Consolidated Schedule of Investments - USD ($) | 3 Months Ended | 12 Months Ended |
Mar. 31, 2024 | Dec. 31, 2023 |
Investments [Abstract] | | | | | |
Amortized Cost | | $ 397,318,141 | | $ 345,223,315 | |
Fair Value | | $ 404,711,203 | | $ 352,378,520 | |
Percentage of investment portfolio | | 170.93% | | 159% | |
Net Assets | | $ 236,772,553 | | $ 221,615,920 | |
Investment, Identifier [Axis]: ADMI Corp First and Second Lien Debt SOFR Spread 5.75% Interest Rate 11.08% Due 12/23/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | ADMI Corp [Member] | | | |
Interest Rate | [1],[2] | 11.08% | | | |
Maturity Date | [2] | Dec. 23, 2027 | | | |
Par Amount/ Units | [2],[3] | $ 1,995,000 | | | |
Amortized Cost | [2] | 1,995,000 | | | |
Fair Value | [2] | $ 1,995,000 | | | |
Percentage of investment portfolio | [2] | 0.84% | | | |
Basis spread on variable rate | [1],[2] | 5.75% | | | |
Investment, Identifier [Axis]: AMCP Clean Acquisition Company, LLC First and Second Lien Debt SOFR Spread 4.40% Interest Rate 9.79% Due 6/16/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | AMCP Clean Acquisition Company LLC [Member] | |
Interest Rate | [4],[5],[6] | | | 9.79% | |
Maturity Date | [5],[6] | | | Jun. 16, 2025 | |
Par Amount/ Units | [5],[6],[7] | | | $ 2,769,264 | |
Amortized Cost | [5],[6] | | | 2,635,484 | |
Fair Value | [5],[6] | | | $ 2,592,142 | |
Percentage of investment portfolio | [5],[6] | | | 1.17% | |
Basis spread on variable rate | [4],[5],[6] | | | 4.40% | |
Investment, Identifier [Axis]: AMCP Clean Acquisition Company, LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.33% Due 6/15/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | AMCP Clean Acquisition Company LLC [Member] | | | |
Interest Rate | [1],[2],[8],[9] | 10.33% | | | |
Maturity Date | [2],[8],[9] | Jun. 15, 2028 | | | |
Par Amount/ Units | [2],[3],[8],[9] | $ 1,000,000 | | | |
Amortized Cost | [2],[8],[9] | 985,206 | | | |
Fair Value | [2],[8],[9] | $ 990,000 | | | |
Percentage of investment portfolio | [2],[8],[9] | 0.42% | | | |
Basis spread on variable rate | [1],[8] | 5% | | | |
Investment, Identifier [Axis]: AQA Acquisition Holding, Inc. First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.82% Due 3/3/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | AQA Acquisition Holding Inc Member | | | |
Interest Rate | [2],[9],[10] | 9.82% | | | |
Maturity Date | [2],[9],[10] | Mar. 03, 2028 | | | |
Par Amount/ Units | [2],[9],[10] | $ 863,720 | | | |
Amortized Cost | [2],[9],[10] | 852,705 | | | |
Fair Value | [2],[9],[10] | $ 863,288 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.36% | | | |
Basis spread on variable rate | [2],[9],[10] | 4.25% | | | |
Investment, Identifier [Axis]: AQA Acquisition Holding, Inc. First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.89% Due 3/3/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | AQA Acquisition Holding Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.89% | |
Maturity Date | [5],[6],[11] | | | Mar. 03, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 865,941 | |
Amortized Cost | [5],[6],[11] | | | 854,327 | |
Fair Value | [5],[6],[11] | | | $ 863,992 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.39% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.25% | |
Investment, Identifier [Axis]: AVSC Holding Corp. First and Second Lien Debt SOFR Spread 3.00%/.25% PIK Interest Rate 8.95% Due 3/3/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | AVSC Holding Corp Member | | | |
Interest Rate | [1],[2] | 8.93% | | | |
Maturity Date | [2] | Mar. 03, 2025 | | | |
Par Amount/ Units | [2],[3] | $ 3,963,800 | | | |
Amortized Cost | [2] | 3,879,806 | | | |
Fair Value | [2] | $ 3,966,535 | | | |
Percentage of investment portfolio | [2] | 1.68% | | | |
Basis spread on variable rate | [1],[2] | 3% | | | |
Reference rate, PIK | [1],[2] | 0.25% | | | |
Investment, Identifier [Axis]: AVSC Holding Corp. First and Second Lien Debt SOFR Spread 3.00%/.25% PIK Interest Rate 8.96% Due 3/3/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | AVSC Holding Corp Member | |
Interest Rate | [4],[5],[6] | | | 8.96% | |
Maturity Date | [5],[6] | | | Mar. 03, 2025 | |
Par Amount/ Units | [5],[6],[7] | | | $ 3,971,771 | |
Amortized Cost | [5],[6] | | | 3,866,219 | |
Fair Value | [5],[6] | | | $ 3,881,175 | |
Percentage of investment portfolio | [5],[6] | | | 1.75% | |
Basis spread on variable rate | [4],[5],[6] | | | 3% | |
Reference rate, PIK | [4],[5],[6] | | | 0.25% | |
Investment, Identifier [Axis]: Acrisure, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.83% Due 11/6/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Acrisure LLC Member | | | |
Interest Rate | [1],[2],[10] | 9.83% | | | |
Maturity Date | [2],[10] | Nov. 06, 2030 | | | |
Par Amount/ Units | [2],[3],[10] | $ 4,967,500 | | | |
Amortized Cost | [2],[10] | 4,884,923 | | | |
Fair Value | [2],[10] | $ 4,979,919 | | | |
Percentage of investment portfolio | [2],[10] | 2.10% | | | |
Basis spread on variable rate | [1],[2],[10] | 4.50% | | | |
Investment, Identifier [Axis]: Acrisure, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.89% Due 11/6/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Acrisure LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.89% | |
Maturity Date | [5],[6],[11] | | | Nov. 06, 2030 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 4,979,950 | |
Amortized Cost | [5],[6],[11] | | | 4,895,009 | |
Fair Value | [5],[6],[11] | | | $ 4,984,083 | |
Percentage of investment portfolio | [5],[6],[11] | | | 2.25% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.50% | |
Investment, Identifier [Axis]: Aerospace & Defense First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Aerospace and Defense [Member] | | | |
Amortized Cost | [2],[9] | $ 19,682,935 | | | |
Fair Value | [2],[9] | $ 19,572,115 | | | |
Percentage of investment portfolio | [2],[9] | 8.27% | | | |
Investment, Identifier [Axis]: Air Freight & Logistics First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Air Freight and Logistics [Member] | | Air Freight and Logistics [Member] | |
Amortized Cost | | $ 4,761,365 | [2],[9] | $ 4,761,543 | [5],[6] |
Fair Value | | $ 4,837,594 | [2],[9] | $ 4,781,794 | [5],[6] |
Percentage of investment portfolio | | 2.05% | [2],[9] | 2.16% | [5],[6] |
Investment, Identifier [Axis]: American Auto Auction Group, LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.46% Due 12/30/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | American Auto Auction Group LLC Member | | | |
Interest Rate | [1],[2],[9],[10] | 10.46% | | | |
Maturity Date | [2],[9],[10] | Dec. 30, 2027 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 1,974,697 | | | |
Amortized Cost | [2],[9],[10] | 1,882,961 | | | |
Fair Value | [2],[9],[10] | $ 1,957,418 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.83% | | | |
Basis spread on variable rate | [1],[10] | 5% | | | |
Investment, Identifier [Axis]: American Auto Auction Group, LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.50% Due 12/30/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | American Auto Auction Group LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.50% | |
Maturity Date | [5],[6],[11] | | | Dec. 30, 2027 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,979,747 | |
Amortized Cost | [5],[6],[11] | | | 1,882,903 | |
Fair Value | [5],[6],[11] | | | $ 1,941,795 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.88% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: American Greetings Corporation First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.33% Due 4/6/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | American Greetings Corporation Member | | | |
Interest Rate | [1],[2],[10] | 11.33% | | | |
Maturity Date | [2],[10] | Apr. 06, 2028 | | | |
Par Amount/ Units | [2],[3],[10] | $ 1,477,538 | | | |
Amortized Cost | [2],[10] | 1,454,920 | | | |
Fair Value | [2],[10] | $ 1,478,276 | | | |
Percentage of investment portfolio | [2],[10] | 0.62% | | | |
Basis spread on variable rate | [1],[2],[10] | 6% | | | |
Investment, Identifier [Axis]: American Greetings Corporation First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.35% Due 4/06/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | American Greetings Corporation Member | |
Interest Rate | [4],[5],[6],[11] | | | 11.35% | |
Maturity Date | [5],[6],[11] | | | Apr. 06, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,481,269 | |
Amortized Cost | [5],[6],[11] | | | 1,457,513 | |
Fair Value | [5],[6],[11] | | | $ 1,483,743 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.67% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 6% | |
Investment, Identifier [Axis]: Amynta Agency Borrower Inc. First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.55% Due 2/28/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Amynta Agency Borrower Inc Member | | | |
Interest Rate | [1],[2],[10] | 9.55% | | | |
Maturity Date | [2],[10] | Feb. 28, 2028 | | | |
Par Amount/ Units | [2],[3],[10] | $ 1,975,062 | | | |
Amortized Cost | [2],[10] | 1,930,807 | | | |
Fair Value | [2],[10] | $ 1,981,244 | | | |
Percentage of investment portfolio | [2],[10] | 0.84% | | | |
Basis spread on variable rate | [1],[2],[10] | 4.25% | | | |
Investment, Identifier [Axis]: Amynta Agency Borrower Inc. First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.61% Due 2/28/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Amynta Agency Borrower Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.61% | |
Maturity Date | [5],[6],[11] | | | Feb. 28, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 3,980,025 | |
Amortized Cost | [5],[6],[11] | | | 3,872,922 | |
Fair Value | [5],[6],[11] | | | $ 3,979,468 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.80% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.25% | |
Investment, Identifier [Axis]: Aramsco, Inc. First and Second Lien Debt SOFR Spread 4.75% Due 10/10/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Aramsco Inc [Member] | | Aramsco Inc [Member] | |
Maturity Date | | Oct. 10, 2030 | [2],[9],[10],[12] | Oct. 10, 2030 | [5],[6],[11],[13] |
Par Amount/ Units | | $ 445,545 | [2],[3],[9],[10],[12] | $ 445,545 | [5],[6],[7],[11],[13] |
Fair Value | | $ 744 | [2],[9],[10],[12] | $ (927) | [5],[6],[11],[13] |
Percentage of investment portfolio | | 0% | [2],[9],[10],[12] | 0% | [5],[6],[11],[13] |
Basis spread on variable rate | | 4.75% | [1],[10] | 4.75% | [4],[5],[6],[11],[13] |
Investment, Identifier [Axis]: Aramsco, Inc. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.10% Due 10/10/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Aramsco Inc [Member] | | Aramsco Inc [Member] | |
Interest Rate | | 10.06% | [1],[2],[9],[10] | 10.10% | [4],[5],[6],[11] |
Maturity Date | | Oct. 10, 2030 | [2],[9],[10] | Oct. 10, 2030 | [5],[6],[11] |
Par Amount/ Units | | $ 2,554,455 | [2],[3],[9],[10] | $ 2,554,455 | [5],[6],[7],[11] |
Amortized Cost | | 2,505,721 | [2],[9],[10] | 2,504,437 | [5],[6],[11] |
Fair Value | | $ 2,558,721 | [2],[9],[10] | $ 2,549,142 | [5],[6],[11] |
Percentage of investment portfolio | | 1.08% | [2],[9],[10] | 1.15% | [5],[6],[11] |
Basis spread on variable rate | | 4.75% | [1],[10],[12] | 4.75% | [4],[5],[6],[11] |
Investment, Identifier [Axis]: Arcline FM Holdings, LLC First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.32% Due 6/23/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Arcline FM Holdings LLC Member | | | |
Interest Rate | [2],[9],[10] | 10.32% | | | |
Maturity Date | [2],[9],[10] | Jun. 23, 2028 | | | |
Par Amount/ Units | [2],[9],[10] | $ 4,593,839 | | | |
Amortized Cost | [2],[9],[10] | 4,465,530 | | | |
Fair Value | [2],[9],[10] | $ 4,593,839 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.94% | | | |
Basis spread on variable rate | [2],[9],[10] | 4.75% | | | |
Investment, Identifier [Axis]: Arcline FM Holdings, LLC First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.36% Due 6/23/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Arcline FM Holdings LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.36% | |
Maturity Date | [5],[6],[11] | | | Jun. 23, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 3,608,118 | |
Amortized Cost | [5],[6],[11] | | | 3,493,046 | |
Fair Value | [5],[6],[11] | | | $ 3,601,371 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.63% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.75% | |
Investment, Identifier [Axis]: Arcline FM Holdings, LLC First and Second Lien Debt SOFR Spread 5.25% Interest Rate 10.86% Due 6/23/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Arcline FM Holdings LLC Member | |
Interest Rate | [4],[5],[6],[14] | | | 10.86% | |
Maturity Date | [5],[6],[14] | | | Jun. 23, 2028 | |
Par Amount/ Units | [5],[6],[7],[14] | | | $ 997,500 | |
Amortized Cost | [5],[6],[14] | | | 977,937 | |
Fair Value | [5],[6],[14] | | | $ 997,500 | |
Percentage of investment portfolio | [5],[6],[14] | | | 0.45% | |
Basis spread on variable rate | [4],[5],[6],[14] | | | 5.25% | |
Investment, Identifier [Axis]: Arsenal AIC Parent LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.08% Due 8/30/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Arsenal AIC Parent LLC Member | | | |
Interest Rate | [2],[9],[10] | 9.08% | | | |
Maturity Date | [2],[9],[10] | Aug. 18, 2030 | | | |
Par Amount/ Units | [2],[9],[10] | $ 2,985,019 | | | |
Amortized Cost | [2],[9],[10] | 2,956,976 | | | |
Fair Value | [2],[9],[10] | $ 2,991,735 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.26% | | | |
Basis spread on variable rate | [2],[9],[10] | 4.50% | | | |
Investment, Identifier [Axis]: Arsenal AIC Parent LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.86% Due 8/18/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Arsenal AIC Parent LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.86% | |
Maturity Date | [5],[6],[11] | | | Aug. 18, 2030 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,992,500 | |
Amortized Cost | [5],[6],[11] | | | 2,963,608 | |
Fair Value | [5],[6],[11] | | | $ 3,000,909 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.35% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.50% | |
Investment, Identifier [Axis]: Automobile Components First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Automobile Components [Member] | | Automobile Components [Member] | |
Amortized Cost | | $ 5,712,406 | [2],[9] | $ 5,723,666 | [5],[6] |
Fair Value | | $ 5,750,721 | [2],[9] | $ 5,702,493 | [5],[6] |
Percentage of investment portfolio | | 2.43% | [2],[9] | 2.57% | [5],[6] |
Investment, Identifier [Axis]: Automobiles First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Automobile [Member] | |
Amortized Cost | [5],[6] | | | $ 3,943,707 | |
Fair Value | [5],[6] | | | $ 4,224,260 | |
Percentage of investment portfolio | [5],[6] | | | 1.91% | |
Investment, Identifier [Axis]: BBB Industries LLC First and Second Lien Debt SOFR Spread 5.25% Interest Rate 10.68% Due 7/25/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | BBB Industries LLC Member | | | |
Interest Rate | [1],[2],[9],[10] | 10.68% | | | |
Maturity Date | [2],[9],[10] | Jul. 25, 2029 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 3,954,950 | | | |
Amortized Cost | [2],[9],[10] | 3,784,359 | | | |
Fair Value | [2],[9],[10] | $ 3,766,259 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.59% | | | |
Basis spread on variable rate | [1],[2],[9],[10] | 5.25% | | | |
Investment, Identifier [Axis]: BBB Industries LLC First and Second Lien Debt SOFR Spread 5.25% Interest Rate 10.71% Due 7/25/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | BBB Industries LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.71% | |
Maturity Date | [5],[6],[11] | | | Jul. 25, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 3,964,962 | |
Amortized Cost | [5],[6],[11] | | | 3,788,124 | |
Fair Value | [5],[6],[11] | | | $ 3,731,189 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.68% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5.25% | |
Investment, Identifier [Axis]: BCPE Empire Holdings, Inc. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.11% Due 12/11/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | BCPE Empire Holdings Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.11% | |
Maturity Date | [5],[6],[11] | | | Dec. 11, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 3,980,000 | |
Amortized Cost | [5],[6],[11] | | | 3,959,431 | |
Fair Value | [5],[6],[11] | | | $ 3,986,965 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.80% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.75% | |
Investment, Identifier [Axis]: BCPE Empire Holdings, Inc. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 9.33% Due 12/11/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | BCPE Empire Holdings Inc Member | | | |
Interest Rate | [1],[2],[9],[10] | 9.33% | | | |
Maturity Date | [2],[9],[10] | Dec. 11, 2028 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 3,980,000 | | | |
Amortized Cost | [2],[9],[10] | 3,960,265 | | | |
Fair Value | [2],[9],[10] | $ 3,981,751 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.68% | | | |
Basis spread on variable rate | [1],[10] | 4.75% | | | |
Investment, Identifier [Axis]: BP Loenbro Holdings Inc First and Second Lien Debt Due 2/1/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | BP Loenbro Holdings Inc [Member] | | | |
Maturity Date | [2],[8],[9] | Feb. 01, 2029 | | | |
Par Amount/ Units | [2],[3],[8],[9] | $ 1,834,862 | | | |
Amortized Cost | [2],[8],[9] | 13,310 | | | |
Fair Value | [2],[8],[9] | $ (13,310) | | | |
Percentage of investment portfolio | [2],[8],[9] | (0.01%) | | | |
Basis spread on variable rate | [1],[8] | 6.25% | | | |
Investment, Identifier [Axis]: BP Loenbro Holdings Inc First and Second Lien Debt Due 2/1/2029 One | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | BP Loenbro Holdings Inc [Member] | | | |
Maturity Date | [2],[8],[9] | Feb. 01, 2029 | | | |
Par Amount/ Units | [2],[3],[8],[9] | $ 1,834,862 | | | |
Amortized Cost | [2],[8],[9] | 26,619 | | | |
Fair Value | [2],[8],[9] | $ (26,619) | | | |
Percentage of investment portfolio | [2],[8],[9] | (0.01%) | | | |
Basis spread on variable rate | [1],[8] | 6.25% | | | |
Investment, Identifier [Axis]: BP Loenbro Holdings Inc First and Second Lien Debt SOFR Spread 6.25% Interest Rate 11.57% Due 2/1/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | BP Loenbro Holdings Inc [Member] | | | |
Interest Rate | [1],[2],[8],[9] | 11.57% | | | |
Maturity Date | [2],[8],[9] | Feb. 01, 2029 | | | |
Par Amount/ Units | [2],[3],[8],[9] | $ 16,330,275 | | | |
Amortized Cost | [2],[8],[9] | 16,091,451 | | | |
Fair Value | [2],[8],[9] | $ 16,091,451 | | | |
Percentage of investment portfolio | [2],[8],[9] | 6.80% | | | |
Basis spread on variable rate | [1],[8] | 6.25% | | | |
Investment, Identifier [Axis]: Biotechnology First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Biotechnology [Member] | | Biotechnology [Member] | |
Amortized Cost | | $ 2,957,499 | [2],[9] | $ 4,927,218 | [5],[6] |
Fair Value | | $ 2,980,140 | [2],[9] | $ 4,935,400 | [5],[6] |
Percentage of investment portfolio | | 1.26% | [2],[9] | 2.23% | [5],[6] |
Investment, Identifier [Axis]: Brand Industrial Services Inc First and Second Lien Debt SOFR Spread 5.50% Interest Rate 10.81% Due 8/1/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Brand Industrial Services Inc Member | | | |
Interest Rate | [1],[2],[10] | 10.81% | | | |
Maturity Date | [2],[10] | Aug. 01, 2030 | | | |
Par Amount/ Units | [2],[3],[10] | $ 992,506 | | | |
Amortized Cost | [2],[10] | 955,305 | | | |
Fair Value | [2],[10] | $ 995,871 | | | |
Percentage of investment portfolio | [2],[10] | 0.42% | | | |
Basis spread on variable rate | [1],[2],[10] | 5.50% | | | |
Investment, Identifier [Axis]: Brand Industrial Services Inc First and Second Lien Debt SOFR Spread 5.50% Interest Rate 10.88% Due 8/1/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Brand Industrial Services Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.88% | |
Maturity Date | [5],[6],[11] | | | Aug. 01, 2030 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,995,000 | |
Amortized Cost | [5],[6],[11] | | | 1,918,230 | |
Fair Value | [5],[6],[11] | | | $ 1,980,756 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.89% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5.50% | |
Investment, Identifier [Axis]: Building Products First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Building Products [Member] | | Building Products [Member] | |
Amortized Cost | | $ 9,998,832 | [2],[9] | $ 3,668,676 | [5],[6] |
Fair Value | | $ 10,181,102 | [2],[9] | $ 3,723,493 | [5],[6] |
Percentage of investment portfolio | | 4.29% | [2],[9] | 1.68% | [5],[6] |
Investment, Identifier [Axis]: Carriage Purchaser, Inc. First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.72% Due 10/02/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Carriage Purchaser Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.72% | |
Maturity Date | [5],[6],[11] | | | Oct. 02, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,489,828 | |
Amortized Cost | [5],[6],[11] | | | 1,464,945 | |
Fair Value | [5],[6],[11] | | | $ 1,459,108 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.66% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.25% | |
Investment, Identifier [Axis]: Cash Equivalents | | | | | |
Investments [Abstract] | | | | | |
Amortized Cost | | $ 81,677,413 | [2] | $ 69,473,744 | [5] |
Fair Value | | $ 81,677,413 | [2] | $ 69,473,744 | [5] |
Percentage of investment portfolio | | 34.50% | [2] | 31.35% | [5] |
Investment, Identifier [Axis]: Cassavant Holdings, LLC First and Second Lien Debt SOFR Spread 8.00%/7.00% PIK Interest Rate 15% Due 6/23/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Cassavant Holdings, L L C [Member] | | | |
Interest Rate | [1],[2],[8],[9] | 15% | | | |
Maturity Date | [2],[8],[9] | Jun. 23, 2028 | | | |
Par Amount/ Units | [2],[3],[8],[9] | $ 20,148,358 | | | |
Amortized Cost | [2],[8],[9] | 19,682,935 | | | |
Fair Value | [2],[8],[9] | $ 19,572,115 | | | |
Percentage of investment portfolio | [2],[8],[9] | 8.27% | | | |
Basis spread on variable rate | [1],[2],[8],[9] | 8% | | | |
Reference rate, PIK | [1],[2],[8],[9] | 7% | | | |
Investment, Identifier [Axis]: Champ Acquisition Corporation First and Second Lien Debt SOFR Spread 5.50% Interest Rate 11.06% Due 12/19/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Champ Acquisition Corporation Member | | | |
Interest Rate | [2],[9],[10] | 11.06% | | | |
Maturity Date | [2],[9],[10] | Dec. 19, 2025 | | | |
Par Amount/ Units | [2],[9],[10] | $ 1,458,394 | | | |
Amortized Cost | [2],[9],[10] | 1,458,394 | | | |
Fair Value | [2],[9],[10] | $ 1,460,217 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.62% | | | |
Basis spread on variable rate | [2],[9],[10] | 5.50% | | | |
Investment, Identifier [Axis]: Champ Acquisition Corporation First and Second Lien Debt SOFR Spread 5.50% Interest Rate 11.11% Due 12/19/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Champ Acquisition Corporation Member | |
Interest Rate | [4],[5],[6],[11] | | | 11.11% | |
Maturity Date | [5],[6],[11] | | | Dec. 19, 2025 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,481,690 | |
Amortized Cost | [5],[6],[11] | | | 1,481,690 | |
Fair Value | [5],[6],[11] | | | $ 1,485,395 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.67% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5.50% | |
Investment, Identifier [Axis]: Charlotte Buyer, Inc. First and Second Lien Debt SOFR Spread 5.25% Interest Rate 10.57% Due 2/11/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Charlotte Buyer Inc Member | | | |
Interest Rate | [1],[2],[10] | 10.57% | | | |
Maturity Date | [2],[10] | Feb. 11, 2028 | | | |
Par Amount/ Units | [2],[3],[10] | $ 2,452,569 | | | |
Amortized Cost | [2],[10] | 2,395,279 | | | |
Fair Value | [2],[10] | $ 2,458,431 | | | |
Percentage of investment portfolio | [2],[10] | 1.04% | | | |
Basis spread on variable rate | [1],[2],[10] | 5.25% | | | |
Investment, Identifier [Axis]: Charlotte Buyer, Inc. First and Second Lien Debt SOFR Spread 5.25% Interest Rate 10.61% Due 2/11/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Charlotte Buyer Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.61% | |
Maturity Date | [5],[6],[11] | | | Feb. 11, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,458,778 | |
Amortized Cost | [5],[6],[11] | | | 2,398,398 | |
Fair Value | [5],[6],[11] | | | $ 2,466,622 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.11% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5.25% | |
Investment, Identifier [Axis]: Chemicals First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Chemicals [Member] | | Chemicals [Member] | |
Amortized Cost | | $ 6,420,574 | [2],[9] | $ 8,834,265 | [5],[6] |
Fair Value | | $ 6,535,878 | [2],[9] | $ 8,989,738 | [5],[6] |
Percentage of investment portfolio | | 2.76% | [2],[9] | 4.05% | [5],[6] |
Investment, Identifier [Axis]: Commercial Services & Supplies | | | | | |
Investments [Abstract] | | | | | |
Amortized Cost | | $ 14,792,309 | [2],[9] | $ 14,792,309 | [5],[6] |
Fair Value | | $ 15,715,487 | [2],[9] | $ 15,559,956 | [5],[6] |
Percentage of investment portfolio | | 6.64% | [2],[9] | 7.02% | [5],[6] |
Investment, Identifier [Axis]: Commercial Services & Supplies Equity Investments | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Commercial Services And Supplies [Member] | | Commercial Services And Supplies [Member] | |
Amortized Cost | | $ 14,792,309 | [2],[9] | $ 14,792,309 | [5],[6] |
Fair Value | | $ 15,715,487 | [2],[9] | $ 15,559,956 | [5],[6] |
Percentage of investment portfolio | | 6.64% | [2],[9] | 7.02% | [5],[6] |
Investment, Identifier [Axis]: Commercial Services & Supplies First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Commercial Services And Supplies [Member] | |
Amortized Cost | | $ 36,031,995 | [2] | $ 37,979,344 | [5],[6] |
Fair Value | | $ 36,937,380 | [2] | $ 38,498,136 | [5],[6] |
Percentage of investment portfolio | | 15.60% | [2] | 17.37% | [5],[6] |
Investment, Identifier [Axis]: Containers, Packaging & Glass First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Containers, Packaging and Glass [Member] | | Containers, Packaging and Glass [Member] | |
Amortized Cost | | $ 5,375,306 | [2],[9] | $ 7,341,760 | [5],[6] |
Fair Value | | $ 5,404,798 | [2],[9] | $ 6,993,086 | [5],[6] |
Percentage of investment portfolio | | 2.28% | [2],[9] | 3.16% | [5],[6] |
Investment, Identifier [Axis]: Contruction and Engineering First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Contruction And Engineering [Member] | | Contruction And Engineering [Member] | |
Amortized Cost | | $ 30,683,350 | [2],[9] | $ 14,694,725 | [5],[6] |
Fair Value | | $ 30,648,512 | [2],[9] | $ 14,677,456 | [5],[6] |
Percentage of investment portfolio | | 12.94% | [2],[9] | 6.63% | [5],[6] |
Investment, Identifier [Axis]: Covetrus, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.31% Due 10/13/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Covetrus Inc Member | | | |
Interest Rate | [1],[2],[10] | 10.31% | | | |
Maturity Date | [2],[10] | Oct. 13, 2029 | | | |
Par Amount/ Units | [2],[3],[10] | $ 992,481 | | | |
Amortized Cost | [2],[10] | 985,528 | | | |
Fair Value | [2],[10] | $ 992,898 | | | |
Percentage of investment portfolio | [2],[10] | 0.42% | | | |
Basis spread on variable rate | [1],[2],[10] | 5% | | | |
Investment, Identifier [Axis]: Covetrus, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.35% Due 10/13/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Covetrus Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.35% | |
Maturity Date | [5],[6],[11] | | | Oct. 13, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 994,987 | |
Amortized Cost | [5],[6],[11] | | | 987,788 | |
Fair Value | [5],[6],[11] | | | $ 993,127 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.45% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Cricket Valley Energy Center, First and Second Lien Debt SOFR Spread 3.90% Interest Rate 9.20% Due 6/30/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Cricket Valley Energy Center [Member] | | | |
Interest Rate | [1],[2],[8],[9],[10],[15] | 9.20% | | | |
Maturity Date | [2],[8],[9],[10],[15] | Jun. 30, 2025 | | | |
Par Amount/ Units | [2],[3],[8],[9],[10],[15] | $ 2,937,809 | | | |
Amortized Cost | [2],[8],[9],[10],[15] | 2,723,309 | | | |
Fair Value | [2],[8],[9],[10],[15] | $ 2,761,688 | | | |
Percentage of investment portfolio | [2],[8],[9],[10],[15] | 1.17% | | | |
Basis spread on variable rate | [1],[8],[10],[15] | 3.90% | | | |
Investment, Identifier [Axis]: Cricket Valley Energy Center, First and Second Lien Debt SOFR Spread 3.90% Interest Rate 9.25% Due 6/30/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Cricket Valley Energy Center [Member] | |
Interest Rate | [4],[5],[6],[11],[14],[16] | | | 9.25% | |
Maturity Date | [5],[6],[11],[14],[16] | | | Jun. 30, 2025 | |
Par Amount/ Units | [5],[6],[7],[11],[14],[16] | | | $ 2,966,340 | |
Amortized Cost | [5],[6],[11],[14],[16] | | | 2,729,032 | |
Fair Value | [5],[6],[11],[14],[16] | | | $ 2,765,074 | |
Percentage of investment portfolio | [5],[6],[11],[14],[16] | | | 1.25% | |
Basis spread on variable rate | [4],[5],[6],[11],[14],[16] | | | 3.90% | |
Investment, Identifier [Axis]: Crosby US Acquisition Corp. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.21% Due 6/26/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Crosby US Acquisition Corp Member | |
Interest Rate | [4],[5],[6],[11],[17] | | | 10.21% | |
Maturity Date | [5],[6],[11],[17] | | | Jun. 26, 2026 | |
Par Amount/ Units | [5],[6],[7],[11],[17] | | | $ 618,262 | |
Amortized Cost | [5],[6],[11],[17] | | | 605,879 | |
Fair Value | [5],[6],[11],[17] | | | $ 618,522 | |
Percentage of investment portfolio | [5],[6],[11],[17] | | | 0.28% | |
Basis spread on variable rate | [4],[5],[6],[11],[17] | | | 4.75% | |
Investment, Identifier [Axis]: Cyanco Intermediate 2 Corp. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.08% Due 7/10/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Cyanco Intermediate Two Corp [Member] | | | |
Interest Rate | [1],[2],[9],[10] | 10.08% | | | |
Maturity Date | [2],[9],[10] | Jul. 10, 2028 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 2,556,429 | | | |
Amortized Cost | [2],[9],[10] | 2,510,746 | | | |
Fair Value | [2],[9],[10] | $ 2,563,893 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.08% | | | |
Basis spread on variable rate | [1],[2],[9],[10] | 4.75% | | | |
Investment, Identifier [Axis]: Cyanco Intermediate 2 Corp. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.11% Due 7/10/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Cyanco Intermediate Two Corp [Member] | |
Interest Rate | [4],[5],[6],[11] | | | 10.11% | |
Maturity Date | [5],[6],[11] | | | Jul. 10, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,992,500 | |
Amortized Cost | [5],[6],[11] | | | 2,936,542 | |
Fair Value | [5],[6],[11] | | | $ 2,997,498 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.35% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.75% | |
Investment, Identifier [Axis]: DS Parent Inc. First and Second Lien Debt SOFR Spread 5.50% Interest Rate 10.81% Due 12/13/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | D S Parent Inc [Member] | | D S Parent Inc [Member] | |
Interest Rate | | 10.81% | [2],[9],[15] | 10.81% | [4],[5],[6],[16] |
Maturity Date | | Dec. 13, 2030 | [2],[9],[15] | Dec. 13, 2030 | [5],[6],[16] |
Par Amount/ Units | | $ 3,000,000 | [2],[9],[15] | $ 3,000,000 | [5],[6],[7],[16] |
Amortized Cost | | 2,852,020 | [2],[9],[15] | 2,850,000 | [5],[6],[16] |
Fair Value | | $ 2,952,180 | [2],[9],[15] | $ 2,857,500 | [5],[6],[16] |
Percentage of investment portfolio | | 1.25% | [2],[9],[15] | 1.29% | [5],[6],[16] |
Basis spread on variable rate | | 5.50% | [2],[9],[15] | 5.50% | [4],[5],[6],[16] |
Investment, Identifier [Axis]: DTI Holdco, Inc. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.06% Due 4/26/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | DTI Holdco Inc Member | | | |
Interest Rate | [2],[9],[10] | 10.06% | | | |
Maturity Date | [2],[9],[10] | Apr. 26, 2029 | | | |
Par Amount/ Units | [2],[9],[10] | $ 1,481,203 | | | |
Amortized Cost | [2],[9],[10] | 1,433,158 | | | |
Fair Value | [2],[9],[10] | $ 1,480,744 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.63% | | | |
Basis spread on variable rate | [2],[9],[10] | 4.75% | | | |
Investment, Identifier [Axis]: DTI Holdco, Inc. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.13% Due 4/26/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | DTI Holdco Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.13% | |
Maturity Date | [5],[6],[11] | | | Apr. 26, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,484,962 | |
Amortized Cost | [5],[6],[11] | | | 1,435,033 | |
Fair Value | [5],[6],[11] | | | $ 1,465,346 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.66% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.75% | |
Investment, Identifier [Axis]: DXP Enterprises, Inc. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.29% Due 10/11/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | D X P Enterprises Inc [Member] | | D X P Enterprises Inc [Member] | |
Interest Rate | | 10.29% | [2],[8],[9],[10] | 10.29% | [4],[5],[6],[11],[14] |
Maturity Date | | Oct. 11, 2030 | [2],[8],[9],[10] | Oct. 11, 2030 | [5],[6],[11],[14] |
Par Amount/ Units | | $ 1,990,000 | [2],[8],[9],[10] | $ 1,995,000 | [5],[6],[7],[11],[14] |
Amortized Cost | | 1,961,388 | [2],[8],[9],[10] | 1,965,563 | [5],[6],[11],[14] |
Fair Value | | $ 1,988,766 | [2],[8],[9],[10] | $ 1,999,988 | [5],[6],[11],[14] |
Percentage of investment portfolio | | 0.84% | [2],[8],[9],[10] | 0.90% | [5],[6],[11],[14] |
Basis spread on variable rate | | 4.75% | [2],[8],[9],[10] | 4.75% | [4] |
Investment, Identifier [Axis]: Discovery Energy Holding Corp First and Second Lien Debt SOFR Spread 10.06% Due 1/30/2031 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Kohler Energy Co LLC [Member] | | | |
Interest Rate | [1],[2] | 10.06% | | | |
Maturity Date | [2],[9] | Jan. 30, 2031 | | | |
Par Amount/ Units | [2],[9] | $ 2,800,000 | | | |
Amortized Cost | [2],[9] | 2,716,932 | | | |
Fair Value | [2],[9] | $ 2,802,324 | | | |
Percentage of investment portfolio | [2],[9] | 1.18% | | | |
Basis spread on variable rate | [2],[9] | 4.75% | | | |
Investment, Identifier [Axis]: Distributors First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Distributors [Member] | | Distributors [Member] | |
Amortized Cost | | $ 8,348,947 | [2],[9] | $ 9,767,187 | [5],[6] |
Fair Value | | $ 8,498,634 | [2],[9] | $ 9,862,236 | [5],[6] |
Percentage of investment portfolio | | 3.59% | [2],[9] | 4.46% | [5],[6] |
Investment, Identifier [Axis]: Diversified Consumer Services First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Diversified Consumer Services [Member] | | Diversified Consumer Services [Member] | |
Amortized Cost | | $ 4,927,386 | [2],[9] | $ 6,586,260 | [5],[6] |
Fair Value | | $ 4,993,965 | [2],[9] | $ 6,601,142 | [5],[6] |
Percentage of investment portfolio | | 2.11% | [2],[9] | 2.98% | [5],[6] |
Investment, Identifier [Axis]: Eagle Parent Corp. First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.55% Due 4/2/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Eagle Parent Corp Member | | | |
Interest Rate | [1],[2],[10] | 9.55% | | | |
Maturity Date | [2],[10] | Apr. 02, 2029 | | | |
Par Amount/ Units | [2],[3],[10] | $ 2,969,697 | | | |
Amortized Cost | [2],[10] | 2,939,353 | | | |
Fair Value | [2],[10] | $ 2,941,247 | | | |
Percentage of investment portfolio | [2],[10] | 1.24% | | | |
Basis spread on variable rate | [1],[2],[10] | 4.25% | | | |
Investment, Identifier [Axis]: Eagle Parent Corp. First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.64% Due 4/2/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Eagle Parent Corp Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.64% | |
Maturity Date | [5],[6],[11] | | | Apr. 02, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,977,273 | |
Amortized Cost | [5],[6],[11] | | | 2,945,687 | |
Fair Value | [5],[6],[11] | | | $ 2,943,778 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.33% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.25% | |
Investment, Identifier [Axis]: Electric Utilities First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Electric Utilities [Member] | | Electric Utilities [Member] | |
Amortized Cost | | $ 9,555,242 | [2],[9] | $ 25,131,415 | [5],[6] |
Fair Value | | $ 9,691,319 | [2],[9] | $ 25,360,047 | [5],[6] |
Percentage of investment portfolio | | 4.10% | [2],[9] | 11.46% | [5],[6] |
Investment, Identifier [Axis]: Electrical Equipment First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Electrical Equipment [Member] | | | |
Amortized Cost | [2],[9] | $ 33,025,372 | | | |
Fair Value | [2],[9] | $ 32,997,503 | | | |
Percentage of investment portfolio | [2],[9] | 13.93% | | | |
Investment, Identifier [Axis]: Electronic Equipment, Instruments & Components First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Electronic Equipment, Instruments And Components [Member] | |
Amortized Cost | [5],[6] | | | $ 1,162,703 | |
Fair Value | [5],[6] | | | $ 1,114,240 | |
Percentage of investment portfolio | [5],[6] | | | 0.50% | |
Investment, Identifier [Axis]: Endure Digital Inc. First and Second Lien Debt SOFR Spread 3.50% Interest Rate 9.42% Due 2/10/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Endure Digital Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.42% | |
Maturity Date | [5],[6],[11] | | | Feb. 10, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 989,848 | |
Amortized Cost | [5],[6],[11] | | | 907,221 | |
Fair Value | [5],[6],[11] | | | $ 966,032 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.44% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 3.50% | |
Investment, Identifier [Axis]: Energy Equipment & Services First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Energy Equipment and Services [Member] | |
Amortized Cost | [5],[6] | | | $ 4,800,437 | |
Fair Value | [5],[6] | | | $ 4,951,973 | |
Percentage of investment portfolio | [5],[6] | | | 2.23% | |
Investment, Identifier [Axis]: EnergySolutions, LLC First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.36% Due 9/20/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Energy Solutions LLC Member | | Energy Solutions LLC Member | |
Interest Rate | | 9.31% | [1],[2],[10] | 9.36% | [4],[5],[6],[11] |
Maturity Date | | Sep. 20, 2030 | [2],[10] | Sep. 20, 2030 | [5],[6],[11] |
Par Amount/ Units | | $ 995,000 | [2],[3],[10] | $ 997,500 | [5],[6],[7],[11] |
Amortized Cost | | 983,273 | [2],[10] | 985,417 | [5],[6],[11] |
Fair Value | | $ 998,890 | [2],[10] | $ 995,505 | [5],[6],[11] |
Percentage of investment portfolio | | 0.42% | [2],[10] | 0.45% | [5],[6],[11] |
Basis spread on variable rate | | 4% | [1],[2],[10] | 4% | [4],[5],[6],[11] |
Investment, Identifier [Axis]: Epic Crude Services, LP First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.93% Due 3/2/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Epic Crude Services LP Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.93% | |
Maturity Date | [5],[6],[11] | | | Mar. 02, 2026 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 4,976,857 | |
Amortized Cost | [5],[6],[11] | | | 4,800,437 | |
Fair Value | [5],[6],[11] | | | $ 4,951,973 | |
Percentage of investment portfolio | [5],[6],[11] | | | 2.23% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: FCG Acquisitions Inc. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.06% Due 3/31/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | FCG Acquisitions Inc Member | | | |
Interest Rate | [2],[9],[10] | 10.06% | | | |
Maturity Date | [2],[9],[10] | Mar. 31, 2028 | | | |
Par Amount/ Units | [2],[9],[10] | $ 1,631,925 | | | |
Amortized Cost | [2],[9],[10] | 1,600,464 | | | |
Fair Value | [2],[9],[10] | $ 1,634,993 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.69% | | | |
Basis spread on variable rate | [2],[9],[10] | 4.75% | | | |
Investment, Identifier [Axis]: FCG Acquisitions Inc. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.11% Due 03/31/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | D X P Enterprises Inc [Member] | |
Interest Rate | [4],[11] | | | 10.11% | |
Maturity Date | [5],[6],[11],[14] | | | Mar. 31, 2028 | |
Par Amount/ Units | [7],[11] | | | $ 1,636,067 | |
Amortized Cost | [11] | | | 1,602,979 | |
Fair Value | [11] | | | $ 1,631,813 | |
Percentage of Net Assets | [11] | | | 0.74% | |
Basis spread on variable rate | [4],[11] | | | 4.75% | |
Investment, Identifier [Axis]: Fertitta Entertainment, LLC First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.36% Due 1/27/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Fertitta Entertainment LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.36% | |
Maturity Date | [5],[6],[11] | | | Jan. 27, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 992,424 | |
Amortized Cost | [5],[6],[11] | | | 976,722 | |
Fair Value | [5],[6],[11] | | | $ 992,216 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.45% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4% | |
Investment, Identifier [Axis]: First Brands Group, LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.88% Due 3/30/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | First Brands Group LLC Member | | First Brands Group LLC Member | |
Interest Rate | | 10.57% | [1],[2],[9] | 10.88% | [4],[5],[6] |
Maturity Date | | Mar. 30, 2027 | [2],[9] | Mar. 30, 2027 | [5],[6] |
Par Amount/ Units | | $ 1,985,296 | [2],[3],[9] | $ 1,989,950 | [5],[6],[7] |
Amortized Cost | | 1,928,047 | [2],[9] | 1,935,542 | [5],[6] |
Fair Value | | $ 1,984,462 | [2],[9] | $ 1,971,304 | [5],[6] |
Percentage of investment portfolio | | 0.84% | [2],[9] | 0.89% | [5],[6] |
Basis spread on variable rate | | 5% | [1],[2],[9] | 5% | [4],[5],[6] |
Investment, Identifier [Axis]: First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Senior Secured Loans First Lien Member | | Senior Secured Loans First Lien Member | |
Amortized Cost | | $ 382,525,832 | [2],[9] | $ 330,431,006 | [5],[6] |
Fair Value | | $ 388,995,716 | [2],[9] | $ 336,818,564 | [5],[6] |
Percentage of investment portfolio | | 164.30% | [2],[9] | 151.98% | [5],[6] |
Investment, Identifier [Axis]: Foundation Building Materials Inc First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.31% Due 1/29/2031 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Foundation Building Materials Inc [Member] | | | |
Interest Rate | [1],[2],[9] | 9.31% | | | |
Maturity Date | [2],[9] | Jan. 29, 2031 | | | |
Par Amount/ Units | [2],[3],[9] | $ 2,437,500 | | | |
Amortized Cost | [2],[9] | 2,413,225 | | | |
Fair Value | [2],[9] | $ 2,446,031 | | | |
Percentage of investment portfolio | [2],[9] | 1.03% | | | |
Basis spread on variable rate | [1],[2],[9] | 4% | | | |
Investment, Identifier [Axis]: Gas Utilities First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Gas Utilities [Member] | |
Amortized Cost | [5],[6] | | | $ 961,834 | |
Fair Value | [5],[6] | | | $ 951,271 | |
Percentage of investment portfolio | [5],[6] | | | 0.43% | |
Investment, Identifier [Axis]: Gas Utilities First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Amortized Cost | [2] | $ 960,748 | | | |
Fair Value | [2] | $ 985,157 | | | |
Percentage of investment portfolio | [2] | 0.42% | | | |
Investment, Identifier [Axis]: Generation Bridge Northeast, LLC First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.61% Due 8/22/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Generation Bridge Northeast LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.61% | |
Maturity Date | [5],[6],[11] | | | Aug. 22, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,937,057 | |
Amortized Cost | [5],[6],[11] | | | 2,908,829 | |
Fair Value | [5],[6],[11] | | | $ 2,945,633 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.33% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.25% | |
Investment, Identifier [Axis]: GeoStabilization International, LLC First and Second Lien Debt SOFR Spread 5.25% Interest Rate 10.50% Due 12/19/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | GeoStabilization International, LLC [Member] | | | |
Interest Rate | [2],[9],[10] | 10.50% | | | |
Maturity Date | [2],[9],[10] | Dec. 19, 2028 | | | |
Par Amount/ Units | [2],[9],[10] | $ 2,000,000 | | | |
Amortized Cost | [2],[9],[10] | 1,981,250 | | | |
Fair Value | [2],[9],[10] | $ 1,985,000 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.84% | | | |
Basis spread on variable rate | [2],[9],[10] | 5.25% | | | |
Investment, Identifier [Axis]: GeoStabilization International, LLC First and Second Lien Debt SOFR Spread 5.25% Interest Rate 10.80% Due 12/19/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | GeoStabilization International, LLC [Member] | |
Interest Rate | [4],[5],[6],[11] | | | 10.80% | |
Maturity Date | [5],[6],[11] | | | Dec. 19, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,000,000 | |
Amortized Cost | [5],[6],[11] | | | 1,980,493 | |
Fair Value | [5],[6],[11] | | | $ 1,985,000 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.90% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5.25% | |
Investment, Identifier [Axis]: Gloves Buyer, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.44% Due 12/29/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Gloves Buyer Inc Member | | | |
Interest Rate | [2],[8],[9],[10] | 10.44% | | | |
Maturity Date | [2],[8],[9],[10] | Dec. 29, 2027 | | | |
Par Amount/ Units | [2],[8],[9],[10] | $ 1,990,000 | | | |
Amortized Cost | [2],[8],[9],[10] | 1,921,991 | | | |
Fair Value | [2],[8],[9],[10] | $ 1,985,025 | | | |
Percentage of investment portfolio | [2],[8],[9],[10] | 0.84% | | | |
Basis spread on variable rate | [2],[8],[9],[10] | 5% | | | |
Investment, Identifier [Axis]: Gloves Buyer, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.47% Due 12/29/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Gloves Buyer Inc Member | |
Interest Rate | [4],[5],[6],[11],[14] | | | 10.47% | |
Maturity Date | [5],[6],[11],[14] | | | Dec. 29, 2027 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 1,995,000 | |
Amortized Cost | [5],[6],[11],[14] | | | 1,923,179 | |
Fair Value | [5],[6],[11],[14] | | | $ 1,960,088 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 0.88% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 5% | |
Investment, Identifier [Axis]: Ground Transportation First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Ground Transportation [Member] | |
Amortized Cost | | $ 977,772 | [2] | $ 2,444,186 | [5],[6] |
Fair Value | | $ 993,637 | [2] | $ 2,447,052 | [5],[6] |
Percentage of investment portfolio | | 0.42% | [2] | 1.11% | [5],[6] |
Investment, Identifier [Axis]: Health Care Equipment & Supplies First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Health Care Equipment And Supplies [Member] | |
Amortized Cost | [5],[6] | | | $ 2,916,393 | |
Fair Value | [5],[6] | | | $ 3,086,823 | |
Percentage of investment portfolio | [5],[6] | | | 1.39% | |
Investment, Identifier [Axis]: Health Care Equipment & Supplies First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Amortized Cost | [2] | $ 1,556,879 | | | |
Fair Value | [2] | $ 1,609,173 | | | |
Percentage of investment portfolio | [2] | 0.68% | | | |
Investment, Identifier [Axis]: Health Care Providers & Services First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Health Care Providers And Services [Member] | |
Amortized Cost | [5],[6] | | | $ 25,735,345 | |
Fair Value | [5],[6] | | | $ 25,961,604 | |
Percentage of investment portfolio | [5],[6] | | | 11.70% | |
Investment, Identifier [Axis]: Health Care Providers and Services First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Health Care Providers And Services [Member] | | | |
Amortized Cost | [2] | $ 29,672,420 | | | |
Fair Value | [2] | $ 29,796,284 | | | |
Percentage of investment portfolio | [2] | 12.60% | | | |
Investment, Identifier [Axis]: Health Care Technology First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Health Care Technology [Member] | | Health Care Technology [Member] | |
Amortized Cost | | $ 985,528 | [2] | $ 987,788 | [5],[6] |
Fair Value | | $ 992,898 | [2] | $ 993,127 | [5],[6] |
Percentage of investment portfolio | | 0.42% | [2] | 0.45% | [5],[6] |
Investment, Identifier [Axis]: Heartland Dental, LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.33% Due 4/28/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Heartland Dental LLC Member | | | |
Interest Rate | [1],[2],[10] | 10.33% | | | |
Maturity Date | [2],[10] | Apr. 28, 2028 | | | |
Par Amount/ Units | [2],[3],[10] | $ 2,554,091 | | | |
Amortized Cost | [2],[10] | 2,473,136 | | | |
Fair Value | [2],[10] | $ 2,556,338 | | | |
Percentage of investment portfolio | [2],[10] | 1.08% | | | |
Basis spread on variable rate | [1],[2],[10] | 5% | | | |
Investment, Identifier [Axis]: Heartland Dental, LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.36% Due 4/28/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Heartland Dental LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.36% | |
Maturity Date | [5],[6],[11] | | | Apr. 28, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,560,524 | |
Amortized Cost | [5],[6],[11] | | | 2,475,494 | |
Fair Value | [5],[6],[11] | | | $ 2,551,332 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.15% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Help At Home, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.44% Due 10/29/2027 One | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Help At Home Inc Member | | | |
Interest Rate | [1],[2] | 10.44% | | | |
Maturity Date | [2] | Oct. 29, 2027 | | | |
Par Amount/ Units | [2],[3] | $ 111,180 | | | |
Amortized Cost | [2] | 109,644 | | | |
Fair Value | [2] | $ 110,485 | | | |
Percentage of investment portfolio | [2] | 0.05% | | | |
Basis spread on variable rate | [1],[2] | 5% | | | |
Investment, Identifier [Axis]: Help At Home, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.44% Due 10/29/2027 Three | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Help At Home Inc Member | | | |
Interest Rate | [1],[2] | 10.44% | | | |
Maturity Date | [2] | Oct. 29, 2027 | | | |
Par Amount/ Units | [2],[3] | $ 997,458 | | | |
Amortized Cost | [2] | 992,643 | | | |
Fair Value | [2] | $ 991,224 | | | |
Percentage of investment portfolio | [2] | 0.42% | | | |
Basis spread on variable rate | [1],[2] | 5% | | | |
Investment, Identifier [Axis]: Help At Home, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.44% Due 10/29/2027 Two | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Help At Home Inc Member | | | |
Interest Rate | [1],[2] | 10.44% | | | |
Maturity Date | [2] | Oct. 29, 2027 | | | |
Par Amount/ Units | [2],[3] | $ 878,619 | | | |
Amortized Cost | [2] | 866,519 | | | |
Fair Value | [2] | $ 873,128 | | | |
Percentage of investment portfolio | [2] | 0.37% | | | |
Basis spread on variable rate | [1],[2] | 5% | | | |
Investment, Identifier [Axis]: Help At Home, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.46% Due 10/29/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Help At Home Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.46% | |
Maturity Date | [5],[6],[11] | | | Oct. 29, 2027 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 992,349 | |
Amortized Cost | [5],[6],[11] | | | 979,161 | |
Fair Value | [5],[6],[11] | | | $ 981,810 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.44% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Heritage-Crystal Clean, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.32% Due 10/17/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Heritage-Crystal Clean, Inc [Member] | | | |
Interest Rate | [1],[2] | 10.32% | | | |
Maturity Date | [2] | Oct. 17, 2030 | | | |
Par Amount/ Units | [2],[3] | $ 997,500 | | | |
Amortized Cost | [2] | 973,697 | | | |
Fair Value | [2] | $ 997,809 | | | |
Percentage of investment portfolio | [2] | 0.42% | | | |
Basis spread on variable rate | [1],[2] | 5% | | | |
Investment, Identifier [Axis]: Heritage-Crystal Clean, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.40% Due 10/17/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Heritage-Crystal Clean, Inc [Member] | |
Interest Rate | [4],[5],[6] | | | 10.40% | |
Maturity Date | [5],[6] | | | Oct. 17, 2030 | |
Par Amount/ Units | [5],[6],[7] | | | $ 1,000,000 | |
Amortized Cost | [5],[6] | | | 975,516 | |
Fair Value | [5],[6] | | | $ 1,000,000 | |
Percentage of investment portfolio | [5],[6] | | | 0.45% | |
Basis spread on variable rate | [4],[5],[6] | | | 5% | |
Investment, Identifier [Axis]: Holley Purchaser, Inc. First and Second Lien Debt SOFR Spread 3.75% Interest Rate 9.22% Due 11/28/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Holley Purchaser Inc Member | |
Interest Rate | [4],[5],[6] | | | 9.22% | |
Maturity Date | [5],[6] | | | Nov. 28, 2028 | |
Par Amount/ Units | [5],[6],[7] | | | $ 4,392,630 | |
Amortized Cost | [5],[6] | | | 3,943,707 | |
Fair Value | [5],[6] | | | $ 4,224,260 | |
Percentage of investment portfolio | [5],[6] | | | 1.91% | |
Basis spread on variable rate | [4],[5],[6] | | | 3.75% | |
Investment, Identifier [Axis]: Hotels Restaurants and Leisure First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Hotels Restaurants And Leisure [Member] | | | |
Amortized Cost | [2] | $ 17,293,298 | | | |
Fair Value | [2] | $ 19,803,415 | | | |
Percentage of investment portfolio | [2] | 8.36% | | | |
Investment, Identifier [Axis]: Hotels, Restaurants & Leisure First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Hotels, Restaurants & Leisure [Member] | |
Amortized Cost | [5],[6] | | | $ 17,474,770 | |
Fair Value | [5],[6] | | | $ 20,042,292 | |
Percentage of investment portfolio | [5],[6] | | | 9.05% | |
Investment, Identifier [Axis]: Household Products First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Household Products [Member] | | Household Products [Member] | |
Amortized Cost | | $ 7,720,335 | [2] | $ 14,349,256 | [5],[6] |
Fair Value | | $ 7,939,331 | [2] | $ 14,798,555 | [5],[6] |
Percentage of investment portfolio | | 3.35% | [2] | 6.67% | [5],[6] |
Investment, Identifier [Axis]: IBG Borrower LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 10.06% Due 8/22/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | IBG Borrower LLC [Member] | | | |
Interest Rate | [2],[9],[10] | 10.06% | | | |
Maturity Date | [2],[9],[10] | Aug. 22, 2029 | | | |
Par Amount/ Units | [2],[9],[10] | $ 9,875,000 | | | |
Amortized Cost | [2],[9],[10] | 9,780,465 | | | |
Fair Value | [2],[9],[10] | $ 9,850,313 | | | |
Percentage of investment portfolio | [2],[9],[10] | 4.16% | | | |
Basis spread on variable rate | [2],[9],[10] | 6% | | | |
Investment, Identifier [Axis]: IBG Borrower LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.50% Due 8/22/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | IBG Borrower LLC [Member] | |
Interest Rate | [4],[5],[6],[11],[14] | | | 11.50% | |
Maturity Date | [5],[6],[11],[14] | | | Aug. 22, 2029 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 9,937,500 | |
Amortized Cost | [5],[6],[11],[14] | | | 9,839,190 | |
Fair Value | [5],[6],[11],[14] | | | $ 9,839,190 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 4.44% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 6% | |
Investment, Identifier [Axis]: IT Services First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | IT Services [Member] | | IT Services [Member] | |
Amortized Cost | | $ 11,628,189 | [2] | $ 12,531,383 | [5],[6] |
Fair Value | | $ 11,749,531 | [2] | $ 12,803,082 | [5],[6] |
Percentage of investment portfolio | | 4.96% | [2] | 5.78% | [5],[6] |
Investment, Identifier [Axis]: Imagefirst Holdings, LLC First and Second Lien Debt SOFR Spread 5.00% Due 4/27/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Imagefirst Holdings LLC Member | | | |
Maturity Date | [2],[10],[12] | Apr. 27, 2028 | | | |
Par Amount/ Units | [2],[3],[10],[12] | $ 666,667 | | | |
Amortized Cost | [2],[10],[12] | 13,752 | | | |
Fair Value | [2],[10],[12] | $ (1,667) | | | |
Percentage of investment portfolio | [2],[10],[12] | 0% | | | |
Basis spread on variable rate | [1],[2],[10],[12] | 5% | | | |
Investment, Identifier [Axis]: Imagefirst Holdings, LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 0.00% Due 4/27/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Imagefirst Holdings LLC Member | |
Interest Rate | [4],[5],[6],[11],[13] | | | 0% | |
Maturity Date | [5],[6],[11],[13] | | | Apr. 27, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[13] | | | $ 666,667 | |
Amortized Cost | [5],[6],[11],[13] | | | (14,593) | |
Fair Value | [5],[6],[11],[13] | | | $ (3,333) | |
Percentage of investment portfolio | [5],[6],[11],[13] | | | 0% | |
Basis spread on variable rate | [4],[5],[6],[11],[13] | | | 5% | |
Investment, Identifier [Axis]: Imagefirst Holdings, LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.72% Due 4/27/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Imagefirst Holdings LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.72% | |
Maturity Date | [5],[6],[11] | | | Apr. 27, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 3,316,667 | |
Amortized Cost | [5],[6],[11] | | | 3,242,402 | |
Fair Value | [5],[6],[11] | | | $ 3,300,083 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.49% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Imagefirst Holdings, LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 9.57% Due 4/27/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Imagefirst Holdings LLC Member | | | |
Interest Rate | [1],[2],[10] | 9.57% | | | |
Maturity Date | [2],[10] | Apr. 27, 2028 | | | |
Par Amount/ Units | [2],[3],[10] | $ 3,308,375 | | | |
Amortized Cost | [2],[10] | 3,237,765 | | | |
Fair Value | [2],[10] | $ 3,300,104 | | | |
Percentage of investment portfolio | [2],[10] | 1.39% | | | |
Basis spread on variable rate | [1],[2],[10] | 5% | | | |
Investment, Identifier [Axis]: Independent Power and Renewable Electricity Producers First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Independent Power and Renewable Electricity Producers [Member] | |
Amortized Cost | [5],[6] | | | $ 2,752,178 | |
Fair Value | [5],[6] | | | $ 2,803,634 | |
Percentage of investment portfolio | [5],[6] | | | 1.27% | |
Investment, Identifier [Axis]: Inmar, Inc. First and Second Lien Debt SOFR Spread 5.50% Interest Rate 10.85% Due 5/1/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Inmar Inc Member | | | |
Interest Rate | [1],[2],[9],[10] | 10.85% | | | |
Maturity Date | [2],[9],[10] | May 01, 2026 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 2,977,671 | | | |
Amortized Cost | [2],[9],[10] | 2,951,999 | | | |
Fair Value | [2],[9],[10] | $ 2,975,824 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.26% | | | |
Basis spread on variable rate | [1],[2],[9],[10] | 5.50% | | | |
Investment, Identifier [Axis]: Inmar, Inc. First and Second Lien Debt SOFR Spread 5.50% Interest Rate 10.86% Due 5/1/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Inmar Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.86% | |
Maturity Date | [5],[6],[11] | | | May 01, 2026 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,985,000 | |
Amortized Cost | [5],[6],[11] | | | 2,956,521 | |
Fair Value | [5],[6],[11] | | | $ 2,942,702 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.33% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5.50% | |
Investment, Identifier [Axis]: Insurance First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Insurance [Member] | | Insurance [Member] | |
Amortized Cost | | $ 9,436,116 | [2] | $ 10,876,616 | [5],[6] |
Fair Value | | $ 9,669,179 | [2] | $ 11,118,883 | [5],[6] |
Percentage of investment portfolio | | 4.09% | [2] | 5.02% | [5],[6] |
Investment, Identifier [Axis]: Invenergy Thermal Operating I LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.92% Due 8/14/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Invenergy Thermal Operating ILLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.92% | |
Maturity Date | [5],[6],[11] | | | Aug. 14, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,807,143 | |
Amortized Cost | [5],[6],[11] | | | 2,752,178 | |
Fair Value | [5],[6],[11] | | | $ 2,803,634 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.27% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.50% | |
Investment, Identifier [Axis]: Investments And Cash Equivalents | | | | | |
Investments [Abstract] | | | | | |
Amortized Cost | | $ 478,995,554 | [2] | $ 414,697,059 | [5] |
Fair Value | | $ 486,388,616 | [2] | $ 421,852,264 | [5] |
Percentage of investment portfolio | | 205.44% | [2] | 190.35% | [5] |
Investment, Identifier [Axis]: Investments Portfolio | | | | | |
Investments [Abstract] | | | | | |
Amortized Cost | | $ 397,318,141 | [2],[9] | $ 345,223,315 | [5] |
Fair Value | | $ 404,711,203 | [2],[9] | $ 352,378,520 | [5] |
Percentage of investment portfolio | | 170.94% | [2],[9] | 159% | [5] |
Investment, Identifier [Axis]: Investments-Non-Controlled/Non-Affiliated | | | | | |
Investments [Abstract] | | | | | |
Amortized Cost | | $ 397,318,141 | [2],[9] | $ 345,223,315 | [5],[6] |
Fair Value | | $ 404,711,203 | [2],[9] | $ 352,378,520 | [5],[6] |
Percentage of investment portfolio | | 170.94% | [2],[9] | 159% | [5],[6] |
Investment, Identifier [Axis]: J-O Building Company LLC First and Second Lien Debt SOFR Spread 6.75% Interest Rate 12.10% Due 5/25/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | JO Building Company LLC Member | | | |
Interest Rate | [1],[2],[8],[10] | 12.10% | | | |
Maturity Date | [2],[8],[10] | May 25, 2028 | | | |
Par Amount/ Units | [2],[3],[8],[10] | $ 12,885,649 | | | |
Amortized Cost | [2],[8],[10] | 12,715,421 | | | |
Fair Value | [2],[8],[10] | $ 12,982,291 | | | |
Percentage of investment portfolio | [2],[8],[10] | 5.48% | | | |
Basis spread on variable rate | [1],[2],[8],[10] | 6.75% | | | |
Investment, Identifier [Axis]: J-O Building Company LLC First and Second Lien Debt SOFR Spread 6.75% Interest Rate 12.14% Due 5/25/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | JO Building Company LLC Member | |
Interest Rate | [4],[5],[6],[11],[14] | | | 12.14% | |
Maturity Date | [5],[6],[11],[14] | | | May 25, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 13,883,430 | |
Amortized Cost | [5],[6],[11],[14] | | | 13,691,583 | |
Fair Value | [5],[6],[11],[14] | | | $ 13,866,076 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 6.26% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 6.75% | |
Investment, Identifier [Axis]: Journey Personal Care Corp. First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.72% Due 3/1/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Journey Personal Care Corp Member | |
Interest Rate | [4],[5],[6],[16] | | | 9.72% | |
Maturity Date | [5],[6],[16] | | | Mar. 01, 2028 | |
Par Amount/ Units | [5],[6],[7],[16] | | | $ 5,006,986 | |
Amortized Cost | [5],[6],[16] | | | 4,649,291 | |
Fair Value | [5],[6],[16] | | | $ 4,927,725 | |
Percentage of investment portfolio | [5],[6],[16] | | | 2.22% | |
Basis spread on variable rate | [4],[5],[6],[16] | | | 4.25% | |
Investment, Identifier [Axis]: KDC/one Development Corporation, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.33% Due 8/15/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | KDC One Development Corporation Inc Member | | | |
Interest Rate | [2],[9],[10],[18] | 10.33% | | | |
Maturity Date | [2],[9],[10],[18] | Aug. 15, 2028 | | | |
Par Amount/ Units | [2],[9],[10],[18] | $ 4,000,000 | | | |
Amortized Cost | [2],[9],[10],[18] | 3,890,761 | | | |
Fair Value | [2],[9],[10],[18] | $ 4,004,360 | | | |
Percentage of investment portfolio | [2],[9],[10],[18] | 1.69% | | | |
Basis spread on variable rate | [2],[9],[10],[18] | 5% | | | |
Investment, Identifier [Axis]: KDC/one Development Corporation, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.36% Due 8/15/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | KDC One Development Corporation Inc Member | |
Interest Rate | [4],[5],[6],[11],[19] | | | 10.36% | |
Maturity Date | [5],[6],[11],[19] | | | Aug. 15, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[19] | | | $ 4,000,000 | |
Amortized Cost | [5],[6],[11],[19] | | | 3,885,951 | |
Fair Value | [5],[6],[11],[19] | | | $ 3,954,000 | |
Percentage of investment portfolio | [5],[6],[11],[19] | | | 1.78% | |
Basis spread on variable rate | [4],[5],[6],[11],[19] | | | 5% | |
Investment, Identifier [Axis]: KKR Tinder TFC Aggregator L.P. | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | KKR Tinder TFC Aggregator LP Member | | KKR Tinder TFC Aggregator LP Member | |
Par Amount/ Units | | $ 14,792,309 | [2],[3],[8],[9] | $ 14,792,309 | [5],[6],[7],[14] |
Amortized Cost | | 14,792,309 | [2],[8],[9] | 14,792,309 | [5],[6],[14] |
Fair Value | | $ 15,715,487 | [2],[8],[9] | $ 15,559,956 | [5],[6],[14] |
Percentage of investment portfolio | | 6.64% | [2],[8],[9] | 7.02% | [5],[6],[14] |
Investment, Identifier [Axis]: Kestrel Acquisition, LLC First and Second Lien Debt SOFR 4.25% Interest Rate 9.68% Due 6/2/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Kestrel Acquisition LLC Member | | | |
Interest Rate | [1],[2],[9] | 9.68% | | | |
Maturity Date | [2],[9] | Jun. 02, 2025 | | | |
Par Amount/ Units | [2],[3],[9] | $ 1,994,036 | | | |
Amortized Cost | [2],[9] | 1,989,549 | | | |
Fair Value | [2],[9] | $ 1,983,448 | | | |
Percentage of investment portfolio | [2],[9] | 0.84% | | | |
Basis spread on variable rate | [1],[10] | 4.25% | | | |
Investment, Identifier [Axis]: Kronos Acquisition Holdings Inc. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.49% Due 12/22/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Kronos Acquisition Holdings Inc Member | | | |
Interest Rate | [1],[2],[10] | 11.49% | | | |
Maturity Date | [2],[10] | Dec. 22, 2026 | | | |
Par Amount/ Units | [2],[3],[10] | $ 2,602,177 | | | |
Amortized Cost | [2],[10] | 2,569,393 | | | |
Fair Value | [2],[10] | $ 2,605,430 | | | |
Percentage of investment portfolio | [2],[10] | 1.10% | | | |
Basis spread on variable rate | [1],[2],[10] | 6% | | | |
Investment, Identifier [Axis]: Kronos Acquisition Holdings Inc. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.54% Due 12/22/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Kronos Acquisition Holdings Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 11.54% | |
Maturity Date | [5],[6],[11] | | | Dec. 22, 2026 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,608,832 | |
Amortized Cost | [5],[6],[11] | | | 2,573,424 | |
Fair Value | [5],[6],[11] | | | $ 2,610,476 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.18% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 6% | |
Investment, Identifier [Axis]: LSF11 A5 Holdco LLC First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.68% Due 10/15/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | LSF 11 A 5 Holdco LLC Member | | | |
Interest Rate | [1],[2],[9],[10],[20] | 9.68% | | | |
Maturity Date | [2],[9],[10],[20] | Oct. 15, 2028 | | | |
Par Amount/ Units | [2],[3],[9],[10],[20] | $ 3,970,000 | | | |
Amortized Cost | [2],[9],[10],[20] | 3,909,828 | | | |
Fair Value | [2],[9],[10],[20] | $ 3,971,985 | | | |
Percentage of investment portfolio | [2],[9],[10],[20] | 1.68% | | | |
Basis spread on variable rate | [1],[2],[9],[10],[20] | 4.25% | | | |
Investment, Identifier [Axis]: LSF11 A5 Holdco LLC First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.71% Due 10/15/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | LSF 11 A 5 Holdco LLC Member | |
Interest Rate | [4],[5],[6],[11],[17] | | | 9.71% | |
Maturity Date | [5],[6],[11],[17] | | | Oct. 15, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[17] | | | $ 3,980,000 | |
Amortized Cost | [5],[6],[11],[17] | | | 3,917,098 | |
Fair Value | [5],[6],[11],[17] | | | $ 3,986,647 | |
Percentage of investment portfolio | [5],[6],[11],[17] | | | 1.80% | |
Basis spread on variable rate | [4],[5],[6],[11],[17] | | | 4.25% | |
Investment, Identifier [Axis]: LSF12 Badger Bidco LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.33% Due 8/30/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | LSF 12 Badger Bidco LLC Member | | | |
Interest Rate | [2],[9],[10] | 11.33% | | | |
Maturity Date | [2],[9],[10] | Aug. 30, 2030 | | | |
Par Amount/ Units | [2],[9],[10] | $ 2,992,500 | | | |
Amortized Cost | [2],[9],[10] | 2,928,897 | | | |
Fair Value | [2],[9],[10] | $ 2,998,126 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.27% | | | |
Basis spread on variable rate | [2],[9],[10] | 6% | | | |
Investment, Identifier [Axis]: LSF12 Badger Bidco LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.36% Due 8/30/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | LSF 12 Badger Bidco LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 11.36% | |
Maturity Date | [5],[6],[11] | | | Aug. 30, 2030 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 3,000,000 | |
Amortized Cost | [5],[6],[11] | | | 2,934,606 | |
Fair Value | [5],[6],[11] | | | $ 2,985,000 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.35% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 6% | |
Investment, Identifier [Axis]: Lackawanna Energy Center LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.33% Due 8/3/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Lackawanna Energy Center LLC Member | | | |
Interest Rate | [1],[2],[9],[10] | 10.33% | | | |
Maturity Date | [2],[9],[10] | Aug. 03, 2029 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 4,089,879 | | | |
Amortized Cost | [2],[9],[10] | 3,977,342 | | | |
Fair Value | [2],[9],[10] | $ 4,062,599 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.72% | | | |
Basis spread on variable rate | [1],[10] | 5% | | | |
Investment, Identifier [Axis]: Lackawanna Energy Center LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.33% Due 8/6/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Lackawanna Energy Center LLC Member | | | |
Interest Rate | [1],[2],[9],[10] | 10.33% | | | |
Maturity Date | [2],[9],[10] | Aug. 06, 2029 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 889,518 | | | |
Amortized Cost | [2],[9],[10] | 865,042 | | | |
Fair Value | [2],[9],[10] | $ 883,584 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.37% | | | |
Basis spread on variable rate | [1],[10] | 5% | | | |
Investment, Identifier [Axis]: Lackawanna Energy Center LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.36% Due 8/3/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Lackawanna Energy Center LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.36% | |
Maturity Date | [5],[6],[11] | | | Aug. 03, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 4,100,181 | |
Amortized Cost | [5],[6],[11] | | | 3,983,506 | |
Fair Value | [5],[6],[11] | | | $ 4,045,525 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.83% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Lackawanna Energy Center LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.36% Due 8/6/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Lackawanna Energy Center LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.36% | |
Maturity Date | [5],[6],[11] | | | Aug. 06, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 889,518 | |
Amortized Cost | [5],[6],[11] | | | 864,204 | |
Fair Value | [5],[6],[11] | | | $ 877,660 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.40% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: LaserShip, Inc. First and Second Lien Debt SOFR Spread 4.50% Interest Rate 10.40% Due 5/7/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Laser Ship Inc Member | | Laser Ship Inc Member | |
Interest Rate | | 10.40% | [1],[2],[9],[10] | 10.40% | [4],[5],[6],[11] |
Maturity Date | | May 07, 2028 | [2],[9],[10] | May 07, 2028 | [5],[6],[11] |
Par Amount/ Units | | $ 2,002,980 | [2],[3],[9],[10] | $ 2,008,116 | [5],[6],[7],[11] |
Amortized Cost | | 1,809,366 | [2],[9],[10] | 1,805,022 | [5],[6],[11] |
Fair Value | | $ 1,861,770 | [2],[9],[10] | $ 1,839,092 | [5],[6],[11] |
Percentage of investment portfolio | | 0.79% | [2],[9],[10] | 0.83% | [5],[6],[11] |
Basis spread on variable rate | | 4.50% | [1],[2],[9],[10] | 4.50% | [4],[5],[6],[11] |
Investment, Identifier [Axis]: Leisure Products First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Leisure Products [Member] | | Leisure Products [Member] | |
Amortized Cost | | $ 1,896,293 | [2] | $ 1,894,763 | [5],[6] |
Fair Value | | $ 1,984,890 | [2] | $ 1,968,445 | [5],[6] |
Percentage of investment portfolio | | 0.84% | [2] | 0.89% | [5],[6] |
Investment, Identifier [Axis]: Liabilities in Excess of Other Assets | | | | | |
Investments [Abstract] | | | | | |
Fair Value | | $ (249,616,063) | [2] | $ (200,236,344) | [5] |
Percentage of investment portfolio | | (105.44%) | [2] | (90.35%) | [5] |
Investment, Identifier [Axis]: Limetree Bay Terminals, LLC First and Second Lien Debt SOFR Spread 4.50%/1% PIK Interest Rate 9.81% Due 12/11/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Limetree Bay Terminals, LLC [Member] | | | |
Interest Rate | [2],[8],[9] | 9.81% | | | |
Maturity Date | [2],[8],[9] | Dec. 11, 2026 | | | |
Par Amount/ Units | [2],[8],[9] | $ 23,097,426 | | | |
Amortized Cost | [2],[8],[9] | 22,142,576 | | | |
Fair Value | [2],[8],[9] | $ 22,101,927 | | | |
Percentage of investment portfolio | [2],[8],[9] | 9.33% | | | |
Basis spread on variable rate | [2],[8],[9] | 4.50% | | | |
Reference rate, PIK | [2],[8],[9] | 1% | | | |
Investment, Identifier [Axis]: Limetree Bay Terminals, LLC First and Second Lien Debt SOFR Spread 6.50%/2% PIK Interest Rate 11.81% Due 2/12/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Limetree Bay Terminals, LLC [Member] | | | |
Interest Rate | [2],[8],[9] | 11.81% | | | |
Maturity Date | [2],[8],[9] | Feb. 12, 2029 | | | |
Par Amount/ Units | [2],[8],[9] | $ 10,170,000 | | | |
Amortized Cost | [2],[8],[9] | 9,920,546 | | | |
Fair Value | [2],[8],[9] | $ 9,921,852 | | | |
Percentage of investment portfolio | [2],[8],[9] | 4.19% | | | |
Basis spread on variable rate | [2],[8],[9] | 6.50% | | | |
Reference rate, PIK | [2],[8],[9] | 2% | | | |
Investment, Identifier [Axis]: Lincoln Metal Shop, Inc. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.46% Due 6/7/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Lincoln Metal Shop Inc Member | | | |
Interest Rate | [2],[8],[9],[10] | 11.46% | | | |
Maturity Date | [2],[8],[9],[10] | Jun. 07, 2027 | | | |
Par Amount/ Units | [2],[8],[9],[10] | $ 22,870,461 | | | |
Amortized Cost | [2],[8],[9],[10] | 22,492,634 | | | |
Fair Value | [2],[8],[9],[10] | $ 23,013,402 | | | |
Percentage of investment portfolio | [2],[8],[9],[10] | 9.72% | | | |
Basis spread on variable rate | [2],[8],[9],[10] | 6% | | | |
Investment, Identifier [Axis]: Lincoln Metal Shop, Inc. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.51a% Due 06/7/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | D X P Enterprises Inc [Member] | |
Interest Rate | [4],[11] | | | 1.51% | |
Maturity Date | [11] | | | Jun. 07, 2027 | |
Par Amount/ Units | [11] | | | $ 3,171,389 | |
Amortized Cost | [11] | | | 2,764,069 | |
Fair Value | [11] | | | $ 23,142,424 | |
Percentage of Net Assets | [11] | | | 10.44% | |
Basis spread on variable rate | [4],[11] | | | 6% | |
Investment, Identifier [Axis]: MEI Buyer LLC First and Second Lien Debt SOFR Spread 6.50% Due 6/29/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | MEI Buyer LLC Member | | MEI Buyer LLC Member | |
Maturity Date | | Jun. 29, 2029 | [2],[8],[9],[10],[12] | Jun. 29, 2029 | [5],[6],[11],[13],[14] |
Par Amount/ Units | | $ 2,650,602 | [2],[3],[8],[9],[10],[12] | $ 2,650,602 | [5],[6],[7],[11],[13],[14] |
Amortized Cost | | 69,363 | [2],[8],[9],[10],[12] | (23,232) | [5],[6],[11],[13],[14] |
Fair Value | | $ (71,964) | [2],[8],[9],[10],[12] | $ (26,952) | [5],[6],[11],[13],[14] |
Percentage of investment portfolio | | (0.03%) | [2],[8],[9],[10],[12] | (0.01%) | [5],[6],[11],[13],[14] |
Basis spread on variable rate | | 6.50% | [1],[8],[10],[12] | 6.50% | [4],[5],[6],[11],[13],[14] |
Investment, Identifier [Axis]: MEI Buyer LLC First and Second Lien Debt SOFR Spread 6.50% Due 6/29/2029 One | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | MEI Buyer LLC Member | | MEI Buyer LLC Member | |
Maturity Date | | Jun. 29, 2029 | [2],[8],[9],[10],[12] | Jun. 29, 2029 | [5],[6],[11],[14] |
Par Amount/ Units | | $ 2,409,639 | [2],[3],[8],[9],[10],[12] | $ 2,409,639 | [5],[6],[7],[11],[14] |
Amortized Cost | | 31,657 | [2],[8],[9],[10],[12] | (33,525) | [5],[6],[11],[14] |
Fair Value | | $ (65,422) | [2],[8],[9],[10],[12] | $ (48,313) | [5],[6],[11],[14] |
Percentage of investment portfolio | | (0.03%) | [2],[8],[9],[10],[12] | (0.02%) | [5],[6],[11],[14] |
Basis spread on variable rate | | 6.50% | [1],[8],[10],[12] | 6.50% | [4],[5],[6],[11],[14] |
Investment, Identifier [Axis]: MEI Buyer LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.83% Due 6/29/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | MEI Buyer LLC Member | | | |
Interest Rate | [1],[2],[8],[9],[10] | 11.83% | | | |
Maturity Date | [2],[8],[9],[10] | Jun. 29, 2029 | | | |
Par Amount/ Units | [2],[3],[8],[9],[10] | $ 15,145,578 | | | |
Amortized Cost | [2],[8],[9],[10] | 14,732,848 | | | |
Fair Value | [2],[8],[9],[10] | $ 14,734,376 | | | |
Percentage of investment portfolio | [2],[8],[9],[10] | 6.22% | | | |
Basis spread on variable rate | [1],[8],[10],[12] | 6.50% | | | |
Investment, Identifier [Axis]: MEI Buyer LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.86% Due 6/29/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | MEI Buyer LLC Member | |
Interest Rate | [4],[5],[6],[11],[14] | | | 11.86% | |
Maturity Date | [5],[6],[11],[14] | | | Jun. 29, 2029 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 15,183,633 | |
Amortized Cost | [5],[6],[11],[14] | | | 14,751,482 | |
Fair Value | [5],[6],[11],[14] | | | $ 14,752,721 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 6.66% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 6.50% | |
Investment, Identifier [Axis]: Machinery First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Machinery [Member] | | Machinery [Member] | |
Amortized Cost | | $ 14,885,370 | [2],[9] | $ 12,784,647 | [5],[6] |
Fair Value | | $ 15,331,494 | [2],[9] | $ 13,019,981 | [5],[6] |
Percentage of investment portfolio | | 6.48% | [2],[9] | 5.88% | [5],[6] |
Investment, Identifier [Axis]: Mckissock Investment Holdings LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.38% Due 3/12/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Mckissock Investment Holdings LLC [Member] | | Mckissock Investment Holdings LLC [Member] | |
Interest Rate | | 10.38% | [2],[9] | 10.38% | [4],[5],[6] |
Maturity Date | | Mar. 12, 2029 | [2],[9] | Mar. 12, 2029 | [5],[6] |
Par Amount/ Units | | $ 2,500,000 | [2],[9] | $ 2,500,000 | [5],[6],[7] |
Amortized Cost | | 2,440,802 | [2],[9] | 2,438,535 | [5],[6] |
Fair Value | | $ 2,504,175 | [2],[9] | $ 2,492,700 | [5],[6] |
Percentage of investment portfolio | | 1.06% | [2],[9] | 1.12% | [5],[6] |
Basis spread on variable rate | | 5% | [2],[9] | 5% | [4],[5],[6] |
Investment, Identifier [Axis]: Metals & Mining First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Metals and Mining [Member] | | Metals Mining First And Second Lien Debt Member | |
Amortized Cost | | $ 2,956,976 | [2],[9] | $ 2,963,608 | [5],[6] |
Fair Value | | $ 2,991,735 | [2],[9] | $ 3,000,909 | [5],[6] |
Percentage of investment portfolio | | 1.26% | [2],[9] | 1.35% | [5],[6] |
Investment, Identifier [Axis]: NMN Holdings III Corp First and Second Lien Debt SOFR Spread 3.50% Interest Rate 8.97% Due 11/13/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | NMN Holdings III Corp Member | |
Interest Rate | [4],[5],[6],[14] | | | 8.97% | |
Maturity Date | [5],[6],[14] | | | Nov. 13, 2025 | |
Par Amount/ Units | [5],[6],[7],[14] | | | $ 3,141,804 | |
Amortized Cost | [5],[6],[14] | | | 2,916,393 | |
Fair Value | [5],[6],[14] | | | $ 3,086,823 | |
Percentage of investment portfolio | [5],[6],[14] | | | 1.39% | |
Basis spread on variable rate | [4],[5],[6],[14] | | | 3.50% | |
Investment, Identifier [Axis]: NMN Holdings III Corp. First and Second Lien Debt SOFR Spread 3.50% Interest Rate 8.94% Due 11/13/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | AVSC Holding Corp Member | | | |
Interest Rate | [1],[2],[9] | 8.94% | | | |
Maturity Date | [2],[9] | Nov. 13, 2025 | | | |
Par Amount/ Units | [2],[3],[9] | $ 1,348,442 | | | |
Amortized Cost | [2],[9] | 1,282,551 | | | |
Fair Value | [2],[9] | $ 1,324,844 | | | |
Percentage of investment portfolio | [2],[9] | 0.56% | | | |
Basis spread on variable rate | [1] | 3.50% | | | |
Investment, Identifier [Axis]: NMN Holdings III Corp. First and Second Lien Debt SOFR Spread 3.50% Interest Rate 9.20% Due 11/13/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | AVSC Holding Corp Member | | | |
Interest Rate | [1],[2] | 8.94% | | | |
Maturity Date | [2] | Nov. 13, 2025 | | | |
Par Amount/ Units | [2],[3] | $ 289,393 | | | |
Amortized Cost | [2] | 274,328 | | | |
Fair Value | [2] | $ 284,329 | | | |
Percentage of investment portfolio | [2] | 0.12% | | | |
Basis spread on variable rate | [1] | 3.50% | | | |
Investment, Identifier [Axis]: Neptune Bidco US Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.42% Due 4/11/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Neptune Bidco US Inc Member | | | |
Interest Rate | [1],[2],[10] | 10.42% | | | |
Maturity Date | [2],[10] | Apr. 11, 2029 | | | |
Par Amount/ Units | [2],[3],[10] | $ 5,260,250 | | | |
Amortized Cost | [2],[10] | 4,877,448 | | | |
Fair Value | [2],[10] | $ 4,843,007 | | | |
Percentage of investment portfolio | [2],[10] | 2.05% | | | |
Basis spread on variable rate | [1],[2],[10] | 5% | | | |
Investment, Identifier [Axis]: Neptune Bidco US Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.51% Due 4/11/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Neptune Bidco US Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.51% | |
Maturity Date | [5],[6],[11] | | | Apr. 11, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 5,273,500 | |
Amortized Cost | [5],[6],[11] | | | 4,876,118 | |
Fair Value | [5],[6],[11] | | | $ 4,805,477 | |
Percentage of investment portfolio | [5],[6],[11] | | | 2.17% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Net Assets | | | | | |
Investments [Abstract] | | | | | |
Fair Value | [2] | $ 236,772,553 | | | |
Percentage of investment portfolio | [2] | 100% | | | |
Net Assets | [5] | | | $ 221,615,920 | |
Percentage of Net Assets | [5] | | | 100% | |
Investment, Identifier [Axis]: Nielsen Consumer Inc. First and Second Lien Debt SOFR Spread 6.25% Interest Rate 11.58% Due 3/6/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Nielsen Consumer Inc Member | | | |
Interest Rate | [1],[2],[10],[20] | 11.58% | | | |
Maturity Date | [2],[10],[20] | Mar. 06, 2028 | | | |
Par Amount/ Units | [2],[3],[10],[20] | $ 3,970,000 | | | |
Amortized Cost | [2],[10],[20] | 3,585,716 | | | |
Fair Value | [2],[10],[20] | $ 3,941,456 | | | |
Percentage of investment portfolio | [2],[10],[20] | 1.66% | | | |
Basis spread on variable rate | [1],[2],[10],[20] | 6.25% | | | |
Investment, Identifier [Axis]: Nielsen Consumer Inc. First and Second Lien Debt SOFR Spread 6.25% Interest Rate 11.61% Due 3/6/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Nielsen Consumer Inc Member | |
Interest Rate | [4],[5],[6],[11],[17] | | | 11.61% | |
Maturity Date | [5],[6],[11],[17] | | | Mar. 06, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[17] | | | $ 3,980,000 | |
Amortized Cost | [5],[6],[11],[17] | | | 3,576,958 | |
Fair Value | [5],[6],[11],[17] | | | $ 3,887,465 | |
Percentage of investment portfolio | [5],[6],[11],[17] | | | 1.75% | |
Basis spread on variable rate | [4],[5],[6],[11],[17] | | | 6.25% | |
Investment, Identifier [Axis]: Non-qualifying Assets | | | | | |
Investments [Abstract] | | | | | |
Percentage of investment portfolio | | 1.58% | | 2.17% | |
Investment, Identifier [Axis]: Odyssey Logistics & Technology Corporation First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.83% Due 10/12/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Odyssey Logistics And Technology Corporation [Member] | | | |
Interest Rate | [1],[2],[10] | 9.83% | | | |
Maturity Date | [2],[10] | Oct. 12, 2027 | | | |
Par Amount/ Units | [2],[3],[10] | $ 995,000 | | | |
Amortized Cost | [2],[10] | 977,772 | | | |
Fair Value | [2],[10] | $ 993,637 | | | |
Percentage of investment portfolio | [2],[10] | 0.42% | | | |
Basis spread on variable rate | [1],[10] | 4.50% | | | |
Investment, Identifier [Axis]: Odyssey Logistics & Technology Corporation First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.86% Due 10/12/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Odyssey Logistics And Technology Corporation [Member] | |
Interest Rate | [4],[5],[6],[11] | | | 9.86% | |
Maturity Date | [5],[6],[11] | | | Oct. 12, 2027 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 997,500 | |
Amortized Cost | [5],[6],[11] | | | 979,241 | |
Fair Value | [5],[6],[11] | | | $ 987,944 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.45% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.50% | |
Investment, Identifier [Axis]: Oil, Gas & Consumable Fuels First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Oil Gas And Consumable Fuels [Member] | | | |
Amortized Cost | [2],[9] | $ 32,063,122 | | | |
Fair Value | [2],[9] | $ 32,023,779 | | | |
Percentage of investment portfolio | [2],[9] | 13.52% | | | |
Investment, Identifier [Axis]: Oscar AcquisitionCo, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.90% Due 4/29/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Oscar Acquisition Co LLC Member | | | |
Interest Rate | [1],[2],[9],[10] | 9.90% | | | |
Maturity Date | [2],[9],[10] | Apr. 29, 2029 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 1,733,672 | | | |
Amortized Cost | [2],[9],[10] | 1,689,346 | | | |
Fair Value | [2],[9],[10] | $ 1,736,931 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.73% | | | |
Basis spread on variable rate | [1],[2],[9],[10] | 4.50% | | | |
Investment, Identifier [Axis]: Oscar AcquisitionCo, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.95% Due 4/29/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Oscar Acquisition Co LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.95% | |
Maturity Date | [5],[6],[11] | | | Apr. 29, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,738,072 | |
Amortized Cost | [5],[6],[11] | | | 1,691,987 | |
Fair Value | [5],[6],[11] | | | $ 1,718,518 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.78% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.50% | |
Investment, Identifier [Axis]: PAI Holdco, Inc. First and Second Lien Debt SOFR Spread 3.75% Interest Rate 9.39% Due 10/28/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | PAI Holdco Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.39% | |
Maturity Date | [5],[6],[11] | | | Oct. 28, 2027 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,488,520 | |
Amortized Cost | [5],[6],[11] | | | 1,420,416 | |
Fair Value | [5],[6],[11] | | | $ 1,385,261 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.63% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 3.75% | |
Investment, Identifier [Axis]: Parkway Generation, LLC First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.32% Due 2/18/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Heritage-Crystal Clean, Inc [Member] | | | |
Interest Rate | [1],[2],[9] | 10.32% | | | |
Maturity Date | [2],[9] | Feb. 18, 2029 | | | |
Par Amount/ Units | [2],[3],[9] | $ 872,906 | | | |
Amortized Cost | [2],[9] | 848,083 | | | |
Fair Value | [2],[9] | $ 869,632 | | | |
Percentage of investment portfolio | [2],[9] | 0.37% | | | |
Basis spread on variable rate | [1] | 4.75% | | | |
Investment, Identifier [Axis]: Parkway Generation, LLC First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.39% Due 2/18/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Parkway Generation LLC Member | |
Interest Rate | | 10.32% | [1],[2] | 10.39% | [4],[5],[6] |
Maturity Date | | Feb. 18, 2029 | [2] | Feb. 18, 2029 | [5],[6] |
Par Amount/ Units | | $ 115,960 | [2],[3] | $ 991,093 | [5],[6],[7] |
Amortized Cost | | 112,665 | [2] | 961,834 | [5],[6] |
Fair Value | | $ 115,525 | [2] | $ 951,271 | [5],[6] |
Percentage of investment portfolio | | 0.05% | [2] | 0.43% | [5],[6] |
Basis spread on variable rate | | 4.75% | [1] | 4.75% | [4],[5],[6] |
Investment, Identifier [Axis]: Parkway Generation, LLC First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.39% Due 2/18/2029 One | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Heritage-Crystal Clean, Inc [Member] | | | |
Investment, Identifier [Axis]: Particle Investments S.a.r.l. First and Second Lien Debt LIBOR Spread 5.25% Interest Rate 10.72% Due 5/24/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Particle Investments SARL Member | |
Interest Rate | [4],[5],[6],[17],[21] | | | 10.72% | |
Maturity Date | [5],[6],[17],[21] | | | May 24, 2027 | |
Par Amount/ Units | [5],[6],[7],[17],[21] | | | $ 989,080 | |
Amortized Cost | [5],[6],[17],[21] | | | 983,761 | |
Fair Value | [5],[6],[17],[21] | | | $ 984,135 | |
Percentage of investment portfolio | [5],[6],[17],[21] | | | 0.44% | |
Basis spread on variable rate | [4],[5],[6],[17],[21] | | | 5.25% | |
Investment, Identifier [Axis]: Patriot Container Corp First and Second Lien Debt SOFR Spread 3.75% Interest Rate 9.21% Due 3/20/2025 | | | | | |
Investments [Abstract] | | | | | |
Basis spread on variable rate | [4] | | | 3.75% | |
Investment, Identifier [Axis]: Patriot Container Corp. First and Second Lien Debt SOFR Spread 3.75% Interest Rate 9.18% Due 3/20/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Patriot Container Corp Member | | | |
Interest Rate | [2],[9],[10] | 9.18% | | | |
Maturity Date | [2],[9],[10] | Mar. 20, 2025 | | | |
Par Amount/ Units | [2],[9],[10] | $ 2,965,824 | | | |
Amortized Cost | [2],[9],[10] | 2,842,767 | | | |
Fair Value | [2],[9],[10] | $ 2,868,367 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.21% | | | |
Basis spread on variable rate | [2],[9],[10] | 3.75% | | | |
Investment, Identifier [Axis]: Pediatric Associates Holding Company, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.94% Due 12/29/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Pediatric Associates Holding Company LLC Member | | | |
Interest Rate | [1],[2],[10] | 9.94% | | | |
Maturity Date | [2],[10] | Dec. 29, 2028 | | | |
Par Amount/ Units | [2],[3],[10] | $ 992,500 | | | |
Amortized Cost | [2],[10] | 957,323 | | | |
Fair Value | [2],[10] | $ 853,550 | | | |
Percentage of investment portfolio | [2],[10] | 0.36% | | | |
Basis spread on variable rate | [1],[2],[10] | 4.50% | | | |
Investment, Identifier [Axis]: Pediatric Associates Holding Company, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.97% Due 12/29/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Pediatric Associates Holding Company LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.97% | |
Maturity Date | [5],[6],[11] | | | Dec. 29, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 995,000 | |
Amortized Cost | [5],[6],[11] | | | 958,313 | |
Fair Value | [5],[6],[11] | | | $ 960,175 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.43% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.50% | |
Investment, Identifier [Axis]: Personal Care Products First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Personal Care Products [Member] | | Personal Care Products [Member] | |
Amortized Cost | | $ 3,890,761 | [2],[9] | $ 3,885,951 | [5],[6] |
Fair Value | | $ 4,004,360 | [2],[9] | $ 22,307,217 | [5],[6] |
Percentage of investment portfolio | | 1.69% | [2],[9] | 1.78% | [5],[6] |
Investment, Identifier [Axis]: PetVet Care Centers, LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 0% Due 11/15/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Pet Vet Care Centers L L C [Member] | | | |
Interest Rate | [1],[2],[8],[10],[12] | 0% | | | |
Maturity Date | [2],[8],[10],[12] | Nov. 15, 2029 | | | |
Par Amount/ Units | [2],[3],[8],[10],[12] | $ 1,768,583 | | | |
Amortized Cost | [2],[8],[10],[12] | 33,131 | | | |
Fair Value | [2],[8],[10],[12] | $ (34,222) | | | |
Percentage of investment portfolio | [2],[8],[10],[12] | (0.01%) | | | |
Basis spread on variable rate | [1],[2],[8],[10],[12] | 6% | | | |
Investment, Identifier [Axis]: PetVet Care Centers, LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 0% Due 11/15/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Pet Vet Care Centers L L C [Member] | | | |
Interest Rate | [1],[2],[8],[10],[12] | 0% | | | |
Maturity Date | [2],[8],[10],[12] | Nov. 15, 2030 | | | |
Par Amount/ Units | [2],[3],[8],[10],[12] | $ 1,768,583 | | | |
Amortized Cost | [2],[8],[10],[12] | 16,726 | | | |
Fair Value | [2],[8],[10],[12] | $ (34,487) | | | |
Percentage of investment portfolio | [2],[8],[10],[12] | (0.01%) | | | |
Basis spread on variable rate | [1],[2],[8],[10],[12] | 6% | | | |
Investment, Identifier [Axis]: PetVet Care Centers, LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 0.00% Due 11/15/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Pet Vet Care Centers L L C [Member] | |
Interest Rate | [4],[5],[6],[11],[13],[14] | | | 0% | |
Maturity Date | [5],[6],[11],[13],[14] | | | Nov. 15, 2029 | |
Par Amount/ Units | [5],[6],[7],[11],[13],[14] | | | $ 1,768,583 | |
Amortized Cost | [5],[6],[11],[13],[14] | | | (34,430) | |
Fair Value | [5],[6],[11],[13],[14] | | | $ (34,430) | |
Percentage of investment portfolio | [5],[6],[11],[13],[14] | | | (0.02%) | |
Basis spread on variable rate | [4],[5],[6],[11],[13],[14] | | | 6% | |
Investment, Identifier [Axis]: PetVet Care Centers, LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 0.00% Due 11/15/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Pet Vet Care Centers L L C [Member] | |
Interest Rate | [4],[5],[6],[11],[13],[14] | | | 0% | |
Maturity Date | [5],[6],[11],[13],[14] | | | Nov. 15, 2030 | |
Par Amount/ Units | [5],[6],[7],[11],[13],[14] | | | $ 1,768,583 | |
Amortized Cost | [5],[6],[11],[13],[14] | | | (17,354) | |
Fair Value | [5],[6],[11],[13],[14] | | | $ (17,354) | |
Percentage of investment portfolio | [5],[6],[11],[13],[14] | | | (0.01%) | |
Basis spread on variable rate | [4],[5],[6],[11],[13],[14] | | | 6% | |
Investment, Identifier [Axis]: PetVet Care Centers, LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.33% Due 11/15/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Pet Vet Care Centers L L C [Member] | | | |
Interest Rate | [1],[2],[8],[10] | 11.33% | | | |
Maturity Date | [2],[8],[10] | Nov. 15, 2030 | | | |
Par Amount/ Units | [2],[3],[8],[10] | $ 13,525,241 | | | |
Amortized Cost | [2],[8],[10] | 13,264,649 | | | |
Fair Value | [2],[8],[10] | $ 13,262,175 | | | |
Percentage of investment portfolio | [2],[8],[10] | 5.60% | | | |
Basis spread on variable rate | [1],[2],[8],[10] | 6% | | | |
Investment, Identifier [Axis]: PetVet Care Centers, LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.36% Due 11/15/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Pet Vet Care Centers L L C [Member] | |
Interest Rate | [4],[5],[6],[11],[14] | | | 11.36% | |
Maturity Date | [5],[6],[11],[14] | | | Nov. 15, 2030 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 13,559,139 | |
Amortized Cost | [5],[6],[11],[14] | | | 13,291,418 | |
Fair Value | [5],[6],[11],[14] | | | $ 13,291,418 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 6% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 6% | |
Investment, Identifier [Axis]: Physician Partners LLC First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.53% Due 12/26/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Physician Partners LLC Member | | Physician Partners LLC Member | |
Interest Rate | | 9.53% | [1],[2],[10] | 9.53% | [4],[5],[6],[11] |
Maturity Date | | Dec. 26, 2028 | [2],[10] | Dec. 26, 2028 | [5],[6],[11] |
Par Amount/ Units | | $ 989,899 | [2],[3],[10] | $ 992,424 | [5],[6],[7],[11] |
Amortized Cost | | 942,341 | [2],[10] | 942,802 | [5],[6],[11] |
Fair Value | | $ 733,763 | [2],[10] | $ 935,360 | [5],[6],[11] |
Percentage of investment portfolio | | 0.31% | [2],[10] | 0.42% | [5],[6],[11] |
Basis spread on variable rate | | 4% | [1],[2],[10] | 4% | [4],[5],[6],[11] |
Investment, Identifier [Axis]: Potomac Energy Center, LLC First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.61% Due 11/12/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Potomac Energy Center LLC Member | |
Interest Rate | [4],[5],[6],[14] | | | 11.61% | |
Maturity Date | [5],[6],[14] | | | Nov. 12, 2026 | |
Par Amount/ Units | [5],[6],[7],[14] | | | $ 12,513,956 | |
Amortized Cost | [5],[6],[14] | | | 11,764,326 | |
Fair Value | [5],[6],[14] | | | $ 11,811,458 | |
Percentage of investment portfolio | [5],[6],[14] | | | 5.33% | |
Basis spread on variable rate | [4],[5],[6],[14] | | | 6% | |
Investment, Identifier [Axis]: Pretium Packaging,LLC First and Second Lien Debt SOFR Spread 4.60% Interest Rate 9.99% Due 10/02/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Pretium Packaging, LLC [Member] | |
Interest Rate | [4],[5],[6] | | | 9.99% | |
Maturity Date | [5],[6] | | | Oct. 02, 2028 | |
Par Amount/ Units | [5],[6],[7] | | | $ 1,860,170 | |
Amortized Cost | [5],[6] | | | 1,656,502 | |
Fair Value | [5],[6] | | | $ 1,444,738 | |
Percentage of investment portfolio | [5],[6] | | | 0.65% | |
Basis spread on variable rate | [4],[5],[6] | | | 4.60% | |
Investment, Identifier [Axis]: Pretium Packaging,LLC First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.39% Due 10/02/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Pretium Packaging, LLC [Member] | |
Interest Rate | [4],[5],[6],[11] | | | 10.39% | |
Maturity Date | [5],[6],[11] | | | Oct. 02, 2028 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 498,028 | |
Amortized Cost | [5],[6],[11] | | | 485,969 | |
Fair Value | [5],[6],[11] | | | $ 487,136 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.22% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Professional Services First and Second Lien | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Professional Services [Member] | |
Investment, Identifier [Axis]: Professional Services First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Professional Services [Member] | | | |
Amortized Cost | | $ 22,877,943 | [2],[9] | $ 22,248,545 | [5],[6] |
Fair Value | | $ 22,958,816 | [2],[9] | $ 3,954,000 | [5],[6] |
Percentage of investment portfolio | | 9.69% | [2],[9] | 10.07% | [5],[6] |
Investment, Identifier [Axis]: RSC Acquisition, Inc. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.30% Due 11/1/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | RSC Acquisition Inc Member | | | |
Interest Rate | [1],[2],[8],[12] | 11.30% | | | |
Maturity Date | [2],[8],[12] | Nov. 01, 2029 | | | |
Par Amount/ Units | [2],[3],[8],[12] | $ 1,996,889 | | | |
Amortized Cost | [2],[8],[12] | 845,662 | | | |
Fair Value | [2],[8],[12] | $ 889,731 | | | |
Percentage of investment portfolio | [2],[8],[12] | 0.38% | | | |
Basis spread on variable rate | [1],[2],[8],[12] | 6% | | | |
Investment, Identifier [Axis]: RSC Acquisition, Inc. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.35% Due 11/1/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | RSC Acquisition Inc Member | |
Interest Rate | [4],[5],[6],[14] | | | 11.35% | |
Maturity Date | [5],[6],[14] | | | Nov. 01, 2029 | |
Par Amount/ Units | [5],[6],[7],[14] | | | $ 250,000 | |
Amortized Cost | [5],[6],[14] | | | 246,576 | |
Fair Value | [5],[6],[14] | | | $ 247,500 | |
Percentage of investment portfolio | [5],[6],[14] | | | 0.11% | |
Basis spread on variable rate | [4],[5],[6],[14] | | | 6% | |
Investment, Identifier [Axis]: RSC Acquisition, Inc. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.39% Due 11/1/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | RSC Acquisition Inc Member | |
Interest Rate | [4],[5],[6],[13],[14] | | | 11.39% | |
Maturity Date | [5],[6],[13],[14] | | | Nov. 01, 2029 | |
Par Amount/ Units | [5],[6],[7],[13],[14] | | | $ 1,750,000 | |
Amortized Cost | [5],[6],[13],[14] | | | 88,311 | |
Fair Value | [5],[6],[13],[14] | | | $ 93,928 | |
Percentage of investment portfolio | [5],[6],[13],[14] | | | 0.04% | |
Basis spread on variable rate | [4],[5],[6],[13],[14] | | | 6% | |
Investment, Identifier [Axis]: Ranger Holdco Spe LLC First and Second Lien Debt PIK 15.00% Interest Rate 15.00% Due 8/8/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Ranger Holdco Spe LLC Member | |
Interest Rate | [4],[5],[6],[14] | | | 15% | |
Maturity Date | [5],[6],[14] | | | Aug. 08, 2028 | |
Par Amount/ Units | [5],[6],[7],[14] | | | $ 17,775,581 | |
Amortized Cost | [5],[6],[14] | | | 16,498,048 | |
Fair Value | [5],[6],[14] | | | $ 19,050,076 | |
Percentage of investment portfolio | [5],[6],[14] | | | 8.60% | |
Reference rate, PIK | [4],[5],[6],[14] | | | 15% | |
Investment, Identifier [Axis]: Ranger Holdco Spe LLC First and Second Lien Debt SOFR Spread 15.00% Interest Rate 15% Due 8/8/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Ranger Holdco Spe LLC Member | | | |
Interest Rate | [1],[2],[8] | 15% | | | |
Maturity Date | [2],[8] | Aug. 08, 2028 | | | |
Par Amount/ Units | [2],[3],[8] | $ 18,456,979 | | | |
Amortized Cost | [2],[8] | 17,293,298 | | | |
Fair Value | [2],[8] | $ 19,803,415 | | | |
Percentage of investment portfolio | [2],[8] | 8.36% | | | |
Basis spread on variable rate | [1],[2],[8] | 15% | | | |
Investment, Identifier [Axis]: Ratriot Container Corp First and Second Lien Debt SOFR Spread 3.75% Interest Rate 9.21% Due 3/20/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Pet Vet Care Centers L L C [Member] | |
Interest Rate | [4],[5],[6],[11],[14] | | | 9.21% | |
Maturity Date | [5],[6],[11],[14] | | | Mar. 20, 2025 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 2,973,712 | |
Amortized Cost | [5],[6],[11],[14] | | | 2,821,296 | |
Fair Value | [5],[6],[11],[14] | | | $ 2,842,988 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 1.28% | |
Investment, Identifier [Axis]: Recess Holdings, Inc. First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.39% Due 3/29/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Recess Holdings Inc Member | |
Interest Rate | [4],[5],[6],[11],[14] | | | 9.39% | |
Maturity Date | [5],[6],[11],[14] | | | Mar. 29, 2027 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 1,995,000 | |
Amortized Cost | [5],[6],[11],[14] | | | 1,976,689 | |
Fair Value | [5],[6],[11],[14] | | | $ 2,004,975 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 0.90% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 4% | |
Investment, Identifier [Axis]: Recess Holdings, Inc. First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.84% Due 3/29/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Recess Holdings Inc Member | | | |
Interest Rate | [1],[2],[8],[9],[10] | 9.84% | | | |
Maturity Date | [2],[8],[9],[10] | Mar. 29, 2027 | | | |
Par Amount/ Units | [2],[3],[8],[9],[10] | $ 3,000,000 | | | |
Amortized Cost | [2],[8],[9],[10] | 2,955,574 | | | |
Fair Value | [2],[8],[9],[10] | $ 3,009,390 | | | |
Percentage of investment portfolio | [2],[8],[9],[10] | 1.27% | | | |
Basis spread on variable rate | [1],[2],[8],[9],[10] | 4% | | | |
Investment, Identifier [Axis]: RelaDyne Inc First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.61% Due 12/22/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Pet Vet Care Centers L L C [Member] | |
Interest Rate | [4],[5],[6],[11],[13],[14] | | | 9.61% | |
Maturity Date | [5],[6],[11],[13],[14] | | | Dec. 22, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[13],[14] | | | $ 1,984,848 | |
Amortized Cost | [5],[6],[11],[13],[14] | | | 1,919,948 | |
Fair Value | [5],[6],[11],[13],[14] | | | $ 1,973,694 | |
Percentage of investment portfolio | [5],[6],[11],[13],[14] | | | 0.89% | |
Basis spread on variable rate | [4] | | | 4.25% | |
Investment, Identifier [Axis]: RelaDyne Inc First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.36% Due 12/22/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Pet Vet Care Centers L L C [Member] | |
Interest Rate | [4],[5],[6],[11],[13],[14] | | | 10.36% | |
Maturity Date | [5],[6],[11],[13],[14] | | | Dec. 22, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[13],[14] | | | $ 1,990,000 | |
Amortized Cost | [5],[6],[11],[13],[14] | | | 1,899,814 | |
Fair Value | [5],[6],[11],[13],[14] | | | $ 1,985,025 | |
Percentage of investment portfolio | [5],[6],[11],[13],[14] | | | 0.90% | |
Basis spread on variable rate | [4] | | | 5% | |
Investment, Identifier [Axis]: RelaDyne Inc. First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.58% Due 12/22/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Rela Dyne Inc Member | | | |
Interest Rate | [2],[9],[10] | 9.58% | | | |
Maturity Date | [2],[9],[10] | Dec. 22, 2028 | | | |
Par Amount/ Units | [2],[9],[10] | $ 1,979,798 | | | |
Amortized Cost | [2],[9],[10] | 1,917,617 | | | |
Fair Value | [2],[9],[10] | $ 1,979,798 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.84% | | | |
Basis spread on variable rate | [2],[9],[10] | 4.25% | | | |
Investment, Identifier [Axis]: RelaDyne Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.33% Due 12/22/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Rela Dyne Inc Member | | | |
Interest Rate | [2],[9],[10] | 10.33% | | | |
Maturity Date | [2],[9],[10] | Dec. 22, 2028 | | | |
Par Amount/ Units | [2],[9],[10] | $ 1,990,000 | | | |
Amortized Cost | [2],[9],[10] | 1,903,281 | | | |
Fair Value | [2],[9],[10] | $ 1,992,488 | | | |
Percentage of investment portfolio | [2],[9],[10] | 0.84% | | | |
Basis spread on variable rate | [2],[9],[10] | 5% | | | |
Investment, Identifier [Axis]: Renaissance Holding Corp. First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.11% Due 4/5/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Renaissance Holding Corp Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.11% | |
Maturity Date | [5],[6],[11] | | | Apr. 05, 2030 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 4,920,617 | |
Amortized Cost | [5],[6],[11] | | | 4,796,646 | |
Fair Value | [5],[6],[11] | | | $ 4,932,230 | |
Percentage of investment portfolio | [5],[6],[11] | | | 2.23% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.75% | |
Investment, Identifier [Axis]: Ryan, LLC First and Second Lien Debt SOFR Spread 4.50% Due 11/14/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Ryan L L C [Member] | |
Maturity Date | [5],[6],[13] | | | Nov. 14, 2030 | |
Par Amount/ Units | [5],[6],[7],[13] | | | $ 190,476 | |
Fair Value | [5],[6],[13] | | | $ 417 | |
Percentage of investment portfolio | [5],[6],[13] | | | 0% | |
Basis spread on variable rate | [4],[5],[6],[13] | | | 4.50% | |
Investment, Identifier [Axis]: Ryan, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 0% Due 11/14/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Ryan L L C [Member] | | | |
Interest Rate | [1],[2],[12] | 0% | | | |
Maturity Date | [2],[12] | Nov. 14, 2030 | | | |
Par Amount/ Units | [2],[3],[12] | $ 190,476 | | | |
Fair Value | [2],[12] | $ 835 | | | |
Percentage of investment portfolio | [2],[12] | 0% | | | |
Basis spread on variable rate | [1],[2],[12] | 4.50% | | | |
Investment, Identifier [Axis]: Ryan, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.83% Due 11/14/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Ryan L L C [Member] | | | |
Interest Rate | [1],[2],[12] | 9.83% | | | |
Maturity Date | [2],[12] | Nov. 14, 2030 | | | |
Par Amount/ Units | [2],[3],[12] | $ 1,809,524 | | | |
Amortized Cost | [2],[12] | 1,774,724 | | | |
Fair Value | [2],[12] | $ 1,817,450 | | | |
Percentage of investment portfolio | [2],[12] | 0.77% | | | |
Basis spread on variable rate | [1],[2],[12] | 4.50% | | | |
Investment, Identifier [Axis]: Ryan, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.86% Due 11/14/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Ryan L L C [Member] | |
Interest Rate | [4],[5],[6] | | | 9.86% | |
Maturity Date | [5],[6] | | | Nov. 14, 2030 | |
Par Amount/ Units | [5],[6],[7] | | | $ 1,809,524 | |
Amortized Cost | [5],[6] | | | 1,773,798 | |
Fair Value | [5],[6] | | | $ 1,813,487 | |
Percentage of investment portfolio | [5],[6] | | | 0.82% | |
Basis spread on variable rate | [4],[5],[6] | | | 4.50% | |
Investment, Identifier [Axis]: Sales Performance International, LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.69% Due 8/24/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Sales Performance International L L C [Member] | |
Interest Rate | [4],[5],[6],[11],[13],[14] | | | 11.69% | |
Maturity Date | [5],[6],[11],[13],[14] | | | Aug. 24, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[13],[14] | | | $ 3,030,303 | |
Amortized Cost | [5],[6],[11],[13],[14] | | | 1,274,596 | |
Fair Value | [5],[6],[11],[13],[14] | | | $ 1,274,596 | |
Percentage of investment portfolio | [5],[6],[11],[13],[14] | | | 0.58% | |
Basis spread on variable rate | [4],[5],[6],[11],[13],[14] | | | 6.50% | |
Investment, Identifier [Axis]: Sales Performance International, LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.82% Due 8/24/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Sales Performance International L L C [Member] | | | |
Interest Rate | [2],[8],[9],[10] | 11.82% | | | |
Maturity Date | [2],[8],[9],[10] | Aug. 24, 2028 | | | |
Par Amount/ Units | [2],[8],[9],[10] | $ 16,778,788 | | | |
Amortized Cost | [2],[8],[9],[10] | 16,464,205 | | | |
Fair Value | [2],[8],[9],[10] | $ 16,464,186 | | | |
Percentage of investment portfolio | [2],[8],[9],[10] | 6.95% | | | |
Basis spread on variable rate | [2],[8],[9],[10] | 6.50% | | | |
Investment, Identifier [Axis]: Sales Performance International, LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.83% Due 8/24/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Sales Performance International L L C [Member] | | | |
Interest Rate | [2],[8],[9],[10],[12] | 11.82% | | | |
Maturity Date | [2],[8],[9],[10],[12] | Aug. 24, 2028 | | | |
Par Amount/ Units | [2],[8],[9],[10],[12] | $ 3,030,303 | | | |
Amortized Cost | [2],[8],[9],[10],[12] | 671,686 | | | |
Fair Value | [2],[8],[9],[10],[12] | $ 670,455 | | | |
Percentage of investment portfolio | [2],[8],[9],[10],[12] | 0.28% | | | |
Basis spread on variable rate | [2],[8],[9],[10],[12] | 6.50% | | | |
Investment, Identifier [Axis]: Sales Performance International, LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.88% Due 8/24/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Sales Performance International L L C [Member] | |
Interest Rate | [4],[5],[6],[11],[14] | | | 11.88% | |
Maturity Date | [5],[6],[11],[14] | | | Aug. 24, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 16,884,848 | |
Amortized Cost | [5],[6],[11],[14] | | | 16,554,921 | |
Fair Value | [5],[6],[11],[14] | | | $ 16,554,921 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 7.47% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 6.50% | |
Investment, Identifier [Axis]: Simon & Schuster Inc.First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.39% Due 10/30/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Simon & Schuster Inc. [Member] | |
Interest Rate | [4],[5],[6] | | | 9.39% | |
Maturity Date | [5],[6] | | | Oct. 30, 2030 | |
Par Amount/ Units | [5],[6],[7] | | | $ 2,000,000 | |
Amortized Cost | [5],[6] | | | 1,987,774 | |
Fair Value | [5],[6] | | | $ 2,005,000 | |
Percentage of investment portfolio | [5],[6] | | | 0.90% | |
Basis spread on variable rate | [4],[5],[6] | | | 4% | |
Investment, Identifier [Axis]: Software First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Software [Member] | | Software [Member] | |
Amortized Cost | | $ 2,285,863 | [2],[9] | $ 12,006,288 | [5],[6] |
Fair Value | | $ 2,344,032 | [2],[9] | $ 12,245,678 | [5],[6] |
Percentage of investment portfolio | | 0.99% | [2],[9] | 5.52% | [5],[6] |
Investment, Identifier [Axis]: Southern Veterinary Partners, LLC First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.44% Due 10/5/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Southern Veterinary Partners LLC Member | | | |
Interest Rate | [1],[2],[10] | 9.44% | | | |
Maturity Date | [2],[10] | Oct. 05, 2027 | | | |
Par Amount/ Units | [2],[3],[10] | $ 1,488,462 | | | |
Amortized Cost | [2],[10] | 1,481,857 | | | |
Fair Value | [2],[10] | $ 1,487,717 | | | |
Percentage of investment portfolio | [2],[10] | 0.63% | | | |
Basis spread on variable rate | [1],[2],[10] | 4% | | | |
Investment, Identifier [Axis]: Southern Veterinary Partners, LLC First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.47% Due 10/5/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Southern Veterinary Partners LLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.47% | |
Maturity Date | [5],[6],[11] | | | Oct. 05, 2027 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,492,308 | |
Amortized Cost | [5],[6],[11] | | | 1,485,297 | |
Fair Value | [5],[6],[11] | | | $ 1,485,965 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.67% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4% | |
Investment, Identifier [Axis]: Spring Education Group, Inc First and Second Lien Debt SOFR Spread 9.85% Due 10/4/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Spring Education Group Inc Member | |
Investment, Identifier [Axis]: Spring Education Group, Inc. First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.81% Due 10/4/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Spring Education Group Inc Member | | | |
Interest Rate | [1],[2],[9],[10] | 9.81% | | | |
Maturity Date | [2],[9],[10] | Oct. 04, 2030 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 3,990,000 | | | |
Amortized Cost | [2],[9],[10] | 3,942,180 | | | |
Fair Value | [2],[9],[10] | $ 4,003,965 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.69% | | | |
Basis spread on variable rate | [1],[10] | 4.50% | | | |
Investment, Identifier [Axis]: Spring Education Group, Inc. First and Second Lien Debt SOFR Spread 9.85% Due 10/4/2030 | | | | | |
Investments [Abstract] | | | | | |
Interest Rate | [4],[5],[6],[11] | | | 9.85% | |
Maturity Date | [5],[6],[11] | | | Oct. 04, 2030 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 4,000,000 | |
Amortized Cost | [5],[6],[11] | | | 3,950,776 | |
Fair Value | [5],[6],[11] | | | $ 4,009,000 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.81% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.50% | |
Investment, Identifier [Axis]: St. Joseph Energy Center, LLC First and Second Lien Debt SOFR Spread 4.25% Interest Rate 9.71% Due 10/05/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | St Joseph Energy Center LLC Member | |
Interest Rate | [4],[5],[6],[11],[14] | | | 9.71% | |
Maturity Date | [5],[6],[11],[14] | | | Oct. 05, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 2,966,613 | |
Amortized Cost | [5],[6],[11],[14] | | | 2,881,518 | |
Fair Value | [5],[6],[11],[14] | | | $ 2,914,697 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 1.32% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 4.25% | |
Investment, Identifier [Axis]: Staples, Inc. First and Second Lien Debt LIBOR Spread 4.50% Interest Rate 9.96% Due 9/12/2024 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Staples Inc Member | |
Interest Rate | [4],[5],[6] | | | 9.96% | |
Maturity Date | [5],[6] | | | Sep. 12, 2024 | |
Par Amount/ Units | [5],[6],[7] | | | $ 997,389 | |
Amortized Cost | [5],[6] | | | 993,762 | |
Fair Value | [5],[6] | | | $ 996,142 | |
Percentage of investment portfolio | [5],[6] | | | 0.45% | |
Basis spread on variable rate | [4],[5],[6] | | | 4.50% | |
Investment, Identifier [Axis]: Staples, Inc. First and Second Lien Debt LIBOR Spread 5.50% Interest Rate 10.46% Due 4/16/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Staples Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.46% | |
Maturity Date | [5],[6],[11] | | | Apr. 16, 2026 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 994,792 | |
Amortized Cost | [5],[6],[11] | | | 948,840 | |
Fair Value | [5],[6],[11] | | | $ 939,700 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.42% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Star Parent, Inc. First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.31% Due 9/27/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Star Parent Inc Member | | | |
Interest Rate | [1],[2],[9],[10] | 9.31% | | | |
Maturity Date | [2],[9],[10] | Sep. 27, 2030 | | | |
Par Amount/ Units | [2],[3],[9],[10] | $ 3,000,000 | | | |
Amortized Cost | [2],[9],[10] | 2,957,499 | | | |
Fair Value | [2],[9],[10] | $ 2,980,140 | | | |
Percentage of investment portfolio | [2],[9],[10] | 1.26% | | | |
Basis spread on variable rate | [1],[2],[9],[10] | 4% | | | |
Investment, Identifier [Axis]: Star Parent, Inc. First and Second Lien Debt SOFR Spread 4.00% Interest Rate 9.35% Due 9/27/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Star Parent Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.35% | |
Maturity Date | [5],[6],[11] | | | Sep. 27, 2030 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 5,000,000 | |
Amortized Cost | [5],[6],[11] | | | 4,927,218 | |
Fair Value | [5],[6],[11] | | | $ 4,935,400 | |
Percentage of investment portfolio | [5],[6],[11] | | | 2.23% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4% | |
Investment, Identifier [Axis]: State Street Institutional Money Market Fund | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | State Street Institutional Money Market Fund Member | | State Street Institutional Money Market Fund Member | |
Amortized Cost | | $ 81,677,413 | [2],[22] | $ 69,473,744 | [5],[21] |
Fair Value | | $ 81,677,413 | [2],[22] | $ 69,473,744 | [5],[21] |
Percentage of investment portfolio | | 34.50% | [2],[22] | 31.35% | [5],[21] |
Investment, Identifier [Axis]: TGG TS Acquisition Company First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.97% Due 12/14/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | TGGTS Acquisition Company Member | |
Interest Rate | [4],[5],[6],[11] | | | 11.97% | |
Maturity Date | [5],[6],[11] | | | Dec. 14, 2025 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,163,697 | |
Amortized Cost | [5],[6],[11] | | | 1,162,703 | |
Fair Value | [5],[6],[11] | | | $ 1,114,240 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.50% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 6.50% | |
Investment, Identifier [Axis]: Tank Holding Corp Two. First and Second Lien Debt SOFR Spread 6.00%, Interest Rate 11.46% Due 3/31/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Tank Holding Corp Member | |
Interest Rate | [4],[5],[6],[11],[13],[14] | | | 11.46% | |
Maturity Date | [5],[6],[11],[13],[14] | | | Mar. 31, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[13],[14] | | | $ 1,635,981 | |
Amortized Cost | [5],[6],[11],[13],[14] | | | 530,856 | |
Fair Value | [5],[6],[11],[13],[14] | | | $ 480,337 | |
Percentage of investment portfolio | [5],[6],[11],[13],[14] | | | 0.22% | |
Basis spread on variable rate | [4],[5],[6],[11],[13],[14] | | | 6% | |
Investment, Identifier [Axis]: Tank Holding Corp. First and Second Lien Debt SOFR Spread 5.75% Interest Rate 11.18% Due 3/31/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Tank Holding Corp Member | | | |
Interest Rate | [1],[2],[8],[9],[10] | 11.18% | | | |
Maturity Date | [2],[8],[9],[10] | Mar. 31, 2028 | | | |
Par Amount/ Units | [2],[3],[8],[9],[10] | $ 992,424 | | | |
Amortized Cost | [2],[8],[9],[10] | 965,960 | | | |
Fair Value | [2],[8],[9],[10] | $ 976,923 | | | |
Percentage of investment portfolio | [2],[8],[9],[10] | 0.41% | | | |
Basis spread on variable rate | [1],[8],[10] | 5.75% | | | |
Investment, Identifier [Axis]: Tank Holding Corp. First and Second Lien Debt SOFR Spread 5.75% Interest Rate 11.21% Due 3/31/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Tank Holding Corp Member | |
Interest Rate | [4],[5],[6],[11],[14] | | | 11.21% | |
Maturity Date | [5],[6],[11],[14] | | | Mar. 31, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 994,950 | |
Amortized Cost | [5],[6],[11],[14] | | | 967,159 | |
Fair Value | [5],[6],[11],[14] | | | $ 950,177 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 0.43% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 5.75% | |
Investment, Identifier [Axis]: Tank Holding Corp. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.43% Due 3/31/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Tank Holding Corp Member | | | |
Interest Rate | [1],[2],[8],[9],[10] | 11.43% | | | |
Maturity Date | [2],[8],[9],[10] | Mar. 31, 2028 | | | |
Par Amount/ Units | [2],[3],[8],[9],[10] | $ 3,782,301 | | | |
Amortized Cost | [2],[8],[9],[10] | 3,696,033 | | | |
Fair Value | [2],[8],[9],[10] | $ 3,720,838 | | | |
Percentage of investment portfolio | [2],[8],[9],[10] | 1.57% | | | |
Basis spread on variable rate | [1],[8],[10] | 6% | | | |
Investment, Identifier [Axis]: Tank Holding Corp. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.43% Due 3/31/2028 One | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Tank Holding Corp Member | | | |
Interest Rate | [1],[2],[8],[9],[10],[12] | 11.43% | | | |
Maturity Date | [2],[8],[9],[10],[12] | Mar. 31, 2028 | | | |
Par Amount/ Units | [2],[3],[8],[9],[10],[12] | $ 1,634,139 | | | |
Amortized Cost | [2],[8],[9],[10],[12] | 713,313 | | | |
Fair Value | [2],[8],[9],[10],[12] | $ 707,037 | | | |
Percentage of investment portfolio | [2],[8],[9],[10],[12] | 0.30% | | | |
Basis spread on variable rate | [1],[8],[10],[12] | 6% | | | |
Investment, Identifier [Axis]: Tank Holding Corp. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.46% Due 3/31/2028 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Tank Holding Corp Member | |
Interest Rate | [4],[5],[6],[11],[14] | | | 11.46% | |
Maturity Date | [5],[6],[11],[14] | | | Mar. 31, 2028 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 3,791,852 | |
Amortized Cost | [5],[6],[11],[14] | | | 3,701,274 | |
Fair Value | [5],[6],[11],[14] | | | $ 3,630,698 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 1.64% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 6% | |
Investment, Identifier [Axis]: Team Services Group First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.58% Due 12/20/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Team Services Group Member | | | |
Interest Rate | [1],[2],[10] | 10.58% | | | |
Maturity Date | [2],[10] | Dec. 20, 2027 | | | |
Par Amount/ Units | [2],[3],[10] | $ 1,983,467 | | | |
Amortized Cost | [2],[10] | 1,962,214 | | | |
Fair Value | [2],[10] | $ 1,978,508 | | | |
Percentage of investment portfolio | [2],[10] | 0.84% | | | |
Basis spread on variable rate | [1],[2],[10] | 5% | | | |
Investment, Identifier [Axis]: Team Services Group First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.88% Due 12/20/2027 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Team Services Group Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.88% | |
Maturity Date | [5],[6],[11] | | | Dec. 20, 2027 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 988,579 | |
Amortized Cost | [5],[6],[11] | | | 971,239 | |
Fair Value | [5],[6],[11] | | | $ 979,316 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.44% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Teneo Holdings LLC First and Second Lien Debt SOFR Spread 4.75% Interest Rate 10.08% Due 3/13/2031 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Teneo Holdings LLC [Member] | | | |
Interest Rate | [2],[9] | 10.08% | | | |
Maturity Date | [2],[9] | Mar. 13, 2031 | | | |
Par Amount/ Units | [2],[9] | $ 1,333,333 | | | |
Amortized Cost | [2],[9] | 1,320,000 | | | |
Fair Value | [2],[9] | $ 1,335,000 | | | |
Percentage of investment portfolio | [2],[9] | 0.56% | | | |
Basis spread on variable rate | [2],[9] | 4.75% | | | |
Investment, Identifier [Axis]: Textiles, Apparel & Luxury Goods First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Textiles, Apparel And Luxury Goods [Member] | | Textiles, Apparel And Luxury Goods [Member] | |
Amortized Cost | | $ 11,238,859 | [2],[9] | $ 11,320,880 | [5],[6] |
Fair Value | | $ 11,310,530 | [2],[9] | $ 11,324,585 | [5],[6] |
Percentage of investment portfolio | | 4.78% | [2],[9] | 5.11% | [5],[6] |
Investment, Identifier [Axis]: The Action Environmental Group, Inc. First and Second Lien Debt SOFR Spread 4.50% Due 10/24/2030 | | | | | |
Investments [Abstract] | | | | | |
Maturity Date | [5],[6],[13],[14] | | | Oct. 24, 2030 | |
Par Amount/ Units | [5],[6],[7],[13],[14] | | | $ 130,435 | |
Amortized Cost | [5],[6],[13],[14] | | | (949) | |
Fair Value | [5],[6],[13],[14] | | | $ 326 | |
Percentage of investment portfolio | [5],[6],[13],[14] | | | 0% | |
Basis spread on variable rate | [4],[5],[6],[13],[14] | | | 4.50% | |
Investment, Identifier [Axis]: The Action Environmental Group, Inc. First and Second Lien Debt SOFR Spread 4.50% Interest Rate 0.00% Due 10/24/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | The Action Environmental Group, Inc. [Member] | | | |
Interest Rate | [1],[2],[8],[12] | 0% | | | |
Maturity Date | [2],[8],[12] | Oct. 24, 2030 | | | |
Par Amount/ Units | [2],[3],[8],[12] | $ 130,435 | | | |
Amortized Cost | [2],[8],[12] | $ 915 | | | |
Percentage of investment portfolio | [2],[8],[12] | 0% | | | |
Basis spread on variable rate | [1],[2],[8],[12] | 4.50% | | | |
Investment, Identifier [Axis]: The Action Environmental Group, Inc. First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.82% Due 10/24/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | The Action Environmental Group, Inc. [Member] | | | |
Interest Rate | [1],[2],[8] | 9.82% | | | |
Maturity Date | [2],[8] | Oct. 24, 2030 | | | |
Par Amount/ Units | [2],[3],[8] | $ 869,565 | | | |
Amortized Cost | [2],[8] | 857,224 | | | |
Fair Value | [2],[8] | $ 869,565 | | | |
Percentage of investment portfolio | [2],[8] | 0.37% | | | |
Basis spread on variable rate | [1],[2],[8] | 4.50% | | | |
Investment, Identifier [Axis]: The Action Environmental Group, Inc. First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.88% Due 10/24/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | The Action Environmental Group, Inc. [Member] | |
Interest Rate | [4],[5],[6],[14] | | | 9.88% | |
Maturity Date | [5],[6],[14] | | | Oct. 24, 2030 | |
Par Amount/ Units | [5],[6],[7],[14] | | | $ 869,565 | |
Amortized Cost | [5],[6],[14] | | | 856,763 | |
Fair Value | [5],[6],[14] | | | $ 871,739 | |
Percentage of investment portfolio | [5],[6],[14] | | | 0.39% | |
Basis spread on variable rate | [4],[5],[6],[14] | | | 4.50% | |
Investment, Identifier [Axis]: Total Trading Companies & Distributors First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Amortized Cost | [5],[6] | | | $ 32,973,669 | |
Fair Value | [5],[6] | | | $ 33,575,932 | |
Percentage of investment portfolio | [5],[6] | | | 15.15% | |
Investment, Identifier [Axis]: TouchTunes Interactive Networks, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.35% Due 4/2/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Touch Tunes Interactive Networks Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.35% | |
Maturity Date | [5],[6],[11] | | | Apr. 02, 2029 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 2,230,496 | |
Amortized Cost | [5],[6],[11] | | | 2,228,284 | |
Fair Value | [5],[6],[11] | | | $ 2,208,748 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: TouchTunes Interactive Networks, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.36% Due 4/2/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Touch Tunes Interactive Networks Inc Member | | | |
Interest Rate | [1],[2],[10] | 10.36% | | | |
Maturity Date | [2],[10] | Apr. 02, 2029 | | | |
Par Amount/ Units | [2],[3],[10] | $ 2,224,808 | | | |
Amortized Cost | [2],[10] | 2,222,684 | | | |
Fair Value | [2],[10] | $ 2,231,305 | | | |
Percentage of investment portfolio | [2],[10] | 0.94% | | | |
Basis spread on variable rate | [1],[2],[10] | 5% | | | |
Investment, Identifier [Axis]: Trading Companies & Distributors First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | Trading Companies And distributors [Member] | | | |
Amortized Cost | [2],[9] | $ 32,718,151 | | | |
Fair Value | [2],[9] | $ 33,477,814 | | | |
Percentage of investment portfolio | [2],[9] | 14.14% | | | |
Investment, Identifier [Axis]: Trading Companies & Distributors First and Second Lien Debt | | | | | |
Investments [Abstract] | | | | | |
Investment, Type [Extensible Enumeration] | | | | Trading Companies And distributors [Member] | |
Investment, Identifier [Axis]: Trulite Holding Corp First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.33% Due 8/1/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Trulite Holding Corp [Member] | | | |
Interest Rate | [1],[2],[8],[9] | 11.33% | | | |
Maturity Date | [2],[8],[9] | Aug. 01, 2030 | | | |
Par Amount/ Units | [2],[3],[8],[9] | $ 3,000,000 | | | |
Amortized Cost | [2],[8],[9] | 2,940,687 | | | |
Fair Value | [2],[8],[9] | $ 2,988,750 | | | |
Percentage of investment portfolio | [2],[8],[9] | 1.26% | | | |
Basis spread on variable rate | [1],[2],[8],[9] | 6% | | | |
Investment, Identifier [Axis]: USA Debusk LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.93% Due 9/8/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | USA Debusk LLC Member | | | |
Interest Rate | [1],[2],[8],[10] | 11.93% | | | |
Maturity Date | [2],[8],[10] | Sep. 08, 2026 | | | |
Par Amount/ Units | [2],[3],[8],[10] | $ 9,950,000 | | | |
Amortized Cost | [2],[8],[10] | 9,789,462 | | | |
Fair Value | [2],[8],[10] | $ 10,136,563 | | | |
Percentage of investment portfolio | [2],[8],[10] | 4.28% | | | |
Basis spread on variable rate | [1],[2],[8],[10] | 6.50% | | | |
Investment, Identifier [Axis]: USA Debusk LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.93% Due 9/8/2026 One | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | USA Debusk LLC Member | | | |
Interest Rate | [1],[2],[8],[10] | 11.93% | | | |
Maturity Date | [2],[8],[10] | Sep. 08, 2026 | | | |
Par Amount/ Units | [2],[3],[8],[10] | $ 2,992,500 | | | |
Amortized Cost | [2],[8],[10] | 2,939,369 | | | |
Fair Value | [2],[8],[10] | $ 3,048,609 | | | |
Percentage of investment portfolio | [2],[8],[10] | 1.29% | | | |
Basis spread on variable rate | [1],[2],[8],[10] | 6.50% | | | |
Investment, Identifier [Axis]: USA Debusk LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.96% Due 9/8/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | USA Debusk LLC Member | |
Interest Rate | [4],[5],[6],[11],[14] | | | 11.96% | |
Maturity Date | [5],[6],[11],[14] | | | Sep. 08, 2026 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 3,000,000 | |
Amortized Cost | [5],[6],[11],[14] | | | 2,940,662 | |
Fair Value | [5],[6],[11],[14] | | | $ 2,996,250 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 1.35% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 6.50% | |
Investment, Identifier [Axis]: USA Debusk LLC Two, First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.96% Due 9/8/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | USA Debusk LLC Member | |
Interest Rate | [4],[5],[6],[11],[14] | | | 11.96% | |
Maturity Date | [5],[6],[11],[14] | | | Sep. 08, 2026 | |
Par Amount/ Units | [5],[6],[7],[11],[14] | | | $ 9,975,000 | |
Amortized Cost | [5],[6],[11],[14] | | | 9,800,216 | |
Fair Value | [5],[6],[11],[14] | | | $ 9,962,531 | |
Percentage of investment portfolio | [5],[6],[11],[14] | | | 4.50% | |
Basis spread on variable rate | [4],[5],[6],[11],[14] | | | 6.50% | |
Investment, Identifier [Axis]: Ultimate Software Group Inc. First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.99% Due 5/4/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Ultimate Software Group Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.99% | |
Maturity Date | [5],[6],[11] | | | May 04, 2026 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,990,000 | |
Amortized Cost | [5],[6],[11] | | | 1,948,747 | |
Fair Value | [5],[6],[11] | | | $ 1,994,975 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.90% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.50% | |
Investment, Identifier [Axis]: Varsity Brands, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.44% Due 12/15/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Varsity Brands Inc Member | | | |
Interest Rate | [1],[2],[10] | 10.44% | | | |
Maturity Date | [2],[10] | Dec. 15, 2026 | | | |
Par Amount/ Units | [2],[3],[10] | $ 1,977,475 | | | |
Amortized Cost | [2],[10] | 1,896,293 | | | |
Fair Value | [2],[10] | $ 1,984,890 | | | |
Percentage of investment portfolio | [2],[10] | 0.84% | | | |
Basis spread on variable rate | [1],[2],[10] | 5% | | | |
Investment, Identifier [Axis]: Varsity Brands, Inc. First and Second Lien Debt SOFR Spread 5.00% Interest Rate 10.47% Due 12/15/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Varsity Brands Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 10.47% | |
Maturity Date | [5],[6],[11] | | | Dec. 15, 2026 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,982,481 | |
Amortized Cost | [5],[6],[11] | | | 1,894,763 | |
Fair Value | [5],[6],[11] | | | $ 1,968,445 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.89% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 5% | |
Investment, Identifier [Axis]: Voltagrid LLC First and Second Lien Debt SOFR Spread 6.50% Due 9/1/2025 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Voltagrid L L C [Member] | | | |
Maturity Date | [2],[8],[9] | Sep. 01, 2025 | | | |
Par Amount/ Units | [2],[3],[8],[9] | $ 3,453,750 | | | |
Amortized Cost | [2],[8],[9] | 65,146 | | | |
Fair Value | [2],[8],[9] | $ (132,451) | | | |
Percentage of investment portfolio | [2],[8],[9] | (0.06%) | | | |
Basis spread on variable rate | [1],[8] | 6.50% | | | |
Investment, Identifier [Axis]: Voltagrid LLC First and Second Lien Debt SOFR Spread 6.50% Interest Rate 11.94% Due 3/1/2029 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Voltagrid L L C [Member] | | | |
Interest Rate | [1],[2],[8],[9] | 11.91% | | | |
Maturity Date | [2],[8],[9] | Mar. 01, 2029 | | | |
Par Amount/ Units | [2],[3],[8],[9] | $ 34,451,156 | | | |
Amortized Cost | [2],[8],[9] | 33,090,518 | | | |
Fair Value | [2],[8],[9] | $ 33,129,954 | | | |
Percentage of investment portfolio | [2],[8],[9] | 13.99% | | | |
Basis spread on variable rate | [1],[8] | 6.50% | | | |
Investment, Identifier [Axis]: Wellness Merger Sub, Inc. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.57% Due 6/30/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | Wellness Merger Sub Inc Member | | | |
Interest Rate | [1],[2],[10] | 11.57% | | | |
Maturity Date | [2],[10] | Jun. 30, 2026 | | | |
Par Amount/ Units | [2],[3],[10] | $ 3,875,000 | | | |
Amortized Cost | [2],[10] | 3,696,022 | | | |
Fair Value | [2],[10] | $ 3,855,625 | | | |
Percentage of investment portfolio | [2],[10] | 1.63% | | | |
Basis spread on variable rate | [1],[2],[10] | 6% | | | |
Investment, Identifier [Axis]: Wellness Merger Sub, Inc. First and Second Lien Debt SOFR Spread 6.00% Interest Rate 11.61% Due 6/30/2026 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Wellness Merger Sub Inc Member | |
Interest Rate | [4],[5],[6],[11] | | | 11.61% | |
Maturity Date | [5],[6],[11] | | | Jun. 30, 2026 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 3,925,000 | |
Amortized Cost | [5],[6],[11] | | | 3,726,426 | |
Fair Value | [5],[6],[11] | | | $ 3,840,769 | |
Percentage of investment portfolio | [5],[6],[11] | | | 1.73% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 6% | |
Investment, Identifier [Axis]: Windsor Holdings III, LLC First and Second Lien Debt SOFR Spread 4.50% Interest Rate 9.84% Due 8/1/2030 | | | | | |
Investments [Abstract] | | | | | |
Investment, Issuer Name [Extensible Enumeration] | | | | Windsor Holdings IIILLC Member | |
Interest Rate | [4],[5],[6],[11] | | | 9.84% | |
Maturity Date | [5],[6],[11] | | | Aug. 01, 2030 | |
Par Amount/ Units | [5],[6],[7],[11] | | | $ 1,995,000 | |
Amortized Cost | [5],[6],[11] | | | 1,980,625 | |
Fair Value | [5],[6],[11] | | | $ 2,005,593 | |
Percentage of investment portfolio | [5],[6],[11] | | | 0.90% | |
Basis spread on variable rate | [4],[5],[6],[11] | | | 4.50% | |
| |
[1] Represents the actual interest rate for partially or fully funded debt in effect as of the reporting date. Certain investments are subject to an interest rate floor. Variable rate loans bear interest at a rate that may be determined by the larger of the floor or the reference to either LIBOR (“L”), SOFR including SOFR adjustment, if any, (“S”), SONIA (“SN”), or alternate base rate (commonly based on the U.S. Prime Rate (“P”), unless otherwise noted) at the borrower’s option, which reset periodically based on the terms of the credit agreement and S loans are typically indexed to 6 month, 3 month or 1 month L or S rates. As of March 31, 2024, rates for the 6 month, 3 month and 1 month L are 5.65 %, 5.56 %, and 5.44 %, respectively. As of March 31, 2024, 6 month, 3 month and 1 month S are 5.22 %, 5.30 % and 5.33 %, respectively. Unless otherwise indicated, issuers of debt held by the Company are domiciled in the United States. The cost represents the original cost adjusted for the amortization of discounts and premiums, as applicable, on debt investments using the effective interest method in accordance with accounting principles generally accepted in the United States of America U.S. GAAP. Represents the actual interest rate for partially or fully funded debt in effect as of the reporting date. PIK represents payment-in-kind interest that is accrued and recorded as interest income at the contractual rates, increases the loan principal on the respective capitalization dates, and is generally due at maturity. Certain investments are subject to an interest rate floor. Variable rate loans bear interest at a rate that may be determined by the larger of the floor or the reference to either LIBOR (“L”), SOFR including SOFR adjustment, if any, (“S”), SONIA (“SN”), or alternate base rate (commonly based on the U.S. Prime Rate (“P”), unless otherwise noted) at the borrower’s option, which reset periodically based on the terms of the credit agreement and S loans are typically indexed to 6 month, 3 month or 1 month L or S rates. As of December 31, 2023, rates for the 6 month, 3 month and 1 month L are 5.59 %, 5.59 %, and 5.47 %, respectively. As of December 31, 2023, 6 month, 3 month and 1 month S are 5.16 %, 5.33 % and 5.35 %, respectively. Unless otherwise indicated, issuers of debt held by the Company are domiciled in the United States. Unless otherwise indicated, issuers of debt investments held by the Company are denominated in dollars. All debt investments are income producing unless otherwise indicated. The cost represents the original cost adjusted for the amortization of discounts and premiums, as applicable, on debt investments using the effective interest method in accordance with accounting principles generally accepted in the United States of America U.S. GAAP. Investments valued using unobservable inputs (Level 3). Fair value was determined in good faith by or under the direction of the Company’s Valuation Designee, under the supervision of the Board, pursuant to the Company’s valuation policy. See Note 4, Investments and Fair Value Measurements, for details. Unless otherwise indicated, issuers of debt investments held by the Company are denominated in dollars. All debt investments are income producing unless otherwise indicated. Investment is pledged as collateral for the Secured Credit Facility. See Note 5, Borrowings, for details. Investment is pledged as collateral for the Secured Credit Facility. See Note 5, Borrowings, for details. Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion, although the investment may be subject to unused commitment fees. Negative cost and fair values are the result of the commitment being valued below par. See Note 6, Commitments and Contingencies, for details. Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion, although the investment may be subject to unused commitment fees. Negative cost and fair values are the result of the commitment being valued below par. See Note 6, Commitments and Contingencies, for details. Investments valued using unobservable inputs (Level 3). Fair value was determined in good faith by or under the direction of the Company’s Valuation Designee, under the supervision of the Board, pursuant to the Company’s valuation policy. See Note 4, Investments and Fair Value Measurements, for details. Position or portion thereof is unsettled as of March 31, 2024. Position or portion thereof unsettled as of December 31, 2023. The investment is not a qualifying asset under Section 55(a) of the 1940 Act. The Company may not acquire any non-qualifying asset unless, at the time of acquisition, qualifying assets represent at least 70% of the Company’s total assets. As of December 31, 2023, non-qualifying assets totaled 2.17 % of the Company’s total assets. The issuer of this investment is domiciled in Canada. The issuer of this investment is domiciled in Canada. The investment is not a qualifying asset under Section 55(a) of the Investment Company Act of 1940, as amended (the “1940 Act”). The Company may not acquire any non-qualifying asset unless, at the time of acquisition, qualifying assets represent at least 70% of the Company’s total assets. As of March 31, 2024, non-qualifying assets totaled 1.58 % of the Company’s total assets. The issuer of this investment is domiciled in Luxembourg. The annualized seven-day yield as of March 31, 2024 is 5.01 %. | |