Document and Entity Information
Document and Entity Information - shares | 3 Months Ended | |
Mar. 31, 2024 | May 10, 2024 | |
Cover [Abstract] | ||
Document Type | 10-Q | |
Amendment Flag | false | |
Document Quarterly Report | true | |
Current Fiscal Year End Date | --12-31 | |
Document Fiscal Year Focus | 2024 | |
Document Fiscal Period Focus | Q1 | |
Entity Central Index Key | 0001993402 | |
Document Period End Date | Mar. 31, 2024 | |
Document Transition Report | false | |
Securities Act File Number | 814-01700 | |
Entity Registrant Name | ANTARES STRATEGIC CREDIT FUND | |
Entity Incorporation, State or Country Code | DE | |
Entity Address, Address Line One | 500 West Monroe Street | |
Entity Address, City or Town | Chicago | |
Entity Address, State or Province | IL | |
Entity Tax Identification Number | 93-3416650 | |
Entity Address, Postal Zip Code | 60661 | |
City Area Code | 312 | |
Local Phone Number | 638-4117 | |
Entity Current Reporting Status | Yes | |
Entity Interactive Data Current | Yes | |
Entity Filer Category | Non-accelerated Filer | |
Entity Emerging Growth Company | true | |
Entity Ex Transition Period | false | |
Entity Small Business | false | |
Entity Shell Company | false | |
Entity Common Stock, Shares Outstanding | 21,596,404 |
CONSOLIDATED STATEMENTS OF ASSE
CONSOLIDATED STATEMENTS OF ASSETS AND LIABILITIES - USD ($) $ in Thousands | Mar. 31, 2024 | Dec. 31, 2023 | |
ASSETS | |||
Non-controlled/non-affiliated investments, at fair value | [1] | $ 479,854 | $ 0 |
Cash and cash equivalents | 20,715 | 0 | |
Interest receivable from non-controlled/non-affiliated investments | 3,054 | 0 | |
Subscription receivable | 0 | 25 | |
Deferred offering costs | 224 | 63 | |
Receivable from adviser (Note 3) | 330 | 330 | |
Receivable for investments sold / repaid | 2,676 | 0 | |
Prepaid and other assets | 260 | 0 | |
Total assets | 507,113 | 418 | |
LIABILITIES | |||
Debt outstanding | 197,000 | 0 | |
Less, deferred financing costs | (3,465) | 0 | |
Total debt, net of financing costs | 193,535 | 0 | |
Payable for investments purchased | 133 | 0 | |
Interest payable | 2,807 | 0 | |
Distributions payable | 6,361 | ||
Administrative service fee payable | 108 | 0 | |
Accrued expenses and other liabilities | 463 | 9 | |
Due to affiliates | 2,163 | 384 | |
Total liabilities | 205,570 | 393 | |
Commitments and contingencies (Note 8) | |||
NET ASSETS | |||
Common Stock, Value, Issued | [2] | 12 | 0 |
Paid-in capital in excess of par value | 300,013 | 25 | |
Accumulated net distributable earnings (losses) | 1,518 | 0 | |
Total net assets | 301,543 | 25 | |
Total liabilities and net assets | $ 507,113 | $ 418 | |
Net asset value per share | [3],[4],[5] | $ 25.13 | $ 25 |
[1] Non-controlled/non-affiliated investments at amortized cost o f $ 479,312 and zero as of March 31, 2024 and December 31, 2023 , respectively. Unlimited shares authorized, 12,001,000 and 1,000 shares issued and outstanding as of March 31, 2024 and December 31, 2023 , respectively. The Company commenced operations on January 19, 2024. Rates are based on the period of January 19, 2024 through March 31, 2024. The per share data was derived by using the weighted average shares outstanding during the period. The per share data was derived using the actual shares outstanding at the date of the relevant transaction (See Note 8). |
CONSOLIDATED STATEMENTS OF AS_2
CONSOLIDATED STATEMENTS OF ASSETS AND LIABILITIES (Parenthetical) - USD ($) $ in Thousands | Mar. 31, 2024 | Dec. 31, 2023 |
Statement of Financial Position [Abstract] | ||
Common shares, par value $0.001 | $ 0.001 | $ 0.001 |
Common stock shares, issued | 12,001,000 | 1,000 |
Common stock shares, outstanding | 12,001,000 | 1,000 |
Investment at cost | $ 479,312 | $ 0 |
CONSOLIDATED STATEMENT OF OPERA
CONSOLIDATED STATEMENT OF OPERATIONS (Unaudited) $ in Thousands | 3 Months Ended | |
Mar. 31, 2024 USD ($) $ / shares shares | ||
Investment income: | ||
Interest income | $ 10,798 | |
Payment-in-kind interest income | 51 | |
Other income | 83 | |
Total investment income | 10,932 | |
Expenses: | ||
Interest expense | 2,951 | |
Management fees (Note 3) | 0 | [1] |
Income based incentive fee (Note 3) | 918 | |
Capital gains incentive fee (Note 3) | 67 | |
Administrative service fee | 108 | |
Board of Trustees fee | 60 | |
Other general and administrative expenses | 419 | |
Organization costs | 51 | |
Total expenses | 4,574 | |
Management fees waiver (Note 3) | 0 | [1] |
Incentive fees waiver (Note 3) | (985) | |
Net expenses, net of fee waivers | 3,589 | |
Net investment income (loss) | 7,343 | |
Net realized gains (losses): | ||
Net realized gain (loss) | (6) | |
Net change in unrealized appreciation (depreciation): | ||
Net change in unrealized appreciation (depreciation) | 542 | |
Total net realized and unrealized gain (loss) | 536 | |
Net increase (decrease) in net assets resulting from operations | $ 7,879 | |
Per share information | ||
Net investment income (loss) per share - basic | $ / shares | $ 0.61 | |
Net investment income (loss) per share - diluted | $ / shares | 0.61 | |
Earnings per share - basic | $ / shares | 0.66 | |
Earnings per share - diluted | $ / shares | 0.66 | |
Distributions declared per share | $ / shares | $ 0.53 | |
Weighted average shares outstanding - basic | shares | 12,001,000 | |
Weighted average shares outstanding - diluted | shares | 12,001,000 | |
Non Controlled Non Affiliated Investments | ||
Net realized gains (losses): | ||
Net realized gain (loss) | $ (6) | |
Net change in unrealized appreciation (depreciation): | ||
Net change in unrealized appreciation (depreciation) | $ 542 | |
[1] Value is less than $ 1 . |
CONSOLIDATED STATEMENT OF OPE_2
CONSOLIDATED STATEMENT OF OPERATIONS (Unaudited) (Parenthetical) $ in Thousands | 3 Months Ended |
Mar. 31, 2024 USD ($) | |
Income Statement [Abstract] | |
Management fees expenses/waiver less than $1 | $ 1 |
CONSOLIDATED STATEMENT OF CHANG
CONSOLIDATED STATEMENT OF CHANGES IN NET ASSETS (Unaudited) $ in Thousands | 3 Months Ended | |
Mar. 31, 2024 USD ($) shares | ||
Beginning of period | $ 25 | |
Operations: | ||
Net investment income | 7,343 | |
Net realized gain (loss) | (6) | |
Net change in unrealized appreciation (depreciation) | 542 | |
Net increase (decrease) in net assets resulting from operations | 7,879 | |
Capital Transactions: | ||
Issuance of shares | 300,000 | |
Distributions to shareholders | 6,361 | |
Total net increase (decrease) | $ 301,518 | |
End of Period, Share | shares | 12,001,000 | [1],[2],[3] |
End of Period | $ 301,543 | |
Common Stock | ||
Beginning of period, Shares | shares | 1,000 | |
Beginning of period | $ 0 | |
Capital Transactions: | ||
Issuance of shares, Share | shares | 12,000,000 | |
Issuance of shares | $ 12 | |
Total net increase (decrease), Share | shares | 12,000,000 | |
Total net increase (decrease) | $ 12 | |
End of Period, Share | shares | 12,001,000 | |
End of Period | $ 12 | |
Paid-in-Capital in Excess of Par Value | ||
Beginning of period | 25 | |
Capital Transactions: | ||
Issuance of shares | 299,988 | |
Total net increase (decrease) | 299,988 | |
End of Period | 300,013 | |
Accumulated Net Distributable Earnings (Losses) | ||
Beginning of period | 0 | |
Operations: | ||
Net investment income | 7,343 | |
Net realized gain (loss) | (6) | |
Net change in unrealized appreciation (depreciation) | 542 | |
Net increase (decrease) in net assets resulting from operations | 7,879 | |
Capital Transactions: | ||
Distributions to shareholders | (6,361) | |
Total net increase (decrease) | 1,518 | |
End of Period | $ 1,518 | |
[1] The Company commenced operations on January 19, 2024. Rates are based on the period of January 19, 2024 through March 31, 2024. The per share data was derived by using the weighted average shares outstanding during the period. The per share data was derived using the actual shares outstanding at the date of the relevant transaction (See Note 8). |
CONSOLIDATED STATEMENT OF CASH
CONSOLIDATED STATEMENT OF CASH FLOWS (Unaudited) $ in Thousands | 3 Months Ended |
Mar. 31, 2024 USD ($) | |
Cash flow from operating activities | |
Net increase (decrease) in net assets resulting from operations | $ 7,879 |
Adjustments to reconcile net increase (decrease) in net assets resulting from operations to net cash used in operating activities: | |
Accrued interest and dividends received in-kind | (46) |
Net accretion of discount and amortization of premium | (438) |
Proceeds from sale of investments and principal repayments | 17,709 |
Purchases of investments | (196,543) |
Net realized (gains) losses on investments | 6 |
Net change in unrealized (appreciation) depreciation on investments | (542) |
Amortization of deferred financing costs | 144 |
Interest receivable from non-controlled/non-affiliated investments | (3,054) |
Receivable for investments sold / repaid | (2,676) |
Prepaid insurance and other assets | (260) |
Due to affiliates | 1,779 |
Payable for investments purchased | 133 |
Interest payable | 2,807 |
Administrative service fee | 108 |
Accrued expenses and other liabilities | 454 |
Net cash provided (used in) by operating activities | (172,540) |
Cash flow from financing activities | |
Proceeds from issuance of shares, net of subscription receivable | 25 |
Debt borrowings | 197,000 |
Deferred offering costs | (161) |
Deferred financing costs | (3,609) |
Net cash provided by (used in) financing activities | 193,255 |
Net increase in cash and cash equivalents, | 20,715 |
Cash and cash equivalents, beginning of period | 0 |
Cash and cash equivalents, end of period | 20,715 |
Supplemental disclosure of cash flow information and non-cash financing activities | |
Equity issued in kind (Note 8) | 300,000 |
Investments purchased in kind (Note 8) | 300,000 |
Distributions Payable | $ 6,361 |
CONSOLIDATED SCHEDULE OF INVEST
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) $ in Thousands | Mar. 31, 2024 USD ($) | |
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 479,312 | |
Fair Value | $ 479,854 | [1] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Jun. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 35 | [3],[4],[5],[6] |
Amortized Cost | 35 | [3],[4],[5],[7] |
Fair Value | $ 34 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Thunder Purchaser, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Jun. 30, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 189 | [3],[4],[5],[6] |
Amortized Cost | 188 | [3],[4],[5],[7] |
Fair Value | $ 189 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Water Utilities Water Holdings Acquisition LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 12/18/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.65% | [2],[3],[4],[5] |
Maturity Date | Dec. 18, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 7 | [3],[4],[5],[6] |
Amortized Cost | 7 | [3],[4],[5],[7] |
Fair Value | $ 7 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Water Utilities Water Holdings Acquisition LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 12/18/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.65% | [2],[3],[4],[5] |
Maturity Date | Dec. 18, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 243 | [3],[4],[5],[6] |
Amortized Cost | 234 | [3],[4],[5],[7] |
Fair Value | $ 239 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services DAS Purchaser 2 Corp Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 4/30/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.65% | [2],[3],[4],[5] |
Maturity Date | Apr. 30, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 166 | [3],[4],[5],[6] |
Amortized Cost | 165 | [3],[4],[5],[7] |
Fair Value | $ 163 | [3],[4],[5] |
Percentage of Net Assets | 0.05% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services Vector Group Holdings LLC Asset Type Subordinated Unsecured Term Loan Interest Rate 14.75% PIK Maturity Date 8/31/2030 | ||
Schedule of Investments [Line Items] | ||
Interest Rate Paid in Kind | 14.75% | [2],[4],[5] |
Maturity Date | Aug. 31, 2030 | [4],[5] |
Par Amount / Shares | $ 2 | [4],[5],[6] |
Amortized Cost | 1 | [4],[5],[7] |
Fair Value | 1 | [4],[5] |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated North Star Acquisitionco, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/4/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Turningpoint Healthcare Solutions, LLC Commitment Type Revolver Commitment Expiration Date 7/14/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated WRE Holding Corp Commitment Type Revolver Commitment Expiration Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | |
Investment, Identifier [Axis]: Cash and Cash Equivalents | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | 20,715 | [5],[7] |
Fair Value | $ 20,715 | [5] |
Percentage of Net Assets | 6.87% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Auto Components | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 502 | [5],[7],[8] |
Fair Value | $ 506 | [5],[8] |
Percentage of Net Assets | 0.17% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Auto Components EAH Holdco, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 136 | [4],[5],[7],[8] |
Fair Value | $ 153 | [4],[5],[8] |
Percentage of Net Assets | 0.05% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Auto Components QAS Parent, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 237 | [4],[5],[6],[8] |
Amortized Cost | 366 | [4],[5],[7],[8] |
Fair Value | $ 353 | [4],[5],[8] |
Percentage of Net Assets | 0.12% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Commercial Services and Supplies | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 560 | [5],[7],[8] |
Fair Value | $ 481 | [5],[8] |
Percentage of Net Assets | 0.16% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Commercial Services and Supplies Hercules Blocker LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 140 | [4],[5],[6],[8],[9] |
Amortized Cost | 251 | [4],[5],[7],[8],[9] |
Fair Value | $ 177 | [4],[5],[8],[9] |
Percentage of Net Assets | 0.06% | [4],[5],[8],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Commercial Services and Supplies KAWP Holdings, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 309 | [4],[5],[7],[8] |
Fair Value | $ 304 | [4],[5],[8] |
Percentage of Net Assets | 0.10% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Construction & Engineering | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 796 | [5],[7],[8] |
Fair Value | $ 866 | [5],[8] |
Percentage of Net Assets | 0.29% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Construction & Engineering MEI Co-Investor Aggregator LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 1 | [4],[5],[6],[8] |
Amortized Cost | 796 | [4],[5],[7],[8] |
Fair Value | $ 866 | [4],[5],[8] |
Percentage of Net Assets | 0.29% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 1,388 | [5],[7],[8] |
Fair Value | $ 1,257 | [5],[8] |
Percentage of Net Assets | 0.41% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services American Veterinary Group Holdings, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 243 | [4],[5],[6],[8] |
Amortized Cost | 387 | [4],[5],[7],[8] |
Fair Value | $ 304 | [4],[5],[8] |
Percentage of Net Assets | 0.10% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services Four Seasons Blocker Aggregator, LP Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 203 | [4],[5],[7],[8] |
Fair Value | $ 208 | [4],[5],[8] |
Percentage of Net Assets | 0.07% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services GS Seer Group Holdings, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 110 | [4],[5],[7],[8] |
Fair Value | $ 123 | [4],[5],[8] |
Percentage of Net Assets | 0.04% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services Health Aggregator LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 159 | [4],[5],[7],[8] |
Fair Value | $ 123 | [4],[5],[8] |
Percentage of Net Assets | 0.04% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services Home Service HoldCo, Inc Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 2 | [4],[5],[6],[8] |
Amortized Cost | 264 | [4],[5],[7],[8] |
Fair Value | $ 244 | [4],[5],[8] |
Percentage of Net Assets | 0.08% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services VPP Group Holdings, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 265 | [4],[5],[7],[8] |
Fair Value | $ 255 | [4],[5],[8] |
Percentage of Net Assets | 0.08% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Financial Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 1,430 | [5],[7],[8] |
Fair Value | $ 1,472 | [5],[8] |
Percentage of Net Assets | 0.49% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Financial Services GC Mountaintop Holdings, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 507 | [4],[5],[6],[8] |
Amortized Cost | 648 | [4],[5],[7],[8] |
Fair Value | $ 680 | [4],[5],[8] |
Percentage of Net Assets | 0.23% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Financial Services GC Mountaintop Intermediate II Inc Asset Type Preferred Interest Rate 11.00% PIK | ||
Schedule of Investments [Line Items] | ||
Interest Rate Paid in Kind | 11% | [2],[4],[5],[8] |
Par Amount / Shares | $ 0 | [4],[5],[6],[8] |
Amortized Cost | 782 | [4],[5],[7],[8] |
Fair Value | $ 792 | [4],[5],[8] |
Percentage of Net Assets | 0.26% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Energy Equipment and Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 895 | [5],[7],[8] |
Fair Value | $ 902 | [5],[8] |
Percentage of Net Assets | 0.30% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Energy Equipment and Services Tiger Parent Holdco L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 895 | [4],[5],[7],[8] |
Fair Value | $ 902 | [4],[5],[8] |
Percentage of Net Assets | 0.30% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 1,850 | [5],[7],[8] |
Fair Value | $ 1,947 | [5],[8] |
Percentage of Net Assets | 0.65% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services Holocene Topco LP Asset Type Preferred | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 136 | [4],[5],[6],[8],[10] |
Amortized Cost | 322 | [4],[5],[7],[8],[10] |
Fair Value | $ 337 | [4],[5],[8],[10] |
Percentage of Net Assets | 0.11% | [4],[5],[8],[10] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services Oral Surgery Holdings, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 42 | [4],[5],[6],[8] |
Amortized Cost | 554 | [4],[5],[7],[8] |
Fair Value | $ 625 | [4],[5],[8] |
Percentage of Net Assets | 0.21% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services REP Coinvest III AGP Blocker, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 155 | [4],[5],[6],[8] |
Amortized Cost | 409 | [4],[5],[7],[8] |
Fair Value | $ 424 | [4],[5],[8] |
Percentage of Net Assets | 0.14% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services REP Coinvest III AGP, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 66 | [4],[5],[6],[8] |
Amortized Cost | 175 | [4],[5],[7],[8] |
Fair Value | $ 182 | [4],[5],[8] |
Percentage of Net Assets | 0.06% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services RxSense Group LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 14 | [4],[5],[6],[8] |
Amortized Cost | 284 | [4],[5],[7],[8] |
Fair Value | $ 284 | [4],[5],[8] |
Percentage of Net Assets | 0.10% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services US Heart And Vascular Holdings LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 100 | [4],[5],[6],[8] |
Amortized Cost | 106 | [4],[5],[7],[8] |
Fair Value | $ 95 | [4],[5],[8] |
Percentage of Net Assets | 0.03% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments IT Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 2,230 | [5],[7],[8] |
Fair Value | $ 2,300 | [5],[8] |
Percentage of Net Assets | 0.76% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments IT Services OEC Holdco, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 321 | [4],[5],[7],[8] |
Fair Value | $ 400 | [4],[5],[8] |
Percentage of Net Assets | 0.13% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments IT Services OEC Holdco, LLC Asset Type Preferred Interest Rate 11.00% PIK | ||
Schedule of Investments [Line Items] | ||
Interest Rate Paid in Kind | 11% | [2],[4],[5],[8] |
Par Amount / Shares | $ 2 | [4],[5],[6],[8] |
Amortized Cost | 1,909 | [4],[5],[7],[8] |
Fair Value | $ 1,900 | [4],[5],[8] |
Percentage of Net Assets | 0.63% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 1,470 | [5],[7],[8] |
Fair Value | $ 1,584 | [5],[8] |
Percentage of Net Assets | 0.52% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance Accelerate Topco Holdings LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 6 | [4],[5],[6],[8] |
Amortized Cost | 222 | [4],[5],[7],[8] |
Fair Value | $ 227 | [4],[5],[8] |
Percentage of Net Assets | 0.08% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance IMG Blocker Buyer Parent, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 6 | [4],[5],[7],[8] |
Fair Value | 6 | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance IMG Blocker Buyer Parent, LLC Asset Type Preferred | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | 48 | [4],[5],[6],[8] |
Amortized Cost | 571 | [4],[5],[7],[8] |
Fair Value | $ 579 | [4],[5],[8] |
Percentage of Net Assets | 0.19% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance Integrity Marketing Group, LLC Asset Type Preferred | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 147 | [4],[5],[6],[8] |
Amortized Cost | 181 | [4],[5],[7],[8] |
Fair Value | $ 180 | [4],[5],[8] |
Percentage of Net Assets | 0.06% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance LEP McLarens Co-Invest, L.P Asset Type LP Units | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 40 | [4],[5],[6],[8] |
Amortized Cost | 132 | [4],[5],[7],[8] |
Fair Value | $ 153 | [4],[5],[8] |
Percentage of Net Assets | 0.05% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance LEP Pequod Holdings LP Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 226 | [4],[5],[7],[8] |
Fair Value | $ 298 | [4],[5],[8] |
Percentage of Net Assets | 0.10% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance OHCP V GA COI, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 11 | [4],[5],[6],[8] |
Amortized Cost | 13 | [4],[5],[7],[8] |
Fair Value | $ 14 | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance OHCP V GA COI, L.P Asset Type Preferred Interest Rate 14.00% (Incl. 12.00% PIK) | ||
Schedule of Investments [Line Items] | ||
Interest Rate | 14% | [2],[4],[5],[8] |
Interest Rate Paid in Kind | 12% | [2],[4],[5],[8] |
Par Amount / Shares | $ 98 | [4],[5],[6],[8] |
Amortized Cost | 119 | [4],[5],[7],[8] |
Fair Value | $ 127 | [4],[5],[8] |
Percentage of Net Assets | 0.04% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Internet Software & Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 673 | [5],[7],[8] |
Fair Value | $ 672 | [5],[8] |
Percentage of Net Assets | 0.23% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Internet Software & Services Winterfell Co-Invest SCSp Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 445 | [4],[5],[6],[8] |
Amortized Cost | 673 | [4],[5],[7],[8] |
Fair Value | $ 672 | [4],[5],[8] |
Percentage of Net Assets | 0.23% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Professional Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 738 | [5],[7],[8] |
Fair Value | $ 655 | [5],[8] |
Percentage of Net Assets | 0.22% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Professional Services Elevator Holdco, Inc Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 453 | [4],[5],[7],[8] |
Fair Value | $ 397 | [4],[5],[8] |
Percentage of Net Assets | 0.13% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Professional Services TVG-KUSRP Holdings, LP Asset Type Preferred | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 285 | [4],[5],[7],[8] |
Fair Value | $ 258 | [4],[5],[8] |
Percentage of Net Assets | 0.09% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Software | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 362 | [5],[7],[8] |
Fair Value | $ 400 | [5],[8] |
Percentage of Net Assets | 0.13% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Software North Star Acquisition Aggregator, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 336 | [4],[5],[6],[8] |
Amortized Cost | 362 | [4],[5],[7],[8] |
Fair Value | $ 400 | [4],[5],[8] |
Percentage of Net Assets | 0.13% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Trading Companies and Distributors | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 709 | [5],[7],[8] |
Fair Value | $ 539 | [5],[8] |
Percentage of Net Assets | 0.17% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Trading Companies and Distributors Graffiti Parent, LP Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Par Amount / Shares | $ 2 | [4],[5],[6],[8] |
Amortized Cost | 522 | [4],[5],[7],[8] |
Fair Value | $ 344 | [4],[5],[8] |
Percentage of Net Assets | 0.11% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Trading Companies and Distributors Kele Holdings, Inc Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 187 | [4],[5],[7],[8] |
Fair Value | $ 195 | [4],[5],[8] |
Percentage of Net Assets | 0.06% | [4],[5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 4,837 | [5],[7] |
Fair Value | $ 4,830 | [5] |
Percentage of Net Assets | 1.60% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.69% Interest Rate Floor 1.00% Interest Rate 11.14% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.69% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.14% | [2],[3],[4],[5] |
Maturity Date | Jun. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 34 | [3],[4],[5],[6] |
Amortized Cost | 34 | [3],[4],[5],[7] |
Fair Value | $ 33 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Jun. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 9 | [3],[4],[5],[6] |
Amortized Cost | 9 | [3],[4],[5],[7] |
Fair Value | $ 9 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Jun. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 41 | [3],[4],[5],[6] |
Amortized Cost | 41 | [3],[4],[5],[7] |
Fair Value | $ 39 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.69% Interest Rate Floor 1.00% Interest Rate 11.14% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.69% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.14% | [2],[3],[4],[5] |
Maturity Date | Jun. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 131 | [3],[4],[5],[6] |
Amortized Cost | 131 | [3],[4],[5],[7] |
Fair Value | $ 128 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics Lightbeam Bidco Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor .75% Interest Rate 11.55% Maturity Date 5/4/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.55% | [2],[3],[4],[5] |
Maturity Date | May 04, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 595 | [3],[4],[5],[6] |
Amortized Cost | 595 | [3],[4],[5],[7] |
Fair Value | $ 595 | [3],[4],[5] |
Percentage of Net Assets | 0.20% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics Lightbeam Bidco Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.25% Interest Rate Floor .75% Interest Rate 11.55% Maturity Date 5/4/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 11.55% | [2],[4],[5],[11] |
Maturity Date | May 04, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 476 | [4],[5],[6],[11] |
Amortized Cost | 63 | [4],[5],[7],[11] |
Fair Value | $ 63 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics Lightbeam Bidco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor .75% Interest Rate 11.55% Maturity Date 5/4/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.55% | [2],[3],[4],[5] |
Maturity Date | May 04, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 3,929 | [3],[4],[5],[6] |
Amortized Cost | 3,929 | [3],[4],[5],[7] |
Fair Value | $ 3,929 | [3],[4],[5] |
Percentage of Net Assets | 1.30% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 14,028 | [5],[7] |
Fair Value | $ 14,044 | [5] |
Percentage of Net Assets | 4.67% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Enthusiast Auto Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.68% | [2],[3],[4],[5] |
Maturity Date | Dec. 19, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 1,500 | [3],[4],[5],[6] |
Amortized Cost | 1,477 | [3],[4],[5],[7] |
Fair Value | $ 1,500 | [3],[4],[5] |
Percentage of Net Assets | 0.50% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Enthusiast Auto Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.68% Maturity Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.68% | [2],[3],[4],[5] |
Maturity Date | Dec. 19, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 1,500 | [3],[4],[5],[6] |
Amortized Cost | 1,494 | [3],[4],[5],[7] |
Fair Value | $ 1,500 | [3],[4],[5] |
Percentage of Net Assets | 0.50% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components JHCC Holdings LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Sep. 09, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,085 | [3],[4],[5],[6] |
Amortized Cost | 2,080 | [3],[4],[5],[7] |
Fair Value | $ 2,043 | [3],[4],[5] |
Percentage of Net Assets | 0.68% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components JHCC Holdings LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.68% | [2],[4],[5],[11] |
Maturity Date | Sep. 09, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 249 | [4],[5],[6],[11] |
Amortized Cost | 99 | [4],[5],[7],[11] |
Fair Value | $ 95 | [4],[5],[11] |
Percentage of Net Assets | 0.03% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components JHCC Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Sep. 09, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,726 | [3],[4],[5],[6] |
Amortized Cost | 2,720 | [3],[4],[5],[7] |
Fair Value | $ 2,672 | [3],[4],[5] |
Percentage of Net Assets | 0.89% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components JHCC Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.20% Maturity Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 12.20% | [2],[3],[4],[5] |
Maturity Date | Sep. 09, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 424 | [3],[4],[5],[6] |
Amortized Cost | 423 | [3],[4],[5],[7] |
Fair Value | $ 424 | [3],[4],[5] |
Percentage of Net Assets | 0.14% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components OAC Holdings I Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 3/30/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.43% | [2],[3],[4],[5] |
Maturity Date | Mar. 30, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 2,993 | [3],[4],[5],[6] |
Amortized Cost | 2,877 | [3],[4],[5],[7] |
Fair Value | $ 2,955 | [3],[4],[5] |
Percentage of Net Assets | 0.98% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Quality Automotive Services, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 7/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.20% | [2],[4],[5] |
Maturity Date | Jul. 16, 2027 | [4],[5] |
Par Amount / Shares | $ 472 | [4],[5],[6] |
Amortized Cost | 469 | [4],[5],[7] |
Fair Value | $ 469 | [4],[5] |
Percentage of Net Assets | 0.16% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Quality Automotive Services, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 7/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | Jul. 16, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 130 | [4],[5],[6],[11] |
Amortized Cost | (1) | [4],[5],[7],[11] |
Fair Value | $ (1) | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Quality Automotive Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 7/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.08% | [2],[3],[4],[5] |
Maturity Date | Jul. 16, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 2,399 | [3],[4],[5],[6] |
Amortized Cost | 2,390 | [3],[4],[5],[7] |
Fair Value | $ 2,387 | [3],[4],[5] |
Percentage of Net Assets | 0.79% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 4,120 | [5],[7] |
Fair Value | $ 4,126 | [5] |
Percentage of Net Assets | 1.37% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products 80/20, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 3/1/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Mar. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 247 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products SV-MDC Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 8/31/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.43% | [2],[3],[4],[5] |
Maturity Date | Aug. 31, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 193 | [3],[4],[5],[6] |
Amortized Cost | 193 | [3],[4],[5],[7] |
Fair Value | $ 191 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products SV-MDC Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 8/31/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.18% | [2],[3],[4],[5] |
Maturity Date | Aug. 31, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 48 | [3],[4],[5],[6] |
Amortized Cost | 48 | [3],[4],[5],[7] |
Fair Value | $ 48 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products SureWerx Purchaser III Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor .75% Interest Rate 12.05% Maturity Date 12/28/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 12.05% | [2],[3],[4],[5] |
Maturity Date | Dec. 28, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products WST USA Holdco, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 3/31/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[12] |
Interest Rate Floor | 1% | [4],[5],[12] |
Interest Rate | 10.65% | [2],[4],[5],[12] |
Maturity Date | Mar. 31, 2027 | [4],[5],[12] |
Par Amount / Shares | $ 2,500 | [4],[5],[6],[12] |
Amortized Cost | 899 | [4],[5],[7],[12] |
Fair Value | $ 904 | [4],[5],[12] |
Percentage of Net Assets | 0.30% | [4],[5],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products WST USA Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 3/31/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5],[12] |
Interest Rate Floor | 1% | [3],[4],[5],[12] |
Interest Rate | 10.65% | [2],[3],[4],[5],[12] |
Maturity Date | Mar. 31, 2027 | [3],[4],[5],[12] |
Par Amount / Shares | $ 2,500 | [3],[4],[5],[6],[12] |
Amortized Cost | 2,484 | [3],[4],[5],[7],[12] |
Fair Value | $ 2,488 | [3],[4],[5],[12] |
Percentage of Net Assets | 0.83% | [3],[4],[5],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 11,582 | [5],[7] |
Fair Value | $ 11,529 | [5] |
Percentage of Net Assets | 3.82% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets AQ Sage Buyer, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.48% Maturity Date 1/25/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.48% | [2],[3],[4],[5] |
Maturity Date | Jan. 25, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 63 | [3],[4],[5],[6] |
Amortized Cost | 61 | [3],[4],[5],[7] |
Fair Value | $ 62 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets AQ Sage Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 1/25/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Jan. 25, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 186 | [3],[4],[5],[6] |
Amortized Cost | 181 | [3],[4],[5],[7] |
Fair Value | $ 183 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Allworth Financial Group, L.P. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.93% | [2],[3],[4],[5] |
Maturity Date | Dec. 23, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,436 | [3],[4],[5],[6] |
Amortized Cost | 2,436 | [3],[4],[5],[7] |
Fair Value | $ 2,406 | [3],[4],[5] |
Percentage of Net Assets | 0.80% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Allworth Financial Group, L.P. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.93% | [2],[3],[4],[5] |
Maturity Date | Dec. 23, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,551 | [3],[4],[5],[6] |
Amortized Cost | 2,551 | [3],[4],[5],[7] |
Fair Value | $ 2,519 | [3],[4],[5] |
Percentage of Net Assets | 0.84% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Edgeco Buyer, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.15% Maturity Date 6/1/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5],[11] |
Interest Rate Floor | 1% | [3],[4],[5],[11] |
Interest Rate | 10.15% | [2],[3],[4],[5],[11] |
Maturity Date | Jun. 01, 2026 | [3],[4],[5],[11] |
Par Amount / Shares | $ 79 | [3],[4],[5],[6],[11] |
Amortized Cost | 70 | [3],[4],[5],[7],[11] |
Fair Value | $ 71 | [3],[4],[5],[11] |
Percentage of Net Assets | 0.02% | [3],[4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Edgeco Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.15% Maturity Date 6/1/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.15% | [2],[3],[4],[5] |
Maturity Date | Jun. 01, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 170 | [3],[4],[5],[6] |
Amortized Cost | 169 | [3],[4],[5],[7] |
Fair Value | $ 170 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Lido Advisors, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 6/15/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Jun. 15, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 3,491 | [3],[4],[5],[6] |
Amortized Cost | 3,491 | [3],[4],[5],[7] |
Fair Value | $ 3,482 | [3],[4],[5] |
Percentage of Net Assets | 1.15% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Pathstone Family Office LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 12.08% Maturity Date 5/15/2029 | ||
Schedule of Investments [Line Items] | ||
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 12.08% | [2],[4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Pathstone Family Office LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.08% Maturity Date 5/15/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[4],[5],[11] |
Maturity Date | May 15, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 285 | [4],[5],[6],[11] |
Amortized Cost | (3) | [4],[5],[7],[11] |
Fair Value | $ (2) | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Pathstone Family Office LLC Asset Type First Lien Revolver Reference Rate and Spread P + 5.75% Interest Rate Floor 0.00% Interest Rate 14.25% Maturity Date 5/15/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 14.25% | [2],[4],[5],[11] |
Maturity Date | May 15, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 87 | [4],[5],[6],[11] |
Amortized Cost | 29 | [4],[5],[7],[11] |
Fair Value | $ 30 | [4],[5],[11] |
Percentage of Net Assets | 0.01% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Pathstone Family Office LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.18% Maturity Date 5/15/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 12.18% | [2],[3],[4],[5] |
Maturity Date | May 15, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 2,628 | [3],[4],[5],[6] |
Amortized Cost | 2,597 | [3],[4],[5],[7] |
Fair Value | $ 2,608 | [3],[4],[5] |
Percentage of Net Assets | 0.86% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 3,898 | [5],[7] |
Fair Value | $ 3,935 | [5] |
Percentage of Net Assets | 1.31% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Aurora Plastics, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.18% Maturity Date 8/10/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.18% | [2],[3],[4],[5] |
Maturity Date | Aug. 10, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 51 | [3],[4],[5],[6] |
Amortized Cost | 49 | [3],[4],[5],[7] |
Fair Value | $ 50 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Aurora Plastics, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.18% Maturity Date 8/10/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.18% | [2],[3],[4],[5] |
Maturity Date | Aug. 10, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 199 | [3],[4],[5],[6] |
Amortized Cost | 190 | [3],[4],[5],[7] |
Fair Value | $ 196 | [3],[4],[5] |
Percentage of Net Assets | 0.07% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals DCG Acquisition Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.00% Interest Rate 10.68% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0% | [3],[4],[5] |
Interest Rate | 10.68% | [2],[3],[4],[5] |
Maturity Date | Sep. 30, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,638 | [3],[4],[5],[6] |
Amortized Cost | 2,571 | [3],[4],[5],[7] |
Fair Value | $ 2,591 | [3],[4],[5] |
Percentage of Net Assets | 0.86% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals DCG Acquisition Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.18% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0% | [3],[4],[5] |
Interest Rate | 11.18% | [2],[3],[4],[5] |
Maturity Date | Sep. 30, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 355 | [3],[4],[5],[6] |
Amortized Cost | 350 | [3],[4],[5],[7] |
Fair Value | $ 351 | [3],[4],[5] |
Percentage of Net Assets | 0.12% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Formulations Parent Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 11/15/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Nov. 15, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Lubricant Engineers Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.30% Maturity Date 9/1/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.30% | [2],[3],[4],[5] |
Maturity Date | Sep. 01, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 242 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Tangent Technologies Acquisition, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 11/30/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.22% | [2],[3],[4],[5] |
Maturity Date | Nov. 30, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 248 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 40,529 | [5],[7] |
Fair Value | $ 40,466 | [5] |
Percentage of Net Assets | 13.42% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies AWP Group Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.90% | [2],[4],[5],[11] |
Maturity Date | Dec. 24, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 213 | [4],[5],[6],[11] |
Amortized Cost | 10 | [4],[5],[7],[11] |
Fair Value | $ 10 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies AWP Group Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.90% | [2],[4],[5],[11] |
Maturity Date | Dec. 24, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 47 | [4],[5],[6],[11] |
Amortized Cost | 14 | [4],[5],[7],[11] |
Fair Value | $ 14 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies AWP Group Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Dec. 24, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 2,733 | [3],[4],[5],[6] |
Amortized Cost | 2,733 | [3],[4],[5],[7] |
Fair Value | $ 2,733 | [3],[4],[5] |
Percentage of Net Assets | 0.91% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Ares Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 11/18/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.93% | [2],[4],[5],[11] |
Maturity Date | Nov. 18, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 98 | [4],[5],[6],[11] |
Amortized Cost | 31 | [4],[5],[7],[11] |
Fair Value | $ 31 | [4],[5],[11] |
Percentage of Net Assets | 0.01% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Ares Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.27% Interest Rate Floor 1.00% Interest Rate 10.67% Maturity Date 11/18/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.27% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.67% | [2],[3],[4],[5] |
Maturity Date | Nov. 18, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 1,000 | [3],[4],[5],[6] |
Amortized Cost | 985 | [3],[4],[5],[7] |
Fair Value | $ 977 | [3],[4],[5] |
Percentage of Net Assets | 0.33% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Ares Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 11/18/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Nov. 18, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 3,902 | [3],[4],[5],[6] |
Amortized Cost | 3,857 | [3],[4],[5],[7] |
Fair Value | $ 3,834 | [3],[4],[5] |
Percentage of Net Assets | 1.27% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies CoolSys, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.31% Maturity Date 8/11/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.31% | [2],[3],[4],[5] |
Maturity Date | Aug. 11, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 234 | [3],[4],[5],[7] |
Fair Value | $ 245 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies EXT Acquisitions, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.70% Maturity Date 6/26/2024 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.70% | [2],[3],[4],[5] |
Maturity Date | Jun. 26, 2024 | [3],[4],[5] |
Par Amount / Shares | $ 16 | [3],[4],[5],[6] |
Amortized Cost | 16 | [3],[4],[5],[7] |
Fair Value | $ 16 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies EXT Acquisitions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.70% Maturity Date 6/26/2024 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.70% | [2],[3],[4],[5] |
Maturity Date | Jun. 26, 2024 | [3],[4],[5] |
Par Amount / Shares | $ 234 | [3],[4],[5],[6] |
Amortized Cost | 233 | [3],[4],[5],[7] |
Fair Value | $ 234 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies FL Hawk Intermediate Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.08% Maturity Date 2/22/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.08% | [2],[4],[5],[11] |
Maturity Date | Feb. 22, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 1,190 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies FL Hawk Intermediate Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.31% Maturity Date 2/22/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.31% | [2],[3],[4],[5] |
Maturity Date | Feb. 22, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 250 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies FL Hawk Intermediate Holdings, Inc. Asset Type Second Lien Term Loan Reference Rate and Spread S + 8.75% Interest Rate Floor 1.00% Interest Rate 14.31% Maturity Date 8/22/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 8.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 14.31% | [2],[3],[4],[5] |
Maturity Date | Aug. 22, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 1,560 | [3],[4],[5],[6] |
Amortized Cost | 1,560 | [3],[4],[5],[7] |
Fair Value | $ 1,560 | [3],[4],[5] |
Percentage of Net Assets | 0.52% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Fresh Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 1/24/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Jan. 24, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 247 | [3],[4],[5],[7] |
Fair Value | $ 247 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies HP RSS Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.30% Maturity Date 12/11/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.30% | [2],[3],[4],[5] |
Maturity Date | Dec. 11, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 5,000 | [3],[4],[5],[6] |
Amortized Cost | 4,940 | [3],[4],[5],[7] |
Fair Value | $ 4,950 | [3],[4],[5] |
Percentage of Net Assets | 1.64% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies HeartLand PPC Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 12/12/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Dec. 12, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 3,000 | [3],[4],[5],[6] |
Amortized Cost | 2,964 | [3],[4],[5],[7] |
Fair Value | $ 2,963 | [3],[4],[5] |
Percentage of Net Assets | 0.98% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Hercules Borrower LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/15/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Dec. 15, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 306 | [3],[4],[5],[6] |
Amortized Cost | 306 | [3],[4],[5],[7] |
Fair Value | $ 306 | [3],[4],[5] |
Percentage of Net Assets | 0.10% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Hercules Borrower LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 12/15/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.83% | [2],[4],[5],[11] |
Maturity Date | Dec. 15, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 329 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Hercules Borrower LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/15/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Dec. 15, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 33 | [3],[4],[5],[6] |
Amortized Cost | 33 | [3],[4],[5],[7] |
Fair Value | $ 33 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Hercules Borrower LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.65% Maturity Date 12/15/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.65% | [2],[3],[4],[5] |
Maturity Date | Dec. 15, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,325 | [3],[4],[5],[6] |
Amortized Cost | 2,324 | [3],[4],[5],[7] |
Fair Value | $ 2,324 | [3],[4],[5] |
Percentage of Net Assets | 0.77% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies High Bar Brands Operating, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.55% Maturity Date 12/19/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5],[12] |
Interest Rate Floor | 1% | [3],[4],[5],[12] |
Interest Rate | 10.55% | [2],[3],[4],[5],[12] |
Maturity Date | Dec. 19, 2029 | [3],[4],[5],[12] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6],[12] |
Amortized Cost | 246 | [3],[4],[5],[7],[12] |
Fair Value | $ 248 | [3],[4],[5],[12] |
Percentage of Net Assets | 0.08% | [3],[4],[5],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Monarch Landscape Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.55% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.55% | [2],[3],[4],[5] |
Maturity Date | Mar. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 307 | [3],[4],[5],[6] |
Amortized Cost | 301 | [3],[4],[5],[7] |
Fair Value | $ 297 | [3],[4],[5] |
Percentage of Net Assets | 0.10% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Monarch Landscape Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.05% | [2],[4],[5] |
Maturity Date | Mar. 31, 2028 | [4],[5] |
Par Amount / Shares | $ 879 | [4],[5],[6] |
Amortized Cost | 871 | [4],[5],[7] |
Fair Value | $ 868 | [4],[5] |
Percentage of Net Assets | 0.29% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Monarch Landscape Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Mar. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 1,809 | [3],[4],[5],[6] |
Amortized Cost | 1,805 | [3],[4],[5],[7] |
Fair Value | $ 1,786 | [3],[4],[5] |
Percentage of Net Assets | 0.59% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Paint Intermediate III, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.18% Maturity Date 10/7/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 11.18% | [2],[4],[5],[11] |
Maturity Date | Oct. 07, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 1,002 | [4],[5],[6],[11] |
Amortized Cost | 327 | [4],[5],[7],[11] |
Fair Value | $ 329 | [4],[5],[11] |
Percentage of Net Assets | 0.11% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Paint Intermediate III, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 10/6/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Oct. 06, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 5,484 | [3],[4],[5],[6] |
Amortized Cost | 5,445 | [3],[4],[5],[7] |
Fair Value | $ 5,456 | [3],[4],[5] |
Percentage of Net Assets | 1.81% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Palmetto Acquisitionco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 9/18/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Sep. 18, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 248 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Rotating Machinery Services, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 6/10/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Jun. 10, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Thermostat Purchaser III, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.95% Maturity Date 8/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 9.95% | [2],[3],[4],[5] |
Maturity Date | Aug. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Valet Waste Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.93% Maturity Date 9/3/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.93% | [2],[3],[4],[5] |
Maturity Date | Sep. 03, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies WRE Holding Corp. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.39% Maturity Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.39% | [2],[4],[5] |
Maturity Date | Jan. 03, 2025 | [4],[5] |
Par Amount / Shares | $ 974 | [4],[5],[6] |
Amortized Cost | 966 | [4],[5],[7] |
Fair Value | $ 961 | [4],[5] |
Percentage of Net Assets | 0.32% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies WRE Holding Corp. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.42% Maturity Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.42% | [2],[3],[4],[5] |
Maturity Date | Jan. 03, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 1,143 | [3],[4],[5],[6] |
Amortized Cost | 1,134 | [3],[4],[5],[7] |
Fair Value | $ 1,128 | [3],[4],[5] |
Percentage of Net Assets | 0.37% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies WRE Holding Corp. Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.33% Maturity Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.33% | [2],[4],[5],[11] |
Maturity Date | Jan. 03, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 189 | [4],[5],[6],[11] |
Amortized Cost | (1) | [4],[5],[7],[11] |
Fair Value | $ (2) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies WRE Holding Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.42% Maturity Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.42% | [2],[3],[4],[5] |
Maturity Date | Jan. 03, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 695 | [3],[4],[5],[6] |
Amortized Cost | 689 | [3],[4],[5],[7] |
Fair Value | $ 686 | [3],[4],[5] |
Percentage of Net Assets | 0.23% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies YLG Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.65% | [2],[3],[4],[5] |
Maturity Date | Oct. 31, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 1,416 | [3],[4],[5],[6] |
Amortized Cost | 1,416 | [3],[4],[5],[7] |
Fair Value | $ 1,413 | [3],[4],[5] |
Percentage of Net Assets | 0.47% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies YLG Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.90% | [2],[4],[5],[11] |
Maturity Date | Oct. 31, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 572 | [4],[5],[6],[11] |
Amortized Cost | 53 | [4],[5],[7],[11] |
Fair Value | $ 53 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies YLG Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.58% Maturity Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.58% | [2],[4],[5],[11] |
Maturity Date | Oct. 31, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 399 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ (1) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies YLG Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.40% Maturity Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.40% | [2],[3],[4],[5] |
Maturity Date | Oct. 31, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 2,613 | [3],[4],[5],[6] |
Amortized Cost | 2,613 | [3],[4],[5],[7] |
Fair Value | $ 2,606 | [3],[4],[5] |
Percentage of Net Assets | 0.87% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Zone Climate Services, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 3/9/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Mar. 09, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 3,000 | [3],[4],[5],[6] |
Amortized Cost | 2,942 | [3],[4],[5],[7] |
Fair Value | $ 2,918 | [3],[4],[5] |
Percentage of Net Assets | 0.97% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 5,016 | [5],[7] |
Fair Value | $ 5,057 | [5] |
Percentage of Net Assets | 1.68% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering Kleinfelder Intermediate LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 0.75% Interest Rate 11.58% Maturity Date 9/18/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.58% | [2],[3],[4],[5] |
Maturity Date | Sep. 18, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering MEI Buyer LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 0.00% Interest Rate 11.83% Maturity Date 6/29/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.83% | [2],[4],[5],[11] |
Maturity Date | Jun. 29, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 681 | [4],[5],[6],[11] |
Amortized Cost | (5) | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering MEI Buyer LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 6/29/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.83% | [2],[3],[4],[5] |
Maturity Date | Jun. 29, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 4,309 | [3],[4],[5],[6] |
Amortized Cost | 4,279 | [3],[4],[5],[7] |
Fair Value | $ 4,309 | [3],[4],[5] |
Percentage of Net Assets | 1.43% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering TranSystems Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.95% Maturity Date 3/31/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.95% | [2],[3],[4],[5] |
Maturity Date | Mar. 31, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 191 | [3],[4],[5],[6] |
Amortized Cost | 191 | [3],[4],[5],[7] |
Fair Value | $ 191 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering TranSystems Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 3/31/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Mar. 31, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 59 | [3],[4],[5],[6] |
Amortized Cost | 59 | [3],[4],[5],[7] |
Fair Value | $ 59 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering Trilon Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.95% Maturity Date 5/25/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.95% | [2],[3],[4],[5] |
Maturity Date | May 25, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 104 | [3],[4],[5],[6] |
Amortized Cost | 101 | [3],[4],[5],[7] |
Fair Value | $ 103 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering Trilon Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 5/27/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.70% | [2],[3],[4],[5] |
Maturity Date | May 27, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 51 | [3],[4],[5],[6] |
Amortized Cost | 50 | [3],[4],[5],[7] |
Fair Value | $ 51 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering Trilon Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.95% Maturity Date 5/25/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.95% | [2],[3],[4],[5] |
Maturity Date | May 25, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 95 | [3],[4],[5],[6] |
Amortized Cost | 92 | [3],[4],[5],[7] |
Fair Value | $ 95 | [3],[4],[5] |
Percentage of Net Assets | 0.03% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction Materials | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 3,470 | [5],[7] |
Fair Value | $ 3,424 | [5] |
Percentage of Net Assets | 1.14% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction Materials Arrow Tru-Line Holding, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.63% Interest Rate Floor 1.00% Interest Rate 11.19% Maturity Date 9/20/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.63% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.19% | [2],[3],[4],[5] |
Maturity Date | Sep. 20, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.09% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction Materials Pearlman Enterprises Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.68% Maturity Date 5/5/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.68% | [2],[3],[4],[5] |
Maturity Date | May 05, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 3,000 | [3],[4],[5],[6] |
Amortized Cost | 2,980 | [3],[4],[5],[7] |
Fair Value | $ 2,933 | [3],[4],[5] |
Percentage of Net Assets | 0.97% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction Materials Profile Products LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.90% Maturity Date 11/12/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Nov. 12, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 241 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Consumer Services GS Seer Group Borrower LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00%Interest Rate 12.05% Maturity Date 04/29/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 12.05% | [2],[3],[4],[5] |
Maturity Date | Apr. 29, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 4,987 | [3],[4],[5],[6] |
Amortized Cost | 4,890 | [3],[4],[5],[7] |
Fair Value | $ 4,913 | [3],[4],[5] |
Percentage of Net Assets | 1.63% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Consumer Services GSV Holding, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 04/03/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5],[11] |
Interest Rate Floor | 1% | [3],[4],[5],[11] |
Interest Rate | 11.45% | [2],[3],[4],[5],[11] |
Maturity Date | Apr. 03, 2028 | [3],[4],[5],[11] |
Par Amount / Shares | $ 155 | [3],[4],[5],[6],[11] |
Amortized Cost | 144 | [3],[4],[5],[7],[11] |
Fair Value | $ 145 | [3],[4],[5],[11] |
Percentage of Net Assets | 0.05% | [3],[4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Consumer Services VPP Intermediate Holdings, LLC Asset Type First Lien Delayed Draw Term Loan One Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 12/01/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.18% | [2],[3],[4],[5] |
Maturity Date | Dec. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 2,208 | [3],[4],[5],[6] |
Amortized Cost | 2,208 | [3],[4],[5],[7] |
Fair Value | $ 2,186 | [3],[4],[5] |
Percentage of Net Assets | 0.72% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 6,656 | [5],[7] |
Fair Value | $ 6,684 | [5] |
Percentage of Net Assets | 2.22% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging CFs Brands, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.33% Maturity Date 10/2/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.33% | [2],[3],[4],[5] |
Maturity Date | Oct. 02, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 247 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging Cold Chain Technologies, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 0.00% Interest Rate 10.33% Maturity Date 8/2/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.33% | [2],[4],[5],[11] |
Maturity Date | Aug. 02, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 197 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging Cold Chain Technologies, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 8/2/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Aug. 02, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 2,799 | [3],[4],[5],[6] |
Amortized Cost | 2,799 | [3],[4],[5],[7] |
Fair Value | $ 2,799 | [3],[4],[5] |
Percentage of Net Assets | 0.93% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging New ILC Dover, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.68% | [2],[3],[4],[5] |
Maturity Date | Feb. 02, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 157 | [3],[4],[5],[6] |
Amortized Cost | 153 | [3],[4],[5],[7] |
Fair Value | $ 154 | [3],[4],[5] |
Percentage of Net Assets | 0.05% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging New ILC Dover, Inc. Asset Type First Lien Revolver Reference Rate and Spread P + 4.25% Interest Rate Floor 0.00% Interest Rate 12.75% Maturity Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 12.75% | [2],[4],[5],[11] |
Maturity Date | Feb. 02, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 91 | [4],[5],[6],[11] |
Amortized Cost | 55 | [4],[5],[7],[11] |
Fair Value | $ 55 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging New ILC Dover, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.68% | [2],[3],[4],[5] |
Maturity Date | Feb. 02, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,679 | [3],[4],[5],[6] |
Amortized Cost | 2,620 | [3],[4],[5],[7] |
Fair Value | $ 2,633 | [3],[4],[5] |
Percentage of Net Assets | 0.87% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging New ILC Dover, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.93% | [2],[3],[4],[5] |
Maturity Date | Feb. 02, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 48 | [3],[4],[5],[6] |
Amortized Cost | 47 | [3],[4],[5],[7] |
Fair Value | $ 47 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging Rohrer Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.47% Maturity Date 3/15/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.47% | [2],[3],[4],[5] |
Maturity Date | Mar. 15, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.09% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging SupplyOne, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 11/1/2024 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.43% | [2],[3],[4],[5] |
Maturity Date | Nov. 01, 2024 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging Tank Holding Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.18% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.18% | [2],[3],[4],[5] |
Maturity Date | Mar. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 240 | [3],[4],[5],[7] |
Fair Value | $ 247 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 10,601 | [5],[7] |
Fair Value | $ 10,628 | [5] |
Percentage of Net Assets | 3.52% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Aurora Parts & Accessories LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 1/13/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Jan. 13, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 250 | [3],[4],[5],[7] |
Fair Value | $ 245 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors BC Group Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.90% Maturity Date 12/21/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Dec. 21, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 248 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackbird Purchaser, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 12/19/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.80% | [2],[4],[5],[11] |
Maturity Date | Dec. 19, 2030 | [4],[5],[11] |
Par Amount / Shares | $ 928 | [4],[5],[6],[11] |
Amortized Cost | 176 | [4],[5],[7],[11] |
Fair Value | $ 185 | [4],[5],[11] |
Percentage of Net Assets | 0.06% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackbird Purchaser, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.83% Maturity Date 12/19/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.83% | [2],[4],[5],[11] |
Maturity Date | Dec. 19, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 619 | [4],[5],[6],[11] |
Amortized Cost | 68 | [4],[5],[7],[11] |
Fair Value | $ 74 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackbird Purchaser, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 12/19/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.80% | [2],[3],[4],[5] |
Maturity Date | Dec. 19, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 4,691 | [3],[4],[5],[6] |
Amortized Cost | 4,646 | [3],[4],[5],[7] |
Fair Value | $ 4,691 | [3],[4],[5] |
Percentage of Net Assets | 1.56% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackhawk Industrial Distribution, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/17/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.70% | [2],[3],[4],[5] |
Maturity Date | Sep. 17, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 240 | [3],[4],[5],[6] |
Amortized Cost | 240 | [3],[4],[5],[7] |
Fair Value | $ 239 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackhawk Industrial Distribution, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/17/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.70% | [2],[4],[5],[11] |
Maturity Date | Sep. 17, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 128 | [4],[5],[6],[11] |
Amortized Cost | 51 | [4],[5],[7],[11] |
Fair Value | $ 51 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackhawk Industrial Distribution, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/17/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.70% | [2],[3],[4],[5] |
Maturity Date | Sep. 17, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 492 | [3],[4],[5],[6] |
Amortized Cost | 492 | [3],[4],[5],[7] |
Fair Value | $ 490 | [3],[4],[5] |
Percentage of Net Assets | 0.16% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackhawk Industrial Distribution, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/17/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.70% | [2],[3],[4],[5] |
Maturity Date | Sep. 17, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 137 | [3],[4],[5],[6] |
Amortized Cost | 137 | [3],[4],[5],[7] |
Fair Value | $ 136 | [3],[4],[5] |
Percentage of Net Assets | 0.05% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Bradyifs Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.30% Maturity Date 10/31/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.30% | [2],[3],[4],[5] |
Maturity Date | Oct. 31, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 247 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors FCG Acquisitions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.50% Interest Rate 10.31% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.50% | [3],[4],[5] |
Interest Rate | 10.31% | [2],[3],[4],[5] |
Maturity Date | Mar. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Motion & Control Enterprises LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 6/1/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Jun. 01, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 625 | [3],[4],[5],[6] |
Amortized Cost | 619 | [3],[4],[5],[7] |
Fair Value | $ 618 | [3],[4],[5] |
Percentage of Net Assets | 0.20% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Motion & Control Enterprises LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 6/1/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Jun. 01, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 2,375 | [3],[4],[5],[6] |
Amortized Cost | 2,353 | [3],[4],[5],[7] |
Fair Value | $ 2,348 | [3],[4],[5] |
Percentage of Net Assets | 0.78% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Vessco Midco Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.82% Maturity Date 11/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.82% | [2],[3],[4],[5] |
Maturity Date | Nov. 02, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 118 | [3],[4],[5],[6] |
Amortized Cost | 118 | [3],[4],[5],[7] |
Fair Value | $ 116 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Vessco Midco Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.57% Maturity Date 11/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.57% | [2],[4],[5],[11] |
Maturity Date | Nov. 02, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 4,648 | [4],[5],[6],[11] |
Amortized Cost | 574 | [4],[5],[7],[11] |
Fair Value | $ 565 | [4],[5],[11] |
Percentage of Net Assets | 0.19% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Vessco Midco Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.93% Maturity Date 11/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.93% | [2],[3],[4],[5] |
Maturity Date | Nov. 02, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 132 | [3],[4],[5],[6] |
Amortized Cost | 132 | [3],[4],[5],[7] |
Fair Value | $ 130 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 41,332 | [5],[7] |
Fair Value | $ 41,330 | [5] |
Percentage of Net Assets | 13.69% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services AVE Holdings III, Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 02/25/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Feb. 25, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 247 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 03/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.40% | [2],[3],[4],[5] |
Maturity Date | Mar. 16, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 3,079 | [3],[4],[5],[6] |
Amortized Cost | 3,079 | [3],[4],[5],[7] |
Fair Value | $ 3,079 | [3],[4],[5] |
Percentage of Net Assets | 1.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.33% Maturity Date 03/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.33% | [2],[4],[5],[11] |
Maturity Date | Mar. 16, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 166 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 03/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.40% | [2],[3],[4],[5] |
Maturity Date | Mar. 16, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 836 | [3],[4],[5],[6] |
Amortized Cost | 836 | [3],[4],[5],[7] |
Fair Value | $ 836 | [3],[4],[5] |
Percentage of Net Assets | 0.28% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Apex Service Partners, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 12.30% (Incl. 2.00% PIK) Maturity Date 10/24/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 12.30% | [2],[4],[5],[11] |
Interest Rate Paid in Kind | 2% | [2],[4],[5],[11] |
Maturity Date | Oct. 24, 2030 | [4],[5],[11] |
Par Amount / Shares | $ 1,135 | [4],[5],[6],[11] |
Amortized Cost | 605 | [4],[5],[7],[11] |
Fair Value | $ 604 | [4],[5],[11] |
Percentage of Net Assets | 0.20% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Apex Service Partners, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 10/24/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.80% | [2],[4],[5],[11] |
Maturity Date | Oct. 24, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 378 | [4],[5],[6],[11] |
Amortized Cost | 144 | [4],[5],[7],[11] |
Fair Value | $ 141 | [4],[5],[11] |
Percentage of Net Assets | 0.05% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Apex Service Partners, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 12.30% (Incl. 2.00% PIK) Maturity Date 10/24/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 12.30% | [2],[3],[4],[5] |
Interest Rate Paid in Kind | 2% | [2],[3],[4],[5] |
Maturity Date | Oct. 24, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 4,771 | [3],[4],[5],[6] |
Amortized Cost | 4,701 | [3],[4],[5],[7] |
Fair Value | $ 4,695 | [3],[4],[5] |
Percentage of Net Assets | 1.56% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services COP Hometown Acquisitions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 07/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Jul. 16, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 5,000 | [3],[4],[5],[6] |
Amortized Cost | 4,894 | [3],[4],[5],[7] |
Fair Value | $ 4,955 | [3],[4],[5] |
Percentage of Net Assets | 1.64% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services EOS Fitness Opco Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 01/05/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Jan. 05, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 171 | [3],[4],[5],[6] |
Amortized Cost | 168 | [3],[4],[5],[7] |
Fair Value | $ 170 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services EOS Fitness Opco Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 01/05/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Jan. 05, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 1,641 | [3],[4],[5],[6] |
Amortized Cost | 1,611 | [3],[4],[5],[7] |
Fair Value | $ 1,629 | [3],[4],[5] |
Percentage of Net Assets | 0.54% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services EOS Fitness Opco Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.20% Maturity Date 01/05/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Jan. 05, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 182 | [3],[4],[5],[6] |
Amortized Cost | 179 | [3],[4],[5],[7] |
Fair Value | $ 182 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services FSHS I, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.43% Maturity Date 11/18/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.43% | [2],[3],[4],[5] |
Maturity Date | Nov. 18, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 4,027 | [3],[4],[5],[6] |
Amortized Cost | 4,027 | [3],[4],[5],[7] |
Fair Value | $ 3,980 | [3],[4],[5] |
Percentage of Net Assets | 1.32% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Flint Opco, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.55% Maturity Date 08/15/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.55% | [2],[3],[4],[5] |
Maturity Date | Aug. 15, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services GSV Holding, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 04/03/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Apr. 03, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 95 | [3],[4],[5],[6] |
Amortized Cost | 92 | [3],[4],[5],[7] |
Fair Value | $ 93 | [3],[4],[5] |
Percentage of Net Assets | 0.03% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Health Buyer LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 04/27/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Apr. 27, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 1,973 | [3],[4],[5],[6] |
Amortized Cost | 1,949 | [3],[4],[5],[7] |
Fair Value | $ 1,949 | [3],[4],[5] |
Percentage of Net Assets | 0.65% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Health Buyer LLC One Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.20% Maturity Date 04/27/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Apr. 27, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 1,019 | [3],[4],[5],[6] |
Amortized Cost | 1,014 | [3],[4],[5],[7] |
Fair Value | $ 1,017 | [3],[4],[5] |
Percentage of Net Assets | 0.34% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Home Service TopCo IV, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 12/31/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.40% | [2],[3],[4],[5] |
Maturity Date | Dec. 31, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 4,987 | [3],[4],[5],[6] |
Amortized Cost | 4,987 | [3],[4],[5],[7] |
Fair Value | $ 4,987 | [3],[4],[5] |
Percentage of Net Assets | 1.65% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Innovetive Petcare, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 06/30/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.45% | [2],[4],[5],[11] |
Maturity Date | Jun. 30, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 54 | [4],[5],[6],[11] |
Amortized Cost | 44 | [4],[5],[7],[11] |
Fair Value | $ 45 | [4],[5],[11] |
Percentage of Net Assets | 0.01% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Innovetive Petcare, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 06/30/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.43% | [2],[3],[4],[5] |
Maturity Date | Jun. 30, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 195 | [3],[4],[5],[6] |
Amortized Cost | 189 | [3],[4],[5],[7] |
Fair Value | $ 193 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services North Haven Stallone Buyer, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.81% Maturity Date 05/24/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.81% | [2],[3],[4],[5] |
Maturity Date | May 24, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 241 | [3],[4],[5],[7] |
Fair Value | $ 243 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services PPV Intermediate Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Interest Rate 13.75% PIK Maturity Date 08/31/2030 | ||
Schedule of Investments [Line Items] | ||
Interest Rate Paid in Kind | 13.75% | [2],[3],[4],[5],[13] |
Maturity Date | Aug. 31, 2030 | [3],[4],[5],[13] |
Par Amount / Shares | $ 0 | [3],[4],[5],[6],[13] |
Amortized Cost | 0 | [3],[4],[5],[7],[13] |
Fair Value | $ 0 | [3],[4],[5],[13] |
Percentage of Net Assets | 0% | [3],[4],[5],[13] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services PPV Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 08/31/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Aug. 31, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 243 | [3],[4],[5],[6] |
Amortized Cost | 241 | [3],[4],[5],[7] |
Fair Value | $ 243 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Spartan Bidco PTY LTD Asset Type First Lien Term Loan Reference Rate and Spread S + 0.75% Interest Rate Floor 0.75% Interest Rate 12.48% (Incl. 6.25% PIK) Maturity Date 01/24/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 7% | [2],[3],[4],[5],[12] |
Interest Rate Floor | 0.75% | [3],[4],[5],[12] |
Interest Rate | 12.48% | [2],[3],[4],[5],[12] |
Interest Rate Paid in Kind | 6.25% | [2],[3],[4],[5],[12] |
Maturity Date | Jan. 24, 2028 | [3],[4],[5],[12] |
Par Amount / Shares | $ 254 | [3],[4],[5],[6],[12] |
Amortized Cost | 245 | [3],[4],[5],[7],[12] |
Fair Value | $ 253 | [3],[4],[5],[12] |
Percentage of Net Assets | 0.08% | [3],[4],[5],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Taymax Group Acquisition, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 07/31/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.43% | [2],[3],[4],[5] |
Maturity Date | Jul. 31, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 1,496 | [3],[4],[5],[6] |
Amortized Cost | 1,496 | [3],[4],[5],[7] |
Fair Value | $ 1,481 | [3],[4],[5] |
Percentage of Net Assets | 0.49% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services VPP Intermediate Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 12/01/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | Dec. 01, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 2,225 | [4],[5],[6],[11] |
Amortized Cost | 776 | [4],[5],[7],[11] |
Fair Value | $ 755 | [4],[5],[11] |
Percentage of Net Assets | 0.25% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services VPP Intermediate Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 12/01/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | Dec. 01, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 223 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ (2) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services VPP Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 12/01/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.18% | [2],[3],[4],[5] |
Maturity Date | Dec. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 1,832 | [3],[4],[5],[6] |
Amortized Cost | 1,832 | [3],[4],[5],[7] |
Fair Value | $ 1,814 | [3],[4],[5] |
Percentage of Net Assets | 0.60% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Vertex Service Partners, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 11/08/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.80% | [2],[3],[4],[5] |
Maturity Date | Nov. 08, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 248 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 36,178 | [4],[5],[7] |
Fair Value | $ 36,383 | [4],[5] |
Percentage of Net Assets | 12.09% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Aretec Group, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.00% Interest Rate 9.93% Maturity Date 08/09//2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0% | [3],[4],[5] |
Interest Rate | 9.93% | [2],[3],[4],[5] |
Maturity Date | Aug. 09, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 250 | [3],[4],[5],[7] |
Fair Value | $ 251 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services CFGI Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.83% Maturity Date 11/02/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 9.83% | [2],[4],[5],[11] |
Maturity Date | Nov. 02, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 191 | [4],[5],[6],[11] |
Amortized Cost | (3) | [4],[5],[7],[11] |
Fair Value | $ (2) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services CFGI Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.43% Maturity Date 11/02/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.43% | [2],[3],[4],[5] |
Maturity Date | Nov. 02, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 4,795 | [3],[4],[5],[6] |
Amortized Cost | 4,717 | [3],[4],[5],[7] |
Fair Value | $ 4,745 | [3],[4],[5] |
Percentage of Net Assets | 1.57% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cerity Partners Equity Holding LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 0.75% Interest Rate 12.05% Maturity Date 7/28/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 12.05% | [2],[3],[4],[5] |
Maturity Date | Jul. 28, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 361 | [3],[4],[5],[6] |
Amortized Cost | 361 | [3],[4],[5],[7] |
Fair Value | $ 361 | [3],[4],[5] |
Percentage of Net Assets | 0.12% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cerity Partners Equity Holding LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 0.75% Interest Rate 11.83% Maturity Date 7/28/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 11.83% | [2],[4],[5],[11] |
Maturity Date | Jul. 28, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 188 | [4],[5],[6],[11] |
Amortized Cost | (1) | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cerity Partners Equity Holding LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 0.75% Interest Rate 11.18% Maturity Date 7/28/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.80% | [2],[3],[4],[5] |
Maturity Date | Jul. 28, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 5,602 | [3],[4],[5],[6] |
Amortized Cost | 5,576 | [3],[4],[5],[7] |
Fair Value | $ 5,602 | [3],[4],[5] |
Percentage of Net Assets | 1.86% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cerity Partners Equity Holding LLC One Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 0.75% Interest Rate 12.05% Maturity Date 7/28/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 12.05% | [2],[3],[4],[5] |
Maturity Date | Jul. 28, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 84 | [3],[4],[5],[6] |
Amortized Cost | 83 | [3],[4],[5],[7] |
Fair Value | $ 83 | [3],[4],[5] |
Percentage of Net Assets | 0.03% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cherry Bekaert Advisory LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.58% | [2],[3],[4],[5] |
Maturity Date | Jun. 30, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 807 | [3],[4],[5],[6] |
Amortized Cost | 784 | [3],[4],[5],[7] |
Fair Value | $ 793 | [3],[4],[5] |
Percentage of Net Assets | 0.26% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cherry Bekaert Advisory LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.58% | [2],[4],[5],[11] |
Maturity Date | Jun. 30, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 226 | [4],[5],[6],[11] |
Amortized Cost | 61 | [4],[5],[7],[11] |
Fair Value | $ 64 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cherry Bekaert Advisory LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.58% | [2],[3],[4],[5] |
Maturity Date | Jun. 30, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 1,960 | [3],[4],[5],[6] |
Amortized Cost | 1,904 | [3],[4],[5],[7] |
Fair Value | $ 1,925 | [3],[4],[5] |
Percentage of Net Assets | 0.64% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Citrin Cooperman Advisors, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.32% Maturity Date 10/01/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.32% | [2],[3],[4],[5] |
Maturity Date | Oct. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 1,906 | [3],[4],[5],[6] |
Amortized Cost | 1,906 | [3],[4],[5],[7] |
Fair Value | $ 1,874 | [3],[4],[5] |
Percentage of Net Assets | 0.62% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Citrin Cooperman Advisors, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.40% Maturity Date 10/01/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.40% | [2],[3],[4],[5] |
Maturity Date | Oct. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 248 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 244 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Citrin Cooperman Advisors, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.32% Maturity Date 10/01/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.32% | [2],[3],[4],[5] |
Maturity Date | Oct. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 837 | [3],[4],[5],[6] |
Amortized Cost | 837 | [3],[4],[5],[7] |
Fair Value | $ 822 | [3],[4],[5] |
Percentage of Net Assets | 0.27% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Contractual Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.22% Maturity Date 10/10/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.22% | [2],[3],[4],[5] |
Maturity Date | Oct. 10, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 245 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Foreside Financial Group, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00%Interest Rate 10.83% Maturity Date 9/30/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.83% | [2],[4],[5],[11] |
Maturity Date | Sep. 30, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 712 | [4],[5],[6],[11] |
Amortized Cost | (12) | [4],[5],[7],[11] |
Fair Value | $ (9) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Foreside Financial Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 9/30/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.70% | [2],[3],[4],[5] |
Maturity Date | Sep. 30, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 5,773 | [3],[4],[5],[6] |
Amortized Cost | 5,678 | [3],[4],[5],[7] |
Fair Value | $ 5,745 | [3],[4],[5] |
Percentage of Net Assets | 1.91% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Heights Buyer, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 8/25/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | Aug. 25, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 620 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Heights Buyer, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 8/25/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.05% | [2],[4],[5],[11] |
Maturity Date | Aug. 25, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 543 | [4],[5],[6],[11] |
Amortized Cost | 78 | [4],[5],[7],[11] |
Fair Value | $ 78 | [4],[5],[11] |
Percentage of Net Assets | 0.03% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Heights Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 8/25/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Aug. 25, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 3,828 | [3],[4],[5],[6] |
Amortized Cost | 3,827 | [3],[4],[5],[7] |
Fair Value | $ 3,827 | [3],[4],[5] |
Percentage of Net Assets | 1.27% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Kriv Acquisition Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 07/06/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.83% | [2],[4],[5],[11] |
Maturity Date | Jul. 06, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 341 | [4],[5],[6],[11] |
Amortized Cost | (2) | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Kriv Acquisition Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 07/06/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.83% | [2],[4],[5],[11] |
Maturity Date | Jul. 06, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 377 | [4],[5],[6],[11] |
Amortized Cost | (3) | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Kriv Acquisition Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 07/06/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.80% | [2],[3],[4],[5] |
Maturity Date | Jul. 06, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 2,277 | [3],[4],[5],[6] |
Amortized Cost | 2,260 | [3],[4],[5],[7] |
Fair Value | $ 2,277 | [3],[4],[5] |
Percentage of Net Assets | 0.76% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Minotaur Acquisition, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 3.75% Interest Rate Floor 0.00% Interest Rate 9.08% Maturity Date 03/27/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 3.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 9.08% | [2],[4],[5],[11] |
Maturity Date | Mar. 27, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 482 | [4],[5],[6],[11] |
Amortized Cost | (10) | [4],[5],[7],[11] |
Fair Value | $ (15) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Minotaur Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.18% Maturity Date 3/27/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0% | [3],[4],[5] |
Interest Rate | 10.18% | [2],[3],[4],[5] |
Maturity Date | Mar. 27, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,512 | [3],[4],[5],[6] |
Amortized Cost | 2,515 | [3],[4],[5],[7] |
Fair Value | $ 2,518 | [3],[4],[5] |
Percentage of Net Assets | 0.84% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services R&T Acquisitions, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 08/31/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | Aug. 31, 2030 | [4],[5],[11] |
Par Amount / Shares | $ 771 | [4],[5],[6],[11] |
Amortized Cost | (7) | [4],[5],[7],[11] |
Fair Value | $ (6) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services R&T Acquisitions, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 08/31/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.08% | [2],[3],[4],[5] |
Maturity Date | Aug. 31, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 2,051 | [3],[4],[5],[6] |
Amortized Cost | 2,032 | [3],[4],[5],[7] |
Fair Value | $ 2,036 | [3],[4],[5] |
Percentage of Net Assets | 0.68% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services RWA Wealth Partners, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.08% Maturity Date 08/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.08% | [2],[4],[5],[11] |
Maturity Date | Aug. 31, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 146 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services RWA Wealth Partners, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.05% Maturity Date 08/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.05% | [2],[3],[4],[5] |
Maturity Date | Aug. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 104 | [3],[4],[5],[6] |
Amortized Cost | 104 | [3],[4],[5],[7] |
Fair Value | $ 104 | [3],[4],[5] |
Percentage of Net Assets | 0.03% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Wealth Enhancement Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.80% Maturity Date 10/04/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.80% | [2],[3],[4],[5] |
Maturity Date | Oct. 04, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 554 | [3],[4],[5],[6] |
Amortized Cost | 537 | [3],[4],[5],[7] |
Fair Value | $ 550 | [3],[4],[5] |
Percentage of Net Assets | 0.18% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Wealth Enhancement Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.82% Maturity Date 10/04/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.82% | [2],[4],[5],[11] |
Maturity Date | Oct. 04, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 1,196 | [4],[5],[6],[11] |
Amortized Cost | 1,107 | [4],[5],[7],[11] |
Fair Value | $ 1,136 | [4],[5],[11] |
Percentage of Net Assets | 0.38% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Wealth Enhancement Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 10/04/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Oct. 04, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 1,145 | [3],[4],[5],[6] |
Amortized Cost | 1,109 | [3],[4],[5],[7] |
Fair Value | $ 1,136 | [3],[4],[5] |
Percentage of Net Assets | 0.38% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Wealth Enhancement Group, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 10/04/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | Oct. 04, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 105 | [4],[5],[6],[11] |
Amortized Cost | (3) | [4],[5],[7],[11] |
Fair Value | $ (1) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 6,620 | [5],[7] |
Fair Value | $ 6,619 | [5] |
Percentage of Net Assets | 2.19% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment Infinite Bidco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.81% Maturity Date 03/02/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.81% | [2],[3],[4],[5] |
Maturity Date | Mar. 02, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment Power Grid Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.05% Maturity Date 12/02/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.05% | [2],[3],[4],[5] |
Maturity Date | Dec. 02, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 5,000 | [3],[4],[5],[6] |
Amortized Cost | 4,939 | [3],[4],[5],[7] |
Fair Value | $ 4,938 | [3],[4],[5] |
Percentage of Net Assets | 1.64% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment TPC Engineering Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.93% Maturity Date 02/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0% | [3],[4],[5] |
Interest Rate | 10.93% | [2],[3],[4],[5] |
Maturity Date | Feb. 16, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 64 | [3],[4],[5],[6] |
Amortized Cost | 64 | [3],[4],[5],[7] |
Fair Value | $ 64 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment TPC Engineering Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.83% Maturity Date 02/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.83% | [2],[4],[5],[11] |
Maturity Date | Feb. 16, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 1,565 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment TPC Engineering Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.90% Maturity Date 02/16/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Feb. 16, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 1,371 | [3],[4],[5],[6] |
Amortized Cost | 1,371 | [3],[4],[5],[7] |
Fair Value | $ 1,371 | [3],[4],[5] |
Percentage of Net Assets | 0.45% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 5,917 | [5],[7] |
Fair Value | $ 5,914 | [5] |
Percentage of Net Assets | 1.97% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components AEP Passion Intermediate Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.97% Maturity Date 10/5/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.97% | [2],[3],[4],[5] |
Maturity Date | Oct. 05, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 250 | [3],[4],[5],[7] |
Fair Value | $ 245 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Dwyer Instruments, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Jul. 21, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 16 | [3],[4],[5],[6] |
Amortized Cost | 16 | [3],[4],[5],[7] |
Fair Value | $ 16 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Dwyer Instruments, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Jul. 21, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 234 | [3],[4],[5],[6] |
Amortized Cost | 230 | [3],[4],[5],[7] |
Fair Value | $ 232 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Excelitas Technologies Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 8/12/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Aug. 12, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 235 | [3],[4],[5],[6] |
Amortized Cost | 232 | [3],[4],[5],[7] |
Fair Value | $ 235 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Phoenix 1 Buyer Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 11/20/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.80% | [2],[3],[4],[5] |
Maturity Date | Nov. 20, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 247 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Wildcat BuyerCo, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 2/27/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Feb. 27, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 4,988 | [3],[4],[5],[6] |
Amortized Cost | 4,942 | [3],[4],[5],[7] |
Fair Value | $ 4,937 | [3],[4],[5] |
Percentage of Net Assets | 1.64% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 4,934 | [5],[7] |
Fair Value | $ 4,985 | [5] |
Percentage of Net Assets | 1.64% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services DMC Holdco, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.30% Maturity Date 7/13/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.30% | [2],[3],[4],[5] |
Maturity Date | Jul. 13, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services Integrated Power Services Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate Floor 0.00% Interest Rate 9.94% Maturity Date 11/22/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 9.94% | [2],[4],[5],[11] |
Maturity Date | Nov. 22, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 544 | [4],[5],[6],[11] |
Amortized Cost | 66 | [4],[5],[7],[11] |
Fair Value | $ 72 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services Integrated Power Services Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.94% Maturity Date 11/22/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 9.94% | [2],[3],[4],[5] |
Maturity Date | Nov. 22, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 4,445 | [3],[4],[5],[6] |
Amortized Cost | 4,371 | [3],[4],[5],[7] |
Fair Value | $ 4,414 | [3],[4],[5] |
Percentage of Net Assets | 1.46% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services Phillips & Temro Industries Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 3/12/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.20% | [2],[3],[4],[5] |
Maturity Date | Mar. 12, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 10,759 | [5],[7] |
Fair Value | $ 10,758 | [5] |
Percentage of Net Assets | 3.56% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products Nonnis Foods LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 3/1/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.43% | [2],[3],[4],[5] |
Maturity Date | Mar. 01, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products RB Holdings Interco, LLC RB Holdings Interco, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 5/4/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.45% | [2],[3],[4],[5] |
Maturity Date | May 04, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 247 | [3],[4],[5],[7] |
Fair Value | $ 248 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products Sugar PPC Buyer LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.33% Maturity Date 10/2/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.33% | [2],[3],[4],[5] |
Maturity Date | Oct. 02, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products Ultimate Baked Goods Midco LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.58% Maturity Date 8/13/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.58% | [2],[4],[5],[11] |
Maturity Date | Aug. 13, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 373 | [4],[5],[6],[11] |
Amortized Cost | (2) | [4],[5],[7],[11] |
Fair Value | $ (2) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products Ultimate Baked Goods Midco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.68% Maturity Date 8/13/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.68% | [2],[3],[4],[5] |
Maturity Date | Aug. 13, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 2,621 | [3],[4],[5],[6] |
Amortized Cost | 2,609 | [3],[4],[5],[7] |
Fair Value | $ 2,607 | [3],[4],[5] |
Percentage of Net Assets | 0.86% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products WPP Bullet Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 12/7/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Dec. 07, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 7,500 | [3],[4],[5],[6] |
Amortized Cost | 7,411 | [3],[4],[5],[7] |
Fair Value | $ 7,406 | [3],[4],[5] |
Percentage of Net Assets | 2.46% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 4,750 | [5],[7] |
Fair Value | $ 4,722 | [5] |
Percentage of Net Assets | 1.58% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology Acentra Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.50% Interest Rate 10.80% Maturity Date 12/17/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0.50% | [4],[5],[11] |
Interest Rate | 10.80% | [2],[4],[5],[11] |
Maturity Date | Dec. 17, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 94 | [4],[5],[6],[11] |
Amortized Cost | 18 | [4],[5],[7],[11] |
Fair Value | $ 18 | [4],[5],[11] |
Percentage of Net Assets | 0.01% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology Acentra Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.50% Interest Rate 10.80% Maturity Date 12/17/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.50% | [3],[4],[5] |
Interest Rate | 10.80% | [2],[3],[4],[5] |
Maturity Date | Dec. 17, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 1,902 | [3],[4],[5],[6] |
Amortized Cost | 1,902 | [3],[4],[5],[7] |
Fair Value | $ 1,892 | [3],[4],[5] |
Percentage of Net Assets | 0.63% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology Caerus US 1 Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 5/25/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5],[12] |
Interest Rate Floor | 0.75% | [3],[4],[5],[12] |
Interest Rate | 11.05% | [2],[3],[4],[5],[12] |
Maturity Date | May 25, 2029 | [3],[4],[5],[12] |
Par Amount / Shares | $ 2,613 | [3],[4],[5],[6],[12] |
Amortized Cost | 2,613 | [3],[4],[5],[7],[12] |
Fair Value | $ 2,593 | [3],[4],[5],[12] |
Percentage of Net Assets | 0.86% | [3],[4],[5],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology IMO Investor Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.22% Maturity Date 5/11/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 11.22% | [2],[4],[5],[11] |
Maturity Date | May 11, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 48 | [4],[5],[6],[11] |
Amortized Cost | 19 | [4],[5],[7],[11] |
Fair Value | $ 20 | [4],[5],[11] |
Percentage of Net Assets | 0.01% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology IMO Investor Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.22% Maturity Date 5/11/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.22% | [2],[3],[4],[5] |
Maturity Date | May 11, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 201 | [3],[4],[5],[6] |
Amortized Cost | 198 | [3],[4],[5],[7] |
Fair Value | $ 199 | [3],[4],[5] |
Percentage of Net Assets | 0.07% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 13,575 | [5],[7] |
Fair Value | $ 13,573 | [5] |
Percentage of Net Assets | 4.48% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Alcor Scientific LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 1/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.43% | [2],[3],[4],[5] |
Maturity Date | Jan. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Aspen Medical Products, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 6/10/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.45% | [2],[3],[4],[5] |
Maturity Date | Jun. 10, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 250 | [3],[4],[5],[7] |
Fair Value | $ 248 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Belmont Instrument, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 8/19/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.55% | [2],[3],[4],[5] |
Maturity Date | Aug. 19, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 2,992 | [3],[4],[5],[6] |
Amortized Cost | 2,957 | [3],[4],[5],[7] |
Fair Value | $ 2,992 | [3],[4],[5] |
Percentage of Net Assets | 0.99% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Blades Buyer, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 3/28/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.43% | [2],[3],[4],[5] |
Maturity Date | Mar. 28, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 1,740 | [3],[4],[5],[6] |
Amortized Cost | 1,740 | [3],[4],[5],[7] |
Fair Value | $ 1,727 | [3],[4],[5] |
Percentage of Net Assets | 0.57% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Blades Buyer, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.18% Maturity Date 3/28/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.18% | [2],[4],[5],[11] |
Maturity Date | Mar. 28, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 155 | [4],[5],[6],[11] |
Amortized Cost | 44 | [4],[5],[7],[11] |
Fair Value | $ 42 | [4],[5],[11] |
Percentage of Net Assets | 0.01% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Blades Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 3/28/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.43% | [2],[3],[4],[5] |
Maturity Date | Mar. 28, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 3,105 | [3],[4],[5],[6] |
Amortized Cost | 3,105 | [3],[4],[5],[7] |
Fair Value | $ 3,082 | [3],[4],[5] |
Percentage of Net Assets | 1.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies CDL Parent, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.47% Maturity Date 12/7/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.47% | [2],[3],[4],[5] |
Maturity Date | Dec. 07, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies CPC/Cirtec Holdings, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 0.75% Interest Rate 11.55% Maturity Date 1/30/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.55% | [2],[3],[4],[5] |
Maturity Date | Jan. 30, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 4,988 | [3],[4],[5],[6] |
Amortized Cost | 4,987 | [3],[4],[5],[7] |
Fair Value | $ 4,987 | [3],[4],[5] |
Percentage of Net Assets | 1.65% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 53,257 | [5],[7] |
Fair Value | $ 53,341 | [5] |
Percentage of Net Assets | 17.69% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services AB Centers Acquisition Corp. Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 9/6/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.33% | [2],[4],[5],[11] |
Maturity Date | Sep. 06, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 131 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services AB Centers Acquisition Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.43% Maturity Date 9/6/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.43% | [2],[4],[5] |
Maturity Date | Sep. 06, 2028 | [4],[5] |
Par Amount / Shares | $ 2,862 | [4],[5],[6] |
Amortized Cost | 2,862 | [4],[5],[7] |
Fair Value | $ 2,855 | [4],[5] |
Percentage of Net Assets | 0.95% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ACI Group Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.93% Maturity Date 8/2/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.93% | [2],[4],[5],[11] |
Maturity Date | Aug. 02, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 1,261 | [4],[5],[6],[11] |
Amortized Cost | 858 | [4],[5],[7],[11] |
Fair Value | $ 842 | [4],[5],[11] |
Percentage of Net Assets | 0.28% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ACI Group Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.93% Maturity Date 8/2/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.93% | [2],[4],[5],[11] |
Maturity Date | Aug. 02, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 298 | [4],[5],[6],[11] |
Amortized Cost | 45 | [4],[5],[7],[11] |
Fair Value | $ 41 | [4],[5],[11] |
Percentage of Net Assets | 0.01% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ACI Group Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.93% Maturity Date 8/2/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.93% | [2],[4],[5] |
Maturity Date | Aug. 02, 2028 | [4],[5] |
Par Amount / Shares | $ 3,430 | [4],[5],[6] |
Amortized Cost | 3,430 | [4],[5],[7] |
Fair Value | $ 3,386 | [4],[5] |
Percentage of Net Assets | 1.12% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Arrow Management Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 10/14/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.22% | [2],[4],[5],[11] |
Maturity Date | Oct. 14, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 2,533 | [4],[5],[6],[11] |
Amortized Cost | 2,476 | [4],[5],[7],[11] |
Fair Value | $ 2,477 | [4],[5],[11] |
Percentage of Net Assets | 0.82% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Arrow Management Acquisition, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 10/14/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.22% | [2],[4],[5] |
Maturity Date | Oct. 14, 2027 | [4],[5] |
Par Amount / Shares | $ 463 | [4],[5],[6] |
Amortized Cost | 453 | [4],[5],[7] |
Fair Value | $ 453 | [4],[5] |
Percentage of Net Assets | 0.15% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Cardiology Management Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 1/31/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.70% | [2],[4],[5] |
Maturity Date | Jan. 31, 2029 | [4],[5] |
Par Amount / Shares | $ 145 | [4],[5],[6] |
Amortized Cost | 76 | [4],[5],[7] |
Fair Value | $ 76 | [4],[5] |
Percentage of Net Assets | 0.03% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Cardiology Management Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 1/31/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.70% | [2],[4],[5] |
Maturity Date | Jan. 31, 2029 | [4],[5] |
Par Amount / Shares | $ 105 | [4],[5],[6] |
Amortized Cost | 105 | [4],[5],[7] |
Fair Value | $ 104 | [4],[5] |
Percentage of Net Assets | 0.03% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Community Medical Acquisition Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 12/15/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.22% | [2],[4],[5] |
Maturity Date | Dec. 15, 2028 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 240 | [4],[5],[7] |
Fair Value | $ 243 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services DCA Investment Holding LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.41% Interest Rate Floor 0.75% Interest Rate 11.70% Maturity Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.41% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.70% | [2],[4],[5] |
Maturity Date | Apr. 03, 2028 | [4],[5] |
Par Amount / Shares | $ 328 | [4],[5],[6] |
Amortized Cost | 317 | [4],[5],[7] |
Fair Value | $ 323 | [4],[5] |
Percentage of Net Assets | 0.11% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services DCA Investment Holding LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.41% Interest Rate Floor 0.75% Interest Rate 11.70% Maturity Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.41% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.70% | [2],[4],[5] |
Maturity Date | Apr. 03, 2028 | [4],[5] |
Par Amount / Shares | $ 2,664 | [4],[5],[6] |
Amortized Cost | 2,567 | [4],[5],[7] |
Fair Value | $ 2,624 | [4],[5] |
Percentage of Net Assets | 0.87% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services DOCS, MSO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.18% Maturity Date 6/1/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.18% | [2],[4],[5] |
Maturity Date | Jun. 01, 2028 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 242 | [4],[5],[7] |
Fair Value | $ 249 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ENT MSO, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.90% Maturity Date 12/31/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.90% | [2],[4],[5] |
Maturity Date | Dec. 31, 2025 | [4],[5] |
Par Amount / Shares | $ 27 | [4],[5],[6] |
Amortized Cost | 27 | [4],[5],[7] |
Fair Value | $ 27 | [4],[5] |
Percentage of Net Assets | 0.01% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ENT MSO, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 7.00% Interest Rate Floor 1.00% Interest Rate 12.40% Maturity Date 12/31/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 7% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 12.40% | [2],[4],[5],[11] |
Maturity Date | Dec. 31, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 85 | [4],[5],[6],[11] |
Amortized Cost | 82 | [4],[5],[7],[11] |
Fair Value | $ 82 | [4],[5],[11] |
Percentage of Net Assets | 0.03% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ENT MSO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.90% Maturity Date 12/31/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.90% | [2],[4],[5] |
Maturity Date | Dec. 31, 2025 | [4],[5] |
Par Amount / Shares | $ 137 | [4],[5],[6] |
Amortized Cost | 137 | [4],[5],[7] |
Fair Value | $ 137 | [4],[5] |
Percentage of Net Assets | 0.05% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Golden State Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.18% Maturity Date 6/21/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.18% | [2],[4],[5] |
Maturity Date | Jun. 21, 2026 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 249 | [4],[5],[7] |
Fair Value | $ 250 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ImageFirst Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 4.00% Interest Rate Floor 0.00% Interest Rate 9.33% Maturity Date 4/27/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 9.33% | [2],[4],[5],[11] |
Maturity Date | Apr. 27, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 2,094 | [4],[5],[6],[11] |
Amortized Cost | (40) | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services IvyRehab Intermediate II, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.40% Maturity Date 4/23/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.40% | [2],[4],[5] |
Maturity Date | Apr. 23, 2029 | [4],[5] |
Par Amount / Shares | $ 12 | [4],[5],[6] |
Amortized Cost | 12 | [4],[5],[7] |
Fair Value | $ 12 | [4],[5] |
Percentage of Net Assets | 0% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services IvyRehab Intermediate II, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 0.104 Maturity Date 4/23/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.40% | [2],[4],[5] |
Maturity Date | Apr. 23, 2029 | [4],[5] |
Par Amount / Shares | $ 202 | [4],[5],[6] |
Amortized Cost | 200 | [4],[5],[7] |
Fair Value | $ 201 | [4],[5] |
Percentage of Net Assets | 0.07% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services NJEye LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 3/14/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.22% | [2],[4],[5] |
Maturity Date | Mar. 14, 2025 | [4],[5] |
Par Amount / Shares | $ 751 | [4],[5],[6] |
Amortized Cost | 751 | [4],[5],[7] |
Fair Value | $ 749 | [4],[5] |
Percentage of Net Assets | 0.25% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services NJEye LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.33% Maturity Date 3/14/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.33% | [2],[4],[5],[11] |
Maturity Date | Mar. 14, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 184 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services NJEye LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 3/14/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.22% | [2],[4],[5] |
Maturity Date | Mar. 14, 2025 | [4],[5] |
Par Amount / Shares | $ 1,065 | [4],[5],[6] |
Amortized Cost | 1,065 | [4],[5],[7] |
Fair Value | $ 1,063 | [4],[5] |
Percentage of Net Assets | 0.35% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services OB Hospitalist Group, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 9/27/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.95% | [2],[4],[5] |
Maturity Date | Sep. 27, 2027 | [4],[5] |
Par Amount / Shares | $ 231 | [4],[5],[6] |
Amortized Cost | 230 | [4],[5],[7] |
Fair Value | $ 231 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services OIS Management Services, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 11/16/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.15% | [2],[4],[5] |
Maturity Date | Nov. 16, 2028 | [4],[5] |
Par Amount / Shares | $ 1,256 | [4],[5],[6] |
Amortized Cost | 1,256 | [4],[5],[7] |
Fair Value | $ 1,256 | [4],[5] |
Percentage of Net Assets | 0.42% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services OIS Management Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 11/16/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.15% | [2],[4],[5] |
Maturity Date | Nov. 16, 2028 | [4],[5] |
Par Amount / Shares | $ 1,736 | [4],[5],[6] |
Amortized Cost | 1,736 | [4],[5],[7] |
Fair Value | $ 1,736 | [4],[5] |
Percentage of Net Assets | 0.58% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ONS MSO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.65% Maturity Date 7/8/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.65% | [2],[4],[5] |
Maturity Date | Jul. 08, 2026 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 248 | [4],[5],[7] |
Fair Value | $ 249 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Orsini Pharmaceutical Services, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 5/2/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.58% | [2],[4],[5],[11] |
Maturity Date | May 02, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 297 | [4],[5],[6],[11] |
Amortized Cost | (4) | [4],[5],[7],[11] |
Fair Value | $ (3) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Orsini Pharmaceutical Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 5/2/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.70% | [2],[4],[5] |
Maturity Date | May 02, 2029 | [4],[5] |
Par Amount / Shares | $ 4,691 | [4],[5],[6] |
Amortized Cost | 4,636 | [4],[5],[7] |
Fair Value | $ 4,647 | [4],[5] |
Percentage of Net Assets | 1.54% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services PS Intermediate Holdco II, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/25/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.93% | [2],[4],[5],[11] |
Maturity Date | Apr. 25, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 265 | [4],[5],[6],[11] |
Amortized Cost | 106 | [4],[5],[7],[11] |
Fair Value | $ 106 | [4],[5],[11] |
Percentage of Net Assets | 0.04% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services PS Intermediate Holdco II, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/25/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.93% | [2],[4],[5] |
Maturity Date | Apr. 25, 2025 | [4],[5] |
Par Amount / Shares | $ 2,475 | [4],[5],[6] |
Amortized Cost | 2,475 | [4],[5],[7] |
Fair Value | $ 2,475 | [4],[5] |
Percentage of Net Assets | 0.82% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services PS Intermediate Holdco II, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/25/2025 One | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.93% | [2],[4],[5] |
Maturity Date | Apr. 25, 2025 | [4],[5] |
Par Amount / Shares | $ 253 | [4],[5],[6] |
Amortized Cost | 253 | [4],[5],[7] |
Fair Value | $ 253 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Phynet Dermatology LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.72% Maturity Date 10/20/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.72% | [2],[4],[5] |
Maturity Date | Oct. 20, 2029 | [4],[5] |
Par Amount / Shares | $ 249 | [4],[5],[6] |
Amortized Cost | 246 | [4],[5],[7] |
Fair Value | $ 249 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services RxSense Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.40% Maturity Date 3/13/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.40% | [2],[4],[5] |
Maturity Date | Mar. 13, 2026 | [4],[5] |
Par Amount / Shares | $ 2,992 | [4],[5],[6] |
Amortized Cost | 2,986 | [4],[5],[7] |
Fair Value | $ 2,976 | [4],[5] |
Percentage of Net Assets | 0.99% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SCP Eye Care Holdco, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 10/5/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.18% | [2],[4],[5],[11] |
Maturity Date | Oct. 05, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 250 | [4],[5],[6],[11] |
Amortized Cost | 159 | [4],[5],[7],[11] |
Fair Value | $ 157 | [4],[5],[11] |
Percentage of Net Assets | 0.05% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SM Wellness Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 10.06% Maturity Date 4/17/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.06% | [2],[4],[5] |
Maturity Date | Apr. 17, 2028 | [4],[5] |
Par Amount / Shares | $ 224 | [4],[5],[6] |
Amortized Cost | 224 | [4],[5],[7] |
Fair Value | $ 216 | [4],[5] |
Percentage of Net Assets | 0.07% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SM Wellness Holdings, Inc. Asset Type Second Lien Term Loan Reference Rate and Spread S + 8.00% Interest Rate Floor 0.75% Interest Rate 13.56% Maturity Date 4/16/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 8% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 13.56% | [2],[4],[5] |
Maturity Date | Apr. 16, 2029 | [4],[5] |
Par Amount / Shares | $ 26 | [4],[5],[6] |
Amortized Cost | 25 | [4],[5],[7] |
Fair Value | $ 25 | [4],[5] |
Percentage of Net Assets | 0.01% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services STCH Acquisition Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.40% | [2],[3],[4],[5] |
Maturity Date | Oct. 30, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 275 | [3],[4],[5],[6] |
Amortized Cost | 275 | [3],[4],[5],[7] |
Fair Value | $ 275 | [3],[4],[5] |
Percentage of Net Assets | 0.09% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services STCH Acquisition Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.25% Interest Rate Floor 0.00% Interest Rate 11.58% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.58% | [2],[4],[5],[11] |
Maturity Date | Oct. 30, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 251 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ (1) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services STCH Acquisition Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.40% | [2],[3],[4],[5] |
Maturity Date | Oct. 30, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,467 | [3],[4],[5],[6] |
Amortized Cost | 2,467 | [3],[4],[5],[7] |
Fair Value | $ 2,461 | [3],[4],[5] |
Percentage of Net Assets | 0.82% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Smile Doctors LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.90% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 12/23/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.90% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 11.30% | [2],[4],[5],[11] |
Maturity Date | Dec. 23, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 223 | [4],[5],[6],[11] |
Amortized Cost | 46 | [4],[5],[7],[11] |
Fair Value | $ 46 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Smile Doctors LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.90% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 12/23/2028 One | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.90% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.30% | [2],[4],[5] |
Maturity Date | Dec. 23, 2028 | [4],[5] |
Par Amount / Shares | $ 281 | [4],[5],[6] |
Amortized Cost | 280 | [4],[5],[7] |
Fair Value | $ 280 | [4],[5] |
Percentage of Net Assets | 0.09% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Smile Doctors LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.90% Interest Rate Floor 0.75% Interest Rate 11.20% Maturity Date 12/23/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.90% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.20% | [2],[4],[5] |
Maturity Date | Dec. 23, 2028 | [4],[5] |
Par Amount / Shares | $ 2,490 | [4],[5],[6] |
Amortized Cost | 2,490 | [4],[5],[7] |
Fair Value | $ 2,484 | [4],[5] |
Percentage of Net Assets | 0.82% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SpecialtyCare, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.31% Maturity Date 6/18/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.31% | [2],[4],[5] |
Maturity Date | Jun. 18, 2028 | [4],[5] |
Par Amount / Shares | $ 20 | [4],[5],[6] |
Amortized Cost | 19 | [4],[5],[7] |
Fair Value | $ 19 | [4],[5] |
Percentage of Net Assets | 0.01% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SpecialtyCare, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.31% Maturity Date 6/18/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.31% | [2],[4],[5] |
Maturity Date | Jun. 18, 2028 | [4],[5] |
Par Amount / Shares | $ 2,980 | [4],[5],[6] |
Amortized Cost | 2,714 | [4],[5],[7] |
Fair Value | $ 2,764 | [4],[5] |
Percentage of Net Assets | 0.92% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Summit Behavioral Healthcare, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.31% Maturity Date 11/24/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.31% | [2],[3],[4],[5] |
Maturity Date | Nov. 24, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 2,992 | [3],[4],[5],[6] |
Amortized Cost | 2,993 | [3],[4],[5],[7] |
Fair Value | $ 3,000 | [3],[4],[5] |
Percentage of Net Assets | 0.99% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services TST Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 11/27/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Nov. 27, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 124 | [3],[4],[5],[6] |
Amortized Cost | 122 | [3],[4],[5],[7] |
Fair Value | $ 122 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services The GI Alliance Management, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.70% | [2],[3],[4],[5] |
Maturity Date | Sep. 15, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 523 | [3],[4],[5],[6] |
Amortized Cost | 523 | [3],[4],[5],[7] |
Fair Value | $ 518 | [3],[4],[5] |
Percentage of Net Assets | 0.17% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services The GI Alliance Management, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.70% | [2],[3],[4],[5] |
Maturity Date | Sep. 15, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 2,469 | [3],[4],[5],[6] |
Amortized Cost | 2,469 | [3],[4],[5],[7] |
Fair Value | $ 2,445 | [3],[4],[5] |
Percentage of Net Assets | 0.81% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Turningpoint Healthcare Solutions, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.08% Maturity Date 7/14/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.08% | [2],[4],[5],[11] |
Maturity Date | Jul. 14, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 257 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ (1) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Turningpoint Healthcare Solutions, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.18% Maturity Date 7/14/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.18% | [2],[3],[4],[5] |
Maturity Date | Jul. 14, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 1,739 | [3],[4],[5],[6] |
Amortized Cost | 1,739 | [3],[4],[5],[7] |
Fair Value | $ 1,734 | [3],[4],[5] |
Percentage of Net Assets | 0.58% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services U.S. Endodontics Partners Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.18% Maturity Date 11/1/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.18% | [2],[3],[4],[5] |
Maturity Date | Nov. 01, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 2,992 | [3],[4],[5],[6] |
Amortized Cost | 2,943 | [3],[4],[5],[7] |
Fair Value | $ 2,993 | [3],[4],[5] |
Percentage of Net Assets | 0.99% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services USHV Management, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.13% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 12/23/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.13% | [2],[3],[4],[5] |
Interest Rate | 11.55% | [2],[3],[4],[5] |
Maturity Date | Dec. 23, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 985 | [3],[4],[5],[6] |
Amortized Cost | 978 | [3],[4],[5],[7] |
Fair Value | $ 972 | [3],[4],[5] |
Percentage of Net Assets | 0.32% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services USHV Management, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.68% Maturity Date 12/23/2027 | ||
Schedule of Investments [Line Items] | ||
Interest Rate Floor | 1% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services USHV Management, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.68% Maturity Date 12/23/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.68% | [2],[3],[4],[5] |
Maturity Date | Dec. 23, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 1,991 | [3],[4],[5],[6] |
Amortized Cost | 1,977 | [3],[4],[5],[7] |
Fair Value | $ 1,967 | [3],[4],[5] |
Percentage of Net Assets | 0.65% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services United Digestive MSO Parent, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.20% Maturity Date 3/30/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 12.20% | [2],[3],[4],[5] |
Maturity Date | Mar. 30, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Urology Management Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.04% Interest Rate Floor 1.00% Interest Rate 11.51% Maturity Date 6/15/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.04% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.51% | [2],[3],[4],[5] |
Maturity Date | Jun. 15, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 106 | [3],[4],[5],[6] |
Amortized Cost | 103 | [3],[4],[5],[7] |
Fair Value | $ 105 | [3],[4],[5] |
Percentage of Net Assets | 0.03% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Urology Management Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.04% Interest Rate Floor 1.00% Interest Rate 11.51% Maturity Date 6/15/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.04% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.51% | [2],[3],[4],[5] |
Maturity Date | Jun. 15, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 144 | [3],[4],[5],[6] |
Amortized Cost | 140 | [3],[4],[5],[7] |
Fair Value | $ 142 | [3],[4],[5] |
Percentage of Net Assets | 0.05% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Hotels, Restaurants and Leisure | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 4,441 | [5],[7] |
Fair Value | $ 4,448 | [5] |
Percentage of Net Assets | 1.48% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Hotels, Restaurants and Leisure Southpaw AP Buyer, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 3/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.33% | [2],[4],[5],[11] |
Maturity Date | Mar. 02, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 490 | [4],[5],[6],[11] |
Amortized Cost | (6) | [4],[5],[7],[11] |
Fair Value | $ (5) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Hotels, Restaurants and Leisure Southpaw AP Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 3/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.20% | [2],[3],[4],[5] |
Maturity Date | Mar. 02, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 4,498 | [3],[4],[5],[6] |
Amortized Cost | 4,447 | [3],[4],[5],[7] |
Fair Value | $ 4,453 | [3],[4],[5] |
Percentage of Net Assets | 1.48% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Household Products | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 249 | [5],[7] |
Fair Value | $ 247 | [5] |
Percentage of Net Assets | 0.08% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Household Products TPC US Parent, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 11/22/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Nov. 22, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 69 | [3],[4],[5],[6] |
Amortized Cost | 69 | [3],[4],[5],[7] |
Fair Value | $ 69 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Household Products TPC US Parent, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.83% Maturity Date 11/22/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.83% | [2],[3],[4],[5] |
Maturity Date | Nov. 22, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 181 | [3],[4],[5],[6] |
Amortized Cost | 180 | [3],[4],[5],[7] |
Fair Value | $ 178 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 3,211 | [5],[7] |
Fair Value | $ 3,194 | [5] |
Percentage of Net Assets | 1.05% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services Integra US Bidco Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 12/24/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.22% | [2],[4],[5] |
Maturity Date | Dec. 24, 2025 | [4],[5] |
Par Amount / Shares | $ 37 | [4],[5],[6] |
Amortized Cost | 36 | [4],[5],[7] |
Fair Value | $ 36 | [4],[5] |
Percentage of Net Assets | 0.01% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services Integra US Bidco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 12/24/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.22% | [2],[4],[5] |
Maturity Date | Dec. 24, 2025 | [4],[5] |
Par Amount / Shares | $ 213 | [4],[5],[6] |
Amortized Cost | 210 | [4],[5],[7] |
Fair Value | $ 210 | [4],[5] |
Percentage of Net Assets | 0.07% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services LogicMonitor, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 0.00% Interest Rate 11.80% Maturity Date 5/15/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5] |
Interest Rate Floor | 0% | [4],[5] |
Interest Rate | 11.80% | [2],[4],[5] |
Maturity Date | May 15, 2026 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 250 | [4],[5],[7] |
Fair Value | $ 250 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services Marco Technologies, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.55% Maturity Date 11/24/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.55% | [2],[4],[5] |
Maturity Date | Nov. 24, 2026 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 247 | [4],[5],[7] |
Fair Value | $ 248 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services NTI Connect, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 1/31/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.95% | [2],[4],[5] |
Maturity Date | Jan. 31, 2026 | [4],[5] |
Par Amount / Shares | $ 39 | [4],[5],[6] |
Amortized Cost | 39 | [4],[5],[7] |
Fair Value | $ 39 | [4],[5] |
Percentage of Net Assets | 0.01% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services NTI Connect, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 1/31/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.95% | [2],[4],[5] |
Maturity Date | Jan. 31, 2026 | [4],[5] |
Par Amount / Shares | $ 210 | [4],[5],[6] |
Amortized Cost | 208 | [4],[5],[7] |
Fair Value | $ 209 | [4],[5] |
Percentage of Net Assets | 0.07% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services OEConnection LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.00% Interest Rate 10.58% Maturity Date 9/25/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.58% | [2],[4],[5],[11] |
Maturity Date | Sep. 25, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 3,262 | [4],[5],[6],[11] |
Fair Value | $ (33) | [4],[5],[11] |
Percentage of Net Assets | (0.01%) | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services OEConnection LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.00% Interest Rate Floor 0.00% Interest Rate 9.43% Maturity Date 9/25/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4% | [2],[4],[5] |
Interest Rate Floor | 0% | [4],[5] |
Interest Rate | 9.43% | [2],[4],[5] |
Maturity Date | Sep. 25, 2026 | [4],[5] |
Par Amount / Shares | $ 237 | [4],[5],[6] |
Amortized Cost | 237 | [4],[5],[7] |
Fair Value | $ 238 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services OEConnection LLC Asset Type Second Lien Term Loan Reference Rate and Spread S + 7.00% Interest Rate Floor 1.00% Interest Rate 12.43% Maturity Date 9/25/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 7% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 12.43% | [2],[4],[5] |
Maturity Date | Sep. 25, 2027 | [4],[5] |
Par Amount / Shares | $ 1,500 | [4],[5],[6] |
Amortized Cost | 1,487 | [4],[5],[7] |
Fair Value | $ 1,497 | [4],[5] |
Percentage of Net Assets | 0.50% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services Safety Borrower Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.81% Maturity Date 9/1/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.81% | [2],[4],[5] |
Maturity Date | Sep. 01, 2027 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 247 | [4],[5],[7] |
Fair Value | $ 250 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services SailPoint Technologies Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 8/16/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.30% | [2],[4],[5] |
Maturity Date | Aug. 16, 2029 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 250 | [4],[5],[7] |
Fair Value | $ 250 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Industrial Conglomerates | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 4,381 | [5],[7] |
Fair Value | $ 4,512 | [5] |
Percentage of Net Assets | 1.50% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Industrial Conglomerates Harvey Tool Company, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 10/26/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.95% | [2],[4],[5] |
Maturity Date | Oct. 26, 2027 | [4],[5] |
Par Amount / Shares | $ 950 | [4],[5],[6] |
Amortized Cost | 913 | [4],[5],[7] |
Fair Value | $ 938 | [4],[5] |
Percentage of Net Assets | 0.31% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Industrial Conglomerates Harvey Tool Company, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.83% Maturity Date 10/26/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.83% | [2],[4],[5],[11] |
Maturity Date | Oct. 26, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 414 | [4],[5],[6],[11] |
Amortized Cost | (16) | [4],[5],[7],[11] |
Fair Value | $ (5) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Industrial Conglomerates Harvey Tool Company, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 10/26/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Oct. 26, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 3,625 | [3],[4],[5],[6] |
Amortized Cost | 3,484 | [3],[4],[5],[7] |
Fair Value | $ 3,579 | [3],[4],[5] |
Percentage of Net Assets | 1.19% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 51,388 | [5],[7] |
Fair Value | $ 51,512 | [5] |
Percentage of Net Assets | 17.09% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AMBA Buyer, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.57% Maturity Date 7/30/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.57% | [2],[3],[4],[5] |
Maturity Date | Jul. 30, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 1,081 | [3],[4],[5],[6] |
Amortized Cost | 1,071 | [3],[4],[5],[7] |
Fair Value | $ 1,069 | [3],[4],[5] |
Percentage of Net Assets | 0.35% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AMBA Buyer, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 7/30/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.65% | [2],[4],[5],[11] |
Maturity Date | Jul. 30, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 276 | [4],[5],[6],[11] |
Amortized Cost | 198 | [4],[5],[7],[11] |
Fair Value | $ 197 | [4],[5],[11] |
Percentage of Net Assets | 0.07% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AMBA Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.57% Maturity Date 7/30/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.57% | [2],[3],[4],[5] |
Maturity Date | Jul. 30, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 3,630 | [3],[4],[5],[6] |
Amortized Cost | 3,596 | [3],[4],[5],[7] |
Fair Value | $ 3,590 | [3],[4],[5] |
Percentage of Net Assets | 1.19% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AQ Sunshine, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 4/15/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.70% | [2],[3],[4],[5] |
Maturity Date | Apr. 15, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 187 | [3],[4],[5],[6] |
Amortized Cost | 186 | [3],[4],[5],[7] |
Fair Value | $ 187 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AQ Sunshine, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 4/15/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.70% | [2],[3],[4],[5] |
Maturity Date | Apr. 15, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 4,800 | [3],[4],[5],[6] |
Amortized Cost | 4,767 | [3],[4],[5],[7] |
Fair Value | $ 4,790 | [3],[4],[5] |
Percentage of Net Assets | 1.59% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Accession Risk Management, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 11/1/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Nov. 01, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Alera Group, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 10/2/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.58% | [2],[3],[4],[5] |
Maturity Date | Oct. 02, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 662 | [3],[4],[5],[6] |
Amortized Cost | 656 | [3],[4],[5],[7] |
Fair Value | $ 655 | [3],[4],[5] |
Percentage of Net Assets | 0.22% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Alera Group, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 10/2/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.58% | [2],[3],[4],[5] |
Maturity Date | Oct. 02, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 2,330 | [3],[4],[5],[6] |
Amortized Cost | 2,308 | [3],[4],[5],[7] |
Fair Value | $ 2,303 | [3],[4],[5] |
Percentage of Net Assets | 0.76% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Amerilife Holdings LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 10.97% Maturity Date 8/31/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.97% | [2],[4],[5] |
Maturity Date | Aug. 31, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 1,180 | [3],[4],[5],[6] |
Amortized Cost | 1,169 | [3],[4],[5],[7] |
Fair Value | $ 1,178 | [3],[4],[5] |
Percentage of Net Assets | 0.39% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Amerilife Holdings LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 8/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | Aug. 31, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 595 | [4],[5],[6],[11] |
Amortized Cost | (6) | [4],[5],[7],[11] |
Fair Value | $ (1) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Amerilife Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 8/31/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.05% | [2],[4],[5] |
Maturity Date | Aug. 31, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 4,710 | [3],[4],[5],[6] |
Amortized Cost | 4,665 | [3],[4],[5],[7] |
Fair Value | $ 4,701 | [3],[4],[5] |
Percentage of Net Assets | 1.56% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Beyond Risk Parent Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.90% Maturity Date 10/8/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 9.90% | [2],[4],[5],[11] |
Maturity Date | Oct. 08, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 167 | [4],[5],[6],[11] |
Amortized Cost | 65 | [4],[5],[7],[11] |
Fair Value | $ 64 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Beyond Risk Parent Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.90% Maturity Date 10/8/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 9.90% | [2],[4],[5] |
Maturity Date | Oct. 08, 2027 | [4],[5] |
Par Amount / Shares | $ 82 | [4],[5],[6] |
Amortized Cost | 82 | [4],[5],[7] |
Fair Value | $ 82 | [4],[5] |
Percentage of Net Assets | 0.03% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Galway Borrower LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 9/29/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.65% | [2],[3],[4],[5] |
Maturity Date | Sep. 29, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 2,965 | [3],[4],[5],[6] |
Amortized Cost | 2,850 | [3],[4],[5],[7] |
Fair Value | $ 2,943 | [3],[4],[5] |
Percentage of Net Assets | 0.98% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Imagine 360 LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.95% | [2],[4],[5],[11] |
Maturity Date | Sep. 30, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 16 | [4],[5],[6],[11] |
Amortized Cost | 7 | [4],[5],[7],[11] |
Fair Value | $ 7 | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Imagine 360 LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.95% | [2],[4],[5] |
Maturity Date | Sep. 30, 2026 | [4],[5] |
Par Amount / Shares | $ 1,979 | [4],[5],[6] |
Amortized Cost | 1,952 | [4],[5],[7] |
Fair Value | $ 1,969 | [4],[5] |
Percentage of Net Assets | 0.65% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Integrity Marketing Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.80 % Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.80% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.20% | [2],[4],[5] |
Maturity Date | Aug. 27, 2026 | [4],[5] |
Par Amount / Shares | $ 645 | [4],[5],[6] |
Amortized Cost | 641 | [4],[5],[7] |
Fair Value | $ 645 | [4],[5] |
Percentage of Net Assets | 0.21% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Integrity Marketing Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.02% Interest Rate Floor 0.75% Interest Rate 11.32% Maturity Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.02% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.32% | [2],[4],[5] |
Maturity Date | Aug. 27, 2026 | [4],[5] |
Par Amount / Shares | $ 3,404 | [4],[5],[6] |
Amortized Cost | 3,389 | [4],[5],[7] |
Fair Value | $ 3,404 | [4],[5] |
Percentage of Net Assets | 1.13% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Integrity Marketing Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.05% Interest Rate Floor 0.75% Interest Rate 11.45% Maturity Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.05% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.45% | [2],[4],[5] |
Maturity Date | Aug. 27, 2026 | [4],[5] |
Par Amount / Shares | $ 401 | [4],[5],[6] |
Amortized Cost | 398 | [4],[5],[7] |
Fair Value | $ 401 | [4],[5] |
Percentage of Net Assets | 0.13% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Integrity Marketing Acquisition, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 0.00 Interest Rate 11.83% Maturity Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.83% | [2],[4],[5],[11] |
Maturity Date | Aug. 27, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 122 | [4],[5],[6],[11] |
Amortized Cost | $ (1) | [4],[5],[7],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Integrity Marketing Acquisition, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.03% Interest Rate Floor 0.75% Interest Rate 11.43% Maturity Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.03% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.43% | [2],[4],[5] |
Maturity Date | Aug. 27, 2026 | [4],[5] |
Par Amount / Shares | $ 192 | [4],[5],[6] |
Amortized Cost | 191 | [4],[5],[7] |
Fair Value | $ 192 | [4],[5] |
Percentage of Net Assets | 0.06% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance KWOR Acquisition, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68%Maturity Date 12/22/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.68% | [2],[4],[5],[11] |
Maturity Date | Dec. 22, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 960 | [4],[5],[6],[11] |
Amortized Cost | 245 | [4],[5],[7],[11] |
Fair Value | $ 237 | [4],[5],[11] |
Percentage of Net Assets | 0.08% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance KWOR Acquisition, Inc. Asset Type First Lien Revolver Reference Rate and Spread P + 4.25% Interest Rate Floor 0.00% Interest Rate 12.75% Maturity Date 12/22/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 12.75% | [2],[4],[5],[11] |
Maturity Date | Dec. 22, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 157 | [4],[5],[6],[11] |
Amortized Cost | 86 | [4],[5],[7],[11] |
Fair Value | $ 85 | [4],[5],[11] |
Percentage of Net Assets | 0.03% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance KWOR Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 12/22/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.68% | [2],[4],[5] |
Maturity Date | Dec. 22, 2028 | [4],[5] |
Par Amount / Shares | $ 3,883 | [4],[5],[6] |
Amortized Cost | 3,819 | [4],[5],[7] |
Fair Value | $ 3,786 | [4],[5] |
Percentage of Net Assets | 1.26% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance McLarens Midco Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.95% | [2],[4],[5] |
Maturity Date | Dec. 19, 2025 | [4],[5] |
Par Amount / Shares | $ 2,239 | [4],[5],[6] |
Amortized Cost | 2,219 | [4],[5],[7] |
Fair Value | $ 2,228 | [4],[5] |
Percentage of Net Assets | 0.74% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance McLarens Midco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.95% | [2],[4],[5] |
Maturity Date | Dec. 19, 2025 | [4],[5] |
Par Amount / Shares | $ 2,749 | [4],[5],[6] |
Amortized Cost | 2,725 | [4],[5],[7] |
Fair Value | $ 2,735 | [4],[5] |
Percentage of Net Assets | 0.91% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Oakbridge Insurance Agency, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.08% Maturity Date 11/1/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.08% | [2],[4],[5] |
Maturity Date | Nov. 01, 2029 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 247 | [4],[5],[7] |
Fair Value | $ 249 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Pareto Health Intermediate Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 6/1/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.83% | [2],[4],[5],[11] |
Maturity Date | Jun. 01, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 163 | [4],[5],[6],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Pareto Health Intermediate Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 6/1/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.55% | [2],[4],[5] |
Maturity Date | Jun. 01, 2030 | [4],[5] |
Par Amount / Shares | $ 1,832 | [4],[5],[6] |
Amortized Cost | 1,832 | [4],[5],[7] |
Fair Value | $ 1,832 | [4],[5] |
Percentage of Net Assets | 0.61% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Patriot Growth Insurance Services, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.20% Maturity Date 10/16/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.20% | [2],[4],[5] |
Maturity Date | Oct. 16, 2028 | [4],[5] |
Par Amount / Shares | $ 54 | [4],[5],[6] |
Amortized Cost | 52 | [4],[5],[7] |
Fair Value | $ 54 | [4],[5] |
Percentage of Net Assets | 0.02% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Patriot Growth Insurance Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 10/16/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.95% | [2],[4],[5] |
Maturity Date | Oct. 16, 2028 | [4],[5] |
Par Amount / Shares | $ 195 | [4],[5],[6] |
Amortized Cost | 187 | [4],[5],[7] |
Fair Value | $ 193 | [4],[5] |
Percentage of Net Assets | 0.06% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Riser Interco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 10/31/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.30% | [2],[4],[5] |
Maturity Date | Oct. 31, 2029 | [4],[5] |
Par Amount / Shares | $ 2,993 | [4],[5],[6] |
Amortized Cost | 2,965 | [4],[5],[7] |
Fair Value | $ 2,955 | [4],[5] |
Percentage of Net Assets | 0.98% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Simplicity Financial Marketing Group Holdings Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.45% | [2],[4],[5] |
Maturity Date | Dec. 02, 2026 | [4],[5] |
Par Amount / Shares | $ 680 | [4],[5],[6] |
Amortized Cost | 666 | [4],[5],[7] |
Fair Value | $ 665 | [4],[5] |
Percentage of Net Assets | 0.22% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Simplicity Financial Marketing Group Holdings Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.29% Interest Rate Floor 1.00% Interest Rate 11.74% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.29% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.74% | [2],[4],[5] |
Maturity Date | Dec. 02, 2026 | [4],[5] |
Par Amount / Shares | $ 1,416 | [4],[5],[6] |
Amortized Cost | 1,396 | [4],[5],[7] |
Fair Value | $ 1,405 | [4],[5] |
Percentage of Net Assets | 0.47% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Simplicity Financial Marketing Group Holdings Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.45% | [2],[4],[5] |
Maturity Date | Dec. 02, 2026 | [4],[5] |
Par Amount / Shares | $ 56 | [4],[5],[6] |
Amortized Cost | 55 | [4],[5],[7] |
Fair Value | $ 55 | [4],[5] |
Percentage of Net Assets | 0.02% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Simplicity Financial Marketing Group Holdings Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.29% Interest Rate Floor 1.00% Interest Rate 11.74% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.29% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 11.74% | [2],[4],[5] |
Maturity Date | Dec. 02, 2026 | [4],[5] |
Par Amount / Shares | $ 840 | [4],[5],[6] |
Amortized Cost | 829 | [4],[5],[7] |
Fair Value | $ 834 | [4],[5] |
Percentage of Net Assets | 0.28% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Summit Acquisition Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 0.75% Interest Rate 12.05% Maturity Date 5/1/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 12.05% | [2],[4],[5] |
Maturity Date | May 01, 2030 | [4],[5] |
Par Amount / Shares | $ 249 | [4],[5],[6] |
Amortized Cost | 249 | [4],[5],[7] |
Fair Value | $ 249 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance THG Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.93% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.93% | [2],[4],[5] |
Maturity Date | Dec. 02, 2026 | [4],[5] |
Par Amount / Shares | $ 4,600 | [4],[5],[6] |
Amortized Cost | 4,600 | [4],[5],[7] |
Fair Value | $ 4,542 | [4],[5] |
Percentage of Net Assets | 1.51% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance World Insurance Associates, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | Apr. 03, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 212 | [4],[5],[6],[11] |
Amortized Cost | (2) | [4],[5],[7],[11] |
Fair Value | $ (1) | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance World Insurance Associates, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.05% Maturity Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 12.05% | [2],[4],[5] |
Maturity Date | Apr. 03, 2028 | [4],[5] |
Par Amount / Shares | $ 786 | [4],[5],[6] |
Amortized Cost | 786 | [4],[5],[7] |
Fair Value | $ 784 | [4],[5] |
Percentage of Net Assets | 0.26% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 6,467 | [4],[5],[7] |
Fair Value | $ 6,472 | [4],[5] |
Percentage of Net Assets | 2.15% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Cardinal Parent, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.95% Maturity Date 11/12/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 9.95% | [2],[4],[5] |
Maturity Date | Nov. 12, 2027 | [4],[5] |
Par Amount / Shares | $ 249 | [4],[5],[6] |
Amortized Cost | 230 | [4],[5],[7] |
Fair Value | $ 236 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Rally Buyer, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 7/19/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.05% | [2],[4],[5] |
Maturity Date | Jul. 19, 2028 | [4],[5] |
Par Amount / Shares | $ 15 | [4],[5],[6] |
Amortized Cost | 15 | [4],[5],[7] |
Fair Value | $ 15 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Rally Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 7/19/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 11.05% | [2],[4],[5] |
Maturity Date | Jul. 19, 2028 | [4],[5] |
Par Amount / Shares | $ 176 | [4],[5],[6] |
Amortized Cost | 176 | [4],[5],[7] |
Fair Value | $ 176 | [4],[5] |
Percentage of Net Assets | 0.06% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Spirit RR Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.68% Maturity Date 9/13/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.68% | [2],[4],[5],[11] |
Maturity Date | Sep. 13, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 497 | [4],[5],[6],[11] |
Amortized Cost | 58 | [4],[5],[7],[11] |
Fair Value | $ 57 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Spirit RR Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 9/13/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.65% | [2],[4],[5] |
Maturity Date | Sep. 13, 2028 | [4],[5] |
Par Amount / Shares | $ 5,988 | [4],[5],[6] |
Amortized Cost | 5,988 | [4],[5],[7] |
Fair Value | $ 5,988 | [4],[5] |
Percentage of Net Assets | 1.99% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Life Sciences Tools & Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 468 | [5],[7] |
Fair Value | $ 470 | [5] |
Percentage of Net Assets | 0.15% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Life Sciences Tools & Services Emmes Blocker, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 7/7/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.80% | [2],[4],[5],[11] |
Maturity Date | Jul. 07, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 100 | [4],[5],[6],[11] |
Amortized Cost | 73 | [4],[5],[7],[11] |
Fair Value | $ 73 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Life Sciences Tools & Services Emmes Blocker, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 7/7/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.80% | [2],[3],[4],[5] |
Maturity Date | Jul. 07, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 149 | [3],[4],[5],[6] |
Amortized Cost | 149 | [3],[4],[5],[7] |
Fair Value | $ 149 | [3],[4],[5] |
Percentage of Net Assets | 0.05% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Life Sciences Tools & Services KWOL Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 0.75% Interest Rate 11.47% Maturity Date 12/12/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.47% | [2],[3],[4],[5] |
Maturity Date | Dec. 12, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 248 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 5,545 | [5],[7] |
Fair Value | $ 5,577 | [5] |
Percentage of Net Assets | 1.85% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Arch Cutting Tools Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.15% Maturity Date 4/1/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0% | [3],[4],[5] |
Interest Rate | 10.15% | [2],[3],[4],[5] |
Maturity Date | Apr. 01, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 244 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Clyde Industries US Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 12/18/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.45% | [2],[3],[4],[5] |
Maturity Date | Dec. 18, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 237 | [3],[4],[5],[6] |
Amortized Cost | 236 | [3],[4],[5],[7] |
Fair Value | $ 236 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Dynatect Group Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.83% Maturity Date 6/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 9.83% | [2],[4],[5],[11] |
Maturity Date | Jun. 30, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 1,236 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ (6) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Dynatect Group Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.90% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.90% | [2],[3],[4],[5] |
Maturity Date | Sep. 30, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 1,764 | [3],[4],[5],[6] |
Amortized Cost | 1,764 | [3],[4],[5],[7] |
Fair Value | $ 1,755 | [3],[4],[5] |
Percentage of Net Assets | 0.58% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Flow Control Solutions, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Mar. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 68 | [3],[4],[5],[6] |
Amortized Cost | 68 | [3],[4],[5],[7] |
Fair Value | $ 68 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Flow Control Solutions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Mar. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 144 | [3],[4],[5],[6] |
Amortized Cost | 143 | [3],[4],[5],[7] |
Fair Value | $ 143 | [3],[4],[5] |
Percentage of Net Assets | 0.05% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Flow Control Solutions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.30% | [2],[3],[4],[5] |
Maturity Date | Mar. 31, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 38 | [3],[4],[5],[6] |
Amortized Cost | 38 | [3],[4],[5],[7] |
Fair Value | $ 38 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Merlin Buyer, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 3.75% Interest Rate Floor 0.00% Interest Rate 9.08% Maturity Date 12/14/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 3.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 9.08% | [2],[4],[5],[11] |
Maturity Date | Dec. 14, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 598 | [4],[5],[6],[11] |
Amortized Cost | (7) | [4],[5],[7],[11] |
Fair Value | $ (18) | [4],[5],[11] |
Percentage of Net Assets | (0.01%) | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Merlin Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.50% Interest Rate 10.08% Maturity Date 12/14/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.50% | [3],[4],[5] |
Interest Rate | 10.08% | [2],[3],[4],[5] |
Maturity Date | Dec. 14, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 2,396 | [3],[4],[5],[6] |
Amortized Cost | 2,321 | [3],[4],[5],[7] |
Fair Value | $ 2,372 | [3],[4],[5] |
Percentage of Net Assets | 0.79% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery NCWS Intermediate, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.45% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Dec. 29, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 124 | [3],[4],[5],[6] |
Amortized Cost | 119 | [3],[4],[5],[7] |
Fair Value | $ 122 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery NCWS Intermediate, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.45% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Dec. 29, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 126 | [3],[4],[5],[6] |
Amortized Cost | 121 | [3],[4],[5],[7] |
Fair Value | $ 124 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Process Insights Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 7/18/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.55% | [2],[3],[4],[5] |
Maturity Date | Jul. 18, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.09% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery WCI-Cedar Purchaser, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 10.06% Maturity Date 12/31/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.06% | [2],[3],[4],[5] |
Maturity Date | Dec. 31, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 250 | [3],[4],[5],[7] |
Fair Value | $ 248 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 7,397 | [5],[7] |
Fair Value | $ 7,364 | [5] |
Percentage of Net Assets | 2.46% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media Klick, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate Floor 0.00% Interest Rate 9.83% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[4],[5],[11],[12] |
Interest Rate Floor | 0% | [4],[5],[11],[12] |
Interest Rate | 9.83% | [2],[4],[5],[11],[12] |
Maturity Date | Mar. 31, 2026 | [4],[5],[11],[12] |
Par Amount / Shares | $ 813 | [4],[5],[6],[11],[12] |
Amortized Cost | 0 | [4],[5],[7],[11],[12] |
Fair Value | $ (6) | [4],[5],[11],[12] |
Percentage of Net Assets | 0% | [4],[5],[11],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media Klick, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.90% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5],[12] |
Interest Rate Floor | 1% | [3],[4],[5],[12] |
Interest Rate | 9.90% | [2],[3],[4],[5],[12] |
Maturity Date | Mar. 31, 2028 | [3],[4],[5],[12] |
Par Amount / Shares | $ 2,181 | [3],[4],[5],[6],[12] |
Amortized Cost | 2,181 | [3],[4],[5],[7],[12] |
Fair Value | $ 2,165 | [3],[4],[5],[12] |
Percentage of Net Assets | 0.72% | [3],[4],[5],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media Trunk Acquisition, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 2/19/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Feb. 19, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 16 | [3],[4],[5],[6] |
Amortized Cost | 16 | [3],[4],[5],[7] |
Fair Value | $ 16 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media Trunk Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 2/19/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Feb. 19, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 234 | [3],[4],[5],[6] |
Amortized Cost | 234 | [3],[4],[5],[7] |
Fair Value | $ 232 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media W2O Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.05% Maturity Date 6/12/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.05% | [2],[3],[4],[5] |
Maturity Date | Jun. 12, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 4,987 | [3],[4],[5],[6] |
Amortized Cost | 4,966 | [3],[4],[5],[7] |
Fair Value | $ 4,957 | [3],[4],[5] |
Percentage of Net Assets | 1.65% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 5,047 | [5],[7] |
Fair Value | $ 5,024 | [5] |
Percentage of Net Assets | 1.67% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels EDPO, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.08% Maturity Date 12/8/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.08% | [2],[4],[5],[11] |
Maturity Date | Dec. 08, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 131 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ (1) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels EDPO, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.08% Maturity Date 12/8/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.08% | [2],[4],[5],[11] |
Maturity Date | Dec. 08, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 57 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels EDPO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.18% Maturity Date 12/8/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.18% | [2],[3],[4],[5] |
Maturity Date | Dec. 08, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 4,799 | [3],[4],[5],[6] |
Amortized Cost | 4,799 | [3],[4],[5],[7] |
Fair Value | $ 4,775 | [3],[4],[5] |
Percentage of Net Assets | 1.59% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels Valicor PPC Intermediate II LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.68% Maturity Date 7/24/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.68% | [2],[3],[4],[5] |
Maturity Date | Jul. 24, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 43 | [3],[4],[5],[6] |
Amortized Cost | 42 | [3],[4],[5],[7] |
Fair Value | $ 43 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels Valicor PPC Intermediate II LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.68% Maturity Date 7/24/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.68% | [2],[3],[4],[5] |
Maturity Date | Jul. 24, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 178 | [3],[4],[5],[6] |
Amortized Cost | 177 | [3],[4],[5],[7] |
Fair Value | $ 178 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels Valicor PPC Intermediate II LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 7/24/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.40% | [2],[3],[4],[5] |
Maturity Date | Jul. 24, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 29 | [3],[4],[5],[6] |
Amortized Cost | 29 | [3],[4],[5],[7] |
Fair Value | $ 29 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Pharmaceuticals | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 491 | [5],[7] |
Fair Value | $ 494 | [5] |
Percentage of Net Assets | 0.16% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Pharmaceuticals Bridges Consumer Healthcare Intermediate LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.19% Interest Rate Floor 1.00% Interest Rate 11.59% Maturity Date 1/20/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.19% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.59% | [2],[3],[4],[5] |
Maturity Date | Jan. 20, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Pharmaceuticals Exactcare Parent Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 11/5/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.80% | [2],[3],[4],[5] |
Maturity Date | Nov. 05, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 248 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 22,920 | [5],[7] |
Fair Value | $ 22,882 | [5] |
Percentage of Net Assets | 7.58% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Analytic Partners, LP Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 4/4/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.80% | [2],[3],[4],[5] |
Maturity Date | Apr. 04, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 247 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Applied Technical Services, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Dec. 29, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 109 | [3],[4],[5],[6] |
Amortized Cost | 107 | [3],[4],[5],[7] |
Fair Value | $ 108 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Applied Technical Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Dec. 29, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 116 | [3],[4],[5],[6] |
Amortized Cost | 114 | [3],[4],[5],[7] |
Fair Value | $ 115 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Applied Technical Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Dec. 29, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 25 | [3],[4],[5],[6] |
Amortized Cost | 24 | [3],[4],[5],[7] |
Fair Value | $ 25 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Clinical Education Alliance, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 12/21/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.45% | [2],[3],[4],[5] |
Maturity Date | Dec. 21, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 204 | [3],[4],[5],[6] |
Amortized Cost | 198 | [3],[4],[5],[7] |
Fair Value | $ 202 | [3],[4],[5] |
Percentage of Net Assets | 0.07% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Clinical Education Alliance, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 12/21/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Dec. 21, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 45 | [3],[4],[5],[6] |
Amortized Cost | 44 | [3],[4],[5],[7] |
Fair Value | $ 45 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Crisis Prevention Institute, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 12/23/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.33% | [2],[4],[5],[11] |
Maturity Date | Dec. 23, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 540 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Crisis Prevention Institute, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.68% | [2],[3],[4],[5] |
Maturity Date | Dec. 23, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 4,447 | [3],[4],[5],[6] |
Amortized Cost | 4,447 | [3],[4],[5],[7] |
Fair Value | $ 4,447 | [3],[4],[5] |
Percentage of Net Assets | 1.48% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services DISA Holdings Corp. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.30% Maturity Date 9/9/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5] |
Interest Rate Floor | 0.75% | [4],[5] |
Interest Rate | 10.30% | [2],[4],[5] |
Maturity Date | Sep. 09, 2028 | [4],[5] |
Par Amount / Shares | $ 53 | [4],[5],[6] |
Amortized Cost | 53 | [4],[5],[7] |
Fair Value | $ 53 | [4],[5] |
Percentage of Net Assets | 0.02% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services DISA Holdings Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.30% Maturity Date 9/9/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.30% | [2],[3],[4],[5] |
Maturity Date | Sep. 09, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 197 | [3],[4],[5],[6] |
Amortized Cost | 197 | [3],[4],[5],[7] |
Fair Value | $ 196 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services DTI Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75%Interest Rate Floor 0.75% Interest Rate 10.05% Maturity Date 4/26/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.05% | [2],[3],[4],[5] |
Maturity Date | Apr. 26, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 247 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Foreigner Bidco Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/19/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.93% | [2],[3],[4],[5] |
Maturity Date | Apr. 19, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 25 | [3],[4],[5],[6] |
Amortized Cost | 25 | [3],[4],[5],[7] |
Fair Value | $ 25 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Foreigner Bidco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/19/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.93% | [2],[3],[4],[5] |
Maturity Date | Apr. 19, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 225 | [3],[4],[5],[6] |
Amortized Cost | 225 | [3],[4],[5],[7] |
Fair Value | $ 225 | [3],[4],[5] |
Percentage of Net Assets | 0.07% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services HSI Halo Acquisition, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 8/31/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Aug. 31, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 71 | [3],[4],[5],[6] |
Amortized Cost | 70 | [3],[4],[5],[7] |
Fair Value | $ 70 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services HSI Halo Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 8/31/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Aug. 31, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 178 | [3],[4],[5],[6] |
Amortized Cost | 176 | [3],[4],[5],[7] |
Fair Value | $ 177 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Iris Buyer LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 10/2/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.55% | [2],[3],[4],[5] |
Maturity Date | Oct. 02, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Jensen Hughes, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 3/22/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.18% | [2],[3],[4],[5] |
Maturity Date | Mar. 22, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 2,078 | [3],[4],[5],[6] |
Amortized Cost | 2,078 | [3],[4],[5],[7] |
Fair Value | $ 2,057 | [3],[4],[5] |
Percentage of Net Assets | 0.68% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Jensen Hughes, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 3/22/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.18% | [2],[3],[4],[5] |
Maturity Date | Mar. 22, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 2,922 | [3],[4],[5],[6] |
Amortized Cost | 2,922 | [3],[4],[5],[7] |
Fair Value | $ 2,893 | [3],[4],[5] |
Percentage of Net Assets | 0.96% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Jul. 21, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 174 | [3],[4],[5],[6] |
Amortized Cost | 172 | [3],[4],[5],[7] |
Fair Value | $ 173 | [3],[4],[5] |
Percentage of Net Assets | 0.06% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.18% | [2],[4],[5],[11] |
Maturity Date | Jul. 21, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 60 | [4],[5],[6],[11] |
Amortized Cost | (1) | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Jul. 21, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 630 | [3],[4],[5],[6] |
Amortized Cost | 624 | [3],[4],[5],[7] |
Fair Value | $ 627 | [3],[4],[5] |
Percentage of Net Assets | 0.21% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.70% | [2],[3],[4],[5] |
Maturity Date | Jul. 21, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 50 | [3],[4],[5],[6] |
Amortized Cost | 50 | [3],[4],[5],[7] |
Fair Value | $ 50 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.98% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.98% | [2],[3],[4],[5] |
Maturity Date | Jul. 21, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 45 | [3],[4],[5],[6] |
Amortized Cost | 45 | [3],[4],[5],[7] |
Fair Value | $ 45 | [3],[4],[5] |
Percentage of Net Assets | 0.01% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Medical Review Institute of America, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 7/3/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.43% | [2],[3],[4],[5] |
Maturity Date | Jul. 03, 2025 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Propio LS, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 7/17/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.33% | [2],[4],[5],[11] |
Maturity Date | Jul. 17, 2030 | [4],[5],[11] |
Par Amount / Shares | $ 250 | [4],[5],[6],[11] |
Amortized Cost | (2) | [4],[5],[7],[11] |
Fair Value | $ (3) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Propio LS, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 7/17/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.30% | [2],[3],[4],[5] |
Maturity Date | Jul. 17, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 2,493 | [3],[4],[5],[6] |
Amortized Cost | 2,475 | [3],[4],[5],[7] |
Fair Value | $ 2,462 | [3],[4],[5] |
Percentage of Net Assets | 0.82% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Rimkus Consulting Group, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Oct. 30, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 119 | [3],[4],[5],[6] |
Amortized Cost | 119 | [3],[4],[5],[7] |
Fair Value | $ 119 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Rimkus Consulting Group, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Oct. 30, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 131 | [3],[4],[5],[6] |
Amortized Cost | 131 | [3],[4],[5],[7] |
Fair Value | $ 131 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Ruppert Landscape, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.45% Maturity Date 12/1/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Dec. 01, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 2,414 | [3],[4],[5],[6] |
Amortized Cost | 2,361 | [3],[4],[5],[7] |
Fair Value | $ 2,364 | [3],[4],[5] |
Percentage of Net Assets | 0.78% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Ruppert Landscape, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.47% Maturity Date 12/1/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.47% | [2],[3],[4],[5] |
Maturity Date | Dec. 01, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 579 | [3],[4],[5],[6] |
Amortized Cost | 566 | [3],[4],[5],[7] |
Fair Value | $ 567 | [3],[4],[5] |
Percentage of Net Assets | 0.19% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Tempo Buyer Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 8/26/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Aug. 26, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services USRP Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 7/23/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | Jul. 23, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 184 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services USRP Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.22% Maturity Date 7/23/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.22% | [2],[3],[4],[5] |
Maturity Date | Jul. 23, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 4,394 | [3],[4],[5],[6] |
Amortized Cost | 4,393 | [3],[4],[5],[7] |
Fair Value | $ 4,393 | [3],[4],[5] |
Percentage of Net Assets | 1.46% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Vensure Employer Services Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.55% Maturity Date 12/17/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.55% | [2],[4],[5],[11] |
Maturity Date | Dec. 17, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 250 | [4],[5],[6],[11] |
Amortized Cost | 72 | [4],[5],[7],[11] |
Fair Value | $ 72 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Real Estate Management and Development | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 4,671 | [5],[7] |
Fair Value | $ 4,671 | [5] |
Percentage of Net Assets | 1.55% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Real Estate Management and Development Sako and Partners Lower Holdings LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.43% | [2],[3],[4],[5] |
Maturity Date | Sep. 15, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 901 | [3],[4],[5],[6] |
Amortized Cost | 901 | [3],[4],[5],[7] |
Fair Value | $ 901 | [3],[4],[5] |
Percentage of Net Assets | 0.30% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Real Estate Management and Development Sako and Partners Lower Holdings LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.33% | [2],[4],[5],[11] |
Maturity Date | Sep. 15, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 317 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Real Estate Management and Development Sako and Partners Lower Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.45% | [2],[3],[4],[5] |
Maturity Date | Sep. 15, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 3,770 | [3],[4],[5],[6] |
Amortized Cost | 3,770 | [3],[4],[5],[7] |
Fair Value | $ 3,770 | [3],[4],[5] |
Percentage of Net Assets | 1.25% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Road and Rail | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 245 | [5],[7] |
Fair Value | $ 240 | [5] |
Percentage of Net Assets | 0.08% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Road and Rail Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.31% Maturity Date 10/25/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.31% | [2],[3],[4],[5] |
Maturity Date | Oct. 25, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 240 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 53,003 | [5],[7] |
Fair Value | $ 53,137 | [5] |
Percentage of Net Assets | 17.62% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software 365 Retail Markets, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 9.97% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.97% | [2],[3],[4],[5] |
Maturity Date | Dec. 23, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 111 | [3],[4],[5],[6] |
Amortized Cost | 112 | [3],[4],[5],[7] |
Fair Value | $ 111 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software 365 Retail Markets, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.20% | [2],[3],[4],[5] |
Maturity Date | Dec. 23, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 139 | [3],[4],[5],[6] |
Amortized Cost | 139 | [3],[4],[5],[7] |
Fair Value | $ 138 | [3],[4],[5] |
Percentage of Net Assets | 0.05% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bankers Toolbox, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.57% Maturity Date 7/27/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.57% | [2],[3],[4],[5] |
Maturity Date | Jul. 27, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 662 | [3],[4],[5],[6] |
Amortized Cost | 655 | [3],[4],[5],[7] |
Fair Value | $ 662 | [3],[4],[5] |
Percentage of Net Assets | 0.22% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bankers Toolbox, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 7/27/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 0.75% | [4],[5],[11] |
Interest Rate | 10.65% | [2],[4],[5],[11] |
Maturity Date | Jul. 27, 2027 | [4],[5],[11] |
Par Amount / Shares | $ 637 | [4],[5],[6],[11] |
Amortized Cost | 239 | [4],[5],[7],[11] |
Fair Value | $ 245 | [4],[5],[11] |
Percentage of Net Assets | 0.08% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bankers Toolbox, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.57% Maturity Date 7/27/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.57% | [2],[3],[4],[5] |
Maturity Date | Jul. 27, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 3,668 | [3],[4],[5],[6] |
Amortized Cost | 3,634 | [3],[4],[5],[7] |
Fair Value | $ 3,668 | [3],[4],[5] |
Percentage of Net Assets | 1.22% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bluecat Networks (USA) Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.00% Interest Rate Floor 0.75% Interest Rate 11.30% (Incl. 2.00% PIK) Maturity Date 8/8/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4% | [2],[3],[4],[5],[12] |
Interest Rate Floor | 0.75% | [3],[4],[5],[12] |
Interest Rate | 11.30% | [2],[3],[4],[5],[12] |
Interest Rate Paid in Kind | 2% | [2],[3],[4],[5],[12] |
Maturity Date | Aug. 08, 2028 | [3],[4],[5],[12] |
Par Amount / Shares | $ 34 | [3],[4],[5],[6],[12] |
Amortized Cost | 34 | [3],[4],[5],[7],[12] |
Fair Value | $ 34 | [3],[4],[5],[12] |
Percentage of Net Assets | 0.01% | [3],[4],[5],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bluecat Networks (USA) Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 8/8/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11],[12] |
Interest Rate Floor | 0.75% | [4],[5],[11],[12] |
Interest Rate | 11.30% | [2],[4],[5],[11],[12] |
Maturity Date | Aug. 08, 2028 | [4],[5],[11],[12] |
Par Amount / Shares | $ 35 | [4],[5],[6],[11],[12] |
Amortized Cost | 6 | [4],[5],[7],[11],[12] |
Fair Value | $ 6 | [4],[5],[11],[12] |
Percentage of Net Assets | 0% | [4],[5],[11],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bluecat Networks (USA) Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.00% Interest Rate Floor 0.75% Interest Rate 11.30% (Incl. 2.00% PIK) Maturity Date 8/8/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4% | [2],[3],[4],[5],[12] |
Interest Rate Floor | 0.75% | [3],[4],[5],[12] |
Interest Rate | 11.30% | [2],[3],[4],[5],[12] |
Interest Rate Paid in Kind | 2% | [2],[3],[4],[5],[12] |
Maturity Date | Aug. 08, 2028 | [3],[4],[5],[12] |
Par Amount / Shares | $ 183 | [3],[4],[5],[6],[12] |
Amortized Cost | 183 | [3],[4],[5],[7],[12] |
Fair Value | $ 183 | [3],[4],[5],[12] |
Percentage of Net Assets | 0.06% | [3],[4],[5],[12] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software DS Admiral Bidco, LLC. Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 0.00% Interest Rate 11.83% Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.83% | [2],[4],[5],[11] |
Maturity Date | Mar. 16, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 218 | [4],[5],[6],[11] |
Amortized Cost | (6) | [4],[5],[7],[11] |
Fair Value | $ (9) | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software DS Admiral Bidco, LLC. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.80% | [2],[3],[4],[5] |
Maturity Date | Mar. 16, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 971 | [3],[4],[5],[6] |
Amortized Cost | 940 | [3],[4],[5],[7] |
Fair Value | $ 929 | [3],[4],[5] |
Percentage of Net Assets | 0.31% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software DS Admiral Bidco, LLC. Asset Type First Lien Term Loan Reference Rate and Spread S + 7.00% Interest Rate Floor 1.00% Interest Rate 12.30% Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 7% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 12.30% | [2],[3],[4],[5] |
Maturity Date | Mar. 16, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 1,804 | [3],[4],[5],[6] |
Amortized Cost | 1,764 | [3],[4],[5],[7] |
Fair Value | $ 1,759 | [3],[4],[5] |
Percentage of Net Assets | 0.58% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software DT Intermediate Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 2/24/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.15% | [2],[3],[4],[5] |
Maturity Date | Feb. 24, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 240 | [3],[4],[5],[7] |
Fair Value | $ 241 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software ESG Investments, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.18% Maturity Date 3/11/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 10.18% | [2],[4],[5] |
Maturity Date | Mar. 11, 2028 | [4],[5] |
Par Amount / Shares | $ 17 | [4],[5],[6] |
Amortized Cost | 17 | [4],[5],[7] |
Fair Value | $ 17 | [4],[5] |
Percentage of Net Assets | 0.01% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software ESG Investments, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 3/11/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.20% | [2],[3],[4],[5] |
Maturity Date | Mar. 11, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 141 | [3],[4],[5],[6] |
Amortized Cost | 139 | [3],[4],[5],[7] |
Fair Value | $ 139 | [3],[4],[5] |
Percentage of Net Assets | 0.05% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Enverus Holdings, Inc Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.83% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.83% | [2],[4],[5],[11] |
Maturity Date | Dec. 24, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 116 | [4],[5],[6],[11] |
Amortized Cost | (2) | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Enverus Holdings, Inc Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.83% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.83% | [2],[4],[5],[11] |
Maturity Date | Dec. 24, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 174 | [4],[5],[6],[11] |
Amortized Cost | (3) | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Enverus Holdings, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.83% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.83% | [2],[3],[4],[5] |
Maturity Date | Dec. 24, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 2,315 | [3],[4],[5],[6] |
Amortized Cost | 2,283 | [3],[4],[5],[7] |
Fair Value | $ 2,315 | [3],[4],[5] |
Percentage of Net Assets | 0.77% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software KPA Parent Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 7/17/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.43% | [2],[3],[4],[5] |
Maturity Date | Jul. 17, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 1,029 | [3],[4],[5],[6] |
Amortized Cost | 1,018 | [3],[4],[5],[7] |
Fair Value | $ 1,024 | [3],[4],[5] |
Percentage of Net Assets | 0.34% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software KPA Parent Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 7/17/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 11.33% | [2],[4],[5],[11] |
Maturity Date | Jul. 17, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 403 | [4],[5],[6],[11] |
Amortized Cost | (3) | [4],[5],[7],[11] |
Fair Value | $ (2) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software KPA Parent Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 7/17/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.43% | [2],[3],[4],[5] |
Maturity Date | Jul. 17, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 3,556 | [3],[4],[5],[6] |
Amortized Cost | 3,518 | [3],[4],[5],[7] |
Fair Value | $ 3,538 | [3],[4],[5] |
Percentage of Net Assets | 1.17% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Kipu Buyer, LLC. Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.33% Maturity Date 1/27/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.33% | [2],[4],[5],[11] |
Maturity Date | Jan. 27, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 365 | [4],[5],[6],[11] |
Amortized Cost | (6) | [4],[5],[7],[11] |
Fair Value | $ (5) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Kipu Buyer, LLC. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 9.95% Maturity Date 1/27/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.95% | [2],[3],[4],[5] |
Maturity Date | Jan. 27, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 2,270 | [3],[4],[5],[6] |
Amortized Cost | 2,233 | [3],[4],[5],[7] |
Fair Value | $ 2,241 | [3],[4],[5] |
Percentage of Net Assets | 0.74% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Litera Bidco LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 5/29/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.43% | [2],[3],[4],[5] |
Maturity Date | May 29, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 1,160 | [3],[4],[5],[6] |
Amortized Cost | 1,157 | [3],[4],[5],[7] |
Fair Value | $ 1,157 | [3],[4],[5] |
Percentage of Net Assets | 0.38% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Litera Bidco LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 5/31/2025 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.08% | [2],[4],[5],[11] |
Maturity Date | May 31, 2025 | [4],[5],[11] |
Par Amount / Shares | $ 252 | [4],[5],[6],[11] |
Amortized Cost | (1) | [4],[5],[7],[11] |
Fair Value | $ (4) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Litera Bidco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 5/29/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.68% | [2],[3],[4],[5] |
Maturity Date | May 29, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 1,236 | [3],[4],[5],[6] |
Amortized Cost | 1,234 | [3],[4],[5],[7] |
Fair Value | $ 1,218 | [3],[4],[5] |
Percentage of Net Assets | 0.40% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Litera Bidco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 5/29/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.43% | [2],[3],[4],[5] |
Maturity Date | May 29, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,340 | [3],[4],[5],[6] |
Amortized Cost | 2,335 | [3],[4],[5],[7] |
Fair Value | $ 2,334 | [3],[4],[5] |
Percentage of Net Assets | 0.77% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software MRI Software LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 2/10/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Feb. 10, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software MercuryGate International, Inc. Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.08% Maturity Date 8/21/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 10.08% | [2],[4],[5],[11] |
Maturity Date | Aug. 21, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 537 | [4],[5],[6],[11] |
Amortized Cost | (6) | [4],[5],[7],[11] |
Fair Value | $ (5) | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software MercuryGate International, Inc. Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.40% Maturity Date 8/21/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.40% | [2],[3],[4],[5] |
Maturity Date | Aug. 21, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 4,452 | [3],[4],[5],[6] |
Amortized Cost | 4,402 | [3],[4],[5],[7] |
Fair Value | $ 4,441 | [3],[4],[5] |
Percentage of Net Assets | 1.47% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Montana Buyer Inc. Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.08% Maturity Date 7/22/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.08% | [2],[3],[4],[5] |
Maturity Date | Jul. 22, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 4,987 | [3],[4],[5],[6] |
Amortized Cost | 4,987 | [3],[4],[5],[7] |
Fair Value | $ 4,938 | [3],[4],[5] |
Percentage of Net Assets | 1.64% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Navex TopCo, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.08% Maturity Date 11/08/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.08% | [2],[3],[4],[5] |
Maturity Date | Nov. 08, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 7,500 | [3],[4],[5],[6] |
Amortized Cost | 7,414 | [3],[4],[5],[7] |
Fair Value | $ 7,406 | [3],[4],[5] |
Percentage of Net Assets | 2.46% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software North Star Acquisitionco, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.33% Maturity Date 5/3/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.33% | [2],[4],[5],[11] |
Maturity Date | May 03, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 374 | [4],[5],[6],[11] |
Amortized Cost | 0 | [4],[5],[7],[11] |
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software North Star Acquisitionco, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 5/3/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | $ 0 | [4],[5],[11] |
Percentage of Net Assets | 0% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software North Star Acquisitionco, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.33% Maturity Date 5/3/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.33% | [2],[4],[5],[11] |
Maturity Date | May 03, 2029 | [4],[5],[11] |
Par Amount / Shares | $ 521 | [4],[5],[6],[11] |
Amortized Cost | $ 0 | [4],[5],[7],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software North Star Acquisitionco, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 5/3/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | May 03, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 4,095 | [3],[4],[5],[6] |
Amortized Cost | 4,094 | [3],[4],[5],[7] |
Fair Value | $ 4,094 | [3],[4],[5] |
Percentage of Net Assets | 1.36% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Pegasus Transtech Holding, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.33% Maturity Date 11/17/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.33% | [2],[3],[4],[5] |
Maturity Date | Nov. 17, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Perforce Software, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.50% Interest Rate 9.83% Maturity Date 7/1/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 0.50% | [3],[4],[5] |
Interest Rate | 9.83% | [2],[3],[4],[5] |
Maturity Date | Jul. 01, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,992 | [3],[4],[5],[6] |
Amortized Cost | 2,902 | [3],[4],[5],[7] |
Fair Value | $ 2,962 | [3],[4],[5] |
Percentage of Net Assets | 0.98% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Prism Parent Co. Inc Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 9/19/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 11.33% | [2],[4],[5],[11] |
Maturity Date | Sep. 19, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 1,008 | [4],[5],[6],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Prism Parent Co. Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.08% Maturity Date 9/19/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 11.08% | [2],[3],[4],[5] |
Maturity Date | Sep. 19, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 3,982 | [3],[4],[5],[6] |
Amortized Cost | 3,982 | [3],[4],[5],[7] |
Fair Value | $ 3,982 | [3],[4],[5] |
Percentage of Net Assets | 1.32% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Renaissance Holding Corp Asset Type First Lien Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 0.50% Interest Rate 9.58% Maturity Date 5/5/2030 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.50% | [3],[4],[5] |
Interest Rate | 9.58% | [2],[3],[4],[5] |
Maturity Date | Apr. 05, 2030 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 251 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Thunder Purchaser, Inc Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.20% | [2],[3],[4],[5] |
Maturity Date | Jun. 30, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 60 | [3],[4],[5],[6] |
Amortized Cost | 60 | [3],[4],[5],[7] |
Fair Value | $ 60 | [3],[4],[5] |
Percentage of Net Assets | 0.02% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Trimech Acquisition Corp Asset Type First Lien Revolver Reference Rate and Spread S + 3.75% Interest Rate Floor 0.00% Interest Rate 12.25% Maturity Date 3/10/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 3.75% | [2],[4],[5],[11] |
Interest Rate Floor | 0% | [4],[5],[11] |
Interest Rate | 12.25% | [2],[4],[5],[11] |
Maturity Date | Mar. 10, 2028 | [4],[5],[11] |
Par Amount / Shares | $ 159 | [4],[5],[6],[11] |
Amortized Cost | 51 | [4],[5],[7],[11] |
Fair Value | $ 51 | [4],[5],[11] |
Percentage of Net Assets | 0.02% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Trimech Acquisition Corp Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 3/10/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.20% | [2],[3],[4],[5] |
Maturity Date | Mar. 10, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 1,836 | [3],[4],[5],[6] |
Amortized Cost | 1,836 | [3],[4],[5],[7] |
Fair Value | $ 1,836 | [3],[4],[5] |
Percentage of Net Assets | 0.61% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software WatchGuard Technologies, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 6/30/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.58% | [2],[3],[4],[5] |
Maturity Date | Jun. 30, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 240 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software e-Discovery AcquireCo, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 8/29/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 6.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.80% | [2],[3],[4],[5] |
Maturity Date | Aug. 29, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 249 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Specialty Retail | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 739 | [5],[7] |
Fair Value | $ 745 | [5] |
Percentage of Net Assets | 0.24% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Specialty Retail Majco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.95% Maturity Date 12/4/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 4.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 9.95% | [2],[3],[4],[5] |
Maturity Date | Dec. 04, 2028 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 245 | [3],[4],[5],[7] |
Fair Value | $ 246 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Specialty Retail Monahan Products, LLCC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 8/27/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Aug. 27, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 246 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Specialty Retail Shock Doctor Intermediate, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.31% Maturity Date 11/20/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.31% | [2],[3],[4],[5] |
Maturity Date | Nov. 20, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 249 | [3],[4],[5],[6] |
Amortized Cost | 248 | [3],[4],[5],[7] |
Fair Value | $ 249 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Technology Hardware, Storage and Peripherals | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 3,228 | [5],[7] |
Fair Value | $ 3,259 | [5] |
Percentage of Net Assets | 1.08% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Technology Hardware, Storage and Peripherals TA TT Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.50% Interest Rate 10.30% Maturity Date 4/1/2029 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5% | [2],[3],[4],[5] |
Interest Rate Floor | 0.50% | [3],[4],[5] |
Interest Rate | 10.30% | [2],[3],[4],[5] |
Maturity Date | Apr. 01, 2029 | [3],[4],[5] |
Par Amount / Shares | $ 2,992 | [3],[4],[5],[6] |
Amortized Cost | 2,978 | [3],[4],[5],[7] |
Fair Value | $ 3,009 | [3],[4],[5] |
Percentage of Net Assets | 1% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Technology Hardware, Storage and Peripherals UBEO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 4/3/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.95% | [2],[3],[4],[5] |
Maturity Date | Apr. 03, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 250 | [3],[4],[5],[6] |
Amortized Cost | 250 | [3],[4],[5],[7] |
Fair Value | $ 250 | [3],[4],[5] |
Percentage of Net Assets | 0.08% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 7,810 | [5],[7] |
Fair Value | $ 7,780 | [5] |
Percentage of Net Assets | 2.58% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors Graffiti Buyer, Inc Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 8/10/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Aug. 10, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 1,561 | [3],[4],[5],[6] |
Amortized Cost | 1,540 | [3],[4],[5],[7] |
Fair Value | $ 1,540 | [3],[4],[5] |
Percentage of Net Assets | 0.51% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors Graffiti Buyer, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 8/10/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.50% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.90% | [2],[3],[4],[5] |
Maturity Date | Aug. 10, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 3,427 | [3],[4],[5],[6] |
Amortized Cost | 3,380 | [3],[4],[5],[7] |
Fair Value | $ 3,380 | [3],[4],[5] |
Percentage of Net Assets | 1.12% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors Kele Holdco, Inc Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 2/20/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[4],[5],[11] |
Interest Rate Floor | 1% | [4],[5],[11] |
Interest Rate | 10.68% | [2],[4],[5],[11] |
Maturity Date | Feb. 20, 2026 | [4],[5],[11] |
Par Amount / Shares | $ 342 | [4],[5],[6],[11] |
Amortized Cost | 232 | [4],[5],[7],[11] |
Fair Value | $ 228 | [4],[5],[11] |
Percentage of Net Assets | 0.08% | [4],[5],[11] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors Kele Holdco, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 2/20/2026 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 10.68% | [2],[3],[4],[5] |
Maturity Date | Feb. 20, 2026 | [3],[4],[5] |
Par Amount / Shares | $ 2,658 | [3],[4],[5],[6] |
Amortized Cost | 2,658 | [3],[4],[5],[7] |
Fair Value | $ 2,632 | [3],[4],[5] |
Percentage of Net Assets | 0.87% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Water Utilities | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 241 | [5],[7] |
Fair Value | $ 246 | [5] |
Percentage of Net Assets | 0.08% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 498 | [5],[7] |
Fair Value | $ 493 | [5] |
Percentage of Net Assets | 0.16% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services Alert Media, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 0.00% Interest Rate Floor 1.00% Interest Rate 12.08% (Incl. 11.08% PIK) Maturity Date 4/12/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.78% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 12.08% | [2],[3],[4],[5] |
Interest Rate Paid in Kind | 11.08% | [2],[3],[4],[5] |
Maturity Date | Apr. 12, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 119 | [3],[4],[5],[6] |
Amortized Cost | 119 | [3],[4],[5],[7] |
Fair Value | $ 119 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services Alert Media, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 4/12/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.75% | [2],[3],[4],[5] |
Interest Rate Floor | 1% | [3],[4],[5] |
Interest Rate | 11.05% | [2],[3],[4],[5] |
Maturity Date | Apr. 12, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 131 | [3],[4],[5],[6] |
Amortized Cost | 131 | [3],[4],[5],[7] |
Fair Value | $ 129 | [3],[4],[5] |
Percentage of Net Assets | 0.04% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services DAS Purchaser 2 Corp Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 4/30/2027 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 5.25% | [2],[3],[4],[5] |
Interest Rate Floor | 0.75% | [3],[4],[5] |
Interest Rate | 10.65% | [2],[3],[4],[5] |
Maturity Date | Apr. 30, 2027 | [3],[4],[5] |
Par Amount / Shares | $ 84 | [3],[4],[5],[6] |
Amortized Cost | 83 | [3],[4],[5],[7] |
Fair Value | $ 82 | [3],[4],[5] |
Percentage of Net Assets | 0.03% | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Total Equity Investments | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 13,603 | [5],[7],[8] |
Fair Value | $ 13,581 | [5],[8] |
Percentage of Net Assets | 4.50% | [5],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Total Secured Debt | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 464,499 | [5],[7] |
Fair Value | $ 465,115 | [5] |
Percentage of Net Assets | 154.25% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Total Unsecured Debt | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 1,210 | [5],[7] |
Fair Value | $ 1,158 | [5] |
Percentage of Net Assets | 0.38% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 946 | [5],[7] |
Fair Value | $ 893 | [5] |
Percentage of Net Assets | 0.29% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type Subordinated Unsecured Delayed Draw Term Loan Interest Rate 13.75% PIK Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Interest Rate Paid in Kind | 13.75% | [2],[4],[5] |
Maturity Date | Mar. 16, 2028 | [4],[5] |
Par Amount / Shares | $ 260 | [4],[5],[6] |
Amortized Cost | 260 | [4],[5],[7] |
Fair Value | $ 245 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type Subordinated Unsecured Term Loan Interest Rate 13.75% PIK Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Interest Rate Paid in Kind | 13.75% | [2],[4],[5] |
Maturity Date | Mar. 16, 2028 | [4],[5] |
Par Amount / Shares | $ 680 | [4],[5],[6] |
Amortized Cost | 680 | [4],[5],[7] |
Fair Value | $ 642 | [4],[5] |
Percentage of Net Assets | 0.21% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services Vector Group Holdings LLC Asset Type Subordinated Unsecured Delayed Draw Term Loan Interest Rate 14.75% PIK Maturity Date 8/31/2030 | ||
Schedule of Investments [Line Items] | ||
Interest Rate Paid in Kind | 13.75% | [2],[4],[5],[13] |
Maturity Date | Aug. 31, 2030 | [4],[5],[13] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services Vector Group Holdings LLC Asset Type Subordinated Unsecured Term Loan Interest Rate 13.75% PIK Maturity Date 8/31/2030 | ||
Schedule of Investments [Line Items] | ||
Interest Rate Paid in Kind | 13.75% | [2],[4],[5] |
Maturity Date | Aug. 31, 2030 | [4],[5] |
Par Amount / Shares | $ 5 | [4],[5],[6] |
Amortized Cost | 5 | [4],[5],[7] |
Fair Value | 5 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Health Care Technology | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | 245 | [5],[7] |
Fair Value | $ 246 | [5] |
Percentage of Net Assets | 0.08% | [5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Health Care Technology Employee Health Co Asset Type Senior Unsecured Term Loan Interest Rate 13.75% PIK Maturity Date 11/10/2031 | ||
Schedule of Investments [Line Items] | ||
Interest Rate Paid in Kind | 13.75% | [2],[4],[5] |
Maturity Date | Nov. 10, 2031 | [4],[5] |
Par Amount / Shares | $ 250 | [4],[5],[6] |
Amortized Cost | 245 | [4],[5],[7] |
Fair Value | $ 246 | [4],[5] |
Percentage of Net Assets | 0.08% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Healthcare Providers and Services | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 19 | [4],[5],[7] |
Fair Value | $ 19 | [4],[5] |
Percentage of Net Assets | 0.01% | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Healthcare Providers and Services OB Hospitalist Group, Inc Asset Type Subordinated Unsecured Term Loan Reference Rate and Spread S + 9.50% Interest Rate Floor 1.00% Interest Rate 14.83% Maturity Date 9/27/2028 | ||
Schedule of Investments [Line Items] | ||
Reference Rate and Spread | 9.50% | [2],[4],[5] |
Interest Rate Floor | 1% | [4],[5] |
Interest Rate | 14.83% | [2],[4],[5] |
Maturity Date | Sep. 27, 2028 | [4],[5] |
Par Amount / Shares | $ 19 | [4],[5],[6] |
Amortized Cost | 19 | [4],[5],[7] |
Fair Value | $ 19 | [4],[5] |
Percentage of Net Assets | 0.01% | [4],[5] |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AB Centers Acquisition Corp. Commitment Type Revolver Commitment Expiration Date 9/6/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated ACI Group Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 8/2/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated ACI Group Holdings, Inc Commitment Type Revolver Commitment Expiration Date 8/2/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AMBA Buyer, Inc Commitment Type Revolver Commitment Expiration Date 7/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AVG Intermediate Holdings LLC Commitment Type Revolver Commitment Expiration Date 3/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AWP Group Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 8/1/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AWP Group Holdings, Inc Commitment Type Revolver Commitment Expiration Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Acentra Holdings, LLC Commitment Type Revolver Commitment Expiration Date 12/17/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Amerilife Holdings LLC Commitment Type Revolver Commitment Expiration Date 8/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Apex Service Partners, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 10/24/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (8) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Apex Service Partners, LLC Commitment Type Revolver Commitment Expiration Date 10/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Ares Holdings, LLC Commitment Type Revolver Commitment Expiration Date 11/18/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Arrow Management Acquisition, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 11/28/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Bankers Toolbox, Inc Commitment Type Revolver Commitment Expiration Date 7/27/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Beyond Risk Parent Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 10/9/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Blackbird Purchaser, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Blackbird Purchaser, Inc Commitment Type Revolver Commitment Expiration Date 12/19/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Blackhawk Industrial Distribution, Inc Commitment Type Revolver Commitment Expiration Date 9/17/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Blades Buyer, Inc Commitment Type Revolver Commitment Expiration Date 3/28/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Bluecat Networks (USA) Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 8/8/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated CFGI Holdings, LLC Commitment Type Revolver Commitment Expiration Date 11/2/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Cardiology Management Holdings, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 1/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Cerity Partners Equity Holding LLC Commitment Type Revolver Commitment Expiration Date 7/28/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Cherry Bekaert Advisory LLC Commitment Type Revolver Commitment Expiration Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Cold Chain Technologies, LLC Commitment Type Revolver Commitment Expiration Date 8/2/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Crisis Prevention Institute, Inc Commitment Type Revolver Commitment Expiration Date 12/23/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated DS Admiral Bidco, LLC Commitment Type Revolver Commitment Expiration Date 3/16/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (9) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Dynatect Group Holdings, Inc Commitment Type Revolver Commitment Expiration Date 6/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (6) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated EDPO, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/2/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated EDPO, LLC Commitment Type Revolver Commitment Expiration Date 12/8/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated ENT MSO, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/25/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Edgeco Buyer, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 4/1/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Emmes Blocker, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 7/8/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Enverus Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/22/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Enverus Holdings, Inc Commitment Type Revolver Commitment Expiration Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated FL Hawk Intermediate Holdings, Inc Commitment Type Revolver Commitment Expiration Date 2/22/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Foreside Financial Group, LLC Commitment Type Revolver Commitment Expiration Date 9/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (9) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated GSV Holding, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 7/15/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Harvey Tool Company, LLC Commitment Type Revolver Commitment Expiration Date 10/26/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Integrated Power Services Holdings, Inc. Commitment Type Revolver Commitment Expiration Date 11/22/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated JHCC Holdings LLC Commitment Type Revolver Commitment Expiration Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated KPA Parent Holdings, Inc Commitment Type Revolver Commitment Expiration Date 7/17/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated KWOR Acquisition, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 6/23/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (17) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated KWOR Acquisition, Inc Commitment Type Revolver Commitment Expiration Date 12/22/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Kele Holdco, Inc. Commitment Type Revolver Commitment Expiration Date 2/20/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Kipu Buyer, LLC Commitment Type Revolver Commitment Expiration Date 1/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Klick, Inc Commitment Type Revolver Commitment Expiration Date 3/31/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (6) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Kriv Acquisition Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 7/7/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Kriv Acquisition Inc Commitment Type Revolver Commitment Expiration Date 7/6/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Lightbeam Bidco Inc Commitment Type Revolver Commitment Expiration Date 5/4/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Litera Bidco LLC Commitment Type Revolver Commitment Expiration Date 5/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (4) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated MEI Buyer LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 6/30/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated MHE Intermediate Holdings, LLC Commitment Type Revolver Commitment Expiration Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated MercuryGate International, Inc Commitment Type Revolver Commitment Expiration Date 8/21/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Merlin Buyer, Inc Commitment Type Revolver Commitment Expiration Date 12/14/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (18) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Minotaur Acquisition, Inc Commitment Type Revolver Commitment Expiration Date 3/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (15) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated NJEye LLC Commitment Type Revolver Commitment Expiration Date 3/14/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated New ILC Dover, Inc Commitment Type Revolver Commitment Expiration Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated North Star Acquisitionco, LLC Commitment Type Revolver Commitment Expiration Date 5/3/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated OEConnection LLC Commitment Type Revolver Commitment Expiration Date 9/25/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (33) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Orsini Pharmaceutical Services, LLC Commitment Type Revolver Commitment Expiration Date 5/2/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated PS Intermediate Holdco II, LLC Commitment Type Revolver Commitment Expiration Date 4/25/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Paint Intermediate III, LLC Commitment Type Revolver Commitment Expiration Date 10/7/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Pareto Health Intermediate Holdings, Inc Commitment Type Revolver Commitment Expiration Date 6/1/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Pathstone Family Office LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/15/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Pathstone Family Office LLC Commitment Type Revolver Commitment Expiration Date 5/15/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Prism Parent Co. Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 9/19/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Propio LS, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 7/18/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Quality Automotive Services, LLC Commitment Type Revolver Commitment Expiration Date 7/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated R&T Acquisitions, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 9/1/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (6) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated RWA Wealth Partners, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 9/1/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated SCP Eye Care Holdco, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 10/7/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated STCH Acquisition Inc Commitment Type Revolver Commitment Expiration Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Sako and Partners Lower Holdings LLC Commitment Type Revolver Commitment Expiration Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Smile Doctors LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 3/9/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Southpaw AP Buyer, LLC Commitment Type Revolver Commitment Expiration Date 3/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Spirit RR Holdings, Inc Commitment Type Revolver Commitment Expiration Date 9/13/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated TPC Engineering Holdings, Inc Commitment Type Revolver Commitment Expiration Date 2/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Trimech Acquisition Corp Commitment Type Revolver Commitment Expiration Date 3/10/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated USRP Holdings, Inc Commitment Type Revolver Commitment Expiration Date 7/23/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Ultimate Baked Goods Midco LLC Commitment Type Revolver Commitment Expiration Date 8/13/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated VPP Intermediate Holdings, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 2/7/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (14) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated VPP Intermediate Holdings, LLC Commitment Type Revolver Commitment Expiration Date 12/1/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Vensure Employer Services Commitment Type Delayed Draw Term Loan Commitment Expiration Date 6/15/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Vessco Midco Holdings, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 11/18/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (10) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated WST USA Holdco, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/30/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (8) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Wealth Enhancement Group, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/2/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Wealth Enhancement Group, LLC Commitment Type Revolver Commitment Expiration Date 10/4/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated World Insurance Associates, LLC Commitment Type Revolver Commitment Expiration Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated YLG Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/31/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated YLG Holdings, Inc Commitment Type Revolver Commitment Expiration Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | |
Investment, Identifier [Axis]: Total Cash and Cash Equivalents | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | 20,715 | [5],[7] |
Fair Value | $ 20,715 | [5] |
Percentage of Net Assets | 6.87% | [5] |
Investment, Identifier [Axis]: Total Investments - non-controlled/non-affiliated | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 479,312 | [5],[7] |
Fair Value | $ 479,854 | [5] |
Percentage of Net Assets | 159.13% | [5] |
Investment, Identifier [Axis]: Total Portfolio Investments, Cash and Cash Equivalents | ||
Schedule of Investments [Line Items] | ||
Amortized Cost | $ 500,027 | [5],[7] |
Fair Value | $ 500,569 | [5] |
Percentage of Net Assets | 166% | [5] |
Investment, Identifier [Axis]: Total Unfunded Commitments | ||
Schedule of Investments [Line Items] | ||
Fair Value | $ (241) | |
[1] Non-controlled/non-affiliated investments at amortized cost o f $ 479,312 and zero as of March 31, 2024 and December 31, 2023 , respectively. The majority of the investments bear interest at a rate that may be determined by reference to the Prime Rate (“Prime” or “P”) or Secured Overnight Financing Rate ("SOFR" or "S"), which reset daily, monthly, quarterly, semiannually or annually. For each such investment, the Company has provided the spread over Prime and SOFR and the current contractual interest rate in effect on March 31, 2024 . Certain investments are subject to a Prime or SOFR interest rate floor, or rate cap. Certain investments contain a Payment-in-Kind (“PIK”) provision. SOFR based contracts may include a credit spread adjustment, which is included within the stated all-in interest rate, if applicable, that is charged in addition to the base rate and the stated spread. These investments are pledged as collateral under the SG Facility. These investments were valued using unobservable inputs and are considered Level 3 investments. Fair value was determined in good faith by the Adviser as the Company’s valuation designee, subject to the oversight of the Board of Trustees (the “Board”) (see Note 2 and Note 5), pursuant to the Company’s valuation policy. Unless otherwise indicated, issuers of debt and equity investments held by the Company (which such term “Company” shall include the Company’s consolidated subsidiaries for purposes of this Consolidated Schedule of Investments) are denominated in dollars. All debt investments are income producing unless otherwise indicated. All equity investments are non-income producing unless otherwise noted. Certain portfolio company investments are subject to contractual restrictions on sales. The total par amount is presented for debt investments and the number of shares or units owned is presented for equity investments. Investments with par value / shares less than 500 shown as zero. 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"). Security exempt from registration under the Securities Act of 1933 (the “Securities Act”), and may be deemed to be “restricted securities” under the Securities Act. As of March 31, 2024, the aggregate fair value of these securities is $13,581 or 4.50% of the Company’s net assets. The acquisition date of the restricted securities was January 19, 2024. The Company invests in this portfolio company through underlying blocker entities Hercules Blocker 1 LLC, Hercules Blocker 2 LLC, Hercules Blocker 3 LLC, Hercules Blocker 4 LLC, and Hercules Blocker 5 LLC in the form of shareholder notes and common units. The Company invests in this portfolio company through underlying blocker entities Holocene Topco LP and Holocene Topco II LP. 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 value results from unamortized fees, which are capitalized to the investment cost. The unfunded loan commitment may be subject to a commitment termination date that may expire prior to the maturity date stated. The investment is not a qualifying asset, in whole or in part, 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 March 31, 2024, non-qualifying assets represented 1.74 % of total assets as calculated in accordance with regulatory requirements. The Company holds less than 500 shares of these investments, as such respective par value / shares are shown as zero. |
CONSOLIDATED SCHEDULE OF INVE_2
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) Unfunded Commitments $ in Thousands | Mar. 31, 2024 USD ($) | |
Schedule of Investments [Line Items] | ||
Fair Value | $ 479,854 | [1] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 34 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Thunder Purchaser, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 189 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Water Utilities Water Holdings Acquisition LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 12/18/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 7 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Water Utilities Water Holdings Acquisition LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 12/18/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 239 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services DAS Purchaser 2 Corp Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 4/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 163 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services Vector Group Holdings LLC Asset Type Subordinated Unsecured Term Loan Interest Rate 14.75% PIK Maturity Date 8/31/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | $ 1 | [3],[4] |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated North Star Acquisitionco, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/4/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 04, 2025 | |
Unfunded Commitment | $ 374 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Turningpoint Healthcare Solutions, LLC Commitment Type Revolver Commitment Expiration Date 7/14/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 14, 2027 | |
Unfunded Commitment | $ 257 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated WRE Holding Corp Commitment Type Revolver Commitment Expiration Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jan. 03, 2025 | |
Unfunded Commitment | $ 189 | |
Fair Value | (2) | |
Investment, Identifier [Axis]: Cash and Cash Equivalents | ||
Schedule of Investments [Line Items] | ||
Fair Value | 20,715 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Auto Components | ||
Schedule of Investments [Line Items] | ||
Fair Value | 506 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Auto Components EAH Holdco, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 153 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Auto Components QAS Parent, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 353 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Commercial Services and Supplies | ||
Schedule of Investments [Line Items] | ||
Fair Value | 481 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Commercial Services and Supplies Hercules Blocker LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 177 | [3],[4],[5],[6] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Commercial Services and Supplies KAWP Holdings, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 304 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Construction & Engineering | ||
Schedule of Investments [Line Items] | ||
Fair Value | 866 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Construction & Engineering MEI Co-Investor Aggregator LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 866 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,257 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services American Veterinary Group Holdings, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 304 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services Four Seasons Blocker Aggregator, LP Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 208 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services GS Seer Group Holdings, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 123 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services Health Aggregator LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 123 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services Home Service HoldCo, Inc Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 244 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Consumer Services VPP Group Holdings, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 255 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Financial Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,472 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Financial Services GC Mountaintop Holdings, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 680 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Diversified Financial Services GC Mountaintop Intermediate II Inc Asset Type Preferred Interest Rate 11.00% PIK | ||
Schedule of Investments [Line Items] | ||
Fair Value | 792 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Energy Equipment and Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 902 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Energy Equipment and Services Tiger Parent Holdco L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 902 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,947 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services Holocene Topco LP Asset Type Preferred | ||
Schedule of Investments [Line Items] | ||
Fair Value | 337 | [3],[4],[5],[7] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services Oral Surgery Holdings, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 625 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services REP Coinvest III AGP Blocker, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 424 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services REP Coinvest III AGP, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 182 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services RxSense Group LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 284 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Healthcare Providers and Services US Heart And Vascular Holdings LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 95 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments IT Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,300 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments IT Services OEC Holdco, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 400 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments IT Services OEC Holdco, LLC Asset Type Preferred Interest Rate 11.00% PIK | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,900 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,584 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance Accelerate Topco Holdings LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 227 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance IMG Blocker Buyer Parent, LLC Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 6 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance IMG Blocker Buyer Parent, LLC Asset Type Preferred | ||
Schedule of Investments [Line Items] | ||
Fair Value | 579 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance Integrity Marketing Group, LLC Asset Type Preferred | ||
Schedule of Investments [Line Items] | ||
Fair Value | 180 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance LEP McLarens Co-Invest, L.P Asset Type LP Units | ||
Schedule of Investments [Line Items] | ||
Fair Value | 153 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance LEP Pequod Holdings LP Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 298 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance OHCP V GA COI, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 14 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Insurance OHCP V GA COI, L.P Asset Type Preferred Interest Rate 14.00% (Incl. 12.00% PIK) | ||
Schedule of Investments [Line Items] | ||
Fair Value | 127 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Internet Software & Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 672 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Internet Software & Services Winterfell Co-Invest SCSp Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 672 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Professional Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 655 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Professional Services Elevator Holdco, Inc Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 397 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Professional Services TVG-KUSRP Holdings, LP Asset Type Preferred | ||
Schedule of Investments [Line Items] | ||
Fair Value | 258 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Software | ||
Schedule of Investments [Line Items] | ||
Fair Value | 400 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Software North Star Acquisition Aggregator, L.P Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 400 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Trading Companies and Distributors | ||
Schedule of Investments [Line Items] | ||
Fair Value | 539 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Trading Companies and Distributors Graffiti Parent, LP Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 344 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Equity Investments Trading Companies and Distributors Kele Holdings, Inc Asset Type Common | ||
Schedule of Investments [Line Items] | ||
Fair Value | 195 | [3],[4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,830 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.69% Interest Rate Floor 1.00% Interest Rate 11.14% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 33 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 9 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 39 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics American Trailer Rental Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.69% Interest Rate Floor 1.00% Interest Rate 11.14% Maturity Date 6/1/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 128 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics Lightbeam Bidco Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor .75% Interest Rate 11.55% Maturity Date 5/4/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 595 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics Lightbeam Bidco Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.25% Interest Rate Floor .75% Interest Rate 11.55% Maturity Date 5/4/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 63 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Air Freight and Logistics Lightbeam Bidco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor .75% Interest Rate 11.55% Maturity Date 5/4/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,929 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components | ||
Schedule of Investments [Line Items] | ||
Fair Value | 14,044 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Enthusiast Auto Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,500 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Enthusiast Auto Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.68% Maturity Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,500 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components JHCC Holdings LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,043 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components JHCC Holdings LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 95 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components JHCC Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,672 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components JHCC Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.20% Maturity Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 424 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components OAC Holdings I Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 3/30/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,955 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Quality Automotive Services, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 7/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 469 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Quality Automotive Services, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 7/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Auto Components Quality Automotive Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 7/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,387 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,126 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products 80/20, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 3/1/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products SV-MDC Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 8/31/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 191 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products SV-MDC Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 8/31/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 48 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products SureWerx Purchaser III Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor .75% Interest Rate 12.05% Maturity Date 12/28/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products WST USA Holdco, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 3/31/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 904 | [3],[4],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Building Products WST USA Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 3/31/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,488 | [2],[3],[4],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets | ||
Schedule of Investments [Line Items] | ||
Fair Value | 11,529 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets AQ Sage Buyer, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.48% Maturity Date 1/25/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 62 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets AQ Sage Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 1/25/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 183 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Allworth Financial Group, L.P. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,406 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Allworth Financial Group, L.P. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,519 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Edgeco Buyer, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.15% Maturity Date 6/1/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 71 | [2],[3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Edgeco Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.15% Maturity Date 6/1/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 170 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Lido Advisors, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 6/15/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,482 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Pathstone Family Office LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.08% Maturity Date 5/15/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Pathstone Family Office LLC Asset Type First Lien Revolver Reference Rate and Spread P + 5.75% Interest Rate Floor 0.00% Interest Rate 14.25% Maturity Date 5/15/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 30 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Capital Markets Pathstone Family Office LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.18% Maturity Date 5/15/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,608 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,935 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Aurora Plastics, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.18% Maturity Date 8/10/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 50 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Aurora Plastics, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.18% Maturity Date 8/10/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 196 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals DCG Acquisition Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.00% Interest Rate 10.68% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,591 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals DCG Acquisition Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.18% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 351 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Formulations Parent Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 11/15/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Lubricant Engineers Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.30% Maturity Date 9/1/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Chemicals Tangent Technologies Acquisition, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 11/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies | ||
Schedule of Investments [Line Items] | ||
Fair Value | 40,466 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies AWP Group Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 10 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies AWP Group Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 14 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies AWP Group Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,733 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Ares Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 11/18/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 31 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Ares Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.27% Interest Rate Floor 1.00% Interest Rate 10.67% Maturity Date 11/18/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 977 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Ares Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 11/18/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,834 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies CoolSys, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.31% Maturity Date 8/11/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 245 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies EXT Acquisitions, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.70% Maturity Date 6/26/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 16 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies EXT Acquisitions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.70% Maturity Date 6/26/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 234 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies FL Hawk Intermediate Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.08% Maturity Date 2/22/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies FL Hawk Intermediate Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.31% Maturity Date 2/22/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies FL Hawk Intermediate Holdings, Inc. Asset Type Second Lien Term Loan Reference Rate and Spread S + 8.75% Interest Rate Floor 1.00% Interest Rate 14.31% Maturity Date 8/22/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,560 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Fresh Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 1/24/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 247 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies HP RSS Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.30% Maturity Date 12/11/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,950 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies HeartLand PPC Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 12/12/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,963 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Hercules Borrower LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/15/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 306 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Hercules Borrower LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 12/15/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Hercules Borrower LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 12/15/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 33 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Hercules Borrower LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.65% Maturity Date 12/15/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,324 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies High Bar Brands Operating, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.55% Maturity Date 12/19/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Monarch Landscape Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.55% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 297 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Monarch Landscape Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 868 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Monarch Landscape Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,786 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Paint Intermediate III, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.18% Maturity Date 10/7/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 329 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Paint Intermediate III, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 10/6/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 5,456 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Palmetto Acquisitionco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 9/18/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Rotating Machinery Services, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 6/10/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Thermostat Purchaser III, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.95% Maturity Date 8/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Valet Waste Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.93% Maturity Date 9/3/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies WRE Holding Corp. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.39% Maturity Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 961 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies WRE Holding Corp. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.42% Maturity Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,128 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies WRE Holding Corp. Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.33% Maturity Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies WRE Holding Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.42% Maturity Date 1/3/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 686 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies YLG Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.65% Maturity Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,413 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies YLG Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 53 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies YLG Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.58% Maturity Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies YLG Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.40% Maturity Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,606 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Commercial Services and Supplies Zone Climate Services, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 3/9/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,918 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering | ||
Schedule of Investments [Line Items] | ||
Fair Value | 5,057 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering Kleinfelder Intermediate LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 0.75% Interest Rate 11.58% Maturity Date 9/18/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering MEI Buyer LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 0.00% Interest Rate 11.83% Maturity Date 6/29/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering MEI Buyer LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 6/29/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,309 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering TranSystems Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.95% Maturity Date 3/31/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 191 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering TranSystems Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 3/31/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 59 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering Trilon Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.95% Maturity Date 5/25/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 103 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering Trilon Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 5/27/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 51 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction & Engineering Trilon Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.95% Maturity Date 5/25/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 95 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction Materials | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,424 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction Materials Arrow Tru-Line Holding, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.63% Interest Rate Floor 1.00% Interest Rate 11.19% Maturity Date 9/20/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction Materials Pearlman Enterprises Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.68% Maturity Date 5/5/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,933 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Construction Materials Profile Products LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.90% Maturity Date 11/12/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 241 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Consumer Services GS Seer Group Borrower LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00%Interest Rate 12.05% Maturity Date 04/29/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,913 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Consumer Services GSV Holding, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 04/03/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 145 | [2],[3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Consumer Services VPP Intermediate Holdings, LLC Asset Type First Lien Delayed Draw Term Loan One Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 12/01/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,186 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging | ||
Schedule of Investments [Line Items] | ||
Fair Value | 6,684 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging CFs Brands, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.33% Maturity Date 10/2/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging Cold Chain Technologies, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 0.00% Interest Rate 10.33% Maturity Date 8/2/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging Cold Chain Technologies, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 8/2/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,799 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging New ILC Dover, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 154 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging New ILC Dover, Inc. Asset Type First Lien Revolver Reference Rate and Spread P + 4.25% Interest Rate Floor 0.00% Interest Rate 12.75% Maturity Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 55 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging New ILC Dover, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,633 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging New ILC Dover, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 47 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging Rohrer Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.47% Maturity Date 3/15/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging SupplyOne, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 11/1/2024 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Containers and Packaging Tank Holding Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.18% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 247 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors | ||
Schedule of Investments [Line Items] | ||
Fair Value | 10,628 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Aurora Parts & Accessories LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 1/13/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 245 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors BC Group Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.90% Maturity Date 12/21/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackbird Purchaser, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 12/19/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 185 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackbird Purchaser, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.83% Maturity Date 12/19/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 74 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackbird Purchaser, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 12/19/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,691 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackhawk Industrial Distribution, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/17/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 239 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackhawk Industrial Distribution, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/17/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 51 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackhawk Industrial Distribution, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/17/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 490 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Blackhawk Industrial Distribution, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/17/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 136 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Bradyifs Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.30% Maturity Date 10/31/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors FCG Acquisitions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.50% Interest Rate 10.31% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Motion & Control Enterprises LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 6/1/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 618 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Motion & Control Enterprises LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 6/1/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,348 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Vessco Midco Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.82% Maturity Date 11/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 116 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Vessco Midco Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.57% Maturity Date 11/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 565 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Distributors Vessco Midco Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.93% Maturity Date 11/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 130 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 41,330 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services AVE Holdings III, Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 02/25/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 247 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 03/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,079 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.33% Maturity Date 03/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 03/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 836 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Apex Service Partners, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 12.30% (Incl. 2.00% PIK) Maturity Date 10/24/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 604 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Apex Service Partners, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 10/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 141 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Apex Service Partners, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 12.30% (Incl. 2.00% PIK) Maturity Date 10/24/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,695 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services COP Hometown Acquisitions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 07/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,955 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services EOS Fitness Opco Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 01/05/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 170 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services EOS Fitness Opco Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 01/05/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,629 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services EOS Fitness Opco Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.20% Maturity Date 01/05/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 182 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services FSHS I, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.43% Maturity Date 11/18/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,980 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Flint Opco, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.55% Maturity Date 08/15/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services GSV Holding, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 04/03/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 93 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Health Buyer LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 04/27/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,949 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Health Buyer LLC One Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.20% Maturity Date 04/27/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,017 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Home Service TopCo IV, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 12/31/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,987 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Innovetive Petcare, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 06/30/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 45 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Innovetive Petcare, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 06/30/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 193 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services North Haven Stallone Buyer, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.81% Maturity Date 05/24/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 243 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services PPV Intermediate Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Interest Rate 13.75% PIK Maturity Date 08/31/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [2],[3],[4],[10] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services PPV Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 08/31/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 243 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Spartan Bidco PTY LTD Asset Type First Lien Term Loan Reference Rate and Spread S + 0.75% Interest Rate Floor 0.75% Interest Rate 12.48% (Incl. 6.25% PIK) Maturity Date 01/24/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 253 | [2],[3],[4],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Taymax Group Acquisition, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 07/31/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,481 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services VPP Intermediate Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 12/01/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 755 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services VPP Intermediate Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 12/01/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services VPP Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 12/01/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,814 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Consumer Services Vertex Service Partners, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 11/08/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 36,383 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Aretec Group, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.00% Interest Rate 9.93% Maturity Date 08/09//2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 251 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services CFGI Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.83% Maturity Date 11/02/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services CFGI Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.43% Maturity Date 11/02/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,745 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cerity Partners Equity Holding LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 0.75% Interest Rate 12.05% Maturity Date 7/28/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 361 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cerity Partners Equity Holding LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 0.75% Interest Rate 11.83% Maturity Date 7/28/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cerity Partners Equity Holding LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 0.75% Interest Rate 11.18% Maturity Date 7/28/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 5,602 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cerity Partners Equity Holding LLC One Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 0.75% Interest Rate 12.05% Maturity Date 7/28/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 83 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cherry Bekaert Advisory LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 793 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cherry Bekaert Advisory LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 64 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Cherry Bekaert Advisory LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,925 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Citrin Cooperman Advisors, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.32% Maturity Date 10/01/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,874 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Citrin Cooperman Advisors, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.40% Maturity Date 10/01/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 244 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Citrin Cooperman Advisors, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.32% Maturity Date 10/01/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 822 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Contractual Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.22% Maturity Date 10/10/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 245 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Foreside Financial Group, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00%Interest Rate 10.83% Maturity Date 9/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (9) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Foreside Financial Group, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.70% Maturity Date 9/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 5,745 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Heights Buyer, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 8/25/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Heights Buyer, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 8/25/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 78 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Heights Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 8/25/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,827 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Kriv Acquisition Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 07/06/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Kriv Acquisition Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 07/06/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Kriv Acquisition Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 07/06/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,277 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Minotaur Acquisition, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 3.75% Interest Rate Floor 0.00% Interest Rate 9.08% Maturity Date 03/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (15) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Minotaur Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.18% Maturity Date 3/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,518 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services R&T Acquisitions, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 08/31/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (6) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services R&T Acquisitions, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 08/31/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,036 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services RWA Wealth Partners, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.08% Maturity Date 08/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services RWA Wealth Partners, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.05% Maturity Date 08/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 104 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Wealth Enhancement Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.80% Maturity Date 10/04/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 550 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Wealth Enhancement Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.82% Maturity Date 10/04/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,136 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Wealth Enhancement Group, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 10/04/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,136 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Diversified Financial Services Wealth Enhancement Group, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 10/04/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment | ||
Schedule of Investments [Line Items] | ||
Fair Value | 6,619 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment Infinite Bidco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.81% Maturity Date 03/02/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment Power Grid Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.05% Maturity Date 12/02/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,938 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment TPC Engineering Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.93% Maturity Date 02/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 64 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment TPC Engineering Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.83% Maturity Date 02/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electrical Equipment TPC Engineering Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.90% Maturity Date 02/16/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,371 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components | ||
Schedule of Investments [Line Items] | ||
Fair Value | 5,914 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components AEP Passion Intermediate Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.97% Maturity Date 10/5/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 245 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Dwyer Instruments, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 16 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Dwyer Instruments, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 232 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Excelitas Technologies Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 8/12/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 235 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Phoenix 1 Buyer Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 11/20/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Electronic Equipment, Instruments and Components Wildcat BuyerCo, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 2/27/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,937 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,985 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services DMC Holdco, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.30% Maturity Date 7/13/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services Integrated Power Services Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate Floor 0.00% Interest Rate 9.94% Maturity Date 11/22/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 72 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services Integrated Power Services Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.94% Maturity Date 11/22/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,414 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Energy Equipment and Services Phillips & Temro Industries Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 3/12/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products | ||
Schedule of Investments [Line Items] | ||
Fair Value | 10,758 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products Nonnis Foods LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 3/1/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products RB Holdings Interco, LLC RB Holdings Interco, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 5/4/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products Sugar PPC Buyer LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.33% Maturity Date 10/2/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products Ultimate Baked Goods Midco LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.58% Maturity Date 8/13/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products Ultimate Baked Goods Midco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.68% Maturity Date 8/13/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,607 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Food Products WPP Bullet Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 12/7/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 7,406 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,722 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology Acentra Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.50% Interest Rate 10.80% Maturity Date 12/17/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 18 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology Acentra Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.50% Interest Rate 10.80% Maturity Date 12/17/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,892 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology Caerus US 1 Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 5/25/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,593 | [2],[3],[4],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology IMO Investor Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.22% Maturity Date 5/11/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 20 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Health Care Technology IMO Investor Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.22% Maturity Date 5/11/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 199 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies | ||
Schedule of Investments [Line Items] | ||
Fair Value | 13,573 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Alcor Scientific LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 1/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Aspen Medical Products, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 6/10/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Belmont Instrument, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 8/19/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,992 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Blades Buyer, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 3/28/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,727 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Blades Buyer, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.18% Maturity Date 3/28/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 42 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies Blades Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 3/28/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,082 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies CDL Parent, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.47% Maturity Date 12/7/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Equipment and Supplies CPC/Cirtec Holdings, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 0.75% Interest Rate 11.55% Maturity Date 1/30/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,987 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 53,341 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services AB Centers Acquisition Corp. Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 9/6/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services AB Centers Acquisition Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.43% Maturity Date 9/6/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,855 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ACI Group Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.93% Maturity Date 8/2/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 842 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ACI Group Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.93% Maturity Date 8/2/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 41 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ACI Group Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.93% Maturity Date 8/2/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,386 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Arrow Management Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 10/14/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,477 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Arrow Management Acquisition, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 10/14/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 453 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Cardiology Management Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 1/31/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 76 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Cardiology Management Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 1/31/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 104 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Community Medical Acquisition Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 12/15/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 243 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services DCA Investment Holding LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.41% Interest Rate Floor 0.75% Interest Rate 11.70% Maturity Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 323 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services DCA Investment Holding LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.41% Interest Rate Floor 0.75% Interest Rate 11.70% Maturity Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,624 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services DOCS, MSO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.18% Maturity Date 6/1/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ENT MSO, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.90% Maturity Date 12/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 27 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ENT MSO, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 7.00% Interest Rate Floor 1.00% Interest Rate 12.40% Maturity Date 12/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 82 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ENT MSO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.90% Maturity Date 12/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 137 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Golden State Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.18% Maturity Date 6/21/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ImageFirst Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 4.00% Interest Rate Floor 0.00% Interest Rate 9.33% Maturity Date 4/27/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services IvyRehab Intermediate II, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.40% Maturity Date 4/23/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 12 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services IvyRehab Intermediate II, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 0.104 Maturity Date 4/23/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 201 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services NJEye LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 3/14/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 749 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services NJEye LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.33% Maturity Date 3/14/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services NJEye LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 3/14/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,063 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services OB Hospitalist Group, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 9/27/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 231 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services OIS Management Services, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 11/16/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,256 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services OIS Management Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 11/16/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,736 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services ONS MSO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.65% Maturity Date 7/8/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Orsini Pharmaceutical Services, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 5/2/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (3) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Orsini Pharmaceutical Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.70% Maturity Date 5/2/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,647 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services PS Intermediate Holdco II, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/25/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 106 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services PS Intermediate Holdco II, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/25/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,475 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services PS Intermediate Holdco II, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/25/2025 One | ||
Schedule of Investments [Line Items] | ||
Fair Value | 253 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Phynet Dermatology LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.72% Maturity Date 10/20/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services RxSense Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.40% Maturity Date 3/13/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,976 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SCP Eye Care Holdco, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 10/5/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 157 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SM Wellness Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 10.06% Maturity Date 4/17/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 216 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SM Wellness Holdings, Inc. Asset Type Second Lien Term Loan Reference Rate and Spread S + 8.00% Interest Rate Floor 0.75% Interest Rate 13.56% Maturity Date 4/16/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 25 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services STCH Acquisition Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 275 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services STCH Acquisition Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.25% Interest Rate Floor 0.00% Interest Rate 11.58% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services STCH Acquisition Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,461 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Smile Doctors LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.90% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 12/23/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 46 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Smile Doctors LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.90% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 12/23/2028 One | ||
Schedule of Investments [Line Items] | ||
Fair Value | 280 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Smile Doctors LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.90% Interest Rate Floor 0.75% Interest Rate 11.20% Maturity Date 12/23/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,484 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SpecialtyCare, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.31% Maturity Date 6/18/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 19 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services SpecialtyCare, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.31% Maturity Date 6/18/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,764 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Summit Behavioral Healthcare, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.31% Maturity Date 11/24/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,000 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services TST Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 11/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 122 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services The GI Alliance Management, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 518 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services The GI Alliance Management, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,445 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Turningpoint Healthcare Solutions, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.08% Maturity Date 7/14/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Turningpoint Healthcare Solutions, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.18% Maturity Date 7/14/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,734 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services U.S. Endodontics Partners Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.18% Maturity Date 11/1/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,993 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services USHV Management, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.13% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 12/23/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 972 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services USHV Management, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.68% Maturity Date 12/23/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,967 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services United Digestive MSO Parent, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.20% Maturity Date 3/30/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Urology Management Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.04% Interest Rate Floor 1.00% Interest Rate 11.51% Maturity Date 6/15/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 105 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Healthcare Providers and Services Urology Management Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.04% Interest Rate Floor 1.00% Interest Rate 11.51% Maturity Date 6/15/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 142 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Hotels, Restaurants and Leisure | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,448 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Hotels, Restaurants and Leisure Southpaw AP Buyer, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 3/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (5) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Hotels, Restaurants and Leisure Southpaw AP Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 3/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,453 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Household Products | ||
Schedule of Investments [Line Items] | ||
Fair Value | 247 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Household Products TPC US Parent, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 11/22/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 69 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Household Products TPC US Parent, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.83% Maturity Date 11/22/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 178 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,194 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services Integra US Bidco Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 12/24/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 36 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services Integra US Bidco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.22% Maturity Date 12/24/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 210 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services LogicMonitor, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 0.00% Interest Rate 11.80% Maturity Date 5/15/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services Marco Technologies, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.55% Maturity Date 11/24/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services NTI Connect, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 1/31/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 39 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services NTI Connect, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 1/31/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 209 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services OEConnection LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.00% Interest Rate 10.58% Maturity Date 9/25/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (33) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services OEConnection LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.00% Interest Rate Floor 0.00% Interest Rate 9.43% Maturity Date 9/25/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 238 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services OEConnection LLC Asset Type Second Lien Term Loan Reference Rate and Spread S + 7.00% Interest Rate Floor 1.00% Interest Rate 12.43% Maturity Date 9/25/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,497 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services Safety Borrower Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.81% Maturity Date 9/1/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt IT Services SailPoint Technologies Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 8/16/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Industrial Conglomerates | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,512 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Industrial Conglomerates Harvey Tool Company, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 10/26/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 938 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Industrial Conglomerates Harvey Tool Company, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.83% Maturity Date 10/26/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (5) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Industrial Conglomerates Harvey Tool Company, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 10/26/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,579 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance | ||
Schedule of Investments [Line Items] | ||
Fair Value | 51,512 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AMBA Buyer, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.57% Maturity Date 7/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,069 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AMBA Buyer, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 7/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 197 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AMBA Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.57% Maturity Date 7/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,590 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AQ Sunshine, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 4/15/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 187 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance AQ Sunshine, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 4/15/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,790 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Accession Risk Management, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 11/1/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Alera Group, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 10/2/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 655 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Alera Group, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 10/2/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,303 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Amerilife Holdings LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 10.97% Maturity Date 8/31/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,178 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Amerilife Holdings LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 8/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Amerilife Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 8/31/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,701 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Beyond Risk Parent Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.90% Maturity Date 10/8/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 64 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Beyond Risk Parent Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.90% Maturity Date 10/8/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 82 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Galway Borrower LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 9/29/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,943 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Imagine 360 LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 7 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Imagine 360 LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,969 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Integrity Marketing Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.80 % Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 645 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Integrity Marketing Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.02% Interest Rate Floor 0.75% Interest Rate 11.32% Maturity Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,404 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Integrity Marketing Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.05% Interest Rate Floor 0.75% Interest Rate 11.45% Maturity Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 401 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Integrity Marketing Acquisition, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.03% Interest Rate Floor 0.75% Interest Rate 11.43% Maturity Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 192 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance KWOR Acquisition, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68%Maturity Date 12/22/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 237 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance KWOR Acquisition, Inc. Asset Type First Lien Revolver Reference Rate and Spread P + 4.25% Interest Rate Floor 0.00% Interest Rate 12.75% Maturity Date 12/22/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 85 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance KWOR Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 12/22/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,786 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance McLarens Midco Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,228 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance McLarens Midco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,735 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Oakbridge Insurance Agency, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.08% Maturity Date 11/1/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Pareto Health Intermediate Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 6/1/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,832 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Patriot Growth Insurance Services, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.20% Maturity Date 10/16/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 54 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Patriot Growth Insurance Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 10/16/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 193 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Riser Interco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 10/31/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,955 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Simplicity Financial Marketing Group Holdings Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 665 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Simplicity Financial Marketing Group Holdings Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.29% Interest Rate Floor 1.00% Interest Rate 11.74% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,405 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Simplicity Financial Marketing Group Holdings Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 55 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Simplicity Financial Marketing Group Holdings Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.29% Interest Rate Floor 1.00% Interest Rate 11.74% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 834 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance Summit Acquisition Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 0.75% Interest Rate 12.05% Maturity Date 5/1/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance THG Acquisition, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.93% Maturity Date 12/2/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,542 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance World Insurance Associates, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Insurance World Insurance Associates, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.75% Interest Rate Floor 1.00% Interest Rate 12.05% Maturity Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 784 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 6,472 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Cardinal Parent, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.75% Interest Rate 9.95% Maturity Date 11/12/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 236 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Rally Buyer, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 7/19/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 15 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Rally Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 7/19/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 176 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Spirit RR Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.68% Maturity Date 9/13/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 57 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Internet Software & Services Spirit RR Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 9/13/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 5,988 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Life Sciences Tools & Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 470 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Life Sciences Tools & Services Emmes Blocker, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 7/7/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 73 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Life Sciences Tools & Services Emmes Blocker, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 7/7/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 149 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Life Sciences Tools & Services KWOL Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 0.75% Interest Rate 11.47% Maturity Date 12/12/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery | ||
Schedule of Investments [Line Items] | ||
Fair Value | 5,577 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Arch Cutting Tools Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.15% Maturity Date 4/1/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Clyde Industries US Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 12/18/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 236 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Dynatect Group Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.83% Maturity Date 6/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (6) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Dynatect Group Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.90% Maturity Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,755 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Flow Control Solutions, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 68 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Flow Control Solutions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.05% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 143 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Flow Control Solutions, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 38 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Merlin Buyer, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 3.75% Interest Rate Floor 0.00% Interest Rate 9.08% Maturity Date 12/14/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (18) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Merlin Buyer, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.50% Interest Rate 10.08% Maturity Date 12/14/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,372 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery NCWS Intermediate, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.45% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 122 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery NCWS Intermediate, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.45% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 124 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery Process Insights Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 7/18/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Machinery WCI-Cedar Purchaser, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 10.06% Maturity Date 12/31/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media | ||
Schedule of Investments [Line Items] | ||
Fair Value | 7,364 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media Klick, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate Floor 0.00% Interest Rate 9.83% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (6) | [3],[4],[8],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media Klick, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.90% Maturity Date 3/31/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,165 | [2],[3],[4],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media Trunk Acquisition, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 2/19/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 16 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media Trunk Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 2/19/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 232 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Media W2O Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.05% Maturity Date 6/12/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,957 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels | ||
Schedule of Investments [Line Items] | ||
Fair Value | 5,024 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels EDPO, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.08% Maturity Date 12/8/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (1) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels EDPO, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.08% Maturity Date 12/8/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels EDPO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.18% Maturity Date 12/8/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,775 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels Valicor PPC Intermediate II LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.68% Maturity Date 7/24/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 43 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels Valicor PPC Intermediate II LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 1.00% Interest Rate 9.68% Maturity Date 7/24/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 178 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Oil, Gas and Consumable Fuels Valicor PPC Intermediate II LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.40% Maturity Date 7/24/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 29 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Pharmaceuticals | ||
Schedule of Investments [Line Items] | ||
Fair Value | 494 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Pharmaceuticals Bridges Consumer Healthcare Intermediate LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.19% Interest Rate Floor 1.00% Interest Rate 11.59% Maturity Date 1/20/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Pharmaceuticals Exactcare Parent Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 11/5/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 248 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 22,882 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Analytic Partners, LP Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.80% Maturity Date 4/4/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 247 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Applied Technical Services, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 108 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Applied Technical Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 115 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Applied Technical Services, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 12/29/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 25 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Clinical Education Alliance, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.45% Maturity Date 12/21/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 202 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Clinical Education Alliance, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 12/21/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 45 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Crisis Prevention Institute, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 12/23/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Crisis Prevention Institute, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,447 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services DISA Holdings Corp. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.30% Maturity Date 9/9/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 53 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services DISA Holdings Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.75% Interest Rate 10.30% Maturity Date 9/9/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 196 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services DTI Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75%Interest Rate Floor 0.75% Interest Rate 10.05% Maturity Date 4/26/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Foreigner Bidco Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/19/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 25 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Foreigner Bidco Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.93% Maturity Date 4/19/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 225 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services HSI Halo Acquisition, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 8/31/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 70 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services HSI Halo Acquisition, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.15% Maturity Date 8/31/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 177 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Iris Buyer LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.55% Maturity Date 10/2/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Jensen Hughes, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 3/22/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,057 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Jensen Hughes, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 3/22/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,893 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 173 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.18% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 627 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.25% Interest Rate Floor 1.00% Interest Rate 11.70% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 50 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services MHE Intermediate Holdings, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.98% Maturity Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 45 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Medical Review Institute of America, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.43% Maturity Date 7/3/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Propio LS, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 7/17/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (3) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Propio LS, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 7/17/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,462 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Rimkus Consulting Group, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 119 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Rimkus Consulting Group, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 131 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Ruppert Landscape, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.45% Maturity Date 12/1/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,364 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Ruppert Landscape, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.47% Maturity Date 12/1/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 567 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Tempo Buyer Corp. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.95% Maturity Date 8/26/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services USRP Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.08% Maturity Date 7/23/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services USRP Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.22% Maturity Date 7/23/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,393 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Professional Services Vensure Employer Services Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.55% Maturity Date 12/17/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 72 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Real Estate Management and Development | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,671 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Real Estate Management and Development Sako and Partners Lower Holdings LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 901 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Real Estate Management and Development Sako and Partners Lower Holdings LLC Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Real Estate Management and Development Sako and Partners Lower Holdings LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.45% Maturity Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,770 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Road and Rail | ||
Schedule of Investments [Line Items] | ||
Fair Value | 240 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Road and Rail Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 0.75% Interest Rate 10.31% Maturity Date 10/25/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 240 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software | ||
Schedule of Investments [Line Items] | ||
Fair Value | 53,137 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software 365 Retail Markets, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 9.97% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 111 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software 365 Retail Markets, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 12/23/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 138 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bankers Toolbox, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.57% Maturity Date 7/27/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 662 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bankers Toolbox, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 7/27/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 245 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bankers Toolbox, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.57% Maturity Date 7/27/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,668 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bluecat Networks (USA) Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.00% Interest Rate Floor 0.75% Interest Rate 11.30% (Incl. 2.00% PIK) Maturity Date 8/8/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 34 | [2],[3],[4],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bluecat Networks (USA) Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 0.75% Interest Rate 11.30% Maturity Date 8/8/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 6 | [3],[4],[8],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Bluecat Networks (USA) Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.00% Interest Rate Floor 0.75% Interest Rate 11.30% (Incl. 2.00% PIK) Maturity Date 8/8/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 183 | [2],[3],[4],[9] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software DS Admiral Bidco, LLC. Asset Type First Lien Revolver Reference Rate and Spread S + 6.50% Interest Rate Floor 0.00% Interest Rate 11.83% Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (9) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software DS Admiral Bidco, LLC. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 929 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software DS Admiral Bidco, LLC. Asset Type First Lien Term Loan Reference Rate and Spread S + 7.00% Interest Rate Floor 1.00% Interest Rate 12.30% Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,759 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software DT Intermediate Holdco, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.15% Maturity Date 2/24/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 241 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software ESG Investments, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.18% Maturity Date 3/11/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 17 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software ESG Investments, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 3/11/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 139 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Enverus Holdings, Inc Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.83% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Enverus Holdings, Inc Asset Type First Lien Revolver Reference Rate and Spread S + 5.50% Interest Rate Floor 0.00% Interest Rate 10.83% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Enverus Holdings, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 0.75% Interest Rate 10.83% Maturity Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,315 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software KPA Parent Holdings, Inc. Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 7/17/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,024 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software KPA Parent Holdings, Inc. Asset Type First Lien Revolver Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.83% Maturity Date 7/17/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (2) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software KPA Parent Holdings, Inc. Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 7/17/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,538 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Kipu Buyer, LLC. Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.33% Maturity Date 1/27/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (5) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Kipu Buyer, LLC. Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 9.95% Maturity Date 1/27/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,241 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Litera Bidco LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 5/29/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,157 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Litera Bidco LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.75% Interest Rate Floor 0.00% Interest Rate 11.08% Maturity Date 5/31/2025 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (4) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Litera Bidco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 5/29/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,218 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Litera Bidco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.43% Maturity Date 5/29/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,334 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software MRI Software LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 2/10/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software MercuryGate International, Inc. Type First Lien Revolver Reference Rate and Spread S + 4.75% Interest Rate Floor 0.00% Interest Rate 10.08% Maturity Date 8/21/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | (5) | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software MercuryGate International, Inc. Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.40% Maturity Date 8/21/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,441 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Montana Buyer Inc. Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.08% Maturity Date 7/22/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,938 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Navex TopCo, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.08% Maturity Date 11/08/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 7,406 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software North Star Acquisitionco, LLC Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 1.00% Interest Rate 10.33% Maturity Date 5/3/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software North Star Acquisitionco, LLC Asset Type First Lien Revolver Reference Rate and Spread S + 5.00% Interest Rate Floor 0.00% Interest Rate 11.33% Maturity Date 5/3/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 0 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software North Star Acquisitionco, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 5/3/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 4,094 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Pegasus Transtech Holding, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.00% Interest Rate Floor 1.00% Interest Rate 11.33% Maturity Date 11/17/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Perforce Software, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 0.50% Interest Rate 9.83% Maturity Date 7/1/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,962 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Prism Parent Co. Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 0.75% Interest Rate 11.08% Maturity Date 9/19/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,982 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Renaissance Holding Corp Asset Type First Lien Term Loan Reference Rate and Spread S + 4.25% Interest Rate Floor 0.50% Interest Rate 9.58% Maturity Date 5/5/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Thunder Purchaser, Inc Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.20% Maturity Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 60 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Trimech Acquisition Corp Asset Type First Lien Revolver Reference Rate and Spread S + 3.75% Interest Rate Floor 0.00% Interest Rate 12.25% Maturity Date 3/10/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 51 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software Trimech Acquisition Corp Asset Type First Lien Term Loan Reference Rate and Spread S + 4.75% Interest Rate Floor 1.00% Interest Rate 10.20% Maturity Date 3/10/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,836 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software WatchGuard Technologies, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.58% Maturity Date 6/30/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Software e-Discovery AcquireCo, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 6.50% Interest Rate Floor 1.00% Interest Rate 11.80% Maturity Date 8/29/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Specialty Retail | ||
Schedule of Investments [Line Items] | ||
Fair Value | 745 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Specialty Retail Majco LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate Floor 1.00% Interest Rate 9.95% Maturity Date 12/4/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Specialty Retail Monahan Products, LLCC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 8/27/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Specialty Retail Shock Doctor Intermediate, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.31% Maturity Date 11/20/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 249 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Technology Hardware, Storage and Peripherals | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,259 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Technology Hardware, Storage and Peripherals TA TT Buyer, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.00% Interest Rate Floor 0.50% Interest Rate 10.30% Maturity Date 4/1/2029 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,009 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Technology Hardware, Storage and Peripherals UBEO, LLC Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.95% Maturity Date 4/3/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 250 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors | ||
Schedule of Investments [Line Items] | ||
Fair Value | 7,780 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors Graffiti Buyer, Inc Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 8/10/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,540 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors Graffiti Buyer, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.50% Interest Rate Floor 1.00% Interest Rate 10.90% Maturity Date 8/10/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 3,380 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors Kele Holdco, Inc Asset Type First Lien Revolver Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 2/20/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 228 | [3],[4],[8] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Trading Companies and Distributors Kele Holdco, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 1.00% Interest Rate 10.68% Maturity Date 2/20/2026 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 2,632 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Water Utilities | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 493 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services Alert Media, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 0.00% Interest Rate Floor 1.00% Interest Rate 12.08% (Incl. 11.08% PIK) Maturity Date 4/12/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 119 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services Alert Media, Inc Asset Type First Lien Term Loan Reference Rate and Spread S + 5.75% Interest Rate Floor 1.00% Interest Rate 11.05% Maturity Date 4/12/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 129 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Secured Debt Wireless Telecommunication Services DAS Purchaser 2 Corp Asset Type First Lien Term Loan Reference Rate and Spread S + 5.25% Interest Rate Floor 0.75% Interest Rate 10.65% Maturity Date 4/30/2027 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 82 | [2],[3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Total Equity Investments | ||
Schedule of Investments [Line Items] | ||
Fair Value | 13,581 | [4],[5] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Total Secured Debt | ||
Schedule of Investments [Line Items] | ||
Fair Value | 465,115 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Total Unsecured Debt | ||
Schedule of Investments [Line Items] | ||
Fair Value | 1,158 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 893 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type Subordinated Unsecured Delayed Draw Term Loan Interest Rate 13.75% PIK Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 245 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services AVG Intermediate Holdings LLC Asset Type Subordinated Unsecured Term Loan Interest Rate 13.75% PIK Maturity Date 3/16/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 642 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Diversified Consumer Services Vector Group Holdings LLC Asset Type Subordinated Unsecured Term Loan Interest Rate 13.75% PIK Maturity Date 8/31/2030 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 5 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Health Care Technology | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Health Care Technology Employee Health Co Asset Type Senior Unsecured Term Loan Interest Rate 13.75% PIK Maturity Date 11/10/2031 | ||
Schedule of Investments [Line Items] | ||
Fair Value | 246 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Healthcare Providers and Services | ||
Schedule of Investments [Line Items] | ||
Fair Value | 19 | [3],[4] |
Investment, Identifier [Axis]: Investments - non-controlled/non-affiliated Unsecured Debt Healthcare Providers and Services OB Hospitalist Group, Inc Asset Type Subordinated Unsecured Term Loan Reference Rate and Spread S + 9.50% Interest Rate Floor 1.00% Interest Rate 14.83% Maturity Date 9/27/2028 | ||
Schedule of Investments [Line Items] | ||
Fair Value | $ 19 | [3],[4] |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AB Centers Acquisition Corp. Commitment Type Revolver Commitment Expiration Date 9/6/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 06, 2028 | |
Unfunded Commitment | $ 131 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated ACI Group Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 8/2/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 02, 2024 | |
Unfunded Commitment | $ 402 | |
Fair Value | $ (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated ACI Group Holdings, Inc Commitment Type Revolver Commitment Expiration Date 8/2/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 02, 2027 | |
Unfunded Commitment | $ 254 | |
Fair Value | $ (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AMBA Buyer, Inc Commitment Type Revolver Commitment Expiration Date 7/30/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 30, 2027 | |
Unfunded Commitment | $ 76 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AVG Intermediate Holdings LLC Commitment Type Revolver Commitment Expiration Date 3/16/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Mar. 16, 2027 | |
Unfunded Commitment | $ 166 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AWP Group Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 8/1/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 01, 2025 | |
Unfunded Commitment | $ 203 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated AWP Group Holdings, Inc Commitment Type Revolver Commitment Expiration Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 24, 2029 | |
Unfunded Commitment | $ 34 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Acentra Holdings, LLC Commitment Type Revolver Commitment Expiration Date 12/17/2029 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 17, 2029 | |
Unfunded Commitment | $ 75 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Amerilife Holdings LLC Commitment Type Revolver Commitment Expiration Date 8/31/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 31, 2028 | |
Unfunded Commitment | $ 595 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Apex Service Partners, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 10/24/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Oct. 24, 2025 | |
Unfunded Commitment | $ 513 | |
Fair Value | $ (8) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Apex Service Partners, LLC Commitment Type Revolver Commitment Expiration Date 10/24/2029 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Oct. 24, 2029 | |
Unfunded Commitment | $ 234 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Ares Holdings, LLC Commitment Type Revolver Commitment Expiration Date 11/18/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Nov. 18, 2026 | |
Unfunded Commitment | $ 65 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Arrow Management Acquisition, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 11/28/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Nov. 28, 2025 | |
Unfunded Commitment | $ 3 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Bankers Toolbox, Inc Commitment Type Revolver Commitment Expiration Date 7/27/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 27, 2027 | |
Unfunded Commitment | $ 392 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Beyond Risk Parent Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 10/9/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Oct. 09, 2024 | |
Unfunded Commitment | $ 101 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Blackbird Purchaser, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/19/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 19, 2025 | |
Unfunded Commitment | $ 743 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Blackbird Purchaser, Inc Commitment Type Revolver Commitment Expiration Date 12/19/2029 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 19, 2029 | |
Unfunded Commitment | $ 545 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Blackhawk Industrial Distribution, Inc Commitment Type Revolver Commitment Expiration Date 9/17/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 17, 2025 | |
Unfunded Commitment | $ 77 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Blades Buyer, Inc Commitment Type Revolver Commitment Expiration Date 3/28/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Mar. 28, 2028 | |
Unfunded Commitment | $ 111 | |
Fair Value | $ (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Bluecat Networks (USA) Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 8/8/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 08, 2024 | |
Unfunded Commitment | $ 28 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated CFGI Holdings, LLC Commitment Type Revolver Commitment Expiration Date 11/2/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Nov. 02, 2027 | |
Unfunded Commitment | $ 191 | |
Fair Value | $ (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Cardiology Management Holdings, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 1/31/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jan. 31, 2025 | |
Unfunded Commitment | $ 69 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Cerity Partners Equity Holding LLC Commitment Type Revolver Commitment Expiration Date 7/28/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 28, 2028 | |
Unfunded Commitment | $ 188 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Cherry Bekaert Advisory LLC Commitment Type Revolver Commitment Expiration Date 6/30/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jun. 30, 2028 | |
Unfunded Commitment | $ 158 | |
Fair Value | $ (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Cold Chain Technologies, LLC Commitment Type Revolver Commitment Expiration Date 8/2/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 02, 2025 | |
Unfunded Commitment | $ 197 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Crisis Prevention Institute, Inc Commitment Type Revolver Commitment Expiration Date 12/23/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 23, 2025 | |
Unfunded Commitment | $ 540 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated DS Admiral Bidco, LLC Commitment Type Revolver Commitment Expiration Date 3/16/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Mar. 16, 2026 | |
Unfunded Commitment | $ 218 | |
Fair Value | $ (9) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Dynatect Group Holdings, Inc Commitment Type Revolver Commitment Expiration Date 6/30/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jun. 30, 2026 | |
Unfunded Commitment | $ 1,236 | |
Fair Value | $ (6) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated EDPO, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/2/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 02, 2025 | |
Unfunded Commitment | $ 131 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated EDPO, LLC Commitment Type Revolver Commitment Expiration Date 12/8/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 08, 2026 | |
Unfunded Commitment | $ 57 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated ENT MSO, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/25/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 25, 2024 | |
Unfunded Commitment | $ 3 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Edgeco Buyer, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 4/1/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Apr. 01, 2025 | |
Unfunded Commitment | $ 7 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Emmes Blocker, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 7/8/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 08, 2024 | |
Unfunded Commitment | $ 27 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Enverus Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/22/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 22, 2025 | |
Unfunded Commitment | $ 116 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Enverus Holdings, Inc Commitment Type Revolver Commitment Expiration Date 12/24/2029 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 24, 2029 | |
Unfunded Commitment | $ 174 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated FL Hawk Intermediate Holdings, Inc Commitment Type Revolver Commitment Expiration Date 2/22/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Feb. 22, 2027 | |
Unfunded Commitment | $ 1,189 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Foreside Financial Group, LLC Commitment Type Revolver Commitment Expiration Date 9/30/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 30, 2027 | |
Unfunded Commitment | $ 712 | |
Fair Value | $ (9) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated GSV Holding, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 7/15/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 15, 2024 | |
Unfunded Commitment | $ 8 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Harvey Tool Company, LLC Commitment Type Revolver Commitment Expiration Date 10/26/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Oct. 26, 2027 | |
Unfunded Commitment | $ 414 | |
Fair Value | $ (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Heights Buyer, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 8/26/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 26, 2024 | |
Unfunded Commitment | $ 620 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Heights Buyer, LLC Commitment Type Revolver Commitment Expiration Date 8/25/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 25, 2028 | |
Unfunded Commitment | $ 465 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Hercules Borrower LLC Commitment Type Revolver Commitment Expiration Date 12/15/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 15, 2026 | |
Unfunded Commitment | $ 329 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Imagine 360 LLC Commitment Type Revolver Commitment Expiration Date 9/30/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 30, 2026 | |
Unfunded Commitment | $ 9 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Innovetive Petcare, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 7/20/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 20, 2024 | |
Unfunded Commitment | $ 8 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Integrated Power Services Holdings, Inc. Commitment Type Revolver Commitment Expiration Date 11/22/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Nov. 22, 2027 | |
Unfunded Commitment | $ 468 | |
Fair Value | $ (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated JHCC Holdings LLC Commitment Type Revolver Commitment Expiration Date 9/9/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 09, 2026 | |
Unfunded Commitment | $ 149 | |
Fair Value | $ (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated KPA Parent Holdings, Inc Commitment Type Revolver Commitment Expiration Date 7/17/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 17, 2026 | |
Unfunded Commitment | $ 403 | |
Fair Value | $ (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated KWOR Acquisition, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 6/23/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jun. 23, 2024 | |
Unfunded Commitment | $ 699 | |
Fair Value | $ (17) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated KWOR Acquisition, Inc Commitment Type Revolver Commitment Expiration Date 12/22/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 22, 2027 | |
Unfunded Commitment | $ 68 | |
Fair Value | $ (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Kele Holdco, Inc. Commitment Type Revolver Commitment Expiration Date 2/20/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Feb. 20, 2026 | |
Unfunded Commitment | $ 110 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Kipu Buyer, LLC Commitment Type Revolver Commitment Expiration Date 1/27/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jan. 27, 2026 | |
Unfunded Commitment | $ 365 | |
Fair Value | $ (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Klick, Inc Commitment Type Revolver Commitment Expiration Date 3/31/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Mar. 31, 2026 | |
Unfunded Commitment | $ 813 | |
Fair Value | $ (6) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Kriv Acquisition Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 7/7/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 07, 2025 | |
Unfunded Commitment | $ 341 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Kriv Acquisition Inc Commitment Type Revolver Commitment Expiration Date 7/6/2029 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 06, 2029 | |
Unfunded Commitment | $ 377 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Lightbeam Bidco Inc Commitment Type Revolver Commitment Expiration Date 5/4/2029 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 04, 2029 | |
Unfunded Commitment | $ 413 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Litera Bidco LLC Commitment Type Revolver Commitment Expiration Date 5/31/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 31, 2025 | |
Unfunded Commitment | $ 252 | |
Fair Value | $ (4) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated MEI Buyer LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 6/30/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jun. 30, 2025 | |
Unfunded Commitment | $ 681 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated MHE Intermediate Holdings, LLC Commitment Type Revolver Commitment Expiration Date 7/21/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 21, 2027 | |
Unfunded Commitment | $ 60 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated MO Investor Holdings, Inc. Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/12/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 12, 2024 | |
Unfunded Commitment | $ 28 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated MercuryGate International, Inc Commitment Type Revolver Commitment Expiration Date 8/21/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 21, 2026 | |
Unfunded Commitment | $ 537 | |
Fair Value | $ (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Merlin Buyer, Inc Commitment Type Revolver Commitment Expiration Date 12/14/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 14, 2026 | |
Unfunded Commitment | $ 598 | |
Fair Value | $ (18) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Minotaur Acquisition, Inc Commitment Type Revolver Commitment Expiration Date 3/27/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Mar. 27, 2026 | |
Unfunded Commitment | $ 482 | |
Fair Value | $ (15) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated NJEye LLC Commitment Type Revolver Commitment Expiration Date 3/14/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Mar. 14, 2025 | |
Unfunded Commitment | $ 184 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated New ILC Dover, Inc Commitment Type Revolver Commitment Expiration Date 2/2/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Feb. 02, 2026 | |
Unfunded Commitment | $ 34 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated North Star Acquisitionco, LLC Commitment Type Revolver Commitment Expiration Date 5/3/2029 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 03, 2029 | |
Unfunded Commitment | $ 521 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated OEConnection LLC Commitment Type Revolver Commitment Expiration Date 9/25/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 25, 2025 | |
Unfunded Commitment | $ 3,262 | |
Fair Value | $ (33) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Orsini Pharmaceutical Services, LLC Commitment Type Revolver Commitment Expiration Date 5/2/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 02, 2028 | |
Unfunded Commitment | $ 297 | |
Fair Value | $ (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated PS Intermediate Holdco II, LLC Commitment Type Revolver Commitment Expiration Date 4/25/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Apr. 25, 2025 | |
Unfunded Commitment | $ 159 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Paint Intermediate III, LLC Commitment Type Revolver Commitment Expiration Date 10/7/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Oct. 07, 2027 | |
Unfunded Commitment | $ 668 | |
Fair Value | $ (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Pareto Health Intermediate Holdings, Inc Commitment Type Revolver Commitment Expiration Date 6/1/2029 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jun. 01, 2029 | |
Unfunded Commitment | $ 163 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Pathstone Family Office LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/15/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 15, 2025 | |
Unfunded Commitment | $ 285 | |
Fair Value | $ (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Pathstone Family Office LLC Commitment Type Revolver Commitment Expiration Date 5/15/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 15, 2028 | |
Unfunded Commitment | $ 57 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Prism Parent Co. Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 9/19/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 19, 2024 | |
Unfunded Commitment | $ 1,008 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Propio LS, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 7/18/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 18, 2025 | |
Unfunded Commitment | $ 250 | |
Fair Value | $ (3) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Quality Automotive Services, LLC Commitment Type Revolver Commitment Expiration Date 7/16/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 16, 2027 | |
Unfunded Commitment | $ 130 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated R&T Acquisitions, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 9/1/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 01, 2025 | |
Unfunded Commitment | $ 771 | |
Fair Value | $ (6) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated RWA Wealth Partners, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 9/1/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 01, 2024 | |
Unfunded Commitment | $ 146 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated SCP Eye Care Holdco, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 10/7/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Oct. 07, 2024 | |
Unfunded Commitment | $ 91 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated STCH Acquisition Inc Commitment Type Revolver Commitment Expiration Date 10/30/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Oct. 30, 2026 | |
Unfunded Commitment | $ 251 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Sako and Partners Lower Holdings LLC Commitment Type Revolver Commitment Expiration Date 9/15/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 15, 2028 | |
Unfunded Commitment | $ 317 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Smile Doctors LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 3/9/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Mar. 09, 2025 | |
Unfunded Commitment | $ 176 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Southpaw AP Buyer, LLC Commitment Type Revolver Commitment Expiration Date 3/2/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Mar. 02, 2026 | |
Unfunded Commitment | $ 490 | |
Fair Value | $ (5) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Spirit RR Holdings, Inc Commitment Type Revolver Commitment Expiration Date 9/13/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Sep. 13, 2028 | |
Unfunded Commitment | $ 439 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated TPC Engineering Holdings, Inc Commitment Type Revolver Commitment Expiration Date 2/16/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Feb. 16, 2027 | |
Unfunded Commitment | $ 1,565 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Trimech Acquisition Corp Commitment Type Revolver Commitment Expiration Date 3/10/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Mar. 10, 2028 | |
Unfunded Commitment | $ 108 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated USRP Holdings, Inc Commitment Type Revolver Commitment Expiration Date 7/23/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jul. 23, 2027 | |
Unfunded Commitment | $ 184 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Ultimate Baked Goods Midco LLC Commitment Type Revolver Commitment Expiration Date 8/13/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 13, 2027 | |
Unfunded Commitment | $ 373 | |
Fair Value | $ (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated VPP Intermediate Holdings, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 2/7/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Feb. 07, 2025 | |
Unfunded Commitment | $ 1,449 | |
Fair Value | $ (14) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated VPP Intermediate Holdings, LLC Commitment Type Revolver Commitment Expiration Date 12/1/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 01, 2027 | |
Unfunded Commitment | $ 223 | |
Fair Value | $ (2) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Vensure Employer Services Commitment Type Delayed Draw Term Loan Commitment Expiration Date 6/15/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Jun. 15, 2025 | |
Unfunded Commitment | $ 178 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Vessco Midco Holdings, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 11/18/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Nov. 18, 2025 | |
Unfunded Commitment | $ 4,072 | |
Fair Value | $ (10) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated WST USA Holdco, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/30/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 30, 2025 | |
Unfunded Commitment | $ 1,583 | |
Fair Value | $ (8) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Wealth Enhancement Group, LLC Commitment Type Delayed Draw Term Loan Commitment Expiration Date 5/2/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | May 02, 2024 | |
Unfunded Commitment | $ 52 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated Wealth Enhancement Group, LLC Commitment Type Revolver Commitment Expiration Date 10/4/2027 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Oct. 04, 2027 | |
Unfunded Commitment | $ 105 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated World Insurance Associates, LLC Commitment Type Revolver Commitment Expiration Date 4/3/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Apr. 03, 2028 | |
Unfunded Commitment | $ 212 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated YLG Holdings, Inc Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/31/2024 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Dec. 31, 2024 | |
Unfunded Commitment | $ 520 | |
Fair Value | $ 0 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated YLG Holdings, Inc Commitment Type Revolver Commitment Expiration Date 10/31/2025 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Oct. 31, 2025 | |
Unfunded Commitment | $ 399 | |
Fair Value | $ (1) | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated mageFirst Holdings, LLC Commitment Type Revolver Commitment Expiration Date 4/27/2028 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Apr. 27, 2028 | |
Unfunded Commitment | $ 2,093 | |
Investment, Identifier [Axis]: Investments—non-controlled/non-affiliated ntegrity Marketing Acquisition, LLC Commitment Type Revolver Commitment Expiration Date 8/27/2026 | ||
Schedule of Investments [Line Items] | ||
Commitment Expiration Date | Aug. 27, 2026 | |
Unfunded Commitment | $ 122 | |
Investment, Identifier [Axis]: Total Cash and Cash Equivalents | ||
Schedule of Investments [Line Items] | ||
Fair Value | 20,715 | [4] |
Investment, Identifier [Axis]: Total Investments - non-controlled/non-affiliated | ||
Schedule of Investments [Line Items] | ||
Fair Value | 479,854 | [4] |
Investment, Identifier [Axis]: Total Portfolio Investments, Cash and Cash Equivalents | ||
Schedule of Investments [Line Items] | ||
Fair Value | 500,569 | [4] |
Investment, Identifier [Axis]: Total Unfunded Commitments | ||
Schedule of Investments [Line Items] | ||
Unfunded Commitment | 42,415 | |
Fair Value | $ (241) | |
[1] Non-controlled/non-affiliated investments at amortized cost o f $ 479,312 and zero as of March 31, 2024 and December 31, 2023 , respectively. These investments are pledged as collateral under the SG Facility. These investments were valued using unobservable inputs and are considered Level 3 investments. Fair value was determined in good faith by the Adviser as the Company’s valuation designee, subject to the oversight of the Board of Trustees (the “Board”) (see Note 2 and Note 5), pursuant to the Company’s valuation policy. Unless otherwise indicated, issuers of debt and equity investments held by the Company (which such term “Company” shall include the Company’s consolidated subsidiaries for purposes of this Consolidated Schedule of Investments) are denominated in dollars. All debt investments are income producing unless otherwise indicated. All equity investments are non-income producing unless otherwise noted. Certain portfolio company investments are subject to contractual restrictions on sales. The total par amount is presented for debt investments and the number of shares or units owned is presented for equity investments. Security exempt from registration under the Securities Act of 1933 (the “Securities Act”), and may be deemed to be “restricted securities” under the Securities Act. As of March 31, 2024, the aggregate fair value of these securities is $13,581 or 4.50% of the Company’s net assets. The acquisition date of the restricted securities was January 19, 2024. The Company invests in this portfolio company through underlying blocker entities Hercules Blocker 1 LLC, Hercules Blocker 2 LLC, Hercules Blocker 3 LLC, Hercules Blocker 4 LLC, and Hercules Blocker 5 LLC in the form of shareholder notes and common units. The Company invests in this portfolio company through underlying blocker entities Holocene Topco LP and Holocene Topco II LP. 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 value results from unamortized fees, which are capitalized to the investment cost. The unfunded loan commitment may be subject to a commitment termination date that may expire prior to the maturity date stated. The investment is not a qualifying asset, in whole or in part, 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 March 31, 2024, non-qualifying assets represented 1.74 % of total assets as calculated in accordance with regulatory requirements. The Company holds less than 500 shares of these investments, as such respective par value / shares are shown as zero. |
CONSOLIDATED SCHEDULE OF INVE_3
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Parenthetical) | Mar. 31, 2024 |
Schedule of Investments [Line Items] | |
Acquisition Qualifying Assets Represent Percentage | 70% |
Minimum Qualifying Asset Percentage of Total Assets | 70% |
Qualifying Asset Percentage of Total Assets | 1.74% |
N-2
N-2 - $ / shares | 3 Months Ended | ||
Mar. 31, 2024 | Dec. 31, 2023 | ||
Cover [Abstract] | |||
Entity Central Index Key | 0001993402 | ||
Amendment Flag | false | ||
Securities Act File Number | 814-01700 | ||
Document Type | 10-Q | ||
Entity Registrant Name | ANTARES STRATEGIC CREDIT FUND | ||
Entity Address, Address Line One | 500 West Monroe Street | ||
Entity Address, City or Town | Chicago | ||
Entity Address, State or Province | IL | ||
Entity Address, Postal Zip Code | 60661 | ||
City Area Code | 312 | ||
Local Phone Number | 638-4117 | ||
Entity Emerging Growth Company | true | ||
Entity Ex Transition Period | false | ||
General Description of Registrant [Abstract] | |||
Risk Factors [Table Text Block] | Item 1A. Risk Factors. In addition to the other information set forth in this report, you should carefully consider the risk factors disclosed in our Registration Statement on Form 10, filed with the SEC on November 21, 2023, as amended on January 19, 2024. | ||
NAV Per Share | [1],[2],[3] | $ 25.13 | $ 25 |
[1] The Company commenced operations on January 19, 2024. Rates are based on the period of January 19, 2024 through March 31, 2024. The per share data was derived by using the weighted average shares outstanding during the period. The per share data was derived using the actual shares outstanding at the date of the relevant transaction (See Note 8). |
Business and Organization
Business and Organization | 3 Months Ended |
Mar. 31, 2024 | |
Organization, Consolidation and Presentation of Financial Statements [Abstract] | |
Business and Organization | Note 1. Business and Organization Antares Strategic Credit Fund (the “Company”) is a Delaware statutory trust formed on August 31, 2023 and commenced investment operations on January 19, 2024. The Company was organized to invest primarily in a portfolio of private credit investments structured as portfolio loans to United States (“U.S.”) borrowers. A “portfolio loan” is a senior secured loan, which may be first lien, second lien or unitranche loans, consisting of term loans and/or related delayed draw term loans and/or revolving loans, and each tranche of a senior secured loan acquired by the Company is referred to as a portfolio loan. The Company is a non-diversified, closed-end management investment company that has elected to be regulated as a business development company (“BDC”) under the Investment Company Act of 1940, as amended (the “1940 Act”). In addition, the Company intends to elect to be treated and intends to comply with the requirements to qualify annually, as a regulated investment company (“RIC”) under the Internal Revenue Code of 1986, as amended (the “Code”). The Company is externally managed by Antares Capital Credit Advisers LLC (the “Adviser”). The Adviser is a registered investment adviser with the U.S. Securities and Exchange Commission (the “SEC”). The Company is a private, perpetual-life BDC, whose common shares are not listed for trading on a stock exchange or other securities market. The Company, as a perpetual-life BDC, is an investment vehicle with indefinite duration. The Company’s investment objectives are to provide risk-adjusted returns and current income to shareholders by investing primarily in loans to U.S. borrowers. While the Company’s investment strategy primarily focuses on companies in the U.S., the Company intends to also invest in companies in Canada, Europe and other locations outside the U.S, subject to compliance with BDC requirements to invest at least 70 % of assets in “eligible portfolio companies". The Company may also invest in preferred equity, or debt investments that may be accompanied by equity-related securities (such as options or warrants) and/or select common equity investments. The Company’s investment strategy also includes a smaller allocation to more liquid credit investments such as broadly syndicated loans and corporate bonds, which may be used primarily to maintain liquidity for the Company’s share repurchase program and manage cash before investing subscription proceeds into originated loans, while also seeking attractive investment returns. The Company may also invest in publicly traded securities of larger corporate issuers on an opportunistic basis when market conditions create compelling potential return opportunities subject to compliance with BDC requirements to invest at least 70 % of assets in “eligible portfolio companies.” The Company offers its common shares of beneficial interest (the “Common Shares”) on a continuous basis via a private placement. Within the United States, the Common Shares are being offered solely to investors that are “accredited investors” as defined in Rule 501(a) of Regulation D promulgated under the Securities Act of 1933, as amended (the “1933 Act”). Outside of the United States, the Common Shares are being sold in accordance with Regulation S of the Securities Act. The Company has formed wholly owned subsidiaries for the purpose of holding certain investments in portfolio companies. As of March 31, 2024, the Company’s wholly owned subsidiaries were formed as Delaware limited liability companies and included: Antares Strategic Credit SPV LLC (“A-Star SPV”) and A-Star Equity Holdings LLC (“A-Star Equity,” and collectively with A-Star SPV, the “Subsidiaries”). The Company consolidates its wholly owned subsidiaries in these consolidated financial statements from the date of the respective subsidiary’s formation. |
Significant Accounting Policies
Significant Accounting Policies | 3 Months Ended |
Mar. 31, 2024 | |
Accounting Policies [Abstract] | |
Significant Accounting Policies | Note 2. Significant Accounting Policies Basis of Presentation Interim consolidated financial statements and related financial information have been prepared in accordance with U.S. GAAP and pursuant to the requirements for reporting on form 10-Q and Articles 6 of 10 of Regulation S-X. The Company is considered an Investment Company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification ("ASC") Topic 946 and pursuant to Regulation S-X. The current period's results of operations will not necessarily be indicative of results that ultimately be achieved for the year ended December 31, 2024. Consolidation As provided under ASC 946, the Company will not consolidate its investment in a company other than an investment company subsidiary or a controlled operating company whose business consists of providing services to the Company. Accordingly, the Company consolidated the accounts of the wholly owned subsidiaries in the consolidated financial statements. All intercompany balances have been eliminated. Use of Estimates The preparation of the consolidated financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions about future economic and market conditions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the consolidated financial statements. Although the Company’s estimates contemplate current conditions and how they expect them to change in the future, it is reasonably possible that actual results could differ from those estimates and such difference could be material. Cash and Cash Equivalents Cash and cash equivalents consist of demand deposits and highly liquid investments, such as money market funds, with original maturities of three months or less. Cash and cash equivalents are carried at cost, which approximates fair value. The Company deposits its cash and cash equivalents with financial institutions and, at times, may exceed the Federal Deposit Insurance Corporation insured limit. Organization and Offering Expenses Organization costs include costs relating to the formation and organization of the Company. Such costs are expensed as incurred. For the three months ended March 31, 2024, the Company incurred $ 51 in organization costs. These amounts are included in due to affiliates on the Consolidated Statements of Assets and Liabilities as of March 31, 2024. Costs associated with the Company’s offering of Common Shares are capitalized and included as deferred offering costs on the Consolidated Statements of Assets and Liabilities and will be amortized over a twelve-month period beginning on the date which the Company first accepts capital contribution from unaffiliated shareholders in the Private Offering. As of March 31, 2024, the Company incurred $ 224 of offering costs. Investments Investment transactions are recorded on the trade date. Realized gains or losses are measured by the difference between the net proceeds received (excluding prepayment fees, if any) and the amortized cost basis of the investment using the specific identification method without regard to unrealized gains or losses previously recognized, and include investments charged off during the period, net of recoveries. The net change in unrealized gains or losses primarily reflects the change in investment values, including the reversal of previously recorded unrealized gains or losses with respect to investments realized during the period. Valuation of Investments The Company is required to report its investments for which current market values are not readily available at fair value. The Company values its investments in accordance with ASC 820, Fair Value Measurement, which defines fair value as the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the applicable measurement date. ASC 820 prioritizes the use of observable market prices derived from such prices over entity-specific inputs. Due to the inherent uncertainties of valuation, certain estimated fair values may differ significantly from the values that would have been realized had a ready market for these investments existed, and these differences could be material. Investments for which market quotations are readily available are typically valued at those market quotations. The Company utilizes mid-market pricing (i.e., mid-point of average bid and ask prices) to value these investments. The Adviser obtains these market quotations from independent pricing services, if available; otherwise from at least two principal market makers or primary market dealers. To assess the continuing appropriateness of pricing sources and methodologies, the Adviser performs, from time to time, price verification procedures and issues challenges as necessary to independent pricing services or brokers, and any differences are reviewed in accordance with the valuation procedures. The Adviser does not adjust the prices unless it has a reason to believe market quotations are not reflective of the fair value of an investment. Where prices or inputs are not available, or, in the judgment of the Adviser, not reliable, valuation approaches based on the facts and circumstances of the particular investment are utilized. Securities that are not publicly traded or for which market prices are not readily available, as the case for a substantial portion of the Company's investments, are valued at fair value as determined in good faith by the Adviser as the Company's valuation designee under Rule 2a-5 under the 1940 Act, pursuant to the Company's valuation policy, and under the oversight of the Board of Trustees (the "Board"), based on, among other things, the input of the Company's management and the audit committee. In addition, the Adviser has retained independent valuation firms to review the valuation of each investment for which a market quotation is not available at least once during each 12-month period. These valuation approaches involve some level of management estimation and judgment, the degree of which is dependent on the price transparency for the investments or market and the investments’ complexity. With respect to investments for which market quotations are not readily available, the Adviser undertakes a multi-step valuation process each quarter, among other procedures, as described below: • The valuation process begins with each investment being preliminarily reviewed by the Adviser’s valuation team in consultation with the Adviser’s investment professionals responsible for each portfolio investment; • At least once annually the valuation for each investment, subject to a de minimis threshold, is reviewed by an independent valuation firm. The independent valuation firms provide a final range of values on such investments to the Adviser. The independent valuation firms also provide analyses to support their valuation methodology and calculations; • The Adviser’s valuation committee with respect to the Company (the "Valuation Committee") reviews each valuation recommendation to confirm they have been calculated in accordance with the valuation policy and compares such valuations to the independent valuation firms’ valuation ranges to ensure the Adviser’s valuations are reasonable; • The Adviser's Valuation Committee then determines fair value marks for each of the Company's portfolio investments; and • The Board and audit committee of the Company periodically review the valuation process and provide oversight in accordance with the requirements of Rule 2a-5 under the 1940 Act. As part of the valuation process, the Company takes into account relevant factors in determining the fair value of the Company's investments for which reliable market quotations are not readily available, many of which are loans, including and in combination, as relevant, any of: (i) the estimated enterprise value of a Portfolio Company, generally based on an analysis of discounted cash flows, publicly traded comparable companies and comparable transactions, (ii) the nature and realizable value of any collateral, (iii) the Portfolio Company’s ability to make payments based on its earnings and cash flow, (iv) the markets in which the Portfolio Company does business, and (v) overall changes in the interest rate environment and the credit markets that may affect the price at which similar investments may be made in the future. When an external event such as a purchase transaction, public offering or subsequent equity or debt sale occurs, the Adviser considers whether the pricing indicated by the external event corroborates its valuation. The Company's accounting policy on the fair value of the investments is critical because the determination of fair value involves subjective judgments and estimates. Accordingly, the notes to the Company's consolidated financial statements express the uncertainty with respect to the possible effect of these valuations, and any change in these valuations, on the consolidated financial statements. Revenue Recognition The Company generates revenue in the form of interest and fee income on debt investments, capital gains, and dividend income from the equity investments in portfolio companies. The senior and subordinated debt investments bear interest at a fixed or floating rate. Interest on debt investments is generally payable quarterly or semiannually. In some cases, some of the investments provide for deferred interest payments or PIK interest. The principal amount of the debt investments and any accrued but unpaid PIK interest generally become due at the maturity date. In addition, the Company generates revenue from various fees in the ordinary course of business such as in the form of structuring, consent, waiver, amendment, syndication and other miscellaneous fees. Original issue discounts and market discounts or premiums are capitalized, and the Company accretes or amortizes such amounts as interest income. The Company records prepayment premiums on loans and debt investments as interest income. Dividend income, if any, is recognized on an accrual basis to the extent that the Company collects such amounts. Interest Income Interest income is recorded on an accrual basis and includes the accretion of discounts and amortizations of premiums. Discounts from and premiums to par value on debt investments purchased are accreted/amortized into interest income over the life of the debt investments using the effective interest method. The amortized cost of debt investments represents the original cost, including loan origination fees and upfront fees received that are deemed to be an adjustment to yield, adjusted for the accretion of discounts and amortization of premiums, if any. Upon prepayment of a loan or debt investment, any prepayment premiums, unamortized upfront loan origination fees and unamortized discounts are recorded as interest income, in the current period. Dividend Income Dividend income on preferred equity securities is recorded on the accrual basis to the extent that such amounts are payable by the portfolio company and are expected to be collected. Dividend income on common equity securities is recorded on the record date for portfolio companies or on the ex-dividend date for publicly-traded portfolio companies. PIK Income The Company may have loans in its portfolio that contain PIK provisions. PIK represents 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. Such income is included in interest income on the Consolidated Statement of Operations. If at any point the Company believes PIK is not expected to be realized, the investment generating PIK will be placed on non-accrual status. When a PIK investment is placed on non-accrual status, the accrued, uncapitalized interest is generally reversed through interest income. To maintain the Company's status as a RIC, this non-cash source of income must be paid out to shareholders in the form of dividends, even though the Company has not yet collected cash. Fee Income The Company may receive various fees in the ordinary course of business such as structuring, consent, waiver, amendment, syndication fees as well as fees for managerial assistance rendered by the Company to the portfolio companies. Such fees are recognized as income when earned or the services are rendered. Non-Accrual Income Loans are generally placed on non-accrual status when there is reasonable doubt that principal or interest will be collected in full. Accrued interest is generally reversed when a loan is placed on non-accrual status. Additionally, any original issue discount and market discount are no longer accreted to interest income as of the date the loan is placed on non-accrual status. Interest payments received on non-accrual loans may be recognized as income or applied to principal depending upon management’s judgment regarding collectability. Non-accrual loans are restored to accrual status when past due principal and interest is paid current and, in management’s judgment, are likely to remain current. Management may make exceptions to this treatment and determine to not place a loan on non-accrual status if the loan has sufficient collateral value and is in the process of collection . Deferred Financing Costs Deferred financing costs represent fees and other direct incremental costs incurred in connection with the Company’s borrowings. These expenses are deferred and amortized into interest expense over the life of the related debt instrument using the straight-line method. Deferred financing costs related to the revolving credit facility are presented as an offset against the debt outstanding on the Consolidated Statements of Assets and Liabilities. Income Taxes The Company intends to elect to be treated, and intends to qualify each taxable year thereafter, as a RIC under the Code. So long as the Company maintains its status as a RIC, it generally will not pay corporate-level U.S. federal income taxes on any ordinary income or capital gains that it distributes at least annually to its shareholders as dividends. Rather, any tax liability related to income earned and distributed by the Company would represent obligations of the Company’s shareholders and would not be reflected in the consolidated financial statements of the Company. The Company evaluates tax positions taken or expected to be taken in the course of preparing its consolidated financial statements to determine whether the tax positions are “more-likely-than-not” to be sustained by the applicable tax authority. Tax positions not deemed to meet the “more- likely-than-not” threshold are reserved and recorded as a tax benefit or expense in the current year. All penalties and interest associated with income taxes are included in income tax expense. Conclusions regarding tax positions are subject to review and may be adjusted at a later date based on factors including, but not limited to, on-going analyses of tax laws, regulations and interpretations thereof. To qualify for and maintain qualification as a RIC, the Company must, among other things, meet certain source-of-income and asset diversification requirements. In addition, to qualify for RIC tax treatment, the Company must distribute to its shareholders, for each taxable year, at least 90 % of the sum of (i) its “investment company taxable income” for that year (without regard to the deduction for dividends paid), which is generally its ordinary income plus the excess, if any, of its realized net short-term capital gains over its realized net long-term capital losses and (ii) its net tax-exempt income. In addition, pursuant to the excise tax distribution requirements, the Company will be subject to a 4% non-deductible federal excise tax on undistributed income unless the Company distributes in a timely manner in each taxable year an amount at least equal to the sum of (1) 98% of its ordinary income for the calendar year, (2) 98.2% of capital gain net income (both long-term and short-term) for the one-year period ending October 31 in that calendar year and (3) any income realized, but not distributed, in prior years. For this purpose, however, any ordinary income or capital gain net income retained by the Company that is subject to corporate income tax is considered to have been distributed. Distributions To the extent that the Company has taxable income available, the Company intends to make quarterly distributions to its shareholders. Distributions to shareholders are recorded on the record date. All distributions will be paid at the discretion of the Board and will depend on the Company's earnings, financial condition, maintenance of the Company's tax treatment as a RIC, compliance with applicable BDC regulations and such other factors as the Board may deem relevant from time to time. Distributions to shareholders by the Company of ordinary income (including “market discount” realized by the Company on the sale of debt securities), and of net short-term capital gains, if any, realized by the Company are generally taxable to U.S. shareholders as ordinary income to the extent such distributions are paid out of the Company's current or accumulated earnings and profits. Distributions, if any, of net capital gains properly reported as “capital gain dividends” will be taxable as long-term capital gains, regardless of the length of time the shareholder has owned the Company's shares. A distribution of an amount in excess of the Company's current and accumulated earnings and profits (as determined for U.S. federal income tax purposes) will be treated by a shareholder as a return of capital which will be applied against and reduce the shareholder’s basis in his or her shares. To the extent that the amount of any such distribution exceeds the shareholder’s basis in his or her shares, the excess will be treated by the shareholder as gain from a sale or exchange of the shares. Distributions paid by the Company generally will not be eligible for the dividends received deduction allowed to corporations or for the reduced rates applicable to certain qualified dividend income received by non-corporate shareholders. Distributions will be treated in the manner described above regardless of whether such distributions are paid in cash or invested in additional shares pursuant to the distribution reinvestment plan. Shareholders receiving distributions in the form of additional shares will generally be treated as receiving a distribution in the amount of the fair market value of the distributed shares. The additional shares received by a shareholder pursuant to the distribution reinvestment plan will have a new holding period commencing on the day following the day on which the shares were credited to the shareholder’s account. The Company may elect to retain its net capital gain or a portion thereof for investment and be taxed at corporate rates on the amount retained. In such case, it may designate the retained amount as undistributed capital gains in a notice to its shareholders, who will be treated as if each received a distribution of its pro rata share of such gain, with the result that each shareholder will (i) be required to report its pro rata share of such gain on its tax return as long-term capital gain, (ii) receive a refundable tax credit for its pro rata share of tax paid by the Company on the gain and (iii) increase the tax basis for its shares by an amount equal to the deemed distribution less the tax credit. Recent Accounting Pronouncements Management does not believe any recently issued, but not yet effective, accounting standards, if currently adopted, would have a material effect on the accompanying consolidated financial statements. |
Agreements and Related Party Tr
Agreements and Related Party Transactions | 3 Months Ended |
Mar. 31, 2024 | |
Related Party Transactions [Abstract] | |
Agreements and Related Party Transactions | Note 3. Agreements and Related Party Transactions Investment Advisory Agreement On December 18, 2023, the Board approved an investment advisory agreement with the Adviser (“Investment Advisory Agreement”), pursuant to which the Adviser manages the Company on a day-to-day basis. Under the terms of the Investment Advisory Agreement, the Adviser is responsible for determining the composition of the Company’s portfolio, identifying investment opportunities and making investment decisions, monitoring investments, performing due diligence on prospective portfolio companies, and negotiating, obtaining and managing financing facilities and other forms of leverage. The Company pays the Adviser fees for its services under the Investment Advisory Agreement. The fees consist of two components: a management fee and an incentive fee. The cost of both the management fee and the incentive fee are ultimately borne by the Company’s shareholders. Management fee The base management fee is payable quarterly in arrears at an annu al rate of 1.25 % of the average of the Company’s net asset value as of the beginning of the prior quarter and the beginning of the then current quarter. For the three months ended March 31, 2024 , the Company incurred less than $ 1 in management fees and elected to waive t hese fees together with the incentive fees resulting in zero management fees for the period. Incentive fee The incentive fee consists of two components that are independent of each other, with the result that one component may be payable even if the other is not. A portion of the incentive fee is based on a percentage of income and a portion is based on a percentage of capital gains, each described below. Investment income incentive fee The investment income based incentive fee is based on “Pre-Incentive Fee Net Investment Income Returns” meaning dividends, cash interest or other distributions or other cash income and any third-party fees received from portfolio companies (such as upfront fees, commitment fees, origination fees, amendment fees, ticking fees and break-up fees, as well as prepayments premiums, but excluding fees for providing managerial assistance and fees earned by the Adviser or an affiliate in its capacity as an administrative agent, syndication agent, collateral agent, loan servicer or other similar capacity) accrued during the month, minus operating expenses for the month (including the Management Fee, taxes, any expenses payable under the Investment Advisory Agreement and Administration Agreement (as defined below), any expense of securitizations, and interest expense or other financing fees and any dividends paid on preferred shares, but excluding the Incentive Fee and shareholder servicing and /or distribution fees). Pre-Incentive Fee Net Investment Income Returns includes, in the case of investments with a deferred interest feature (such as original issue discount, debt instruments with PIK interest and zero-coupon securities), accrued income that has not yet been received in cash. Pre-Incentive Fee Net Investment Income Returns do not include any realized capital gains, realized capital losses or unrealized capital appreciation or depreciation. The impact of expense support payments and recoupments are also excluded from Pre-Incentive Fee Net Investment Income Returns. Pre-Incentive Fee Net Investment Income Returns, expressed as a rate of return on the value of net assets at the end of the preceding quarter, is compared to a “hurdle rate” of return of 1.25 % per quarter ( 5.0 % annualized). The Company pays an incentive fee quarterly as follows: • Investment Income Incentive Fee based on Pre-Incentive Fee Net Investment Income Returns in any calendar quarter in which the Pre-Incentive Fee Net Investment Income Returns does not exceed the hurdle rate of 1.25 % per quarter ( 5.0 % annualized). • 100 % of the dollar amount of the Pre-Incentive Fee Net Investment Income Returns with respect to that portion of such Pre-Incentive Fee Net Investment Income Returns, if any, that exceeds the hurdle rate but is less than a rate of return of 1.43 % ( 5.72 % annualized). • 12.5 % of the dollar amount of the Pre-Incentive Fee Net Investment Income Returns, if any, that exceed a rate of return of 1.43 % ( 5.72 % annualized). Capital gains incentive fee The second component of the incentive fee, the capital gains incentive fee, is payable at the end of each calendar year in arrears. The amount payable is equal to 12.5 % of cumulative realized capital gains from inception through the end of such calendar year, computed net of all realized capital losses and unrealized capital depreciation on a cumulative basis, less the aggregate amount of any previously paid capital gains incentive fee as calculated in accordance with U.S. GAAP. U.S. GAAP requires that the capital gains incentive fee accrual consider the cumulative aggregate unrealized capital appreciation in the calculation, as a capital gains incentive fee would be payable if such unrealized capital appreciation were realized, even though such unrealized capital appreciation is not permitted to be considered in calculating the fee actually payable under the investment advisory agreement. Such accrual is calculated using the aggregate cumulative realized capital gains and losses and aggregate cumulative unrealized capital depreciation included in the calculation of the capital gains incentive fee plus the aggregate cumulative unrealized capital appreciation, net of any expense associated with cumulative unrealized capital depreciation or appreciation. If such amount is positive at the end of a period, then U.S. GAAP requires the Company to record a capital gains incentive fee equal to 12.5 % of such cumulative amount, less the aggregate amount of actual capital gains incentive fees paid or capital gains incentive fees accrued under U.S. GAAP in all prior periods. For purposes of computing the Company’s investment income incentive fee and capital gains incentive fee, the calculation methodology looks through derivative financial instruments or swaps as if the Company owned the reference assets directly. The fees that are payable under the Investment Advisory Agreement for any partial period are appropriately prorated. The Adviser has agreed to waive its management fee and incentive fee for the first six months following the date on which unaffiliated investors first purchase the Common Shares. For the three months ended March 31, 2024, the Company incurred income based incentive fees of $ 918 , and capital gains incentive fees of $ 67 . As of March 31, 2024, the Adviser agreed to waive $ 985 in total incentive fees, resulting in zero incentive fees payable. Licensing Agreement As part of the Investment Advisory Agreement, the Adviser, on behalf of Antares Holdings LLC, agreed to grant the Company a fully paid- up, royalty-free, non-exclusive, non-transferable license to use “Antares” for specified purposes in the Company’s business, during the term of the Investment Advisory Agreement. Other than with respect to this limited license, the Company will have no legal right to the “Antares” name. Administration Agreement On December 18, 2023, the Board approved the administration agreement (the “Administration Agreement”) with Antares Capital Credit Advisers LLC (in such role, the “Administrator”). Under the terms of the Administration Agreement, the Administrator provides, or oversees the performance of, administrative and compliance services, including, but not limited to, maintaining financial records, overseeing the calculation of net asset value, compliance monitoring (including diligence and oversight of the Company’s other service providers), preparing reports to shareholders and reports filed with the SEC, preparing materials and coordinating meetings of the Company’s Board, managing the payment of expenses and the performance of administrative and professional services rendered by others and providing office space, equipment and office services. The Company reimburses the Administrator for its costs, expenses and allocable portion of overhead (including compensation of personnel performing administrative duties) in connection with the services performed for the Company pursuant to the terms of the Administration Agreement. For the three months ended March 31, 2024, the Company incurred administrative fees of $ 108 . Sub-administration Agreement In addition, pursuant to the terms of the Administration Agreement, the Administrator may delegate its obligations under the Administration Agreement to an affiliate or to a third party and the Company reimburses the Administrator for any services performed for the Company by such affiliate or third party. The Administrator hired U.S. Bancorp Fund Services, LLC to assist with sub-administration and fund accounting services. Expense Support Agreement On December 18, 2023, the Board approved an expense support and conditional reimbursement agreement (the “Expense Support Agreement”). Under the terms of the Expense Support Agreement, the Adviser is obligated to pay the Company’s total organization and offering expenses, professional fees, trustee fees, administration fees, and other general and administrative expenses of the Company on the Company’s behalf such that these operating expenses of the Company do not exceed 1.00 % (on annualized basis) of the Company’s net asset value. Additionally, the Adviser may elect to pay certain additional expenses of the Company on the Company’s behalf. To the extent the Company’s net asset value increases, the Adviser or its affiliates may be reimbursed for past payments of excess organization and offering costs made on the Company’s behalf provided that the total organization and offering costs borne by the Company do not exceed 1.00 % of the Company’s net asset value and provided further that the Adviser or its affiliates may not be reimbursed for payment of excess organization and offering expenses that were incurred more than three years prior to the proposed reimbursement. For the three months ended March 31, 2024, the Adviser provided no expe nse support pursuant to the Waiver Letter Agreement. The Company’s obligation to make a reimbursement payment shall automatically become a liability of the Company on the last business day of the applicable calendar month, except to the extent the Adviser has waived its right to receive such payment for the applicable month. |
Investments
Investments | 3 Months Ended |
Mar. 31, 2024 | |
Investments, Debt and Equity Securities [Abstract] | |
Investments | Note 4. Investments The composition of the Company's investment portfolio at amortized cost and fair value was as follows: March 31, 2024 Amortized Cost Fair Value % of Total Investments at Fair Value Secured Debt $ 464,499 $ 465,115 96.93 % Unsecured Debt 1,210 1,158 0.24 Equity Investments 13,603 13,581 2.83 Total investments $ 479,312 $ 479,854 100.00 % The industry composition of investments at fair value was as follows: March 31, 2024 Air Freight and Logistics 1.01 % Auto Components 3.03 Building Products 0.86 Capital Markets 2.40 Chemicals 0.82 Commercial Services and Supplies 8.53 Construction & Engineering 1.23 Construction Materials 0.71 Containers and Packaging 1.39 Distributors 2.21 Diversified Consumer Services 9.06 Diversified Financial Services 7.89 Electrical Equipment 1.38 Electronic Equipment, Instruments and Components 1.23 Energy Equipment and Services 1.23 Food Products 2.24 Health Care Technology 1.04 Healthcare Equipment and Supplies 2.83 Healthcare Providers and Services 11.53 Hotels, Restaurants and Leisure 0.93 Household Products 0.05 Industrial Conglomerates 0.95 Insurance 11.07 Internet Software & Services 1.49 IT Services 1.14 Life Sciences Tools & Services 0.10 Machinery 1.16 Media 1.53 Oil, Gas and Consumable Fuels 1.05 Pharmaceuticals 0.10 Professional Services 4.91 Real Estate Management and Development 0.97 Road and Rail 0.05 Software 11.16 Specialty Retail 0.16 Technology Hardware, Storage and Peripherals 0.68 Trading Companies and Distributors 1.73 Water Utilities 0.05 Wireless Telecommunication Services 0.10 100.00 % The geographic composition of investments at amortized cost and fair value was as follows: March 31, 2024 Amortized Cost Fair Value % of Total Investments at Fair Value Fair Value as % of Net Assets United States $ 470,912 $ 471,487 98.26 % 156.36 % Canada 5,787 5,774 1.20 1.91 Luxembourg 2,613 2,593 0.54 0.86 Total $ 479,312 $ 479,854 100.00 % 159.13 % As of March 31, 2024 there were zero portfolio companies on non-accrual status. |
Fair Value Measurements
Fair Value Measurements | 3 Months Ended |
Mar. 31, 2024 | |
Fair Value Disclosures [Abstract] | |
Fair Value Measurements | Note 5. Fair Value Measurements The fair value of a financial instrument is the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the applicable measurement date. In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, an investment’s level within the fair value hierarchy is based on the lowest level of input that is significant to the overall fair value measurement. The Adviser’s assessment of the significance of a particular input to the fair value measurement in its entirety requires judgment and considers factors specific to the investment. In addition to using the above inputs in investment valuations, the Company applies the valuation policy approved by its Board that is consistent with ASC 820. Consistent with the valuation policy, the Company evaluates the source of the inputs, including any markets in which its investments are trading (or any markets in which securities with similar attributes are trading), in determining fair value. Investments whose values are based on the listed closing price quoted on the securities’ principal exchange are classified within Level 1 and include active listed equities. The Adviser does not adjust the quoted price for such instruments, even in situations where the Company holds a large position and a sale could reasonably impact the quoted price. ASC 820 specifies a fair value hierarchy that prioritizes and ranks the level of observability of inputs used in determination of fair value. In accordance with ASC 820, these levels are summarized below: Level 1 – quoted prices (unadjusted) in active markets for identical assets or liabilities that the Adviser has the ability to access at the measurement date. Level 2 – inputs other than quoted prices included in Level 1 that are observable for the assets or liabilities, either directly or indirectly. Level 2 inputs include: quoted market prices for similar assets or liabilities; quoted prices in markets that are not active; or other inputs that are observable or can be corroborated by observable market data for substantially the full term of the assets or liabilities. Level 3 – unobservable inputs that are supported by little or no market activity and that are significant to the fair value of the assets or liabilities. The following tables present the fair value hierarchy of financial instruments, as of March 31, 2024 according to the fair value hierarchy as described in Note 2. Significant Accounting Policies: March 31, 2024 Level 1 Level 2 Level 3 Total Secured Debt $ — $ — $ 465,115 $ 465,115 Unsecured Debt — — 1,158 1,158 Equity Investments — — 13,581 13,581 Total Portfolio Investments $ — $ — $ 479,854 $ 479,854 The following tables present changes in the fair value of financial instruments for which Level 3 inputs were used to determine the fair value for the three months ended March 31, 2024: Three Months Ended March 31, 2024 Secured Debt Unsecured Debt Equity Investments Total Investments Fair value, beginning of period $ — $ — $ — $ — Purchase of investments (including received in-kind) 481,778 1,208 13,603 496,589 Proceeds from principal repayments and sales of investments ( 17,709 ) — — ( 17,709 ) Amortization of premium/accretion of discount, net 437 1 — 438 Net realized gain (loss) on investments ( 6 ) — — ( 6 ) Net change in unrealized appreciation (depreciation) on investments 615 ( 51 ) ( 22 ) 542 Fair value, end of period $ 465,115 $ 1,158 $ 13,581 $ 479,854 Net change in unrealized appreciation (depreciation) on non-controlled/non-affiliated company investments still held at March 31, 2024 $ 615 $ ( 51 ) $ ( 22 ) $ 542 The following table presents quantitative information about the significant unobservable inputs of the Company’s Level 3 financial instruments. The table is not intended to be all-inclusive but instead captures the significant unobservable inputs relevant to the Company’s determination of fair value. March 31, 2024 Range Fair Value (1) Valuation Technique Unobservable Input Low High Weighted Average (2) Secured Debt $ 433,208 Market yield analysis Market yield discount rates 8.29 % 14.06 % 10.44 % 10,458 Market quotation Quote 94.63 100.69 99.93 21,449 Recent transaction Transaction price 98.99 100.05 99.33 465,115 Unsecured Debt 1,158 Market yield analysis Market yield discount rates 14.94 % 19.65 % 16.88 % Equity Investments 10,710 Comparable company analysis EBITDA multiples 9.0 x 31.5 x 16.9 x 2,871 Market yield analysis Market yield discount rates 10.51 % 14.04 % 12.97 % 13,581 Total $ 479,854 (1) As of March 31, 2024 , included within the fair value of Level 3 assets of $ 479,854 is an amount of $ 31,907 for which the Adviser did not develop the unobservable inputs (examples include third-party pricing and transaction prices). (2) Weighted averages are calculated based on fair value of investments. The significant unobservable input used in the yield analysis is the discount rate based on comparable market yields. The significant unobservable inputs used in the income approach are the discount rate used to discount the estimated future cash flows expected to be received from the underlying investment. Significant increases in discount rates would result in a significantly lower fair value measurement. The significant unobservable inputs used in the market approach are based on market comparable transactions and market multiples of publicly traded comparable companies. Increases or decreases in market comparable transactions or market multiples would result in an increase or decrease in the fair value. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Company’s investments may fluctuate from period to period. Additionally, the fair value of the Company’s investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that the Company may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If the Company was required to liquidate a portfolio investment in a forced or liquidation sale, it could realize significantly less than the value at which the Company has recorded it. In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned. As of March 31, 2024 , the carrying amounts of the Company’s assets and liabilities, other than investments at fair value, approximate fair value due to their short maturities. Fair value is estimated by discounting remaining payments using applicable current market rates, which take into account changes in the Company’s marketplace credit ratings, if applicable, or market quotes, if available. |
Borrowings
Borrowings | 3 Months Ended |
Mar. 31, 2024 | |
Debt Instruments [Abstract] | |
Borrowings | Note 6. Borrowings In accordance with the 1940 Act, with certain limitations, the Company is allowed to borrow amounts such that its asset coverage, as defined in the 1940 Act, is at least 150 % after such borrowing. As of March 31, 2024, the Company’s asset coverage was 253.07 %. SPV Facility On January 19, 2024, A-Star SPV and the Company, as equity holder and servicer, entered into a loan facility for revolving and term loans pursuant to a Loan and Servicing Agreement (the “SG Facility”), with the lenders from time to time party thereto, Société Générale, as agent (the “Agent”), U.S. Bank Trust Company, National Association, as collateral agent (“Collateral Agent”) and collateral administrator, and U.S. Bank National Association, as document custodian. Loans under the SG Facility initially bear interest at (i) a per annum rate equal to Term SOFR plus an additional margin calculated as a percentage of the aggregate principal balance of the underlying collateral obligations (the “Margin”) for Loans denominated in U.S. Dollars, (ii) EURIBOR plus the Margin for loans denominated in Euros, (iii) Daily Compounded Canadian Overnight Repo Rate Average plus the Margin for loans denominated in Canadian Dollars, and (iv) Daily Simple SONIA plus the Margin for loans denominated in Great British Pounds. The Margin is equal 1.90% with respect to the portion of the SG Facility used to finance acquisitions of broadly-syndicated loans (subject to a maximum of 20%) and 2.40% with respect to the portion of the SG Facility used to finance acquisitions of middle-market loans, subject to a step-up of 2.00% following the occurrence of an event of default. The initial maximum principal amount under the SG Facility is $ 450.0 million and the SG Facility includes an accordion provision to permit increases to the total facility amount up to a maximum of $ 1.0 billion, subject in each case to the satisfaction of certain conditions, and, for any increases above $ 750.0 million, consent of the Agent and the Lenders. Proceeds from loans made under the SG Facility may be used for A-Star SPV's general corporate purposes, to fund collateral obligations acquired by A-Star SPV, to pay certain fees and expenses and to make distributions to the Company, subject to certain conditions set forth in the SG Facility. Revolving loans borrowed under the SG Facility may be repaid and reborrowed until the end of the Revolving Period, which can occur no later than January 19, 2027 (unless extended), and all amounts outstanding under the SG Facility must be repaid by January 19, 2029. Debt outstanding The Company’s outstanding debt obligations were as follows: March 31, 2024 Aggregate Outstanding Carrying (1) Unused (2) Amount Available (3) SG Facility $ 450,000 $ 197,000 $ 197,000 $ 253,000 $ 126,307 Total $ 450,000 $ 197,000 $ 197,000 $ 253,000 $ 126,307 (1) The carrying value of the Company's debt obligations is used as an approximate to fair value. (2) The unused portion is the amount upon which commitment fees, if any, are based. (3) The amount available reflects any limitations related to the SG Facility’s borrowing base. Interest expense The components of interest expense were as follows: Three Months Ended March 31, 2024 Stated interest expense $ 2,514 Facility unused fees 293 Amortization of financing and debt issuance costs 144 Total interest expense $ 2,951 Cash paid for interest expense $ — Weighted average interest rate (excluding amortization and unused fees) As of March 31, 2024, $ 2,514 of interest expense and $ 293 of unused commitment fees were included in interest payable. For the three months ended March 31, 2024 the weighted average interest rate on all borrowings outstanding was 7.72 % (including unused fees and amortization of deferred financing and debt issuance costs) and the average principal debt outstanding was $ 197,000 . As of March 31, 2024 , the Company was in compliance with all covenants associated with the SG Facility. |
Commitments and Contingencies
Commitments and Contingencies | 3 Months Ended |
Mar. 31, 2024 | |
Commitments and Contingencies Disclosure [Abstract] | |
Commitments and Contingencies | Note 7. Commitments and Contingencies In the normal course of business, the Company may enter into contracts that provide a variety of general indemnifications. Any exposure to the Company under these arrangements could involve future claims that may be made against the Company. Currently, no such claims exist or are expected to arise and, accordingly, the Company has not accrued any liability in connection with such indemnifications. Unfunded commitments The Company’s investment portfolio may contain revolving line of credit or delayed draw commitments, which require the Company to fund when requested by the portfolio companies. As of March 31, 2024, the Company had unfunded investment commitment in the aggregate par amount of $ 42,415 . Such commitments are subject to the satisfaction of certain conditions set forth in the documents governing these loans and letters of credit and there can be no assurance that such conditions will be satisfied. Off balance sheet risk Off-balance sheet risk refers to an unrecorded potential liability that may result in a future obligation or loss, even though it does not appear on the Consolidated Statements of Assets and Liabilities. The Company may enter into derivative instruments that contain elements of off-balance sheet market and credit risk. As of March 31, 2024 , there were no commitments outstanding for derivative contracts. Legal proceedings From time to time, the Company may become a party to certain legal proceedings incidental to the normal course of its business. At March 31, 2024 , management is not aware of any material pending legal proceedings. |
Net Assets
Net Assets | 3 Months Ended |
Mar. 31, 2024 | |
Equity [Abstract] | |
Net Assets | Note 8. Net Assets In connection with its formation, the Company has the authority to issue an unlimited number of common shares of beneficial interest at $ 0.001 per share par value. On September 7, 2023, an affiliate of the Adviser subscribed for 1,000 shares of the Company’s Common Shares of beneficial interest at $ 25.00 per share. The Company intends to issue Common Shares in the Private Offering on a quarterly basis at an offering price generally equal to the net asset value per Common Share. On January 19, 2024, the Company issued approximately 12 million shares of the Company's Common Shares of beneficial interest, par value $ 0.001 per share for an aggregate offering price of approximately $ 300.0 million. The sale of Common Shares was made pursuant to the subscription agreement (the “Subscription Agreement”) entered into with the relevant investor. Antares contributed approximately $ 300.0 million of assets in exchange for 12 million Common Shares issued at $ 25 per Common Share. In addition, the Company purchased approximately $ 241.6 million of investment commitments from affiliates of Antares. All of the contributed and purchased assets were originated by affiliates of the Adviser within the past 5 years. The issuance of Common Shares is exempt from the registration requirements of the Securities Act of 1933, as amended (the “Securities Act”), pursuant to Section 4(a)(2) thereof and Regulation D thereunder. The Company relied, in part, upon representations from the relevant investor in the Subscription Agreement that the investor is an “accredited investor” as defined in Regulation D under the Securities Act. Share Repurchase Program The Company will commence a share repurchase program, one year following the date on which unaffiliated investors first purchase the Common Shares, in which the Company intends to repurchase, semi-annually, up to 7.5 % of the Common Shares outstanding (either by number of Common Shares or aggregate net asset value) as of the close of the previous semi-annual period. The Company’s Board of Trustees may amend, suspend or terminate the share repurchase program if it deems such action to be in the best interest of the Company and the best interest of the Company’s shareholders. As a result, share repurchases may not be available each semi-annual period. The Company intends to conduct such repurchase offers in accordance with the requirements of Rule 13e-4 promulgated under the Securities Exchange Act of 1934, as amended, and the 1940 Act. All shares purchased pursuant to the terms of each tender offer will be retired and thereafter will be authorized and unissued shares. Under the Company’s share repurchase program, to the extent the Company offers to repurchase shares in any particular period, the Company expects to repurchase shares pursuant to tender offers using a purchase price equal to the net asset value per share as of the last calendar day of the applicable semi-annual period. Distributions The Company authorizes and declares distribution amounts per share of common shares of beneficial interest payable quarterly in arrears. The record date for each distribution was the last calendar date of each quarter. The following table presents distributions that were declared during the three months ended March 31, 2024: Declaration Date Payment Date Distribution Per Share Distribution Amount March 29, 2024 April 30, 2024 $ 0.53 $ 6,361 Total $ 0.53 $ 6,361 Distribution Reinvestment Plan The Company has adopted a distribution reinvestment plan, pursuant to which the Company will reinvest all cash distributions declared on behalf of the Company's shareholders who do not elect to receive their distributions in cash as provided below. As a result, if the Company declares, a cash distribution, then shareholders who have not opted out of the Company's distribution reinvestment plan will have their cash distributions automatically reinvested in additional shares as described below, rather than receiving the cash distribution. Distributions on fractional shares will be credited to each participating shareholder’s account to three decimal places. |
Financial Highlights
Financial Highlights | 3 Months Ended |
Mar. 31, 2024 | |
Investment Company, Financial Highlights [Abstract] | |
Financial Highlights | Note 9. Financial Highlights The following are the financial highlights for the three months ended March 31, 2024: Three Months Ended March 31, 2024 (1) Per Share Data: (2) (3) Net assets, beginning of period $ 25.00 Net investment income 0.61 Net realized gain (loss) — Net change in unrealized appreciation (depreciation) 0.05 Net increase in net assets resulting from operations 0.66 Distributions declared ( 0.53 ) Total increase (decrease) in net assets 0.13 Net assets, end of period $ 25.13 Shares outstanding, end of period 12,001,000 Total return based on net asset value (4) 2.64 % Ratios: (5) Expenses to average net assets gross of fee waivers 7.31 % Net expenses to average net assets net of fee waivers 5.79 % Net investment income to average net assets 11.94 % Portfolio turnover rate (6) 7.38 % Supplemental Data: Net assets, end of period $ 301,543 Asset coverage ratio (7) 253.07 % (1) The Company commenced operations on January 19, 2024. Rates are based on the period of January 19, 2024 through March 31, 2024. (2) The per share data was derived by using the weighted average shares outstanding during the period. (3) The per share data was derived using the actual shares outstanding at the date of the relevant transaction (See Note 8). (4) Total return (not annualized) is calculated as the change in net assets per share during the period, plus distributions per share (assuming distributions are reinvested in accordance with the Company's distribution reinvestment plan), divided by the net assets per share at the beginning of the period. (5) Amounts are annualized except for non-recurring income and expenses (other income, organization and offering expenses and incentive fees on capital gains). (6) Portfolio turnover rate is calculated using the lesser of the year-to-date sales or year-to-date purchases over the average of the invested assets at fair value for the period reported. (7) In accordance with the 1940 Act, with certain, limitations, the Company is allowed to borrow amounts such that its asset coverage, as defined in the 1940 Act, is at least 150% after such borrowing. |
Subsequent Events
Subsequent Events | 3 Months Ended |
Mar. 31, 2024 | |
Subsequent Events [Abstract] | |
Subsequent Events | Note 10. Subsequent Events The Company’s management evaluated subsequent events through the date of May 10, 2024 , the date that the consolidated financial statements were available to be issued. On April 1, 2024, the Company sold and issued 9,595,404 Common Shares and an affiliate of the Company sold 12,001,000 Common Shares for an aggregate consideration of approximately $ 542,700 at a price of $ 25.13 per Common Share. |
Significant Accounting Polici_2
Significant Accounting Policies (Policies) | 3 Months Ended |
Mar. 31, 2024 | |
Accounting Policies [Abstract] | |
Basis of Presentation | Basis of Presentation Interim consolidated financial statements and related financial information have been prepared in accordance with U.S. GAAP and pursuant to the requirements for reporting on form 10-Q and Articles 6 of 10 of Regulation S-X. The Company is considered an Investment Company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification ("ASC") Topic 946 and pursuant to Regulation S-X. The current period's results of operations will not necessarily be indicative of results that ultimately be achieved for the year ended December 31, 2024. |
Consolidation | Consolidation As provided under ASC 946, the Company will not consolidate its investment in a company other than an investment company subsidiary or a controlled operating company whose business consists of providing services to the Company. Accordingly, the Company consolidated the accounts of the wholly owned subsidiaries in the consolidated financial statements. All intercompany balances have been eliminated. |
Use of Estimates | Use of Estimates The preparation of the consolidated financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions about future economic and market conditions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the consolidated financial statements. Although the Company’s estimates contemplate current conditions and how they expect them to change in the future, it is reasonably possible that actual results could differ from those estimates and such difference could be material. |
Cash and Cash Equivalents | Cash and Cash Equivalents Cash and cash equivalents consist of demand deposits and highly liquid investments, such as money market funds, with original maturities of three months or less. Cash and cash equivalents are carried at cost, which approximates fair value. The Company deposits its cash and cash equivalents with financial institutions and, at times, may exceed the Federal Deposit Insurance Corporation insured limit. |
Organization and Offering Expenses | Organization and Offering Expenses Organization costs include costs relating to the formation and organization of the Company. Such costs are expensed as incurred. For the three months ended March 31, 2024, the Company incurred $ 51 in organization costs. These amounts are included in due to affiliates on the Consolidated Statements of Assets and Liabilities as of March 31, 2024. Costs associated with the Company’s offering of Common Shares are capitalized and included as deferred offering costs on the Consolidated Statements of Assets and Liabilities and will be amortized over a twelve-month period beginning on the date which the Company first accepts capital contribution from unaffiliated shareholders in the Private Offering. As of March 31, 2024, the Company incurred $ 224 of offering costs. |
Investments | Investments Investment transactions are recorded on the trade date. Realized gains or losses are measured by the difference between the net proceeds received (excluding prepayment fees, if any) and the amortized cost basis of the investment using the specific identification method without regard to unrealized gains or losses previously recognized, and include investments charged off during the period, net of recoveries. The net change in unrealized gains or losses primarily reflects the change in investment values, including the reversal of previously recorded unrealized gains or losses with respect to investments realized during the period. |
Valuation of Investments | Valuation of Investments The Company is required to report its investments for which current market values are not readily available at fair value. The Company values its investments in accordance with ASC 820, Fair Value Measurement, which defines fair value as the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the applicable measurement date. ASC 820 prioritizes the use of observable market prices derived from such prices over entity-specific inputs. Due to the inherent uncertainties of valuation, certain estimated fair values may differ significantly from the values that would have been realized had a ready market for these investments existed, and these differences could be material. Investments for which market quotations are readily available are typically valued at those market quotations. The Company utilizes mid-market pricing (i.e., mid-point of average bid and ask prices) to value these investments. The Adviser obtains these market quotations from independent pricing services, if available; otherwise from at least two principal market makers or primary market dealers. To assess the continuing appropriateness of pricing sources and methodologies, the Adviser performs, from time to time, price verification procedures and issues challenges as necessary to independent pricing services or brokers, and any differences are reviewed in accordance with the valuation procedures. The Adviser does not adjust the prices unless it has a reason to believe market quotations are not reflective of the fair value of an investment. Where prices or inputs are not available, or, in the judgment of the Adviser, not reliable, valuation approaches based on the facts and circumstances of the particular investment are utilized. Securities that are not publicly traded or for which market prices are not readily available, as the case for a substantial portion of the Company's investments, are valued at fair value as determined in good faith by the Adviser as the Company's valuation designee under Rule 2a-5 under the 1940 Act, pursuant to the Company's valuation policy, and under the oversight of the Board of Trustees (the "Board"), based on, among other things, the input of the Company's management and the audit committee. In addition, the Adviser has retained independent valuation firms to review the valuation of each investment for which a market quotation is not available at least once during each 12-month period. These valuation approaches involve some level of management estimation and judgment, the degree of which is dependent on the price transparency for the investments or market and the investments’ complexity. With respect to investments for which market quotations are not readily available, the Adviser undertakes a multi-step valuation process each quarter, among other procedures, as described below: • The valuation process begins with each investment being preliminarily reviewed by the Adviser’s valuation team in consultation with the Adviser’s investment professionals responsible for each portfolio investment; • At least once annually the valuation for each investment, subject to a de minimis threshold, is reviewed by an independent valuation firm. The independent valuation firms provide a final range of values on such investments to the Adviser. The independent valuation firms also provide analyses to support their valuation methodology and calculations; • The Adviser’s valuation committee with respect to the Company (the "Valuation Committee") reviews each valuation recommendation to confirm they have been calculated in accordance with the valuation policy and compares such valuations to the independent valuation firms’ valuation ranges to ensure the Adviser’s valuations are reasonable; • The Adviser's Valuation Committee then determines fair value marks for each of the Company's portfolio investments; and • The Board and audit committee of the Company periodically review the valuation process and provide oversight in accordance with the requirements of Rule 2a-5 under the 1940 Act. As part of the valuation process, the Company takes into account relevant factors in determining the fair value of the Company's investments for which reliable market quotations are not readily available, many of which are loans, including and in combination, as relevant, any of: (i) the estimated enterprise value of a Portfolio Company, generally based on an analysis of discounted cash flows, publicly traded comparable companies and comparable transactions, (ii) the nature and realizable value of any collateral, (iii) the Portfolio Company’s ability to make payments based on its earnings and cash flow, (iv) the markets in which the Portfolio Company does business, and (v) overall changes in the interest rate environment and the credit markets that may affect the price at which similar investments may be made in the future. When an external event such as a purchase transaction, public offering or subsequent equity or debt sale occurs, the Adviser considers whether the pricing indicated by the external event corroborates its valuation. The Company's accounting policy on the fair value of the investments is critical because the determination of fair value involves subjective judgments and estimates. Accordingly, the notes to the Company's consolidated financial statements express the uncertainty with respect to the possible effect of these valuations, and any change in these valuations, on the consolidated financial statements. |
Revenue Recognition | Revenue Recognition The Company generates revenue in the form of interest and fee income on debt investments, capital gains, and dividend income from the equity investments in portfolio companies. The senior and subordinated debt investments bear interest at a fixed or floating rate. Interest on debt investments is generally payable quarterly or semiannually. In some cases, some of the investments provide for deferred interest payments or PIK interest. The principal amount of the debt investments and any accrued but unpaid PIK interest generally become due at the maturity date. In addition, the Company generates revenue from various fees in the ordinary course of business such as in the form of structuring, consent, waiver, amendment, syndication and other miscellaneous fees. Original issue discounts and market discounts or premiums are capitalized, and the Company accretes or amortizes such amounts as interest income. The Company records prepayment premiums on loans and debt investments as interest income. Dividend income, if any, is recognized on an accrual basis to the extent that the Company collects such amounts. |
Interest Income | Interest Income Interest income is recorded on an accrual basis and includes the accretion of discounts and amortizations of premiums. Discounts from and premiums to par value on debt investments purchased are accreted/amortized into interest income over the life of the debt investments using the effective interest method. The amortized cost of debt investments represents the original cost, including loan origination fees and upfront fees received that are deemed to be an adjustment to yield, adjusted for the accretion of discounts and amortization of premiums, if any. Upon prepayment of a loan or debt investment, any prepayment premiums, unamortized upfront loan origination fees and unamortized discounts are recorded as interest income, in the current period. |
Dividend Income | Dividend Income Dividend income on preferred equity securities is recorded on the accrual basis to the extent that such amounts are payable by the portfolio company and are expected to be collected. Dividend income on common equity securities is recorded on the record date for portfolio companies or on the ex-dividend date for publicly-traded portfolio companies. |
PIK Income | PIK Income The Company may have loans in its portfolio that contain PIK provisions. PIK represents 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. Such income is included in interest income on the Consolidated Statement of Operations. If at any point the Company believes PIK is not expected to be realized, the investment generating PIK will be placed on non-accrual status. When a PIK investment is placed on non-accrual status, the accrued, uncapitalized interest is generally reversed through interest income. To maintain the Company's status as a RIC, this non-cash source of income must be paid out to shareholders in the form of dividends, even though the Company has not yet collected cash. |
Fee Income | Fee Income The Company may receive various fees in the ordinary course of business such as structuring, consent, waiver, amendment, syndication fees as well as fees for managerial assistance rendered by the Company to the portfolio companies. Such fees are recognized as income when earned or the services are rendered. |
Non-Accrual Income | Non-Accrual Income Loans are generally placed on non-accrual status when there is reasonable doubt that principal or interest will be collected in full. Accrued interest is generally reversed when a loan is placed on non-accrual status. Additionally, any original issue discount and market discount are no longer accreted to interest income as of the date the loan is placed on non-accrual status. Interest payments received on non-accrual loans may be recognized as income or applied to principal depending upon management’s judgment regarding collectability. Non-accrual loans are restored to accrual status when past due principal and interest is paid current and, in management’s judgment, are likely to remain current. Management may make exceptions to this treatment and determine to not place a loan on non-accrual status if the loan has sufficient collateral value and is in the process of collection . |
Deferred Financing Costs | Deferred Financing Costs Deferred financing costs represent fees and other direct incremental costs incurred in connection with the Company’s borrowings. These expenses are deferred and amortized into interest expense over the life of the related debt instrument using the straight-line method. Deferred financing costs related to the revolving credit facility are presented as an offset against the debt outstanding on the Consolidated Statements of Assets and Liabilities. |
Income Taxes | Income Taxes The Company intends to elect to be treated, and intends to qualify each taxable year thereafter, as a RIC under the Code. So long as the Company maintains its status as a RIC, it generally will not pay corporate-level U.S. federal income taxes on any ordinary income or capital gains that it distributes at least annually to its shareholders as dividends. Rather, any tax liability related to income earned and distributed by the Company would represent obligations of the Company’s shareholders and would not be reflected in the consolidated financial statements of the Company. The Company evaluates tax positions taken or expected to be taken in the course of preparing its consolidated financial statements to determine whether the tax positions are “more-likely-than-not” to be sustained by the applicable tax authority. Tax positions not deemed to meet the “more- likely-than-not” threshold are reserved and recorded as a tax benefit or expense in the current year. All penalties and interest associated with income taxes are included in income tax expense. Conclusions regarding tax positions are subject to review and may be adjusted at a later date based on factors including, but not limited to, on-going analyses of tax laws, regulations and interpretations thereof. To qualify for and maintain qualification as a RIC, the Company must, among other things, meet certain source-of-income and asset diversification requirements. In addition, to qualify for RIC tax treatment, the Company must distribute to its shareholders, for each taxable year, at least 90 % of the sum of (i) its “investment company taxable income” for that year (without regard to the deduction for dividends paid), which is generally its ordinary income plus the excess, if any, of its realized net short-term capital gains over its realized net long-term capital losses and (ii) its net tax-exempt income. In addition, pursuant to the excise tax distribution requirements, the Company will be subject to a 4% non-deductible federal excise tax on undistributed income unless the Company distributes in a timely manner in each taxable year an amount at least equal to the sum of (1) 98% of its ordinary income for the calendar year, (2) 98.2% of capital gain net income (both long-term and short-term) for the one-year period ending October 31 in that calendar year and (3) any income realized, but not distributed, in prior years. For this purpose, however, any ordinary income or capital gain net income retained by the Company that is subject to corporate income tax is considered to have been distributed. |
Distributions | Distributions To the extent that the Company has taxable income available, the Company intends to make quarterly distributions to its shareholders. Distributions to shareholders are recorded on the record date. All distributions will be paid at the discretion of the Board and will depend on the Company's earnings, financial condition, maintenance of the Company's tax treatment as a RIC, compliance with applicable BDC regulations and such other factors as the Board may deem relevant from time to time. Distributions to shareholders by the Company of ordinary income (including “market discount” realized by the Company on the sale of debt securities), and of net short-term capital gains, if any, realized by the Company are generally taxable to U.S. shareholders as ordinary income to the extent such distributions are paid out of the Company's current or accumulated earnings and profits. Distributions, if any, of net capital gains properly reported as “capital gain dividends” will be taxable as long-term capital gains, regardless of the length of time the shareholder has owned the Company's shares. A distribution of an amount in excess of the Company's current and accumulated earnings and profits (as determined for U.S. federal income tax purposes) will be treated by a shareholder as a return of capital which will be applied against and reduce the shareholder’s basis in his or her shares. To the extent that the amount of any such distribution exceeds the shareholder’s basis in his or her shares, the excess will be treated by the shareholder as gain from a sale or exchange of the shares. Distributions paid by the Company generally will not be eligible for the dividends received deduction allowed to corporations or for the reduced rates applicable to certain qualified dividend income received by non-corporate shareholders. Distributions will be treated in the manner described above regardless of whether such distributions are paid in cash or invested in additional shares pursuant to the distribution reinvestment plan. Shareholders receiving distributions in the form of additional shares will generally be treated as receiving a distribution in the amount of the fair market value of the distributed shares. The additional shares received by a shareholder pursuant to the distribution reinvestment plan will have a new holding period commencing on the day following the day on which the shares were credited to the shareholder’s account. The Company may elect to retain its net capital gain or a portion thereof for investment and be taxed at corporate rates on the amount retained. In such case, it may designate the retained amount as undistributed capital gains in a notice to its shareholders, who will be treated as if each received a distribution of its pro rata share of such gain, with the result that each shareholder will (i) be required to report its pro rata share of such gain on its tax return as long-term capital gain, (ii) receive a refundable tax credit for its pro rata share of tax paid by the Company on the gain and (iii) increase the tax basis for its shares by an amount equal to the deemed distribution less the tax credit. |
Recent Accounting Pronouncements | Recent Accounting Pronouncements Management does not believe any recently issued, but not yet effective, accounting standards, if currently adopted, would have a material effect on the accompanying consolidated financial statements. |
Investments (Tables)
Investments (Tables) | 3 Months Ended |
Mar. 31, 2024 | |
Investments, Debt and Equity Securities [Abstract] | |
Schedule of Investment Company's Investment Portfolio | The composition of the Company's investment portfolio at amortized cost and fair value was as follows: March 31, 2024 Amortized Cost Fair Value % of Total Investments at Fair Value Secured Debt $ 464,499 $ 465,115 96.93 % Unsecured Debt 1,210 1,158 0.24 Equity Investments 13,603 13,581 2.83 Total investments $ 479,312 $ 479,854 100.00 % |
Summary of Geographic Composition of Investments at Amortized Cost and Fair Value | The geographic composition of investments at amortized cost and fair value was as follows: March 31, 2024 Amortized Cost Fair Value % of Total Investments at Fair Value Fair Value as % of Net Assets United States $ 470,912 $ 471,487 98.26 % 156.36 % Canada 5,787 5,774 1.20 1.91 Luxembourg 2,613 2,593 0.54 0.86 Total $ 479,312 $ 479,854 100.00 % 159.13 % |
Schedule of composition of the investment at fair value | The industry composition of investments at fair value was as follows: March 31, 2024 Air Freight and Logistics 1.01 % Auto Components 3.03 Building Products 0.86 Capital Markets 2.40 Chemicals 0.82 Commercial Services and Supplies 8.53 Construction & Engineering 1.23 Construction Materials 0.71 Containers and Packaging 1.39 Distributors 2.21 Diversified Consumer Services 9.06 Diversified Financial Services 7.89 Electrical Equipment 1.38 Electronic Equipment, Instruments and Components 1.23 Energy Equipment and Services 1.23 Food Products 2.24 Health Care Technology 1.04 Healthcare Equipment and Supplies 2.83 Healthcare Providers and Services 11.53 Hotels, Restaurants and Leisure 0.93 Household Products 0.05 Industrial Conglomerates 0.95 Insurance 11.07 Internet Software & Services 1.49 IT Services 1.14 Life Sciences Tools & Services 0.10 Machinery 1.16 Media 1.53 Oil, Gas and Consumable Fuels 1.05 Pharmaceuticals 0.10 Professional Services 4.91 Real Estate Management and Development 0.97 Road and Rail 0.05 Software 11.16 Specialty Retail 0.16 Technology Hardware, Storage and Peripherals 0.68 Trading Companies and Distributors 1.73 Water Utilities 0.05 Wireless Telecommunication Services 0.10 100.00 % |
Fair Value Measurements (Tables
Fair Value Measurements (Tables) | 3 Months Ended |
Mar. 31, 2024 | |
Fair Value Disclosures [Abstract] | |
Summary of Fair Value Hierarchy of Financial Instruments | The following tables present the fair value hierarchy of financial instruments, as of March 31, 2024 according to the fair value hierarchy as described in Note 2. Significant Accounting Policies: March 31, 2024 Level 1 Level 2 Level 3 Total Secured Debt $ — $ — $ 465,115 $ 465,115 Unsecured Debt — — 1,158 1,158 Equity Investments — — 13,581 13,581 Total Portfolio Investments $ — $ — $ 479,854 $ 479,854 |
Summary of Changes in fair value of financial Instruments for Level 3 Inputs | The following tables present changes in the fair value of financial instruments for which Level 3 inputs were used to determine the fair value for the three months ended March 31, 2024: Three Months Ended March 31, 2024 Secured Debt Unsecured Debt Equity Investments Total Investments Fair value, beginning of period $ — $ — $ — $ — Purchase of investments (including received in-kind) 481,778 1,208 13,603 496,589 Proceeds from principal repayments and sales of investments ( 17,709 ) — — ( 17,709 ) Amortization of premium/accretion of discount, net 437 1 — 438 Net realized gain (loss) on investments ( 6 ) — — ( 6 ) Net change in unrealized appreciation (depreciation) on investments 615 ( 51 ) ( 22 ) 542 Fair value, end of period $ 465,115 $ 1,158 $ 13,581 $ 479,854 Net change in unrealized appreciation (depreciation) on non-controlled/non-affiliated company investments still held at March 31, 2024 $ 615 $ ( 51 ) $ ( 22 ) $ 542 |
Summary of Quantitative Information About the Significant Unobservable Inputs | The following table presents quantitative information about the significant unobservable inputs of the Company’s Level 3 financial instruments. The table is not intended to be all-inclusive but instead captures the significant unobservable inputs relevant to the Company’s determination of fair value. March 31, 2024 Range Fair Value (1) Valuation Technique Unobservable Input Low High Weighted Average (2) Secured Debt $ 433,208 Market yield analysis Market yield discount rates 8.29 % 14.06 % 10.44 % 10,458 Market quotation Quote 94.63 100.69 99.93 21,449 Recent transaction Transaction price 98.99 100.05 99.33 465,115 Unsecured Debt 1,158 Market yield analysis Market yield discount rates 14.94 % 19.65 % 16.88 % Equity Investments 10,710 Comparable company analysis EBITDA multiples 9.0 x 31.5 x 16.9 x 2,871 Market yield analysis Market yield discount rates 10.51 % 14.04 % 12.97 % 13,581 Total $ 479,854 |
Borrowings (Tables)
Borrowings (Tables) | 3 Months Ended |
Mar. 31, 2024 | |
Debt Instruments [Abstract] | |
Summary of Debt Obligations | The Company’s outstanding debt obligations were as follows: March 31, 2024 Aggregate Outstanding Carrying (1) Unused (2) Amount Available (3) SG Facility $ 450,000 $ 197,000 $ 197,000 $ 253,000 $ 126,307 Total $ 450,000 $ 197,000 $ 197,000 $ 253,000 $ 126,307 (1) The carrying value of the Company's debt obligations is used as an approximate to fair value. (2) The unused portion is the amount upon which commitment fees, if any, are based. (3) The amount available reflects any limitations related to the SG Facility’s borrowing base. |
Summary of Components of Interest Expense | The components of interest expense were as follows: Three Months Ended March 31, 2024 Stated interest expense $ 2,514 Facility unused fees 293 Amortization of financing and debt issuance costs 144 Total interest expense $ 2,951 Cash paid for interest expense $ — |
Net Assets (Tables)
Net Assets (Tables) | 3 Months Ended |
Mar. 31, 2024 | |
Equity [Abstract] | |
Dividends Declared [Table Text Block] | The Company authorizes and declares distribution amounts per share of common shares of beneficial interest payable quarterly in arrears. The record date for each distribution was the last calendar date of each quarter. The following table presents distributions that were declared during the three months ended March 31, 2024: Declaration Date Payment Date Distribution Per Share Distribution Amount March 29, 2024 April 30, 2024 $ 0.53 $ 6,361 Total $ 0.53 $ 6,361 |
Financial Highlights (Tables)
Financial Highlights (Tables) | 3 Months Ended |
Mar. 31, 2024 | |
Investment Company, Financial Highlights [Abstract] | |
Summary of Financial Highlights | The following are the financial highlights for the three months ended March 31, 2024: Three Months Ended March 31, 2024 (1) Per Share Data: (2) (3) Net assets, beginning of period $ 25.00 Net investment income 0.61 Net realized gain (loss) — Net change in unrealized appreciation (depreciation) 0.05 Net increase in net assets resulting from operations 0.66 Distributions declared ( 0.53 ) Total increase (decrease) in net assets 0.13 Net assets, end of period $ 25.13 Shares outstanding, end of period 12,001,000 Total return based on net asset value (4) 2.64 % Ratios: (5) Expenses to average net assets gross of fee waivers 7.31 % Net expenses to average net assets net of fee waivers 5.79 % Net investment income to average net assets 11.94 % Portfolio turnover rate (6) 7.38 % Supplemental Data: Net assets, end of period $ 301,543 Asset coverage ratio (7) 253.07 % (1) The Company commenced operations on January 19, 2024. Rates are based on the period of January 19, 2024 through March 31, 2024. (2) The per share data was derived by using the weighted average shares outstanding during the period. (3) The per share data was derived using the actual shares outstanding at the date of the relevant transaction (See Note 8). (4) Total return (not annualized) is calculated as the change in net assets per share during the period, plus distributions per share (assuming distributions are reinvested in accordance with the Company's distribution reinvestment plan), divided by the net assets per share at the beginning of the period. (5) Amounts are annualized except for non-recurring income and expenses (other income, organization and offering expenses and incentive fees on capital gains). (6) Portfolio turnover rate is calculated using the lesser of the year-to-date sales or year-to-date purchases over the average of the invested assets at fair value for the period reported. (7) In accordance with the 1940 Act, with certain, limitations, the Company is allowed to borrow amounts such that its asset coverage, as defined in the 1940 Act, is at least 150% after such borrowing. |
Business and Organization (Addi
Business and Organization (Additional Information) (Details) | Mar. 31, 2024 |
Summary of Investment Holdings [Line Items] | |
Acquisition Qualifying Assets Represent Percentage | 70% |
US Locations | |
Summary of Investment Holdings [Line Items] | |
Acquisition Qualifying Assets Represent Percentage | 70% |
Significant Accounting Polici_3
Significant Accounting Policies (Additional Information) (Details) - USD ($) $ in Thousands | 3 Months Ended | |
Mar. 31, 2024 | Dec. 31, 2023 | |
Accounting Policies [Abstract] | ||
Organization costs | $ 51 | |
Deferred offering costs | $ 224 | $ 63 |
Minimum Percentage Of Investment Company Taxable Income Distribute To Shareholders For Each Taxable Year To Qualify For RIC Tax Treatment | 90% | |
Description Of Excise Tax Distribution Requirements | Company will be subject to a 4% non-deductible federal excise tax on undistributed income unless the Company distributes in a timely manner in each taxable year an amount at least equal to the sum of (1) 98% of its ordinary income for the calendar year, (2) 98.2% of capital gain net income (both long-term and short-term) for the one-year period ending October 31 in that calendar year and (3) any income realized, but not distributed, in prior years. For this purpose, however, any ordinary income or capital gain net income retained by the Company that is subject to corporate income tax is considered to have been distributed. |
Agreements and Related Party _2
Agreements and Related Party Transactions (Additional Information) (Details) - USD ($) $ in Thousands | 3 Months Ended | 12 Months Ended | ||
Dec. 18, 2023 | Mar. 31, 2024 | Dec. 31, 2023 | ||
Related Party Transaction [Line Items] | ||||
Management Fee Expense | [1] | $ 0 | ||
Description of incentive fee on net investment income | Investment Income Incentive Fee based on Pre-Incentive Fee Net Investment Income Returns in any calendar quarter in which the Pre-Incentive Fee Net Investment Income Returns does not exceed the hurdle rate of 1.25% per quarter (5.0% annualized).•100% of the dollar amount of the Pre-Incentive Fee Net Investment Income Returns with respect to that portion of such Pre-Incentive Fee Net Investment Income Returns, if any, that exceeds the hurdle rate but is less than a rate of return of 1.43% (5.72% annualized).•12.5% of the dollar amount of the Pre-Incentive Fee Net Investment Income Returns, if any, that exceed a rate of return of 1.43% (5.72% annualized). | |||
Incentive fee on capital gains percentage | 12.50% | 12.50% | ||
Incentive fee quarter hurdle rate | 1.25% | |||
Incentive fee annual hurdle rate | 5% | |||
Incentive Fee Expense | $ 918 | |||
Administrative Fees Expense | $ 108 | |||
Maximum [Member] | ||||
Related Party Transaction [Line Items] | ||||
Offering Cost Percentage of Net asset Value | 1% | |||
Investment Advisory Agreement [Member] | ||||
Related Party Transaction [Line Items] | ||||
Incentive Fee, Description | The incentive fee consists of two components that are independent of each other, with the result that one component may be payable even if the other is not. A portion of the incentive fee is based on a percentage of income and a portion is based on a percentage of capital gains, | |||
Management Fee Agreement [Member] | ||||
Related Party Transaction [Line Items] | ||||
Management fee arrears annual rate | 1.25% | |||
Management Fee Expense | $ 1 | |||
Incentive Fee Expense | 0 | |||
Adviser [Member] | ||||
Related Party Transaction [Line Items] | ||||
Incentive Fee Waiver | 985 | |||
Incentive Fee Payable | $ 0 | |||
Incentive Fee Payment Condition One [Member] | Maximum [Member] | ||||
Related Party Transaction [Line Items] | ||||
Incentive fee annual hurdle rate | 5% | |||
Incentive Fee Payment Condition One [Member] | Minimum [Member] | ||||
Related Party Transaction [Line Items] | ||||
Incentive fee quarter hurdle rate | 1.25% | |||
Incentive Fee Payment Condition Two [Member] | ||||
Related Party Transaction [Line Items] | ||||
Pre-incentive fee net investment income percentage | 100% | |||
Incentive Fee Payment Condition Two [Member] | Minimum [Member] | ||||
Related Party Transaction [Line Items] | ||||
Incentive fee quarter hurdle rate | 1.43% | |||
Incentive fee annual hurdle rate | 5.72% | |||
Incentive Fee Payment Condition Three [Member] | Minimum [Member] | ||||
Related Party Transaction [Line Items] | ||||
Incentive fee quarter hurdle rate | 1.43% | |||
Incentive fee annual hurdle rate | 5.72% | |||
Pre-incentive fee net investment income percentage | 12.50% | |||
Expense Support Agreement [Member] | ||||
Related Party Transaction [Line Items] | ||||
Percentage of operating expenses | 1% | |||
Incurred Income | Adviser [Member] | ||||
Related Party Transaction [Line Items] | ||||
Incentive Fee Expense | $ 918 | |||
Capital gains | Adviser [Member] | ||||
Related Party Transaction [Line Items] | ||||
Incentive Fee Expense | 67 | |||
Advisor (Member) | ||||
Related Party Transaction [Line Items] | ||||
Administrative Fees Expense | $ 108 | |||
[1] Value is less than $ 1 . |
Investments - Summary of Compan
Investments - Summary of Company's Investment Portfolio (Details) - USD ($) $ in Thousands | Mar. 31, 2024 | Dec. 31, 2023 | |
Summary of Investment Holdings [Line Items] | |||
Amortized Cost | $ 479,312 | $ 0 | |
Fair Value | [1] | $ 479,854 | $ 0 |
% of Total Investments at Fair Value | 100% | ||
Equity Investments | |||
Summary of Investment Holdings [Line Items] | |||
Amortized Cost | $ 13,603 | ||
Fair Value | $ 13,581 | ||
% of Total Investments at Fair Value | 2.83% | ||
Secured | |||
Summary of Investment Holdings [Line Items] | |||
Amortized Cost | $ 464,499 | ||
Fair Value | $ 465,115 | ||
% of Total Investments at Fair Value | 96.93% | ||
Unsecured | |||
Summary of Investment Holdings [Line Items] | |||
Amortized Cost | $ 1,210 | ||
Fair Value | $ 1,158 | ||
% of Total Investments at Fair Value | 0.24% | ||
[1] Non-controlled/non-affiliated investments at amortized cost o f $ 479,312 and zero as of March 31, 2024 and December 31, 2023 , respectively. |
Investments - Summary of Indust
Investments - Summary of Industry composition of investments at fair value (Details) | Mar. 31, 2024 |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 100% |
Air Freight and Logistics | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.01% |
Auto Components | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 3.03% |
Building Products | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.86% |
Capital Markets | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 2.40% |
Chemicals | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.82% |
Commercial Services and Supplies | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 8.53% |
Construction & Engineering | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.23% |
Construction Materials | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.71% |
Containers and Packaging | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.39% |
Distributors | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 2.21% |
Diversified Consumer Services | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 9.06% |
Diversified Financial Services | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 7.89% |
Electrical Equipment | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.38% |
Electronic Equipment, Instruments and Components | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.23% |
Energy Equipment and Services | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.23% |
Food Products | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 2.24% |
Health Care Technology | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.04% |
Healthcare Equipment and Supplies | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 2.83% |
Healthcare Providers and Services | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 11.53% |
Hotels, Restaurants and Leisure | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.93% |
Household Products | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.05% |
Industrial Conglomerates | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.95% |
Insurance | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 11.07% |
Internet Software & Services | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.49% |
IT Services | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.14% |
Life Sciences Tools & Services | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.10% |
Machinery | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.16% |
Media | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.53% |
Oil, Gas and Consumable Fuels | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.05% |
Pharmaceuticals | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.10% |
Professional Services | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 4.91% |
Real Estate Management and Development | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.97% |
Road and Rail | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.05% |
Software | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 11.16% |
Specialty Retail | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.16% |
Technology Hardware, Storage and Peripherals | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.68% |
Trading Companies and Distributors | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 1.73% |
Water Utilities | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.05% |
Wireless Telecommunication Services | |
Schedule of Investments [Line Items] | |
Percentage of Investments at fair value | 0.10% |
Investments - Summary of Geogra
Investments - Summary of Geographic Composition of investments at fair value (Details) - USD ($) $ in Thousands | Mar. 31, 2024 | Dec. 31, 2023 | |
Summary of Investment Holdings [Line Items] | |||
Amortized Cost | $ 479,312 | $ 0 | |
Fair Value | [1] | $ 479,854 | $ 0 |
% of Total Investments at Fair Value | 100% | ||
Fair Value as Net Assets | 159.13% | ||
United States | |||
Summary of Investment Holdings [Line Items] | |||
Amortized Cost | $ 470,912 | ||
Fair Value | $ 471,487 | ||
% of Total Investments at Fair Value | 98.26% | ||
Fair Value as Net Assets | 156.36% | ||
Canada | |||
Summary of Investment Holdings [Line Items] | |||
Amortized Cost | $ 5,787 | ||
Fair Value | $ 5,774 | ||
% of Total Investments at Fair Value | 1.20% | ||
Fair Value as Net Assets | 1.91% | ||
Luxembourg | |||
Summary of Investment Holdings [Line Items] | |||
Amortized Cost | $ 2,613 | ||
Fair Value | $ 2,593 | ||
% of Total Investments at Fair Value | 0.54% | ||
Fair Value as Net Assets | 0.86% | ||
[1] Non-controlled/non-affiliated investments at amortized cost o f $ 479,312 and zero as of March 31, 2024 and December 31, 2023 , respectively. |
Investments (Additional Informa
Investments (Additional Information) (Details) $ in Thousands | Mar. 31, 2024 USD ($) |
Investments, Debt and Equity Securities [Abstract] | |
Portfolio companies on non-accrual status | $ 0 |
Fair Value Measurements - Summa
Fair Value Measurements - Summary of Fair Value Hierarchy of Financial Instruments (Details) $ in Thousands | Mar. 31, 2024 USD ($) | |
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | $ 479,854 | |
Unsecured | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 1,158 | |
Secured | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 465,115 | |
Fair Value, Inputs, Level 1 [Member] | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 0 | |
Fair Value, Inputs, Level 1 [Member] | Unsecured | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 0 | |
Fair Value, Inputs, Level 1 [Member] | Secured | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 0 | |
Fair Value, Inputs, Level 2 [Member] | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 0 | |
Fair Value, Inputs, Level 2 [Member] | Unsecured | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 0 | |
Fair Value, Inputs, Level 2 [Member] | Secured | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 0 | |
Fair Value, Inputs, Level 3 [Member] | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 479,854 | [1] |
Fair Value, Inputs, Level 3 [Member] | Unsecured | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 1,158 | |
Fair Value, Inputs, Level 3 [Member] | Secured | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 465,115 | [1] |
Equity Method Investments | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 13,581 | |
Equity Method Investments | Fair Value, Inputs, Level 1 [Member] | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 0 | |
Equity Method Investments | Fair Value, Inputs, Level 2 [Member] | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | 0 | |
Equity Method Investments | Fair Value, Inputs, Level 3 [Member] | ||
Fair Value, Concentration of Risk, Financial Statement Captions [Line Items] | ||
Investments, Fair Value Disclosure | $ 13,581 | [1] |
[1] As of March 31, 2024 , included within the fair value of Level 3 assets of $ 479,854 is an amount of $ 31,907 for which the Adviser did not develop the unobservable inputs (examples include third-party pricing and transaction prices). |
Fair Value Measurement - Summar
Fair Value Measurement - Summary of Changes in Fair Value of Financial Instruments for Level 3 Inputs (Details) $ in Thousands | 3 Months Ended |
Mar. 31, 2024 USD ($) | |
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items] | |
Amortization of premium/accretion of discount, net | $ 438 |
Fair value, end of period | 31,907 |
Fair Value, Inputs, Level 3 [Member] | |
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items] | |
Fair value, beginning of period | 0 |
Purchase of investments (including received in-kind) | 496,589 |
Proceeds from principal repayments and sales of investments | (17,709) |
Amortization of premium/accretion of discount, net | 438 |
Net realized gain (loss) on investments | (6) |
Net change in unrealized appreciation (depreciation) on investments | 542 |
Fair value, end of period | 479,854 |
Net change in unrealized appreciation (depreciation) on non-controlled/non-affiliated company investments still held at March 31, 2024 | 542 |
Secured | Fair Value, Inputs, Level 3 [Member] | |
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items] | |
Fair value, beginning of period | 0 |
Purchase of investments (including received in-kind) | 481,778 |
Proceeds from principal repayments and sales of investments | (17,709) |
Amortization of premium/accretion of discount, net | 437 |
Net realized gain (loss) on investments | (6) |
Net change in unrealized appreciation (depreciation) on investments | 615 |
Fair value, end of period | 465,115 |
Net change in unrealized appreciation (depreciation) on non-controlled/non-affiliated company investments still held at March 31, 2024 | 615 |
Unsecured | Fair Value, Inputs, Level 3 [Member] | |
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items] | |
Fair value, beginning of period | 0 |
Purchase of investments (including received in-kind) | 1,208 |
Proceeds from principal repayments and sales of investments | 0 |
Amortization of premium/accretion of discount, net | 1 |
Net realized gain (loss) on investments | 0 |
Net change in unrealized appreciation (depreciation) on investments | (51) |
Fair value, end of period | 1,158 |
Net change in unrealized appreciation (depreciation) on non-controlled/non-affiliated company investments still held at March 31, 2024 | (51) |
Equity Method Investments | Fair Value, Inputs, Level 3 [Member] | |
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items] | |
Fair value, beginning of period | 0 |
Purchase of investments (including received in-kind) | 13,603 |
Proceeds from principal repayments and sales of investments | 0 |
Amortization of premium/accretion of discount, net | 0 |
Net realized gain (loss) on investments | 0 |
Net change in unrealized appreciation (depreciation) on investments | (22) |
Fair value, end of period | 13,581 |
Net change in unrealized appreciation (depreciation) on non-controlled/non-affiliated company investments still held at March 31, 2024 | $ (22) |
Fair Value Measurements - Sum_2
Fair Value Measurements - Summary of Quantitative Information About The Significant Unobservable Inputs (Details) | Mar. 31, 2024 USD ($) | |
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | $ 479,854,000 | |
Equity Method Investments [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | 13,581,000 | |
Secured Debt [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | 465,115,000 | |
Fair Value, Inputs, Level 3 [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | 479,854,000 | [1] |
Fair Value, Inputs, Level 3 [Member] | Equity Method Investments [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | 13,581,000 | [1] |
Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | 465,115,000 | [1] |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Equity Method Investments [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | $ 2,871,000 | [1] |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Equity Method Investments [Member] | Maximum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 0.1404 | |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Equity Method Investments [Member] | Minimum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 0.1051 | |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Equity Method Investments [Member] | Weighted Average [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 0.1297 | [2] |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | $ 433,208,000 | [1] |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | Maximum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 0.1406 | |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | Minimum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 0.0829 | |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | Weighted Average [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 0.1044 | [2] |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Unsecured Debt [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | $ 1,158,000 | [1] |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Unsecured Debt [Member] | Maximum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 0.1965 | |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Unsecured Debt [Member] | Minimum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 0.1494 | |
Market Yield Analysis [Member] | Market Yield Discount Rates [Member] | Fair Value, Inputs, Level 3 [Member] | Unsecured Debt [Member] | Weighted Average [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 0.1688 | [2] |
Market Quotation[Member] | Markit[Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | $ 10,458,000 | [1] |
Market Quotation[Member] | Markit[Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | Maximum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 100.69 | |
Market Quotation[Member] | Markit[Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | Minimum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 94.63 | |
Market Quotation[Member] | Markit[Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | Weighted Average [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 99.93 | [2] |
Recent Transaction[Member] | Transaction Price[Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | $ 21,449,000 | [1] |
Recent Transaction[Member] | Transaction Price[Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | Maximum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 100.05 | |
Recent Transaction[Member] | Transaction Price[Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | Minimum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 98.99 | |
Recent Transaction[Member] | Transaction Price[Member] | Fair Value, Inputs, Level 3 [Member] | Secured Debt [Member] | Weighted Average [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 99.33 | [2] |
Comparable Company Analysis [Member] | Measurement Input, EBITDA Multiple [Member] | Fair Value, Inputs, Level 3 [Member] | Equity Method Investments [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investments, Fair Value Disclosure, Total | $ 10,710,000 | [1] |
Comparable Company Analysis [Member] | Measurement Input, EBITDA Multiple [Member] | Fair Value, Inputs, Level 3 [Member] | Equity Method Investments [Member] | Maximum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 31.5 | |
Comparable Company Analysis [Member] | Measurement Input, EBITDA Multiple [Member] | Fair Value, Inputs, Level 3 [Member] | Equity Method Investments [Member] | Minimum [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 9 | |
Comparable Company Analysis [Member] | Measurement Input, EBITDA Multiple [Member] | Fair Value, Inputs, Level 3 [Member] | Equity Method Investments [Member] | Weighted Average [Member] | ||
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | ||
Investment company, investment owned, measurement input | 16.9 | [2] |
[1] As of March 31, 2024 , included within the fair value of Level 3 assets of $ 479,854 is an amount of $ 31,907 for which the Adviser did not develop the unobservable inputs (examples include third-party pricing and transaction prices). Weighted averages are calculated based on fair value of investments. |
Fair Value Measurements - Quant
Fair Value Measurements - Quantitative Information About The Significant Unobservable Inputs (Parenthetical) (Details) $ in Thousands | Mar. 31, 2024 USD ($) |
Fair Value Measurement Inputs and Valuation Techniques [Line Items] | |
Investments, Fair Value Disclosure | $ 479,854 |
Third-party pricing and transaction prices | $ 31,907 |
Borrowings (Additional Informat
Borrowings (Additional Information) (Details) - USD ($) $ in Thousands | 3 Months Ended | ||
Jan. 19, 2024 | Mar. 31, 2024 | ||
Debt Instrument [Line Items] | |||
Aggregate principal committed | $ 450,000 | ||
Minimum asset coverage ratio | 150% | ||
Asset coverage ratio | [1],[2] | 253.07% | |
Interest rate description | The Margin is equal 1.90% with respect to the portion of the SG Facility used to finance acquisitions of broadly-syndicated loans (subject to a maximum of 20%) and 2.40% with respect to the portion of the SG Facility used to finance acquisitions of middle-market loans, subject to a step-up of 2.00% following the occurrence of an event of default. | ||
Interest expense | $ 2,514 | ||
Unused commitment fees | $ 293 | ||
Weighted average interest rate on borrowings outstanding | 7.72% | ||
Outstanding principal | $ 197,000 | ||
SG Facility [Member] | |||
Debt Instrument [Line Items] | |||
Aggregate principal committed | $ 450,000 | 450,000 | |
Outstanding principal | $ 197,000 | ||
SG Facility [Member] | Maximum [Member] | |||
Debt Instrument [Line Items] | |||
Amount increases under certain conditions | 1,000,000 | ||
SG Facility [Member] | Minimum [Member] | |||
Debt Instrument [Line Items] | |||
Amount increases under certain conditions | $ 750,000 | ||
[1] In accordance with the 1940 Act, with certain, limitations, the Company is allowed to borrow amounts such that its asset coverage, as defined in the 1940 Act, is at least 150% after such borrowing. The Company commenced operations on January 19, 2024. Rates are based on the period of January 19, 2024 through March 31, 2024. |
Borrowings - Summary of Debt Ob
Borrowings - Summary of Debt Obligations (Details) - USD ($) $ in Thousands | Mar. 31, 2024 | Jan. 19, 2024 | |
Debt Instrument [Line Items] | |||
Aggregate principal committed | $ 450,000 | ||
Outstanding principal | 197,000 | ||
Carrying Value | 197,000 | ||
Unused Portion | [1] | 253,000 | |
Total debt, net of deferred financing costs | [2] | 126,307 | |
SG Facility [Member] | |||
Debt Instrument [Line Items] | |||
Aggregate principal committed | 450,000 | $ 450,000 | |
Outstanding principal | 197,000 | ||
Carrying Value | 197,000 | ||
Unused Portion | [1] | 253,000 | |
Total debt, net of deferred financing costs | [2] | $ 126,307 | |
[1] The unused portion is the amount upon which commitment fees, if any, are based. The amount available reflects any limitations related to the SG Facility’s borrowing base. |
Borrowings - Summary of Compone
Borrowings - Summary of Components of Interest Expense (Details) $ in Thousands | 3 Months Ended |
Mar. 31, 2024 USD ($) | |
Interest Expense, Debt [Abstract] | |
Stated interest expense | $ 2,514 |
Facility unused fees | 293 |
Amortization of financing and debt issuance costs | 144 |
Total interest expense | 2,951 |
Cash paid for interest expense | $ 0 |
Commitments and Contingencies (
Commitments and Contingencies (Additional Information) (Details) - USD ($) $ in Thousands | Mar. 31, 2024 | Dec. 31, 2023 |
Loss Contingencies [Line Items] | ||
Commitments outstanding | ||
Derivative Contracts [Member] | ||
Loss Contingencies [Line Items] | ||
Commitments outstanding | 0 | |
Unfunded Investment Commitment [Member] | ||
Loss Contingencies [Line Items] | ||
Unfunded investment commitment | $ 42,415 |
Net Assets (Additional Informat
Net Assets (Additional Information) (Details) - USD ($) $ / shares in Units, $ in Millions | 3 Months Ended | |||
Jan. 19, 2024 | Mar. 31, 2024 | Dec. 31, 2023 | Sep. 07, 2023 | |
Equity, Class of Treasury Stock [Line Items] | ||||
Common shares, par value | $ 0.001 | $ 0.001 | ||
Proceeds from contributed capital | $ 300 | |||
Contributed and purchased assets originated period | 5 years | |||
Common shares issued per share | $ 25 | |||
Common stock shares issued | 12,000,000 | |||
Additions in company assets | $ 241.6 | |||
Subscription Arrangement [Member] | ||||
Equity, Class of Treasury Stock [Line Items] | ||||
Common shares, par value | $ 0.001 | |||
Proceeds from contributed capital | $ 300 | |||
Common stock shares issued | 12,000,000 | |||
Shares Repurchase Program [Member] | Maximum [Member] | ||||
Equity, Class of Treasury Stock [Line Items] | ||||
Common shares repurchase percentage | 7.50% | |||
Private Offering | ||||
Equity, Class of Treasury Stock [Line Items] | ||||
Common shares beneficial interest per share | $ 25 | |||
Common stock, shares subscribed | 1,000 |
Net Assets - Schedule of Author
Net Assets - Schedule of Authorizes and Declares Distributions Amounts Per Share of Common Shares (Details) $ / shares in Units, $ in Thousands | 3 Months Ended |
Mar. 31, 2024 USD ($) $ / shares | |
Dividends Payable [Line Items] | |
Distribution Per Share | $ / shares | $ 0.53 |
Distribution Amount | $ | $ 6,361 |
Dividend Declared [Member] | |
Dividends Payable [Line Items] | |
Declaration Date | Mar. 29, 2024 |
Payment Date | Apr. 30, 2024 |
Distribution Per Share | $ / shares | $ 0.53 |
Distribution Amount | $ | $ 6,361 |
Financial Highlights - Summary
Financial Highlights - Summary of Financial Highlights (Details) $ / shares in Units, $ in Thousands | 3 Months Ended | |
Mar. 31, 2024 USD ($) $ / shares shares | [1] | |
Investment Company, Financial Highlights [Abstract] | ||
Net assets, beginning of period | $ 25 | [2],[3] |
Net investment income | 0.61 | [2],[3] |
Net realized gain (loss) | 0 | [2],[3] |
Net change in unrealized appreciation (depreciation) | 0.05 | [2],[3] |
Net increase in net assets resulting from operations | 0.66 | [2],[3] |
Distributions declared | (0.53) | [2],[3] |
Total increase (decrease) in net assets | 0.13 | [2],[3] |
Net assets, end of period | $ 25.13 | [2],[3] |
Shares outstanding, end of period | shares | 12,001,000 | [2],[3] |
Total return based on net asset value | 2.64% | [2],[3],[4] |
Ratios: | ||
Expenses to average net assets gross of fee waivers | 7.31% | [5] |
Net expenses to average net assets | 5.79% | [5] |
Net investment income to average net assets | 11.94% | [5] |
Portfolio turnover rate | 7.38% | [5],[6] |
Supplemental Data: | ||
Net assets, end of period | $ | $ 301,543 | |
Asset coverage ratio | 253.07% | [7] |
[1] The Company commenced operations on January 19, 2024. Rates are based on the period of January 19, 2024 through March 31, 2024. The per share data was derived by using the weighted average shares outstanding during the period. The per share data was derived using the actual shares outstanding at the date of the relevant transaction (See Note 8). Total return (not annualized) is calculated as the change in net assets per share during the period, plus distributions per share (assuming distributions are reinvested in accordance with the Company's distribution reinvestment plan), divided by the net assets per share at the beginning of the period. Amounts are annualized except for non-recurring income and expenses (other income, organization and offering expenses and incentive fees on capital gains). Portfolio turnover rate is calculated using the lesser of the year-to-date sales or year-to-date purchases over the average of the invested assets at fair value for the period reported. In accordance with the 1940 Act, with certain, limitations, the Company is allowed to borrow amounts such that its asset coverage, as defined in the 1940 Act, is at least 150% after such borrowing. |
Subsequent Events (Additional I
Subsequent Events (Additional Information) (Details) - USD ($) $ / shares in Units, $ in Thousands | May 10, 2024 | Apr. 01, 2024 | Mar. 31, 2024 | Jan. 19, 2024 | Dec. 31, 2023 | |
Subsequent Event [Line Items] | ||||||
Common stock shares, issued | 12,001,000 | 1,000 | ||||
Common Stock, Value, Issued | [1] | $ 12 | $ 0 | |||
Common shares issued per share | $ 25 | |||||
Subsequent Event [Member] | ||||||
Subsequent Event [Line Items] | ||||||
Subsequent event date | May 10, 2024 | |||||
Common stock shares, issued | 9,595,404 | |||||
Common Stock, Shares Authorized | 12,001,000 | |||||
Common Stock, Value, Issued | $ 542,700 | |||||
Common shares issued per share | $ 25.13 | |||||
[1] Unlimited shares authorized, 12,001,000 and 1,000 shares issued and outstanding as of March 31, 2024 and December 31, 2023 , respectively. |