent at least 70% of the Company’s total assets. As of December 31, 2023, total non-qualifying assets at fair value represented 16.0% of the Company’s total net assets calculated in accordance with the 1940 Act.[8]Unless otherwise indicated, the interest rate on the principal balance outstanding for all floating rate loans is indexed to the Term Secured Overnight Financing Rate (“SOFR”), which typically resets semiannually, quarterly, or monthly at the borrower’s option. The applicable base rate may be subject to a floor. The borrower may also elect to have multiple interest reset periods for each loan. For each of these loans, we have provided the applicable margin over the reference rate based on each respective credit agreement. As of December 31, 2023, the reference rates for the floating rate loans were the 1 Month SOFR of 5.35%, 3 Month SOFR of 5.33% and 6 Month SOFR of 5.16%.[9]Pledged as collateral against the credit facility. See Note 4. Borrowings in the Notes to Unaudited Consolidated Financial Statements for additional information.[10]All or a portion of the interest on this position is paid-in-kind (PIK).[11]Represents co-investments made with the Company’s affiliates in accordance with the terms of the exemptive relief received from the U.S. Securities and Exchange Commission. See Note 3. Related Party Transactions in the Notes to Unaudited Consolidated Financial Statements. | |