Schedule of Investments - USD ($) $ in Thousands | Jun. 30, 2024 | Dec. 31, 2023 |
Investment, Identifier [Axis]: Cash Equivalents | | | | | |
Schedule of Investments [Line Items] | | | | | |
Amortized cost | [1],[2],[3],[4] | $ 15,903 | | | |
Fair Value | [1],[2],[3],[4] | $ 15,903 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5] | 18.90% | | | |
Investment, Identifier [Axis]: Cash Equivalents First American Government Obligations Fund - X Class Industry Cash Equivalents Interest Rate 5.23 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Interest Rate | [1],[2],[3],[4] | 5.23% | | | |
Principal | [1],[2],[3],[4] | $ 15,903 | | | |
Amortized cost | [1],[2],[3],[4] | 15,903 | | | |
Fair Value | [1],[2],[3],[4] | $ 15,903 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5] | 18.90% | | | |
Investment, Identifier [Axis]: Debt Investments | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | $ 67,616 | [1],[2],[3],[4] | $ 18,528 | |
Amortized cost | | 66,381 | [1],[2],[3],[4] | 18,298 | |
Fair Value | | $ 66,394 | [1],[2],[3],[4] | $ 18,281 | |
Percentage of Net Assets | | 78.70% | [1],[2],[3],[4],[5] | 66.50% | [6] |
Investment, Identifier [Axis]: Equity Investments | | | | | |
Schedule of Investments [Line Items] | | | | | |
Amortized cost | [1],[2],[3],[4] | $ 338 | | | |
Fair Value | [1],[2],[3],[4] | $ 371 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5] | 0.40% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | $ 67,616 | [1],[2],[3],[4],[7] | $ 18,528 | [8] |
Amortized cost | | 66,381 | [1],[2],[3],[4],[7] | 18,298 | [8] |
Fair Value | | $ 66,394 | [1],[2],[3],[4],[7] | $ 18,281 | [8] |
Percentage of Net Assets | | 78.70% | [1],[2],[3],[4],[5],[7] | 66.50% | [6],[8] |
Investment, Identifier [Axis]: First Lien Senior Secured Allbridge - Delayed Draw Term Loan Industry Telecommunication Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 6/5/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Jun. 05, 2030 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (1) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (2) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Allbridge - Revolving Credit Line Industry Telecommunication Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 6/5/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Jun. 05, 2030 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (2) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (2) | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[9] | 0% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Allbridge - Term Loan Industry Telecommunication Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 6/5/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Jun. 05, 2030 | | | |
Principal | [1],[2],[3],[4],[7] | $ 1,790 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 1,768 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 1,768 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 2.10% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured BKH - Delayed Draw Term Loan Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) Interest Rate 11.96 Maturity Date 2/25/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 6.50% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 11.96% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Feb. 25, 2028 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | $ (1) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured BKH - Delayed Draw Term Loan Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) Interest Rate 11.97 Maturity Date 2/25/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6.50% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 11.97% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Feb. 25, 2028 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | $ (1) | |
Investment, Identifier [Axis]: First Lien Senior Secured BKH - Term Loan Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) Interest Rate 11.96 Maturity Date 2/25/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.50% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.96% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Feb. 25, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 2,069 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 2,061 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 2,069 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 2.50% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured BKH - Term Loan Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) Interest Rate 11.97 Maturity Date 2/25/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6.50% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.97% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Feb. 25, 2028 | |
Principal | [8],[11],[12],[14],[15] | | | $ 2,096 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 2,086 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 2,093 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 7.60% | |
Investment, Identifier [Axis]: First Lien Senior Secured Baker Hill - Revolving Credit Line Industry Software & Services Spread Above Index SOFR + 7.00% (1.00% floor) Interest Rate 12.35 Maturity Date 7/19/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[15] | | | 7% | |
Floor | [8],[11],[12],[13],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[15] | | | 12.35% | |
Maturity Date | [8],[11],[12],[13],[15] | | | Jul. 19, 2028 | |
Amortized cost | [8],[11],[12],[13],[15] | | | $ (3) | |
Fair Value | [8],[11],[12],[13],[15] | | | $ (3) | |
Investment, Identifier [Axis]: First Lien Senior Secured Baker Hill - Revolving Credit Line Industry Software & Services Spread Above Index SOFR + 7.00% (1.00% floor) Interest Rate 12.44 Maturity Date 7/19/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 7% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 12.44% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Jul. 19, 2028 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (2) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (4) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Baker Hill - Term Loan A Industry Software & Services Spread Above Index SOFR + 7.00% (1.00% floor) Interest Rate 12.35 Maturity Date 7/19/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[15] | | | 7% | |
Floor | [8],[11],[12],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[15] | | | 12.35% | |
Maturity Date | [8],[11],[12],[15] | | | Jul. 19, 2028 | |
Principal | [8],[11],[12],[15] | | | $ 1,063 | |
Amortized cost | [8],[11],[12],[15] | | | 1,037 | |
Fair Value | [8],[11],[12],[15] | | | $ 1,037 | |
Percentage of Net Assets | [6],[8],[11],[12],[15] | | | 3.80% | |
Investment, Identifier [Axis]: First Lien Senior Secured Baker Hill - Term Loan A Industry Software & Services Spread Above Index SOFR + 7.00% (1.00% floor) Interest Rate 12.44 Maturity Date 7/19/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 7% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 12.44% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Jul. 19, 2028 | | | |
Principal | [1],[2],[3],[4],[7] | $ 1,057 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 1,034 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 1,024 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 1.20% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Batteries Plus Holding Corporation - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 6.75% (1.00% floor) Interest Rate 12.21 Maturity Date 6/27/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6.75% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 12.21% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Jun. 27, 2028 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | $ (1) | |
Investment, Identifier [Axis]: First Lien Senior Secured Batteries Plus Holding Corporation - Revolving Credit Line Industry Technology Hardware Spread Above Index SOFR + 6.75% (1.00% floor) Interest Rate 12.19 Maturity Date 6/27/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 6.75% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 12.19% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Jun. 27, 2028 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | $ (1) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Batteries Plus Holding Corporation - Term Loan A Industry Consumer Services Spread Above Index SOFR + 6.75% (1.00% floor) Interest Rate 12.21 Maturity Date 6/27/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6.75% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 12.21% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Jun. 27, 2028 | |
Principal | [8],[11],[12],[14],[15] | | | $ 481 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 476 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 479 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 1.70% | |
Investment, Identifier [Axis]: First Lien Senior Secured Batteries Plus Holding Corporation - Term Loan A Industry Technology Hardware & Equipment Spread Above Index SOFR + 6.75% (1.00% floor) Interest Rate 12.19 Maturity Date 6/27/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.75% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 12.19% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Jun. 27, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 478 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 474 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 478 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 0.60% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Billhighway - Delayed Draw Loan Industry Software & Services Spread Above Index SOFR + 6.75% (1.00% floor) Interest Rate 12.19 Maturity Date 2/8/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 6.75% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 12.19% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Feb. 08, 2029 | | | |
Principal | [1],[2],[3],[4],[7],[9],[10] | $ 26 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | 23 | | | |
Fair Value | [1],[2],[3],[4],[7],[9],[10] | $ 25 | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Billhighway - Revolving Credit Line Industry Software & Services Spread Above Index SOFR + 6.75% (1.00% floor) Interest Rate 12.19 Maturity Date 2/8/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 6.75% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 12.19% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Feb. 08, 2029 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | $ (1) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Billhighway - Term Loan Industry Software & Services Spread Above Index SOFR + 6.75% (1.00% floor) Interest Rate 12.19 Maturity Date 2/8/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.75% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 12.19% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Feb. 08, 2029 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 960 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 947 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 955 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 1.10% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Bradford Health Services - Delayed Draw Loan Industry Health Care Providers & Services Spread Above Index SOFR + 6.00% (1.00% floor) Interest Rate 11.48 Maturity Date 10/27/2024 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.48% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Oct. 27, 2028 | |
Principal | [8],[11],[12],[14],[15] | | | $ 734 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 730 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 734 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 2.70% | |
Investment, Identifier [Axis]: First Lien Senior Secured Bradford Health Services - Delayed Draw Term Loan Industry Health Care Equipment & Services Spread Above Index SOFR + 6.00% (1.00% floor) Interest Rate 11.48 Maturity Date 10/27/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.48% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Oct. 27, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 731 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 726 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 731 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 0.90% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Bradford Health Services - Term Loan Industry Health Care Equipment & Services Spread Above Index SOFR + 6.00% (1.00% floor) Interest Rate 11.48 Maturity Date 10/27/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.48% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Oct. 27, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 1,266 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 1,258 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 1,266 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 1.50% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Bradford Health Services - Term Loan Industry Health Care Providers & Services Spread Above Index SOFR + 6.00% (1.00% floor) Interest Rate 11.48 Maturity Date 10/27/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.48% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Oct. 27, 2028 | |
Principal | [8],[11],[12],[14],[15] | | | $ 1,272 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 1,263 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 1,272 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 4.60% | |
Investment, Identifier [Axis]: First Lien Senior Secured Cardiovascular Logistics - Delayed Draw Term Loan A Industry Health Care Equipment & Services Spread Above Index SOFR + 6.25% (1.00% floor) Interest Rate 11.58 Maturity Date 1/31/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.25% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.58% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Jan. 31, 2029 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 492 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 483 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 492 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 0.60% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Cardiovascular Logistics - Delayed Draw Term Loan A Industry Health Care Providers & Services Spread Above Index SOFR + 6.25% (1.00% floor) Interest Rate 11.73 Maturity Date 1/31/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6.25% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.73% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Jan. 31, 2029 | |
Principal | [8],[11],[12],[14],[15] | | | $ 495 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 484 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 487 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 1.80% | |
Investment, Identifier [Axis]: First Lien Senior Secured Cardiovascular Logistics - Delayed Draw Term Loan B Industry Health Care Equipment & Services Spread Above Index SOFR + 6.25% (1.00% floor) Interest Rate 11.58 Maturity Date 1/31/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 6.25% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 11.58% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Jan. 31, 2029 | | | |
Principal | [1],[2],[3],[4],[7],[9],[10] | $ 16 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | 7 | | | |
Fair Value | [1],[2],[3],[4],[7],[9],[10] | $ 16 | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Cardiovascular Logistics - Delayed Draw Term Loan B Industry Health Care Providers & Services Spread Above Index SOFR + 6.25% (1.00% floor) Interest Rate 11.73 Maturity Date 1/31/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6.25% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 11.73% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Jan. 31, 2029 | |
Principal | [8],[11],[12],[13],[14],[15] | | | $ 16 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | 7 | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ 9 | |
Investment, Identifier [Axis]: First Lien Senior Secured Cardiovascular Logistics - Term Loan Industry Health Care Equipment & Services Spread Above Index SOFR + 6.25% (1.00% floor) Interest Rate 11.58 Maturity Date 1/31/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.25% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.58% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Jan. 31, 2029 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 697 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 684 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 697 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 0.80% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Cardiovascular Logistics - Term Loan Industry Health Care Providers & Services Spread Above Index SOFR + 6.25% (1.00% floor) Interest Rate 11.73 Maturity Date 1/31/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6.25% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.73% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Jan. 31, 2029 | |
Principal | [8],[11],[12],[14],[15] | | | $ 701 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 686 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 690 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 2.50% | |
Investment, Identifier [Axis]: First Lien Senior Secured CheckedUp - Delayed Draw Term Loan Industry Media & Entertainment Spread Above Index SOFR + 5.50% (1.00% floor) Interest Rate 10.69 Maturity Date 10/20/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 5.50% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 10.69% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Oct. 20, 2027 | | | |
Principal | [1],[2],[3],[4],[7],[9],[10] | $ 246 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | 244 | | | |
Fair Value | [1],[2],[3],[4],[7],[9],[10] | $ 246 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[9],[10] | 0.30% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured CheckedUp - Delayed Draw Term Loan Industry Technology Hardware & Equipment Spread Above Index SOFR + 5.25% (1.00% floor) Interest Rate 10.71 Maturity Date 10/20/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 5.25% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 10.71% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Oct. 20, 2027 | |
Principal | [8],[11],[12],[13],[14],[15] | | | $ 127 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | 125 | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ 127 | |
Percentage of Net Assets | [6],[8],[11],[12],[13],[14],[15] | | | 0.50% | |
Investment, Identifier [Axis]: First Lien Senior Secured CheckedUp - Revolving Credit Line Industry Media & Entertainment Spread Above Index SOFR + 5.50% (1.00% floor) Interest Rate 10.69 Maturity Date 10/20/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 5.50% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 10.69% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Oct. 20, 2027 | | | |
Principal | [1],[2],[3],[4],[7],[9],[10] | $ 18 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | 18 | | | |
Fair Value | [1],[2],[3],[4],[7],[9],[10] | $ 18 | | | |
Investment, Identifier [Axis]: First Lien Senior Secured CheckedUp - Revolving Credit Line Industry Technology Hardware & Equipment Spread Above Index SOFR + 5.25% (1.00% floor) Interest Rate 10.71 Maturity Date 10/20/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 5.25% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 10.71% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Oct. 20, 2027 | |
Principal | [8],[11],[12],[13],[14],[15] | | | $ 158 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | 157 | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ 158 | |
Percentage of Net Assets | [6],[8],[11],[12],[13],[14],[15] | | | 0.60% | |
Investment, Identifier [Axis]: First Lien Senior Secured CheckedUp - Term Loan Industry Media & Entertainment Spread Above Index SOFR + 5.50% (1.00% floor) Interest Rate 10.69 Maturity Date 10/20/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 5.50% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 10.69% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Oct. 20, 2027 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 879 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 876 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 879 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 1% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured CheckedUp - Term Loan Industry Technology Hardware & Equipment Spread Above Index SOFR + 5.25% (1.00% floor) Interest Rate 10.71 Maturity Date 10/20/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 5.25% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 10.71% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Oct. 20, 2027 | |
Principal | [8],[11],[12],[14],[15] | | | $ 884 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 879 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 884 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 3.20% | |
Investment, Identifier [Axis]: First Lien Senior Secured Discovery SL Management, LLC - Delayed Draw Term Loan A Industry Health Care Equipment & Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 3/18/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Mar. 18, 2030 | | | |
Principal | [1],[2],[3],[4],[7] | $ 360 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 358 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 357 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 0.40% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Discovery SL Management, LLC - Delayed Draw Term Loan B Industry Health Care Equipment & Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 3/18/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Mar. 18, 2030 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (9) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (12) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Discovery SL Management, LLC - Revolving Credit Line Industry Health Care Equipment & Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 3/18/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Mar. 18, 2030 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (3) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (2) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Discovery SL Management, LLC - Term Loan Industry Health Care Equipment Providers & Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 3/18/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Mar. 18, 2030 | | | |
Principal | [1],[2],[3],[4],[7] | $ 2,153 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 2,128 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 2,136 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 2.50% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Firebirds - Delayed Draw Term Loan Industry Consumer Services Spread Above Index SOFR + 6.25% (2.00% floor) Interest Rate 11.73 Maturity Date 3/22/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6.25% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 2% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 11.73% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Mar. 22, 2028 | |
Investment, Identifier [Axis]: First Lien Senior Secured Firebirds - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 6.25% (2.00% floor) Interest Rate 11.73 Maturity Date 3/22/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6.25% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 2% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 11.73% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Mar. 22, 2028 | |
Principal | [8],[11],[12],[13],[14],[15] | | | $ 19 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | 19 | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ 19 | |
Percentage of Net Assets | [6],[8],[11],[12],[13],[14],[15] | | | 0.10% | |
Investment, Identifier [Axis]: First Lien Senior Secured Firebirds - Term Loan Industry Consumer Services Spread Above Index SOFR + 6.25% (2.00% floor) Interest Rate 11.73 Maturity Date 3/22/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6.25% | |
Floor | [8],[11],[12],[14],[15] | | | 2% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.73% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Mar. 22, 2028 | |
Principal | [8],[11],[12],[14],[15] | | | $ 623 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 617 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 617 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 2.20% | |
Investment, Identifier [Axis]: First Lien Senior Secured Firebirds Intermediate Holdings I, LLC - Delayed Draw Term Loan Industry Consumer Services Spread Above Index SOFR + 6.25% (2.00% floor) Interest Rate 11.73 Maturity Date 3/22/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 6.25% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 2% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 11.73% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Mar. 22, 2028 | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Firebirds Intermediate Holdings I, LLC - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 6.25% (2.00% floor) Interest Rate 11.73 Maturity Date 3/22/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 6.25% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 2% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 11.73% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Mar. 22, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[9],[10] | $ 14 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | 14 | | | |
Fair Value | [1],[2],[3],[4],[7],[9],[10] | $ 14 | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Firebirds Intermediate Holdings I, LLC - Term Loan Industry Consumer Services Spread Above Index SOFR + 6.25% (2.00% floor) Interest Rate 11.73 Maturity Date 3/22/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.25% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 2% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.73% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Mar. 22, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 620 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 615 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 620 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 0.70% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Giving Home Health Care - Term Loan Industry Health Care Equipment & Services Spread Above Index SOFR + 6.00% (1.00% floor) Interest Rate 11.35 Maturity Date 4/26/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 6% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 11.35% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Apr. 26, 2029 | | | |
Principal | [1],[2],[3],[4],[7] | $ 7,617 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 7,470 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 7,480 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 8.90% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Global School Management - Delayed Draw Term Loan Industry Consumer Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.08 Maturity Date 5/15/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 11.08% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | May 15, 2029 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (16) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (31) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Global School Management - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.08 Maturity Date 5/15/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 11.08% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | May 15, 2029 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (22) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (21) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Global School Management - Term Loan Industry Consumer Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.08 Maturity Date 5/15/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 11.08% | | | |
Maturity Date | [1],[2],[3],[4],[7] | May 15, 2029 | | | |
Principal | [1],[2],[3],[4],[7] | $ 11,965 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 11,699 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 11,715 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 13.90% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Hasa - Delayed Draw Loan Industry Capital Goods Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.23 Maturity Date 1/10/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | | 5.75% | [1],[2],[3],[4],[7],[9],[10] | 5.75% | [8],[11],[12],[13],[14],[15] |
Floor | | 1% | [1],[2],[3],[4],[7],[9],[10] | 1% | [8],[11],[12],[13],[14],[15] |
Interest Rate | | 11.23% | [1],[2],[3],[4],[7],[9],[10] | 11.23% | [8],[11],[12],[13],[14],[15] |
Maturity Date | | Jan. 10, 2029 | [1],[2],[3],[4],[7],[9],[10] | Jan. 10, 2029 | [8],[11],[12],[13],[14],[15] |
Amortized cost | | $ (3) | [1],[2],[3],[4],[7],[9],[10] | $ (3) | [8],[11],[12],[13],[14],[15] |
Fair Value | | $ (1) | [1],[2],[3],[4],[7],[9],[10] | $ (2) | [8],[11],[12],[13],[14],[15] |
Investment, Identifier [Axis]: First Lien Senior Secured Hasa - Revolving Credit Line Industry Capital Goods Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.23 Maturity Date 1/10/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | | 5.75% | [1],[2],[3],[4],[7],[9],[10] | 5.75% | [8],[11],[12],[13],[14],[15] |
Floor | | 1% | [1],[2],[3],[4],[7],[9],[10] | 1% | [8],[11],[12],[13],[14],[15] |
Interest Rate | | 11.23% | [1],[2],[3],[4],[7],[9],[10] | 11.23% | [8],[11],[12],[13],[14],[15] |
Maturity Date | | Jan. 10, 2029 | [1],[2],[3],[4],[7],[9],[10] | Jan. 10, 2029 | [8],[11],[12],[13],[14],[15] |
Principal | | $ 18 | [1],[2],[3],[4],[7],[9],[10] | $ 18 | [8],[11],[12],[13],[14],[15] |
Amortized cost | | 15 | [1],[2],[3],[4],[7],[9],[10] | 15 | [8],[11],[12],[13],[14],[15] |
Fair Value | | $ 18 | [1],[2],[3],[4],[7],[9],[10] | $ 16 | [8],[11],[12],[13],[14],[15] |
Percentage of Net Assets | [6],[8],[11],[12],[13],[14],[15] | | | 0.10% | |
Investment, Identifier [Axis]: First Lien Senior Secured Hasa - Term Loan Industry Capital Goods Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.20 Maturity Date 1/10/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.20% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Jan. 10, 2029 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 1,407 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 1,378 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 1,402 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 1.70% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Hasa - Term Loan Industry Capital Goods Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.23 Maturity Date 1/10/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 5.75% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.23% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Jan. 10, 2029 | |
Principal | [8],[11],[12],[14],[15] | | | $ 1,414 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 1,383 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 1,397 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 5.10% | |
Investment, Identifier [Axis]: First Lien Senior Secured Kemper Sports Management - Delayed Draw Loan Industry Consumer Services Spread Above Index SOFR + 6.25% (1.00% floor) Interest Rate 11.70 Maturity Date 1/12/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 6.25% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 11.70% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Jan. 12, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[9],[10] | $ 442 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | 439 | | | |
Fair Value | [1],[2],[3],[4],[7],[9],[10] | $ 442 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[9],[10] | 0.50% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Kemper Sports Management - Delayed Draw Loan Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) Interest Rate 11.98 Maturity Date 1/12/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6.50% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 11.98% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Jan. 12, 2028 | |
Principal | [8],[11],[12],[13],[14],[15] | | | $ 444 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | 440 | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ 441 | |
Percentage of Net Assets | [6],[8],[11],[12],[13],[14],[15] | | | 1.60% | |
Investment, Identifier [Axis]: First Lien Senior Secured Kemper Sports Management - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 6.25% (1.00% floor) Interest Rate 11.73 Maturity Date 1/12/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 6.25% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 11.73% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Jan. 12, 2028 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | $ (1) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Kemper Sports Management - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) Interest Rate 11.98 Maturity Date 1/12/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6.50% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 11.98% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Jan. 12, 2028 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | $ (1) | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ (1) | |
Investment, Identifier [Axis]: First Lien Senior Secured Kemper Sports Management - Term Loan Industry Consumer Services Spread Above Index SOFR + 6.25% (1.00% floor) Interest Rate 11.73 Maturity Date 1/12/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.25% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.73% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Jan. 12, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 1,822 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 1,810 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 1,822 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 2.20% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Kemper Sports Management - Term Loan Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) Interest Rate 11.98 Maturity Date 1/12/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6.50% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.98% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Jan. 12, 2028 | |
Principal | [8],[11],[12],[14],[15] | | | $ 1,832 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 1,817 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 1,819 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 6.60% | |
Investment, Identifier [Axis]: First Lien Senior Secured Military Retail Solutions LLC - Delayed Draw Term Loan Industry Consumer Staples Distribution & Retail Spread Above Index SOFR + 5.25% (1.00% floor) Interest Rate 10.59 Maturity Date 6/28/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.25% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 10.59% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Jun. 28, 2029 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (15) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (30) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Military Retail Solutions LLC - Revolving Credit Line Industry Consumer Staples Distribution & Retail Spread Above Index SOFR + 5.25% (1.00% floor) Interest Rate 10.59 Maturity Date 6/28/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.25% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 10.59% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Jun. 28, 2029 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (15) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (15) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Military Retail Solutions LLC - Term Loan Industry Consumer Staples Distribution & Retail Spread Above Index SOFR + 5.25% (1.00% floor) Interest Rate 10.59 Maturity Date 6/28/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 5.25% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 10.59% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Jun. 28, 2029 | | | |
Principal | [1],[2],[3],[4],[7] | $ 13,179 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 12,915 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 12,915 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 15.30% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured National Debt Relief - Delayed Draw Loan Industry Diversified Financials Spread Above Index SOFR + 6.00% (1.50% floor) Interest Rate 11.47 Maturity Date 2/24/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6% | |
Floor | [8],[11],[12],[14],[15] | | | 1.50% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.47% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Feb. 24, 2027 | |
Principal | [8],[11],[12],[14],[15] | | | $ 598 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 592 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 590 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 2.10% | |
Investment, Identifier [Axis]: First Lien Senior Secured National Debt Relief - Delayed Draw Loan Industry Financial Services Spread Above Index SOFR + 6.50% (1.50% floor) Interest Rate 11.96 Maturity Date 2/7/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.50% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1.50% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.96% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Feb. 07, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 598 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 593 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 592 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 0.70% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured National Debt Relief - Revolving Credit Line Industry Diversified Financials Spread Above Index SOFR + 6.00% (1.50% floor) Interest Rate 11.47 Maturity Date 2/24/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1.50% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 11.47% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Feb. 24, 2027 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | $ (1) | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ (2) | |
Investment, Identifier [Axis]: First Lien Senior Secured National Debt Relief - Revolving Credit Line Industry Financial Services Spread Above Index SOFR + 6.50% (1.50% floor) Interest Rate 11.96 Maturity Date 2/7/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.50% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1.50% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.96% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Feb. 07, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 120 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 119 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 118 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 0.10% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured National Debt Relief - Term Loan Industry Diversified Financials Spread Above Index SOFR + 6.00% (1.50% floor) Interest Rate 11.47 Maturity Date 2/24/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 6% | |
Floor | [8],[11],[12],[14],[15] | | | 1.50% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 11.47% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Feb. 24, 2027 | |
Principal | [8],[11],[12],[14],[15] | | | $ 718 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 711 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 708 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 2.60% | |
Investment, Identifier [Axis]: First Lien Senior Secured National Debt Relief – Term Loan Industry Financial Services Spread Above Index SOFR + 6.50% (1.50% floor) Interest Rate 11.96 Maturity Date 2/7/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 6.50% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1.50% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.96% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Feb. 07, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 718 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 712 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 710 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 0.80% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Ojos Locos 3 - Delayed Draw Loan Industry Consumer Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.36 Maturity Date 8/29/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 11.36% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Aug. 29, 2029 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | $ (2) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Ojos Locos 3 - Delayed Draw Loan Industry Consumer Services Spread Above Index SOFR + 6.00% (1.00% floor) Interest Rate 11.59 Maturity Date 8/31/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[15] | | | 6% | |
Floor | [8],[11],[12],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[15] | | | 11.59% | |
Maturity Date | [8],[11],[12],[15] | | | Aug. 31, 2026 | |
Principal | [8],[11],[12],[15] | | | $ 333 | |
Amortized cost | [8],[11],[12],[15] | | | 326 | |
Fair Value | [8],[11],[12],[15] | | | $ 330 | |
Percentage of Net Assets | [6],[8],[11],[12],[15] | | | 1.20% | |
Investment, Identifier [Axis]: First Lien Senior Secured Ojos Locos 3 - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.36 Maturity Date 8/29/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 11.36% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Aug. 29, 2029 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | $ (2) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Ojos Locos 3 - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 6.00% (1.00% floor) Interest Rate 11.59 Maturity Date 8/31/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 11.59% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Aug. 31, 2026 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | $ (2) | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ (1) | |
Investment, Identifier [Axis]: First Lien Senior Secured Ojos Locos 3 - Term Loan Industry Consumer Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.36 Maturity Date 8/29/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 11.36% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Aug. 29, 2029 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 1,458 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 1,451 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 1,458 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 1.70% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Ojos Locos 3 - Term Loan Industry Consumer Services Spread Above Index SOFR + 6.00% (1.00% floor) Interest Rate 11.42 Maturity Date 8/31/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 6% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 11.42% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Aug. 31, 2026 | |
Principal | [8],[11],[12],[13],[14],[15] | | | $ 1,135 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | 1,127 | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ 1,131 | |
Percentage of Net Assets | [6],[8],[11],[12],[13],[14],[15] | | | 4.10% | |
Investment, Identifier [Axis]: First Lien Senior Secured Planet DDS - Delayed Draw Loan Industry Health Care Technology Spread Above Index SOFR + 7.50% (0.75% floor) Interest Rate 12.91 Maturity Date 7/18/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 7.50% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 0.75% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 12.91% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Jul. 18, 2028 | |
Principal | [8],[11],[12],[13],[14],[15] | | | $ 24 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | 23 | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ 23 | |
Percentage of Net Assets | [6],[8],[11],[12],[13],[14],[15] | | | 0.10% | |
Investment, Identifier [Axis]: First Lien Senior Secured Planet DDS - Delayed Draw Loan Industry Software & Services Spread Above Index SOFR + 7.50% (0.75% floor) Interest Rate 12.98 Maturity Date 7/18/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 7.50% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 0.75% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 12.98% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Jul. 18, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[9],[10] | $ 30 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | 29 | | | |
Fair Value | [1],[2],[3],[4],[7],[9],[10] | $ 29 | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Planet DDS - Term Loan Industry Health Care Technology Spread Above Index SOFR + 7.50% (0.75% floor) Interest Rate 12.91 Maturity Date 7/18/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 7.50% | |
Floor | [8],[11],[12],[14],[15] | | | 0.75% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 12.91% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Jul. 18, 2028 | |
Principal | [8],[11],[12],[14],[15] | | | $ 229 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 223 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 224 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 0.80% | |
Investment, Identifier [Axis]: First Lien Senior Secured Planet DDS - Term Loan Industry Software & Services Spread Above Index SOFR + 7.50% (0.75% floor) Interest Rate 12.98 Maturity Date 7/18/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 7.50% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 0.75% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 12.98% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Jul. 18, 2028 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 229 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 224 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 225 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 0.30% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Priority Holdings - Term Loan Industry Financial Services Spread Above Index SOFR + 4.75% (0.50% floor) Interest Rate 10.08 Maturity Date 5/16/2031 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 4.75% | | | |
Floor | [1],[2],[3],[4],[7] | 0.50% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 10.08% | | | |
Maturity Date | [1],[2],[3],[4],[7] | May 16, 2031 | | | |
Principal | [1],[2],[3],[4],[7] | $ 2,902 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 2,888 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 2,888 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 3.40% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Select Rehabilitation - Term Loan Industry Health Care Equipment & Services Spread Above Index SOFR + 8.50% (1.00% floor) Interest Rate 13.94 Maturity Date 10/19/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 8.50% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 13.94% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Oct. 19, 2027 | | | |
Principal | [1],[2],[3],[4],[7] | $ 1,928 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 1,927 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 1,683 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 2% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Select Rehabilitation - Term Loan Industry Health Care Providers & Services Spread Above Index SOFR + 8.50% (1.00% floor) Interest Rate 13.85 Maturity Date 10/19/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[14],[15] | | | 8.50% | |
Floor | [8],[11],[12],[14],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[14],[15] | | | 13.85% | |
Maturity Date | [8],[11],[12],[14],[15] | | | Oct. 19, 2027 | |
Principal | [8],[11],[12],[14],[15] | | | $ 1,938 | |
Amortized cost | [8],[11],[12],[14],[15] | | | 1,936 | |
Fair Value | [8],[11],[12],[14],[15] | | | $ 1,853 | |
Percentage of Net Assets | [6],[8],[11],[12],[14],[15] | | | 6.70% | |
Investment, Identifier [Axis]: First Lien Senior Secured Senior Support Holdings (Franchise) Acquisition, Inc. - Delayed Draw Term Loan Industry Health Care Equipment & Services Spread Above Index SOFR + 5.25% (1.00% floor) Interest Rate 10.59 Maturity Date 3/20/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.25% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 10.59% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Mar. 20, 2030 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (14) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Senior Support Holdings, (Franchise) Acquisition. Inc. – Term Loan Industry Health Care Equipment & Service Spread Above Index SOFR + 5.25% (1.00% floor) Interest Rate 10.59 Maturity Date 3/20/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 5.25% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 10.59% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Mar. 20, 2030 | | | |
Principal | [1],[2],[3],[4],[7] | $ 3,537 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 3,469 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 3,537 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 4.20% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Spartan CP, LLC - Delayed Draw Term Loan Industry Consumer Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 6/28/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Jun. 28, 2029 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (21) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (21) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Spartan CP, LLC - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 6/28/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Jun. 28, 2029 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (8) | | | |
Fair Value | [1],[2],[3],[4],[7],[9] | $ (4) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Spartan CP, LLC - Term Loan Industry Consumer Services Spread Above Index SOFR + 5.75% (1.00% floor) Interest Rate 11.09 Maturity Date 6/28/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 5.75% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 11.09% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Jun. 28, 2029 | | | |
Principal | [1],[2],[3],[4],[7] | $ 4,554 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 4,463 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 4,509 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 5.40% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Splash Car Wash - Delayed Draw Term Loan A Industry Consumer Discretionary Distribution & Retail Spread Above Index SOFR + 6.50% (1.00% floor) + 1.00% PIK Interest Rate 12.10 Maturity Date 6/30/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9] | 6.50% | | | |
Floor | [1],[2],[3],[4],[7],[9] | 1% | | | |
Paid in Kind | [1],[2],[3],[4],[7],[9] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9] | 12.10% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9] | Jun. 30, 2026 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9] | $ (1) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Splash Car Wash - Delayed Draw Term Loan A Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) + 1.00% PIK Interest Rate 12.83 Maturity Date 6/30/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[15] | | | 6.50% | |
Floor | [8],[11],[12],[13],[15] | | | 1% | |
Paid in Kind | [8],[11],[12],[13],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[15] | | | 12.83% | |
Maturity Date | [8],[11],[12],[13],[15] | | | Jun. 30, 2026 | |
Amortized cost | [8],[11],[12],[13],[15] | | | $ (1) | |
Fair Value | [8],[11],[12],[13],[15] | | | $ (1) | |
Investment, Identifier [Axis]: First Lien Senior Secured Splash Car Wash - Revolving Credit Line Industry Consumer Discretionary Distribution & Retail Spread Above Index SOFR + 6.50% (1.00% floor) + 1.00% PIK Interest Rate 12.09 Maturity Date 6/30/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 6.50% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Paid in Kind | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 12.09% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Jun. 30, 2026 | | | |
Principal | [1],[2],[3],[4],[7] | $ 14 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 14 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 14 | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Splash Car Wash - Revolving Credit Line Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) + 1.00% PIK Interest Rate 12.83 Maturity Date 6/30/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[15] | | | 6.50% | |
Floor | [8],[11],[12],[13],[15] | | | 1% | |
Paid in Kind | [8],[11],[12],[13],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[13],[15] | | | 12.83% | |
Maturity Date | [8],[11],[12],[13],[15] | | | Jun. 30, 2026 | |
Investment, Identifier [Axis]: First Lien Senior Secured Splash Car Wash - Term Loan A Industry Consumer Discretionary Distribution & Retail Spread Above Index SOFR + 6.50% (1.00% floor) + 1.00 % PIK Interest Rate 12.10 Maturity Date 6/30/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7] | 6.50% | | | |
Floor | [1],[2],[3],[4],[7] | 1% | | | |
Paid in Kind | [1],[2],[3],[4],[7] | 1% | | | |
Interest Rate | [1],[2],[3],[4],[7] | 12.10% | | | |
Maturity Date | [1],[2],[3],[4],[7] | Jun. 30, 2026 | | | |
Principal | [1],[2],[3],[4],[7] | $ 328 | | | |
Amortized cost | [1],[2],[3],[4],[7] | 323 | | | |
Fair Value | [1],[2],[3],[4],[7] | $ 327 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7] | 0.40% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured Splash Car Wash - Term Loan A Industry Consumer Services Spread Above Index SOFR + 6.50% (1.00% floor) + 1.00% PIK Interest Rate 12.83 Maturity Date 6/30/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[15] | | | 6.50% | |
Floor | [8],[11],[12],[15] | | | 1% | |
Paid in Kind | [8],[11],[12],[15] | | | 1% | |
Interest Rate | [8],[11],[12],[15] | | | 12.83% | |
Maturity Date | [8],[11],[12],[15] | | | Jun. 30, 2026 | |
Principal | [8],[11],[12],[15] | | | $ 327 | |
Amortized cost | [8],[11],[12],[15] | | | 322 | |
Fair Value | [8],[11],[12],[15] | | | $ 321 | |
Percentage of Net Assets | [6],[8],[11],[12],[15] | | | 1.20% | |
Investment, Identifier [Axis]: First Lien Senior Secured XDimensional Technologies - Delayed Draw Term Loan A Industry Software & Services Spread Above Index SOFR + 4.00% (2.00% floor) + 4.00% PIK Interest Rate 13.44 Maturity Date 12/24/2025 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 4% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 2% | | | |
Paid in Kind | [1],[2],[3],[4],[7],[10] | 4% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 13.44% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Dec. 24, 2025 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 12 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 12 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 12 | | | |
Investment, Identifier [Axis]: First Lien Senior Secured XDimensional Technologies - Delayed Draw Term Loan A Industry Software & Services Spread Above Index SOFR + 4.00% (2.00% floor) + 4.00% PIK Interest Rate 9.46 Maturity Date 12/24/2025 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 4% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 2% | |
Paid in Kind | [8],[11],[12],[13],[14],[15] | | | 4% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 9.46% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Dec. 24, 2025 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | $ (2) | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ (2) | |
Investment, Identifier [Axis]: First Lien Senior Secured XDimensional Technologies - Revolving Credit Line Industry Software & Service Spread Above Index SOFR + 7.50% (2.00% floor) Interest Rate 13.44 Maturity Date 12/24/2025 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[9],[10] | 7.50% | | | |
Floor | [1],[2],[3],[4],[7],[9],[10] | 2% | | | |
Interest Rate | [1],[2],[3],[4],[7],[9],[10] | 13.44% | | | |
Maturity Date | [1],[2],[3],[4],[7],[9],[10] | Dec. 24, 2025 | | | |
Amortized cost | [1],[2],[3],[4],[7],[9],[10] | $ (1) | | | |
Fair Value | [1],[2],[3],[4],[7],[9],[10] | $ (1) | | | |
Investment, Identifier [Axis]: First Lien Senior Secured XDimensional Technologies - Revolving Credit Line Industry Software & Services Spread Above Index SOFR + 4.00% (2.00% floor) + 4.00% PIK Interest Rate 9.46 Maturity Date 12/24/2025 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[13],[14],[15] | | | 4% | |
Floor | [8],[11],[12],[13],[14],[15] | | | 2% | |
Paid in Kind | [8],[11],[12],[13],[14],[15] | | | 4% | |
Interest Rate | [8],[11],[12],[13],[14],[15] | | | 9.46% | |
Maturity Date | [8],[11],[12],[13],[14],[15] | | | Dec. 24, 2025 | |
Amortized cost | [8],[11],[12],[13],[14],[15] | | | $ (1) | |
Fair Value | [8],[11],[12],[13],[14],[15] | | | $ (1) | |
Investment, Identifier [Axis]: First Lien Senior Secured XDimensional Technologies - Term Loan A Industry Software & Service Spread Above Index SOFR + 4.00% (2.00% floor) + 4.00% PIK Interest Rate 13.44 Maturity Date 12/24/2025 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [1],[2],[3],[4],[7],[10] | 4% | | | |
Floor | [1],[2],[3],[4],[7],[10] | 2% | | | |
Paid in Kind | [1],[2],[3],[4],[7],[10] | 4% | | | |
Interest Rate | [1],[2],[3],[4],[7],[10] | 13.44% | | | |
Maturity Date | [1],[2],[3],[4],[7],[10] | Dec. 24, 2025 | | | |
Principal | [1],[2],[3],[4],[7],[10] | $ 866 | | | |
Amortized cost | [1],[2],[3],[4],[7],[10] | 854 | | | |
Fair Value | [1],[2],[3],[4],[7],[10] | $ 853 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5],[7],[10] | 1% | | | |
Investment, Identifier [Axis]: First Lien Senior Secured XDimensional Technologies - Term Loan A Industry Software & Services Spread Above Index SOFR + 4.00% (2.00% floor) + 4.00% PIK Interest Rate 9.46 Maturity Date 12/24/2025 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Variable rate | [8],[11],[12],[15] | | | 4% | |
Floor | [8],[11],[12],[15] | | | 2% | |
Paid in Kind | [8],[11],[12],[15] | | | 4% | |
Interest Rate | [8],[11],[12],[15] | | | 9.46% | |
Maturity Date | [8],[11],[12],[15] | | | Dec. 24, 2025 | |
Principal | [8],[11],[12],[15] | | | $ 849 | |
Amortized cost | [8],[11],[12],[15] | | | 833 | |
Fair Value | [8],[11],[12],[15] | | | $ 835 | |
Percentage of Net Assets | [6],[8],[11],[12],[15] | | | 3% | |
Investment, Identifier [Axis]: Investments | | | | | |
Schedule of Investments [Line Items] | | | | | |
Amortized cost | | $ 66,719 | [1],[2],[3],[4] | $ 18,298 | |
Fair Value | | $ 66,765 | [1],[2],[3],[4] | $ 18,281 | |
Percentage of Net Assets | | 79.10% | [1],[2],[3],[4],[5] | 66.50% | [6] |
Investment, Identifier [Axis]: Investments and Cash Equivalents | | | | | |
Schedule of Investments [Line Items] | | | | | |
Amortized cost | [1],[2],[3],[4] | $ 82,622 | | | |
Fair Value | [1],[2],[3],[4] | $ 82,668 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5] | 98% | | | |
Investment, Identifier [Axis]: Net Assets | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | $ 84,166 | [1],[2],[3],[4] | $ 27,513 | |
Percentage of Net Assets | | 100% | [1],[2],[3],[4],[5] | 100% | [6] |
Investment, Identifier [Axis]: Other Assets in Excess of Liabilities | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | $ 1,498 | [1],[2],[3],[4] | $ 9,232 | |
Percentage of Net Assets | | 2% | [1],[2],[3],[4],[5] | 33.50% | [6] |
Investment, Identifier [Axis]: Private Companies | | | | | |
Schedule of Investments [Line Items] | | | | | |
Amortized cost | [1],[2],[3],[4] | $ 338 | | | |
Fair Value | [1],[2],[3],[4] | $ 371 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5] | 0.40% | | | |
Investment, Identifier [Axis]: Private Companies Senior Support Holdings, LP, Class A-1 Units Industry Health Care Providers & Services | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | [1],[2],[3],[4] | $ 338 | | | |
Amortized cost | [1],[2],[3],[4] | 338 | | | |
Fair Value | [1],[2],[3],[4] | $ 348 | | | |
Percentage of Net Assets | [1],[2],[3],[4],[5] | 0.40% | | | |
Investment, Identifier [Axis]: Private Companies Senior Support Holdings, LP, Class B Units Industry Health Care Providers & Services | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | [1],[2],[3],[4] | $ 338 | | | |
Fair Value | [1],[2],[3],[4] | $ 23 | | | |
| |
[1] All investments domiciled in the United States unless otherwise noted. All investments in AMG Comvest Senior Lending Fund (the “Fund”) are considered qualifying assets, under Section 55(a) of the Investment Company Act of 1940. The Fund may not acquire any non-qualifying asset unless, at the time of acquisition, qualifying assets represent at least 70 % of the Fund’s total assets. As of June 30, 2024, there were no investments held by the Fund that are considered non-qualifying assets. Investment is held by AMG Comvest Senior Lending Blocker MF SPV, LLC, a wholly-owned subsidiary of AMG Comvest Senior Lending Fund. The fair value of investments with respect to securities for which market quotations are not readily available are valued using significant unobservable inputs (See Note 3 - Fair Value of Financial Instruments). Percentages are based on net assets as of June 30, 2024. Percentages are based on net assets as of December 31, 2023. The majority of the investments bear interest at a rate that may be determined by reference to Secured Overnight Financing Rate (“SOFR ” ) and which reset monthly, quarterly, semiannually, or annually. For each, the Fund has provided the spread over the reference rate and the current interest rate in effect at the reporting date. Certain investments are subject to an interest rate floor. For fixed rate loans, a spread above a reference rate is not applicable. The majority of the investments bear interest at a rate that may be determined by reference to Secured Overnight Financing Rate (“SOFR ” ) and which reset monthly, quarterly, semiannually, or annually. For each, the Fund has provided the spread over the reference rate and the current interest rate in effect at the reporting date. Certain investments are subject to an interest rate floor. For fixed rate loans, a spread above a reference rate is not applicable. For investments in revolving credit facilities and delayed draw commitments, the cost basis of the funded investments purchased is offset by any costs/netbacks received for any unfunded portion on the total balance committed. The fair value is also adjusted for the price appreciation or depreciation on the unfunded portion. As a result, the purchase of commitments not completely funded may result in a negative fair value until it is called and funded. Please refer to Note 5 - Commitments and Contingencies for details of these unfunded commitments. Positions that have a SOFR reference rate, from time to time have an additional spread adjustment. This spread adjustment ranges from 0 % - 0.26 % depending on the contractual arrangement. These spread adjustments have been included in the all-in rate shown. All investments domiciled in the United States unless otherwise noted. All investments in the Fund are considered qualifying assets, under Section 55(a) of the Investment Company Act of 1940. The Fund may not acquire any non-qualifying asset unless, at the time of acquisition, qualifying assets represent at least 70 % of the Fund’s total assets. As of December 31, 2023, there were no investments held by the Fund that are considered non-qualifying assets. For investments in revolving credit facilities and delayed draw commitments, the cost basis of the funded investments purchased is offset by any costs/netbacks received for any unfunded portion on the total balance committed. The fair value is also adjusted for the price appreciation or depreciation on the unfunded portion. As a result, the purchase of commitments not completely funded may result in a negative fair value until it is called and funded. Please refer to Note 5 - Commitments and Contingencies for details of these unfunded commitments. Positions that have a SOFR reference rate, from time to time have an additional spread adjustment. This spread adjustment ranges from 0 % - 0.26 % depending on the contractual arrangement. These spread adjustments have been included in the all-in rate shown. PIK - Payment in-kind The fair value of investments with respect to securities for which market quotations are not readily available are valued using significant unobservable inputs (See Note 3 - Fair Value of Financial Instruments). | |