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Consolidated Financial Highlights
12 Months Ended
Dec. 31, 2025
Notes to Financial Statements  
Investment Company, Financial Highlights [Text Block]

Consolidated Financial Highlights
Selected per share data and ratios for a share outstanding throughout each year

 

 

  

FOR THE
YEAR ENDED DECEMBER 31, 2025

  

FOR THE
YEAR ENDED DECEMBER 31, 2024

  

FOR THE
YEAR ENDED DECEMBER 31, 2023

  

FOR THE
YEAR ENDED DECEMBER 31, 2022

  

FOR THE
YEAR ENDED DECEMBER 31, 2021

 

Net asset value at beginning of year

 $0.15  $0.18  $4.44  $13.75  $14.82 

Income from investment operations:

                    

Net investment income gains/(losses)(1)

  (0.19)  0.27   0.16   (1.81)  0.44 

Net realized and unrealized gains/(losses) on investments

  0.04*   (0.30)  (4.42)  (7.50)  (1.51)

Total from investment operations

  (0.15)  (0.03)  (4.26)  (9.31)  (1.07)

Distributions from:

 

Realized capital gains

               

Anti-dilutive effect from capital share transactions

               

Net asset value at end of year

 $0.00  $0.15  $0.18  $4.44  $13.75 

Market value at end of year

 $0.02  $0.06  $0.30  $0.95  $4.01 
                     

Total Return

                    

Based on Net Asset Value

  (100.00)%  (16.67)%  (95.95)%  (67.71)%  (7.22)%

Based on Market Value

  (66.67)%  (80.00)%  (68.42)%  (76.31)%  (10.29)%
                     
                     
                     

Net assets at end of year (millions)

 $(0.2) $1.1  $1.3  $30.6  $94.8 

Ratio of total expenses to average net assets:

                    

Before tax (benefit)/expense

  195.30%  (195.48)%  (7.21)%  4.11%  3.12%

Tax expense(2)(3)

  32.42%  14.28%         

Total expenses

  227.72%  (181.20)%  (7.21)%  4.11%  3.12%

Total expenses, excluding incentive fees and deferred tax expense

  195.30%  (195.48)%  (7.21)%  4.11%  3.12%

Total expenses, excluding incentive fees and deferred tax expense and fee waiver

  195.30%  121.49%  11.91%  4.11%  3.12%

Ratio of net investment income (loss) to average net assets:

                    

Net investment income (loss)

  (225.32)%  206.76%  8.13%  (20.96)%  2.94%

Net investment income (loss) before fee waiver

  (225.32)%  (110.22)%  (10.99)%  (20.96)%  2.94%

Portfolio turnover rate

  0%  0%  1%  15%  16%

 

 

(1)

Calculated using average shares outstanding.

(2)

Tax expense estimate is derived from net investment income (loss), and realized and unrealized gains (losses).

(3)

The tax expense and tax benefit are based on average net assets.

*Includes an adjustment of 0.04 to increase the NAV to 0.00