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. |