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Consolidated Schedule of Investments
€ in Thousands, £ in Thousands, kr in Thousands, kr in Thousands, $ in Thousands, $ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2024
USD ($)
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Dec. 31, 2023
USD ($)
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Dec. 31, 2024
EUR (€)
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Dec. 31, 2024
GBP (£)
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Dec. 31, 2024
NOK (kr)
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Dec. 31, 2024
AUD ($)
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Dec. 31, 2024
SEK (kr)
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Dec. 31, 2024
CAD ($)
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Dec. 31, 2023
EUR (€)
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Dec. 31, 2023
GBP (£)
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Dec. 31, 2023
AUD ($)
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Dec. 31, 2023
CAD ($)
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Dec. 31, 2022
USD ($)
Dec. 31, 2022
AUD ($)
Investments at amortized cost $ 3,539,153 $ 3,251,012                        
Total investments at fair value 3,518,412 3,283,065                        
Investment, Identifier [Axis]: Controlled Affiliated Investments                            
Total investments at fair value 65,095 59,913                     $ 70,755  
Investment, Identifier [Axis]: Controlled Affiliated Investments IRGSE Holding Corp.                            
Total investments at fair value 65,095 59,913                     $ 70,755  
Investment, Identifier [Axis]: Debt Investments                            
Investments at amortized cost [1],[2],[3] 3,388,244 3,045,524                        
Total investments at fair value [2],[4] $ 3,361,439 $ 3,071,623                        
Percentage of Net Assets [2] 209.20% 205.30% 209.20% 209.20% 209.20% 209.20% 209.20% 209.20% 205.30% 205.30% 205.30% 205.30%    
Investment, Identifier [Axis]: Debt Investments Automotive BestPass, Inc. First-lien loan (44,800 par, due 5/2029) Initial Acquisition Date 5/26/2023 Reference Rate and SOFR + 5.75% Interest Rate 11.11%                            
Investment, par [5],[6],[7]   $ 44,800                        
Investment due date [5],[6],[7]   2029-05                        
Initial Acquisition Date [5],[6],[7]   May 26, 2023                        
Reference Rate [5],[6],[7]   5.75%             5.75% 5.75% 5.75% 5.75%    
Interest Rate [5],[6],[7]   11.11%             11.11% 11.11% 11.11% 11.11%    
Investments at amortized cost [5],[6],[7],[8],[9]   $ 43,571                        
Total investments at fair value [5],[6],[7],[10]   $ 44,240                        
Percentage of Net Assets [5],[6],[7]   3.00%             3.00% 3.00% 3.00% 3.00%    
Investment, Identifier [Axis]: Debt Investments Automotive Truck-Lite Co., LLC Investment First-lien loan ($40,134 par, due 2/2031) Initial Acquisition Date 02/13/2024 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.27%                            
Investment, par [2],[11] $ 40,134                          
Investment due date [2],[11] 2031-02                          
Initial Acquisition Date [2],[11] Feb. 13, 2024                          
Reference Rate [2],[11] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11] 10.27%   10.27% 10.27% 10.27% 10.27% 10.27% 10.27%            
Investments at amortized cost [1],[2],[3],[11] $ 39,707                          
Total investments at fair value [2],[4],[11] $ 40,256                          
Percentage of Net Assets [2],[11] 2.50%   2.50% 2.50% 2.50% 2.50% 2.50% 2.50%            
Investment, Identifier [Axis]: Debt Investments Business Services                            
Investments at amortized cost $ 441,124 [1],[2],[3] $ 563,017 [5],[7],[8],[9]                        
Total investments at fair value $ 449,009 [2],[4] $ 572,260 [5],[7],[10]                        
Percentage of Net Assets 28.00% [2] 38.30% [5],[7] 28.00% [2] 28.00% [2] 28.00% [2] 28.00% [2] 28.00% [2] 28.00% [2] 38.30% [5],[7] 38.30% [5],[7] 38.30% [5],[7] 38.30% [5],[7]    
Investment, Identifier [Axis]: Debt Investments Business Services Acceo Solutions. Inc. First-lien loan (CAD 52,941 par, due 10/2025) Initial Acquisition Date 7/6/2018 Reference Rate and C + 4.75% Interest Rate 10.21%                            
Investment, par [5],[6],[7],[12]                       $ 52,941    
Investment due date [5],[6],[7],[12]   2025-10                        
Initial Acquisition Date [5],[6],[7],[12]   Jul. 06, 2018                        
Reference Rate [5],[6],[7],[12]   4.75%             4.75% 4.75% 4.75% 4.75%    
Interest Rate [5],[6],[7],[12]   10.21%             10.21% 10.21% 10.21% 10.21%    
Investments at amortized cost [5],[6],[7],[8],[9],[12]   $ 40,026                        
Total investments at fair value [5],[6],[7],[10],[12]   $ 40,150                   $ 52,941    
Percentage of Net Assets [5],[6],[7],[12]   2.70%             2.70% 2.70% 2.70% 2.70%    
Investment, Identifier [Axis]: Debt Investments Business Services Alpha Midco, Inc. First-lien loan ($ 68,885 par, due 8/2025) Initial Acquisition Date 8/15/2019 Reference Rate and SOFR + 7.63% Interest Rate 12.97%                            
Investment, par [5],[6],[7]   $ 68,885                        
Investment due date [5],[6],[7]   2025-08                        
Initial Acquisition Date [5],[6],[7]   Aug. 15, 2019                        
Reference Rate [5],[6],[7]   7.63%             7.63% 7.63% 7.63% 7.63%    
Interest Rate [5],[6],[7]   12.97%             12.97% 12.97% 12.97% 12.97%    
Investments at amortized cost [5],[6],[7],[8],[9]   $ 68,287                        
Total investments at fair value [5],[6],[7],[10]   $ 69,751                        
Percentage of Net Assets [5],[6],[7]   4.70%             4.70% 4.70% 4.70% 4.70%    
Investment, Identifier [Axis]: Debt Investments Business Services Alpha Midco, Inc. Investment First-lien loan ($69,624 par, due 8/2028) Initial Acquisition Date 08/15/2019 Reference Rate and Spread SOFR + 6.88% Interest Rate 11.20%                            
Investment, par [2],[11],[13] $ 69,624                          
Investment due date [2],[11],[13] 2028-08                          
Initial Acquisition Date [2],[11],[13] Aug. 15, 2019                          
Reference Rate [2],[11],[13] 6.88%   6.88% 6.88% 6.88% 6.88% 6.88% 6.88%            
Interest Rate [2],[11],[13] 11.20%   11.20% 11.20% 11.20% 11.20% 11.20% 11.20%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 69,361                          
Total investments at fair value [2],[4],[11],[13] $ 69,975                          
Percentage of Net Assets [2],[11],[13] 4.40%   4.40% 4.40% 4.40% 4.40% 4.40% 4.40%            
Investment, Identifier [Axis]: Debt Investments Business Services Artisan Bidco, Inc. Investment First-lien loan ($38,830 par, due 11/2029) Initial Acquisition Date 11/07/2023 Reference Rate and Spread SOFR + 7.00% Interest Rate 11.39%                            
Investment, par [2],[11] $ 38,830                          
Investment due date [2],[11] 2029-11                          
Initial Acquisition Date [2],[11] Nov. 07, 2023                          
Reference Rate [2],[11] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11] 11.39%   11.39% 11.39% 11.39% 11.39% 11.39% 11.39%            
Investments at amortized cost [1],[2],[3],[11] $ 38,090                          
Total investments at fair value [2],[4],[11] $ 38,830                          
Percentage of Net Assets [2],[11] 2.50%   2.50% 2.50% 2.50% 2.50% 2.50% 2.50%            
Investment, Identifier [Axis]: Debt Investments Business Services Artisan Bidco, Inc. Investment First-lien loan (EUR 17,558 par, due 11/2029) Initial Acquisition Date 11/07/2023 Reference Rate and Spread E + 7.00% Interest Rate 10.05%                            
Investment, par | € [2],[11]     € 17,558                      
Investment due date [2],[11] 2029-11                          
Initial Acquisition Date [2],[11] Nov. 07, 2023                          
Reference Rate [2],[11] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11] 10.05%   10.05% 10.05% 10.05% 10.05% 10.05% 10.05%            
Investments at amortized cost [1],[2],[3],[11] $ 18,544                          
Total investments at fair value [2],[4],[11] $ 18,181   € 17,558                      
Percentage of Net Assets [2],[11] 1.10%   1.10% 1.10% 1.10% 1.10% 1.10% 1.10%            
Investment, Identifier [Axis]: Debt Investments Business Services Artisan Bidco,, Inc. First-lien loan ($38,112 par, due 11/2029) Initial Acquisition Date 11/7/2023 Reference Rate and SOFR + 7.00% Interest Rate 12.38%                            
Investment, par [5],[7]   $ 38,112                        
Investment due date [5],[7]   2029-11                        
Initial Acquisition Date [5],[7]   Nov. 07, 2023                        
Reference Rate [5],[7]   7.00%             7.00% 7.00% 7.00% 7.00%    
Interest Rate [5],[7]   12.38%             12.38% 12.38% 12.38% 12.38%    
Investments at amortized cost [5],[7],[8],[9]   $ 37,250                        
Total investments at fair value [5],[7],[10]   $ 37,563                        
Percentage of Net Assets [5],[7]   2.50%             2.50% 2.50% 2.50% 2.50%    
Investment, Identifier [Axis]: Debt Investments Business Services Artisan Bidco,, Inc. First-lien loan (Euro, 17,735 par, due 11/2029) Initial Acquisition Date 11/7/2023 Reference Rate and E + 7.00% Interest Rate 10.96%                            
Investment, par | € [5],[7]                 € 17,735          
Investment due date [5],[7]   2029-11                        
Initial Acquisition Date [5],[7]   Nov. 07, 2023                        
Reference Rate [5],[7]   7.00%             7.00% 7.00% 7.00% 7.00%    
Interest Rate [5],[7]   10.96%             10.96% 10.96% 10.96% 10.96%    
Investments at amortized cost [5],[7],[8],[9]   $ 18,681                        
Total investments at fair value [5],[7],[10]   $ 19,346             € 17,513          
Percentage of Net Assets [5],[7]   1.30%             1.30% 1.30% 1.30% 1.30%    
Investment, Identifier [Axis]: Debt Investments Business Services Azurite Intermediate Holdings, Inc. Investment First-lien loan ($42,750 par, due 3/2031) Initial Acquisition Date 03/19/2024 Reference Rate and Spread SOFR + 6.50% Interest Rate 10.86%                            
Investment, par [2],[11] $ 42,750                          
Investment due date [2],[11] 2031-03                          
Initial Acquisition Date [2],[11] Mar. 19, 2024                          
Reference Rate [2],[11] 6.50%   6.50% 6.50% 6.50% 6.50% 6.50% 6.50%            
Interest Rate [2],[11] 10.86%   10.86% 10.86% 10.86% 10.86% 10.86% 10.86%            
Investments at amortized cost [1],[2],[3],[11] $ 42,029                          
Total investments at fair value [2],[4],[11] $ 42,513                          
Percentage of Net Assets [2],[11] 2.60%   2.60% 2.60% 2.60% 2.60% 2.60% 2.60%            
Investment, Identifier [Axis]: Debt Investments Business Services BCTO Ignition Purchaser, Inc. First-lien holding loan ($ 31,935 par, due 10/2030) Initial Acquisition Date 4/18/2023 Reference Rate and SOFR+ 9.00% Interest Rate 14.40% PIK                            
Investment, par [5],[7]   $ 31,935                        
Investment due date [5],[7]   2030-10                        
Initial Acquisition Date [5],[7]   Apr. 18, 2023                        
Reference Rate [5],[7]   9.00%             9.00% 9.00% 9.00% 9.00%    
Interest Rate, PIK [5],[7]   14.40%             14.40% 14.40% 14.40% 14.40%    
Investments at amortized cost [5],[7],[8],[9]   $ 31,086                        
Total investments at fair value [5],[7],[10]   $ 31,775                        
Percentage of Net Assets [5],[7]   2.10%             2.10% 2.10% 2.10% 2.10%    
Investment, Identifier [Axis]: Debt Investments Business Services BCTO Ignition Purchaser, Inc. Investment First-lien holdco loan ($36,231 par, due 10/2030) Initial Acquisition Date 04/18/2023 Reference Rate and Spread SOFR + 8.50% Interest Rate 13.13% PIK                            
Investment, par [2],[11] $ 36,231                          
Investment due date [2],[11] 2030-10                          
Initial Acquisition Date [2],[11] Apr. 18, 2023                          
Reference Rate [2],[11] 8.50%   8.50% 8.50% 8.50% 8.50% 8.50% 8.50%            
Interest Rate, PIK [2],[11] 13.13%   13.13% 13.13% 13.13% 13.13% 13.13% 13.13%            
Investments at amortized cost [1],[2],[3],[11] $ 35,456                          
Total investments at fair value [2],[4],[11] $ 36,955                          
Percentage of Net Assets [2],[11] 2.30%   2.30% 2.30% 2.30% 2.30% 2.30% 2.30%            
Investment, Identifier [Axis]: Debt Investments Business Services Crewline Buyer, Inc. First-lien loan ($ 56,324 par, due 17/2030) Initial Acquisition Date 11/8/2023 Reference Rate and SOFR+ 6.75% Interest Rate 12.10%                            
Investment, par [5],[7]   $ 56,324                        
Investment due date [5],[7]   2030-11                        
Initial Acquisition Date [5],[7]   Nov. 08, 2023                        
Reference Rate [5],[7]   6.75%             6.75% 6.75% 6.75% 6.75%    
Interest Rate [5],[7]   12.10%             12.10% 12.10% 12.10% 12.10%    
Investments at amortized cost [5],[7],[8],[9]   $ 54,781                        
Total investments at fair value [5],[7],[10]   $ 55,236                        
Percentage of Net Assets [5],[7]   3.70%             3.70% 3.70% 3.70% 3.70%    
Investment, Identifier [Axis]: Debt Investments Business Services Crewline Buyer, Inc. Investment First-lien loan ($58,384 par, due 11/2030) Initial Acquisition Date 11/08/2023 Reference Rate and Spread SOFR + 6.75% Interest Rate 11.11%                            
Investment, par [2],[11] $ 58,384                          
Investment due date [2],[11] 2030-11                          
Initial Acquisition Date [2],[11] Nov. 08, 2023                          
Reference Rate [2],[11] 6.75%   6.75% 6.75% 6.75% 6.75% 6.75% 6.75%            
Interest Rate [2],[11] 11.11%   11.11% 11.11% 11.11% 11.11% 11.11% 11.11%            
Investments at amortized cost [1],[2],[3],[11] $ 56,953                          
Total investments at fair value [2],[4],[11] $ 58,866                          
Percentage of Net Assets [2],[11] 3.70%   3.70% 3.70% 3.70% 3.70% 3.70% 3.70%            
Investment, Identifier [Axis]: Debt Investments Business Services Dye & Durham Corp. First-lien loan (CAD 37,874 par, due 12/2027) Initial Acquisition Date 12/3/2021 Reference Rate and C+ 5.75% Interest Rate 11.20%                            
Investment, par [5],[7],[12]                       $ 37,874    
Investment due date [5],[7],[12]   2027-12                        
Initial Acquisition Date [5],[7],[12]   Dec. 03, 2021                        
Reference Rate [5],[7],[12]   5.75%             5.75% 5.75% 5.75% 5.75%    
Interest Rate [5],[7],[12]   11.20%             11.20% 11.20% 11.20% 11.20%    
Investments at amortized cost [5],[7],[8],[9],[12]   $ 28,873                        
Total investments at fair value [5],[7],[10],[12]   $ 28,938                   $ 38,158    
Percentage of Net Assets [5],[7],[12]   1.90%             1.90% 1.90% 1.90% 1.90%    
Investment, Identifier [Axis]: Debt Investments Business Services Dye & Durham Corp. First-lien revolving loan (CAD 1,086 par, due 12/2026) Initial Acquisition Date 12/3/2021 Reference Rate and C+ 5.75% Interest Rate 11.20%                            
Investment, par [5],[7],[12]                       $ 1,086    
Investment due date [5],[7],[12]   2026-12                        
Initial Acquisition Date [5],[7],[12]   Dec. 03, 2021                        
Reference Rate [5],[7],[12]   5.75%             5.75% 5.75% 5.75% 5.75%    
Interest Rate [5],[7],[12]   11.20%             11.20% 11.20% 11.20% 11.20%    
Investments at amortized cost [5],[7],[8],[9],[12]   $ 693                        
Total investments at fair value [5],[7],[10],[12]   $ 824                   $ 1,086    
Percentage of Net Assets [5],[7],[12]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Debt Investments Business Services Dye & Durham Corp. Investment First-lien loan ($955 par, due 4/2031) Initial Acquisition Date 04/04/2024 Reference Rate and Spread SOFR + 4.10% Interest Rate 8.43%                            
Investment, par [2],[11],[14],[15] $ 955                          
Investment due date [2],[11],[14],[15] 2031-04                          
Initial Acquisition Date [2],[11],[14],[15] Apr. 04, 2024                          
Reference Rate [2],[11],[14],[15] 4.10%   4.10% 4.10% 4.10% 4.10% 4.10% 4.10%            
Interest Rate [2],[11],[14],[15] 8.43%   8.43% 8.43% 8.43% 8.43% 8.43% 8.43%            
Investments at amortized cost [1],[2],[3],[11],[14],[15] $ 941                          
Total investments at fair value [2],[4],[11],[14],[15] $ 964                          
Percentage of Net Assets [2],[11],[14],[15] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Business Services Elements Finco Limited Investment First-lien loan ($4,069 par, due 4/2031) Initial Acquisition Date 04/29/2024 Reference Rate and Spread SOFR + 4.97% Interest Rate 9.33% (incl. 1.97% PIK)                            
Investment, par [2],[11],[15] $ 4,069                          
Investment due date [2],[11],[15] 2031-04                          
Initial Acquisition Date [2],[11],[15] Apr. 29, 2024                          
Reference Rate [2],[11],[15] 4.97%   4.97% 4.97% 4.97% 4.97% 4.97% 4.97%            
Interest Rate [2],[11],[15] 9.33%   9.33% 9.33% 9.33% 9.33% 9.33% 9.33%            
Interest Rate, PIK [2],[11],[15] 1.97%   1.97% 1.97% 1.97% 1.97% 1.97% 1.97%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 4,045                          
Total investments at fair value [2],[4],[11],[15] $ 4,069                          
Percentage of Net Assets [2],[11],[15] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Business Services Elements Finco Limited Investment First-lien loan (GBP 10,275 par, due 4/2031) Initial Acquisition Date 04/29/2024 Reference Rate and Spread S + 5.25% Interest Rate 9.95% (incl. 2.25% PIK                            
Investment, par | £ [2],[11],[15]       £ 10,275                    
Investment due date [2],[11],[15] 2031-04                          
Initial Acquisition Date [2],[11],[15] Apr. 29, 2024                          
Reference Rate [2],[11],[15] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11],[15] 9.95%   9.95% 9.95% 9.95% 9.95% 9.95% 9.95%            
Interest Rate, PIK [2],[11],[15] 2.25%   2.25% 2.25% 2.25% 2.25% 2.25% 2.25%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 12,748                          
Total investments at fair value [2],[4],[11],[15] $ 12,869     £ 10,275                    
Percentage of Net Assets [2],[11],[15] 0.80%   0.80% 0.80% 0.80% 0.80% 0.80% 0.80%            
Investment, Identifier [Axis]: Debt Investments Business Services ExtraHop Networks, Inc. First-lien loan ($66,197 par, due 7/2027) Initial Acquisition Date 7/22/2021 Reference Rate and SOFR+ 7.60% Interest Rate 12.96%                            
Investment, par [5],[6],[7]   $ 66,197                        
Investment due date [5],[6],[7]   2027-07                        
Initial Acquisition Date [5],[6],[7]   Jul. 22, 2021                        
Reference Rate [5],[6],[7]   7.60%             7.60% 7.60% 7.60% 7.60%    
Interest Rate [5],[6],[7]   12.96%             12.96% 12.96% 12.96% 12.96%    
Investments at amortized cost [5],[6],[7],[8],[9]   $ 65,245                        
Total investments at fair value [5],[6],[7],[10]   $ 65,866                        
Percentage of Net Assets [5],[6],[7]   4.40%             4.40% 4.40% 4.40% 4.40%    
Investment, Identifier [Axis]: Debt Investments Business Services ExtraHop Networks, Inc. Investment First-lien loan ($74,616 par, due 7/2027) Initial Acquisition Date 07/22/2021 Reference Rate and Spread SOFR + 7.60% Interest Rate 11.96%                            
Investment, par [2],[11],[13] $ 74,616                          
Investment due date [2],[11],[13] 2027-07                          
Initial Acquisition Date [2],[11],[13] Jul. 22, 2021                          
Reference Rate [2],[11],[13] 7.60%   7.60% 7.60% 7.60% 7.60% 7.60% 7.60%            
Interest Rate [2],[11],[13] 11.96%   11.96% 11.96% 11.96% 11.96% 11.96% 11.96%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 73,874                          
Total investments at fair value [2],[4],[11],[13] $ 74,616                          
Percentage of Net Assets [2],[11],[13] 4.60%   4.60% 4.60% 4.60% 4.60% 4.60% 4.60%            
Investment, Identifier [Axis]: Debt Investments Business Services ForeScout Technologies, Inc. First-lien loan ($5,476 par, due 8/2026) Initial Acquisition Date 7/1/2022 Reference Rate and SOFR+ 8.10% Interest Rate 13.45%                            
Investment, par [5],[7]   $ 5,476                        
Investment due date [5],[7]   2026-08                        
Initial Acquisition Date [5],[7]   Jul. 01, 2022                        
Reference Rate [5],[7]   8.10%             8.10% 8.10% 8.10% 8.10%    
Interest Rate [5],[7]   13.45%             13.45% 13.45% 13.45% 13.45%    
Investments at amortized cost [5],[7],[8],[9]   $ 5,420                        
Total investments at fair value [5],[7],[10]   $ 5,498                        
Percentage of Net Assets [5],[7]   0.40%             0.40% 0.40% 0.40% 0.40%    
Investment, Identifier [Axis]: Debt Investments Business Services ForeScout Technologies, Inc. Investment First-lien loan ($5,597 par, due 5/2031) Initial Acquisition Date 05/24/2024 Reference Rate and Spread SOFR + 5.00% Interest Rate 9.52%                            
Investment, par [2],[11] $ 5,597                          
Investment due date [2],[11] 2031-05                          
Initial Acquisition Date [2],[11] May 24, 2024                          
Reference Rate [2],[11] 5.00%   5.00% 5.00% 5.00% 5.00% 5.00% 5.00%            
Interest Rate [2],[11] 9.52%   9.52% 9.52% 9.52% 9.52% 9.52% 9.52%            
Investments at amortized cost [1],[2],[3],[11] $ 5,541                          
Total investments at fair value [2],[4],[11] $ 5,565                          
Percentage of Net Assets [2],[11] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Business Services Galileo Parent, Inc. First-lien loan ($64,742 par, due 5/2030) Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 7.25% Interest Rate 12.60%                            
Investment, par [5],[7]   $ 64,742                        
Investment due date [5],[7]   2030-05                        
Initial Acquisition Date [5],[7]   May 03, 2023                        
Reference Rate [5],[7]   7.25%             7.25% 7.25% 7.25% 7.25%    
Interest Rate [5],[7]   12.60%             12.60% 12.60% 12.60% 12.60%    
Investments at amortized cost [5],[7],[8],[9]   $ 62,920                        
Total investments at fair value [5],[7],[10]   $ 63,770                        
Percentage of Net Assets [5],[7]   4.30%             4.30% 4.30% 4.30% 4.30%    
Investment, Identifier [Axis]: Debt Investments Business Services Galileo Parent, Inc. First-lien revolving loan ($3,317 par, due 5/2029) Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 7.25% Interest Rate 12.60%                            
Investment, par [5],[7]   $ 3,317                        
Investment due date [5],[7]   2029-05                        
Initial Acquisition Date [5],[7]   May 03, 2023                        
Reference Rate [5],[7]   7.25%             7.25% 7.25% 7.25% 7.25%    
Interest Rate [5],[7]   12.60%             12.60% 12.60% 12.60% 12.60%    
Investments at amortized cost [5],[7],[8],[9]   $ 3,048                        
Total investments at fair value [5],[7],[10]   $ 3,166                        
Percentage of Net Assets [5],[7]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Debt Investments Business Services Galileo Parent, Inc. Investment First-lien loan ($64,093 par, due 5/2030) Initial Acquisition Date 05/03/2023 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.08%                            
Investment, par [2],[11] $ 64,093                          
Investment due date [2],[11] 2030-05                          
Initial Acquisition Date [2],[11] May 03, 2023                          
Reference Rate [2],[11] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11] 10.08%   10.08% 10.08% 10.08% 10.08% 10.08% 10.08%            
Investments at amortized cost [1],[2],[3],[11] $ 62,493                          
Total investments at fair value [2],[4],[11] $ 64,093                          
Percentage of Net Assets [2],[11] 4.00%   4.00% 4.00% 4.00% 4.00% 4.00% 4.00%            
Investment, Identifier [Axis]: Debt Investments Business Services Galileo Parent, Inc. Investment First-lien revolving loan ($4,615 par, due 5/20 Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.08%                            
Investment, par [2],[11] $ 4,615                          
Investment due date [2],[11] 2030-05                          
Initial Acquisition Date [2],[11] May 03, 2023                          
Reference Rate [2],[11] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11] 10.08%   10.08% 10.08% 10.08% 10.08% 10.08% 10.08%            
Investments at amortized cost [1],[2],[3],[11] $ 4,397                          
Total investments at fair value [2],[4],[11] $ 4,615                          
Percentage of Net Assets [2],[11] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Business Services Hornetsecurity Holding GmbH First-lien loan (EUR 3,150 par, due 11/2029) Initial Acquisition Date 11/14/2022 Reference Rate and Spread E + 6.50% Interest Rate 10.50%                            
Investment, par | € [5],[7],[12]                 € 3,150          
Investment due date [5],[7],[12]   2029-11                        
Initial Acquisition Date [5],[7],[12]   Nov. 14, 2022                        
Reference Rate [5],[7],[12]   6.50%             6.50% 6.50% 6.50% 6.50%    
Interest Rate [5],[7],[12]   10.50%             10.50% 10.50% 10.50% 10.50%    
Investments at amortized cost [5],[7],[8],[9],[12]   $ 3,154                        
Total investments at fair value [5],[7],[10],[12]   $ 3,536             € 3,201          
Percentage of Net Assets [5],[7],[12]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Debt Investments Business Services Information Clearinghouse, LLC and MS Market Service, LLC First-lien loan ($17,640 par, due 12/2026) Initial Acquisition Date 12/20/2021 Reference Rate and Spread SOFR + 6.65% Interest Rate 12.02%                            
Investment, par [5],[6],[7]   $ 17,640                        
Investment due date [5],[6],[7]   2026-12                        
Initial Acquisition Date [5],[6],[7]   Dec. 20, 2021                        
Reference Rate [5],[6],[7]   6.65%             6.65% 6.65% 6.65% 6.65%    
Interest Rate [5],[6],[7]   12.02%             12.02% 12.02% 12.02% 12.02%    
Investments at amortized cost [5],[6],[7],[8],[9]   $ 17,342                        
Total investments at fair value [5],[6],[7],[10]   $ 17,598                        
Percentage of Net Assets [5],[6],[7]   1.20%             1.20% 1.20% 1.20% 1.20%    
Investment, Identifier [Axis]: Debt Investments Business Services Lynx BidCo Investment First-lien loan ($1,421 par, due 7/2031) Initial Acquisition Date 07/05/2024 Reference Rate and Spread SOFR + 7.11% Interest Rate 11.75% (incl. 5.61% PIK)                            
Investment, par [2],[11],[15] $ 1,421                          
Investment due date [2],[11],[15] 2031-07                          
Initial Acquisition Date [2],[11],[15] Jul. 05, 2024                          
Reference Rate [2],[11],[15] 7.11%   7.11% 7.11% 7.11% 7.11% 7.11% 7.11%            
Interest Rate [2],[11],[15] 11.75%   11.75% 11.75% 11.75% 11.75% 11.75% 11.75%            
Interest Rate, PIK [2],[11],[15] 5.61%   5.61% 5.61% 5.61% 5.61% 5.61% 5.61%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 1,385                          
Total investments at fair value [2],[4],[11],[15] $ 1,392                          
Percentage of Net Assets [2],[11],[15] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Business Services Lynx BidCo Investment First-lien loan (EUR 597 par, due 7/2031) Initial Acquisition Date 07/05/2024 Reference Rate and Spread E + 7.11% Interest Rate 10.38% (incl. 5.61% PIK)                            
Investment, par | € [2],[11],[15]     € 597                      
Investment due date [2],[11],[15] 2031-07                          
Initial Acquisition Date [2],[11],[15] Jul. 05, 2024                          
Reference Rate [2],[11],[15] 7.11%   7.11% 7.11% 7.11% 7.11% 7.11% 7.11%            
Interest Rate [2],[11],[15] 10.38%   10.38% 10.38% 10.38% 10.38% 10.38% 10.38%            
Interest Rate, PIK [2],[11],[15] 5.61%   5.61% 5.61% 5.61% 5.61% 5.61% 5.61%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 633                          
Total investments at fair value [2],[4],[11],[15] $ 611   € 590                      
Percentage of Net Assets [2],[11],[15] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, Identifier [Axis]: Debt Investments Business Services Mitnick Corporate Purchaser, Inc First-lien loan ($329 par, due 5/2029) Initial Acquisition Date 5/2/2022 Reference Rate and Spread SOFR + 4.50% Interest Rate 9.98%                            
Investment, par [5],[7],[16]   $ 329                        
Investment due date [5],[7],[16]   2029-05                        
Initial Acquisition Date [5],[7],[16]   May 02, 2022                        
Reference Rate [5],[7],[16]   4.50%             4.50% 4.50% 4.50% 4.50%    
Interest Rate [5],[7],[16]   9.98%             9.98% 9.98% 9.98% 9.98%    
Investments at amortized cost [5],[7],[8],[9],[16]   $ 329                        
Total investments at fair value [5],[7],[10],[16]   $ 310                        
Percentage of Net Assets [5],[7],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Debt Investments Business Services Mitnick Corporate Purchaser, Inc. Investment First-lien loan ($326 par, due 5/2029) Initial Acquisition Date 05/02/2022 Reference Rate and Spread SOFR + 4.50% Interest Rate 9.19%                            
Investment, par [2],[11],[14] $ 326                          
Investment due date [2],[11],[14] 2029-05                          
Initial Acquisition Date [2],[11],[14] May 02, 2022                          
Reference Rate [2],[11],[14] 4.50%   4.50% 4.50% 4.50% 4.50% 4.50% 4.50%            
Interest Rate [2],[11],[14] 9.19%   9.19% 9.19% 9.19% 9.19% 9.19% 9.19%            
Investments at amortized cost [1],[2],[3],[11],[14],[17] $ 326                          
Total investments at fair value [2],[4],[11],[14] $ 302                          
Percentage of Net Assets [2],[11],[14] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, Identifier [Axis]: Debt Investments Business Services Netwrix Corp. First-lien loan ($36,594 par, due 6/2029) Initial Acquisition Date 5/9/2022 Reference Rate and Spread SOFR + 5.00% Interest Rate 10.39%                            
Investment, par [5],[7]   $ 36,594                        
Investment due date [5],[7]   2029-06                        
Initial Acquisition Date [5],[7]   Jun. 09, 2022                        
Reference Rate [5],[7]   5.00%             5.00% 5.00% 5.00% 5.00%    
Interest Rate [5],[7]   10.39%             10.39% 10.39% 10.39% 10.39%    
Investments at amortized cost [5],[7],[8],[9]   $ 36,074                        
Total investments at fair value [5],[7],[10]   $ 36,842                        
Percentage of Net Assets [5],[7]   2.40%             2.40% 2.40% 2.40% 2.40%    
Investment, Identifier [Axis]: Debt Investments Business Services OutSystems Luxco SARL First-lien loan (EUR 3,004 par, due 12/2028) Initial Acquisition Date 12/8/2022 Reference Rate and Spread E + 5.75% Interest Rate 9.59%                            
Investment, par [5],[6],[7],[12]   $ 3,004                        
Investment due date [5],[6],[7],[12]   2028-12                        
Initial Acquisition Date [5],[6],[7],[12]   Dec. 08, 2022                        
Reference Rate [5],[6],[7],[12]   5.75%             5.75% 5.75% 5.75% 5.75%    
Interest Rate [5],[6],[7],[12]   9.59%             9.59% 9.59% 9.59% 9.59%    
Investments at amortized cost [5],[6],[7],[8],[9],[12]   $ 3,091                        
Total investments at fair value [5],[6],[7],[10],[12]   $ 3,332             € 3,016          
Percentage of Net Assets [5],[6],[7],[12]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Debt Investments Business Services Price Fx Inc. First-lien loan (EUR 910 par, due 10/2029) Initial Acquisition Date 10/27/2023 Reference Rate and Spread E + 7.00% Interest Rate 10.94%                            
Investment, par | € [5],[7],[12]                 € 910          
Investment due date [5],[7],[12]   2029-10                        
Initial Acquisition Date [5],[7],[12]   Oct. 27, 2023                        
Reference Rate [5],[7],[12]   7.00%             7.00% 7.00% 7.00% 7.00%    
Interest Rate [5],[7],[12]   10.94%             10.94% 10.94% 10.94% 10.94%    
Investments at amortized cost [5],[7],[8],[9],[12]   $ 962                        
Total investments at fair value [5],[7],[10],[12]   $ 983             € 890          
Percentage of Net Assets [5],[7],[12]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Debt Investments Business Services Price Fx Inc. Investment First-lien loan (EUR 910 par, due 10/2029) Initial Acquisition Date 10/27/2023 Reference Rate and Spread E + 7.00% Interest Rate 10.69%                            
Investment, par | € [2],[11],[15]     € 910                      
Investment due date [2],[11],[15] 2029-10                          
Initial Acquisition Date [2],[11],[15] Oct. 27, 2023                          
Reference Rate [2],[11],[15] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11],[15] 10.06%   10.06% 10.06% 10.06% 10.06% 10.06% 10.06%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 966                          
Total investments at fair value [2],[4],[11],[15] $ 947   € 915                      
Percentage of Net Assets [2],[11],[15] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Business Services Price Fx Inc. Investment First-lien loan (EUR 910 par, due 10/2029) Initial Acquisition Date 12/19/2024 Reference Rate and Spread E + 6.25% Interest Rate 9.12%                            
Investment, par | € [2],[11],[15]     € 910                      
Investment due date [2],[11],[15] 2029-10                          
Initial Acquisition Date [2],[11],[15] Dec. 19, 2024                          
Reference Rate [2],[11],[15] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11],[15] 9.12%   9.12% 9.12% 9.12% 9.12% 9.12% 9.12%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 921                          
Total investments at fair value [2],[4],[11],[15] $ 919   € 887                      
Percentage of Net Assets [2],[11],[15] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Business Services ReliaQuest Holdings, LLC First-lien loan ($82,626 par, due 10/2026) Initial Acquisition Date 10/8/2020 Reference Rate and Spread SOFR + 7.25% Interest Rate 12.63%                            
Investment, par [5],[6],[7]   $ 82,626                        
Investment due date [5],[6],[7]   2026-10                        
Initial Acquisition Date [5],[6],[7]   Oct. 08, 2020                        
Reference Rate [5],[6],[7]   7.25%             7.25% 7.25% 7.25% 7.25%    
Interest Rate [5],[6],[7]   12.63%             12.63% 12.63% 12.63% 12.63%    
Investments at amortized cost [5],[6],[7],[8],[9]   $ 81,711                        
Total investments at fair value [5],[6],[7],[10]   $ 83,658                        
Percentage of Net Assets [5],[6],[7]   5.60%             5.60% 5.60% 5.60% 5.60%    
Investment, Identifier [Axis]: Debt Investments Business Services USA DeBusk, LLC Investment First-lien loan ($6,899 par, due 4/2031) Initial Acquisition Date 04/30/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.62%                            
Investment, par [2],[11] $ 6,899                          
Investment due date [2],[11] 2031-04                          
Initial Acquisition Date [2],[11] Apr. 30, 2024                          
Reference Rate [2],[11] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11] 9.62%   9.62% 9.62% 9.62% 9.62% 9.62% 9.62%            
Investments at amortized cost [1],[2],[3],[11] $ 6,789                          
Total investments at fair value [2],[4],[11] $ 6,899                          
Percentage of Net Assets [2],[11] 0.40%   0.40% 0.40% 0.40% 0.40% 0.40% 0.40%            
Investment, Identifier [Axis]: Debt Investments Business Services USA DeBusk, LLC Investment First-lien revolving loan ($275 par, due 4/2030) Initial Acquisition Date 04/30/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.59%                            
Investment, par [2],[11] $ 275                          
Investment due date [2],[11] 2030-04                          
Initial Acquisition Date [2],[11] Apr. 30, 2024                          
Reference Rate [2],[11] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11] 9.59%   9.59% 9.59% 9.59% 9.59% 9.59% 9.59%            
Investments at amortized cost [1],[2],[3],[11] $ 263                          
Total investments at fair value [2],[4],[11] $ 275                          
Percentage of Net Assets [2],[11] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, Identifier [Axis]: Debt Investments Business Services Wrangler TopCo, LLC First-lien loan ($4,153 par, due 7/2029) Initial Acquisition Date 7/7/2023 Reference Rate and Spread SOFR + 7.50% Interest Rate 12.88%                            
Investment, par [5],[7]   $ 4,153                        
Investment due date [5],[7]   2029-07                        
Initial Acquisition Date [5],[7]   Jul. 07, 2023                        
Reference Rate [5],[7]   7.50%             7.50% 7.50% 7.50% 7.50%    
Interest Rate [5],[7]   12.88%             12.88% 12.88% 12.88% 12.88%    
Investments at amortized cost [5],[7],[8],[9]   $ 4,044                        
Total investments at fair value [5],[7],[10]   $ 4,118                        
Percentage of Net Assets [5],[7]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Debt Investments Business Services Wrangler TopCo, LLC Investment First-lien loan ($5,484 par, due 9/2029) Initial Acquisition Date 07/07/2023 Reference Rate and Spread SOFR + 6.00% Interest Rate 10.38%                            
Investment, par [2],[11] $ 5,484                          
Investment due date [2],[11] 2029-09                          
Initial Acquisition Date [2],[11] Jul. 07, 2023                          
Reference Rate [2],[11] 6.00%   6.00% 6.00% 6.00% 6.00% 6.00% 6.00%            
Interest Rate [2],[11] 10.38%   10.38% 10.38% 10.38% 10.38% 10.38% 10.38%            
Investments at amortized cost [1],[2],[3],[11] $ 5,369                          
Total investments at fair value [2],[4],[11] $ 5,553                          
Percentage of Net Assets [2],[11] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Chemicals                            
Investments at amortized cost $ 30,659 [1],[2],[3] $ 21,214 [5],[7],[8],[9]                        
Total investments at fair value $ 33,218 [2],[4] $ 24,194 [5],[7],[10]                        
Percentage of Net Assets 2.10% [2] 1.60% [5],[7] 2.10% [2] 2.10% [2] 2.10% [2] 2.10% [2] 2.10% [2] 2.10% [2] 1.60% [5],[7] 1.60% [5],[7] 1.60% [5],[7] 1.60% [5],[7]    
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL First-lien loan (EUR 7,239 par, due 9/2028) Initial Acquisition Date 9/6/2022 Reference Rate and Spread E + 6.75% Interest Rate 10.70%                            
Investment, par | € [5],[7],[12]                 € 7,239          
Investment due date [5],[7],[12]   2028-09                        
Initial Acquisition Date [5],[7],[12]   Sep. 06, 2022                        
Reference Rate [5],[7],[12]   6.75%             6.75% 6.75% 6.75% 6.75%    
Interest Rate [5],[7],[12]   10.70%             10.70% 10.70% 10.70% 10.70%    
Investments at amortized cost [5],[7],[8],[9],[12]   $ 6,954                        
Total investments at fair value [5],[7],[10],[12]   $ 8,053             € 7,290          
Percentage of Net Assets [5],[7],[12]   0.50%             0.50% 0.50% 0.50% 0.50%    
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL First-lien loan (GBP 12,287 par, due 9/2028) Initial Acquisition Date 9/6/2022 Reference Rate and Spread S + 6.75% Interest Rate 11.98%                            
Investment, par | £ [5],[7],[12]                   £ 12,287        
Investment due date [5],[7],[12]   2028-09                        
Initial Acquisition Date [5],[7],[12]   Sep. 06, 2022                        
Reference Rate [5],[7],[12]   6.75%             6.75% 6.75% 6.75% 6.75%    
Interest Rate [5],[7],[12]   11.98%             11.98% 11.98% 11.98% 11.98%    
Investments at amortized cost [5],[7],[8],[9],[12]   $ 13,860                        
Total investments at fair value [5],[7],[10],[12]   $ 15,742               £ 12,349        
Percentage of Net Assets [5],[7],[12]   1.10%             1.10% 1.10% 1.10% 1.10%    
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL First-lien revolving loan (GBP 312 par, due 9/2028) Initial Acquisition Date 9/6/2022 Reference Rate and Spread S + 6.75% Interest Rate 11.98%                            
Investment, par | £ [5],[7],[12]                   £ 312        
Investment due date [5],[7],[12]   2028-09                        
Initial Acquisition Date [5],[7],[12]   Sep. 06, 2022                        
Reference Rate [5],[7],[12]   6.75%             6.75% 6.75% 6.75% 6.75%    
Interest Rate [5],[7],[12]   11.98%             11.98% 11.98% 11.98% 11.98%    
Investments at amortized cost [5],[7],[8],[9],[12]   $ 400                        
Total investments at fair value [5],[7],[10],[12]   $ 399               £ 313        
Percentage of Net Assets [5],[7],[12]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL Investment First-lien loan (EUR 7,239 par, due 9/2028) Initial Acquisition Date 09/06/2022 Reference Rate and Spread E + 7.00% Interest Rate 10.06%                            
Investment, par | € [2],[11],[15]     € 7,239                      
Investment due date [2],[11],[15] 2028-09                          
Initial Acquisition Date [2],[11],[15] Sep. 06, 2022                          
Reference Rate [2],[11],[15] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11],[15] 10.06%   10.06% 10.06% 10.06% 10.06% 10.06% 10.06%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 6,928                          
Total investments at fair value [2],[4],[11],[15] $ 7,650   € 7,388                      
Percentage of Net Assets [2],[11],[15] 0.60%   0.60% 0.60% 0.60% 0.60% 0.60% 0.60%            
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL Investment First-lien loan (GBP 19,591 par, due 9/2028) Initial Acquisition Date 09/06/2022 Reference Rate and Spread S + 7.00% Interest Rate 11.70%                            
Investment, par | £ [2],[11],[15]       £ 19,591                    
Investment due date [2],[11],[15] 2028-09                          
Initial Acquisition Date [2],[11],[15] Sep. 06, 2022                          
Reference Rate [2],[11],[15] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11],[15] 11.70%   11.70% 11.70% 11.70% 11.70% 11.70% 11.70%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 23,020                          
Total investments at fair value [2],[4],[11],[15] $ 24,904     £ 19,885                    
Percentage of Net Assets [2],[11],[15] 1.50%   1.50% 1.50% 1.50% 1.50% 1.50% 1.50%            
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL Investment First-lien loan (NOK 7,428 par, due 9/2028) Initial Acquisition Date 09/06/2022 Reference Rate and Spread N + 7.00% Interest Rate 11.69%                            
Investment, par | kr [2],[11],[15]         kr 7,428                  
Investment due date [2],[11],[15] 2028-09                          
Initial Acquisition Date [2],[11],[15] Sep. 06, 2022                          
Reference Rate [2],[11],[15] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11],[15] 11.69%   11.69% 11.69% 11.69% 11.69% 11.69% 11.69%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 711                          
Total investments at fair value [2],[4],[11],[15] $ 664       kr 7,538                  
Percentage of Net Assets [2],[11],[15] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, Identifier [Axis]: Debt Investments Communications                            
Investments at amortized cost $ 117,017 [1],[2],[3] $ 100,427 [5],[8],[9]                        
Total investments at fair value $ 118,984 [2],[4] $ 102,165 [5],[10]                        
Percentage of Net Assets 7.40% [2] 6.80% [5] 7.40% [2] 7.40% [2] 7.40% [2] 7.40% [2] 7.40% [2] 7.40% [2] 6.80% [5] 6.80% [5] 6.80% [5] 6.80% [5]    
Investment, Identifier [Axis]: Debt Investments Communications Aurelia Netherlands MidCo 2 B.V. Investment First-lien loan (EUR 32,904 par, due 5/2031) Initial Acquisition Date 05/22/2024 Reference Rate and Spread E + 5.75% Interest Rate 8.93%                            
Investment, par | € [2],[11],[15]     € 32,904                      
Investment due date [2],[11],[15] 2031-05                          
Initial Acquisition Date [2],[11],[15] May 22, 2024                          
Reference Rate [2],[11],[15] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11],[15] 8.93%   8.93% 8.93% 8.93% 8.93% 8.93% 8.93%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 34,915                          
Total investments at fair value [2],[4],[11],[15] $ 34,157   € 32,986                      
Percentage of Net Assets [2],[11],[15] 2.10%   2.10% 2.10% 2.10% 2.10% 2.10% 2.10%            
Investment, Identifier [Axis]: Debt Investments Communications Babylon Finco Limited Investment First-lien loan ($1,557 par, due 1/2031) Initial Acquisition Date 01/26/2024 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.37%                            
Investment, par [2],[11],[15] $ 1,557                          
Investment due date [2],[11],[15] 2031-01                          
Initial Acquisition Date [2],[11],[15] Jan. 26, 2024                          
Reference Rate [2],[11],[15] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11],[15] 10.37%   10.37% 10.37% 10.37% 10.37% 10.37% 10.37%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 1,511                          
Total investments at fair value [2],[4],[11],[15] $ 1,557                          
Percentage of Net Assets [2],[11],[15] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Communications Banyan Software Holdings, LLC First-lien loan ($29,739 par, due 10/2026) Initial Acquisition Date 1/27/2023 Reference Rate and Spread SOFR + 7.35% Interest Rate 12.71%                            
Investment, par [5],[7],[12]   $ 29,739                        
Investment due date [5],[7],[12]   2026-10                        
Initial Acquisition Date [5],[7],[12]   Jan. 27, 2023                        
Reference Rate [5],[7],[12]   7.35%             7.35% 7.35% 7.35% 7.35%    
Interest Rate [5],[7],[12]   12.71%             12.71% 12.71% 12.71% 12.71%    
Investments at amortized cost [5],[7],[8],[9],[12]   $ 28,771                        
Total investments at fair value [5],[7],[10],[12]   $ 29,739                        
Percentage of Net Assets [5],[7],[12]   2.00%             2.00% 2.00% 2.00% 2.00%    
Investment, Identifier [Axis]: Debt Investments Communications Banyan Software Holdings, LLC Investment First-lien loan ($16,045 par, due 10/2026) Initial Acquisition Date 01/26/2024 Reference Rate and Spread SOFR + 6.25% Interest Rate 10.61%                            
Investment, par [2],[11],[15] $ 16,045                          
Investment due date [2],[11],[15] 2026-10                          
Initial Acquisition Date [2],[11],[15] Jan. 26, 2024                          
Reference Rate [2],[11],[15] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11],[15] 10.61%   10.61% 10.61% 10.61% 10.61% 10.61% 10.61%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 15,768                          
Total investments at fair value [2],[4],[11],[15] $ 16,594                          
Percentage of Net Assets [2],[11],[15] 1.00%   1.00% 1.00% 1.00% 1.00% 1.00% 1.00%            
Investment, Identifier [Axis]: Debt Investments Communications Banyan Software Holdings, LLC Investment First-lien loan ($39,386 par, due 10/2026) Initial Acquisition Date 01/27/2023 Reference Rate and Spread SOFR + 7.35% Interest Rate 11.71%                            
Investment, par [2],[11],[15] $ 39,386                          
Investment due date [2],[11],[15] 2026-10                          
Initial Acquisition Date [2],[11],[15] Jan. 27, 2023                          
Reference Rate [2],[11],[15] 7.35%   7.35% 7.35% 7.35% 7.35% 7.35% 7.35%            
Interest Rate [2],[11],[15] 11.71%   11.71% 11.71% 11.71% 11.71% 11.71% 11.71%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 38,748                          
Total investments at fair value [2],[4],[11],[15] $ 40,173                          
Percentage of Net Assets [2],[11],[15] 2.50%   2.50% 2.50% 2.50% 2.50% 2.50% 2.50%            
Investment, Identifier [Axis]: Debt Investments Communications Celtra Technologies, Inc. First-lien loan ($34,038 par, due 11/2026) Initial Acquisition Date 11/19/2021 Reference Rate and Spread SOFR + 6.35% Interest Rate 11.71%                            
Investment, par [5],[6],[7]   $ 34,038                        
Investment due date [5],[6],[7]   2026-11                        
Initial Acquisition Date [5],[6],[7]   Nov. 19, 2021                        
Reference Rate [5],[6],[7]   6.35%             6.35% 6.35% 6.35% 6.35%    
Interest Rate [5],[6],[7]   11.71%             11.71% 11.71% 11.71% 11.71%    
Investments at amortized cost [5],[6],[7],[8],[9]   $ 33,357                        
Total investments at fair value [5],[6],[7],[10]   $ 34,038                        
Percentage of Net Assets [5],[6],[7]   2.30%             2.30% 2.30% 2.30% 2.30%    
Investment, Identifier [Axis]: Debt Investments Communications Celtra Technologies, Inc. Investment First-lien loan ($26,437 par, due 11/2026) Initial Acquisition Date 11/19/2021 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.34%                            
Investment, par [2],[11],[13] $ 26,437                          
Investment due date [2],[11],[13] 2026-11                          
Initial Acquisition Date [2],[11],[13] Nov. 19, 2021                          
Reference Rate [2],[11],[13] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11],[13] 10.34%   10.34% 10.34% 10.34% 10.34% 10.34% 10.34%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 26,075                          
Total investments at fair value [2],[4],[11],[13] $ 26,503                          
Percentage of Net Assets [2],[11],[13] 1.70%   1.70% 1.70% 1.70% 1.70% 1.70% 1.70%            
Investment, Identifier [Axis]: Debt Investments Communications IntelePeer Holdings, Inc. Convertible note ($4,700 par, due 5/2028) Initial Acquisition Date 5/12/2021 Reference Rate and Spread 7.50% Interest Rate 7.50% PIK                            
Investment, par [5]   $ 4,700                        
Investment due date [5]   2028-05                        
Initial Acquisition Date [5]   May 12, 2021                        
Reference Rate [5]   7.50%             7.50% 7.50% 7.50% 7.50%    
Interest Rate [5]   7.50%             7.50% 7.50% 7.50% 7.50%    
Investments at amortized cost [5],[8],[9]   $ 4,674                        
Total investments at fair value [5],[10]   $ 4,994                        
Percentage of Net Assets [5]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Debt Investments Communications IntelePeer Holdings, Inc. First-lien loan ($33,646 par, due 12/2024) Initial Acquisition Date 12/2/2019 Reference Rate and Spread SOFR + 8.40% Interest Rate 13.75%                            
Investment, par [5],[7]   $ 33,646                        
Investment due date [5],[7]   2024-12                        
Initial Acquisition Date [5],[7]   Dec. 02, 2019                        
Reference Rate [5],[7]   8.40%             8.40% 8.40% 8.40% 8.40%    
Interest Rate [5],[7]   13.75%             13.75% 13.75% 13.75% 13.75%    
Investments at amortized cost [5],[7],[8],[9]   $ 33,625                        
Total investments at fair value [5],[7],[10]   $ 33,394                        
Percentage of Net Assets [5],[7]   2.20%             2.20% 2.20% 2.20% 2.20%    
Investment, Identifier [Axis]: Debt Investments Education                            
Investments at amortized cost $ 202,777 [1],[2],[3] $ 181,581 [5],[8],[9]                        
Total investments at fair value $ 170,948 [2],[4] $ 166,299 [5],[10]                        
Percentage of Net Assets [2] 10.60% 11.20% 10.60% 10.60% 10.60% 10.60% 10.60% 10.60% 11.20% 11.20% 11.20% 11.20%    
Investment, Identifier [Axis]: Debt Investments Education Astra Acquisition Corp. Investment Second-lien loan ($40,302 par, due 10/2029) Initial Acquisition Date 10/22/2021 Reference Rate and Spread SOFR + 9.14% Interest Rate 13.47%                            
Investment, par [2],[11],[18] $ 40,302                          
Investment due date [2],[11],[18] 2029-10                          
Initial Acquisition Date [2],[11],[18] Oct. 22, 2021                          
Reference Rate [2],[11],[18] 9.14%   9.14% 9.14% 9.14% 9.14% 9.14% 9.14%            
Interest Rate [2],[11],[18] 13.47%   13.47% 13.47% 13.47% 13.47% 13.47% 13.47%            
Investments at amortized cost [1],[2],[3],[11],[18] $ 39,703                          
Total investments at fair value [2],[4],[11],[18] $ 6,045                          
Percentage of Net Assets [2],[11],[18] 0.40%   0.40% 0.40% 0.40% 0.40% 0.40% 0.40%            
Investment, Identifier [Axis]: Debt Investments Education Astra Acquisition Corp. Second-lien loan ($43,479 par, due 10/2029) Initial Acquisition Date 10/22/2021 Reference Rate and Spread SOFR + 9.14% Interest Rate 14.48%                            
Investment, par [5],[7]   $ 43,479                        
Investment due date [5],[7]   2029-10                        
Initial Acquisition Date [5],[7]   Oct. 22, 2021                        
Reference Rate [5],[7]   9.14%             9.14% 9.14% 9.14% 9.14%    
Interest Rate [5],[7]   14.48%             14.48% 14.48% 14.48% 14.48%    
Investments at amortized cost [5],[7],[8],[9]   $ 42,814                        
Total investments at fair value [5],[7],[10]   $ 27,174                        
Percentage of Net Assets [5],[7]   1.80%             1.80% 1.80% 1.80% 1.80%    
Investment, Identifier [Axis]: Debt Investments Education Destiny Solutions Parent Holding Company First-lien loan ($59550 par, due 6/2026) Initial Acquisition Date 6/8/2021 Reference Rate and Spread SOFR + 5.85% Interest Rate 11.21%                            
Investment, par [5],[6],[7]   $ 59,550                        
Investment due date [5],[6],[7]   2026-06                        
Initial Acquisition Date [5],[6],[7],[12]   Jun. 08, 2021                        
Reference Rate [5],[6],[7]   5.85%             5.85% 5.85% 5.85% 5.85%    
Interest Rate [5],[6],[7]   11.21%             11.21% 11.21% 11.21% 11.21%    
Investments at amortized cost [5],[6],[7],[8],[9]   $ 58,858                        
Total investments at fair value [5],[6],[7],[10]   $ 59,252                        
Percentage of Net Assets [5],[6],[7]   4.00%             4.00% 4.00% 4.00% 4.00%    
Investment, Identifier [Axis]: Debt Investments Education Destiny Solutions Parent Holding Company Investment First-lien loan ($58,950 par, due 6/2026) Initial Acquisition Date 06/08/2021 Reference Rate and Spread SOFR + 5.60% Interest Rate 9.96%                            
Investment, par [2],[11],[13] $ 58,950                          
Investment due date [2],[11],[13] 2026-06                          
Initial Acquisition Date [2],[11],[13] Jun. 08, 2021                          
Reference Rate [2],[11],[13] 5.60%   5.60% 5.60% 5.60% 5.60% 5.60% 5.60%            
Interest Rate [2],[11],[13] 9.96%   9.96% 9.96% 9.96% 9.96% 9.96% 9.96%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 58,535                          
Total investments at fair value [2],[4],[11],[13] $ 58,950                          
Percentage of Net Assets [2],[11],[13] 3.70%   3.70% 3.70% 3.70% 3.70% 3.70% 3.70%            
Investment, Identifier [Axis]: Debt Investments Education EMS Linq, Inc. First-lien loan ($56,216 par, due 12/2027) Initial Acquisition Date 12/22/2021 Reference Rate and Spread SOFR + 6.35% Interest Rate 11.71%                            
Investment, par [5],[7]   $ 56,216                        
Investment due date [5],[7]   2027-12                        
Initial Acquisition Date [5],[7]   Dec. 22, 2021                        
Reference Rate [5],[7]   6.35%             6.35% 6.35% 6.35% 6.35%    
Interest Rate [5],[7]   11.71%             11.71% 11.71% 11.71% 11.71%    
Investments at amortized cost [5],[7],[8],[9]   $ 55,288                        
Total investments at fair value [5],[7],[10]   $ 55,079                        
Percentage of Net Assets [5],[7]   3.70%             3.70% 3.70% 3.70% 3.70%    
Investment, Identifier [Axis]: Debt Investments Education EMS Linq, Inc. Investment First-lien loan ($4,216 par, due 12/2027) Initial Acquisition Date 12/22/2021 Reference Rate and Spread SOFR + 6.35% Interest Rate 10.81%                            
Investment, par [2],[11] $ 4,216                          
Investment due date [2],[11] 2027-12                          
Initial Acquisition Date [2],[11] Dec. 22, 2021                          
Reference Rate [2],[11] 6.35%   6.35% 6.35% 6.35% 6.35% 6.35% 6.35%            
Interest Rate [2],[11] 10.81%   10.81% 10.81% 10.81% 10.81% 10.81% 10.81%            
Investments at amortized cost [1],[2],[3],[11] $ 4,129                          
Total investments at fair value [2],[4],[11] $ 4,172                          
Percentage of Net Assets [2],[11] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Education EMS Linq, Inc. Investment First-lien loan ($56,216 par, due 12/2027) Initial Acquisition Date 12/22/2021 Reference Rate and Spread SOFR + 6.35% Interest Rate 10.86%                            
Investment, par [2],[11] $ 56,216                          
Investment due date [2],[11] 2027-12                          
Initial Acquisition Date [2],[11] Dec. 22, 2021                          
Reference Rate [2],[11] 6.35%   6.35% 6.35% 6.35% 6.35% 6.35% 6.35%            
Interest Rate [2],[11] 10.86%   10.86% 10.86% 10.86% 10.86% 10.86% 10.86%            
Investments at amortized cost [1],[2],[3],[11] $ 55,578                          
Total investments at fair value [2],[4],[11] $ 55,935                          
Percentage of Net Assets [2],[11] 3.50%   3.50% 3.50% 3.50% 3.50% 3.50% 3.50%            
Investment, Identifier [Axis]: Debt Investments Education Kangaroo Bidco AS Investment First-lien loan ($30,625 par, due 11/2030) Initial Acquisition Date 11/02/2023 Reference Rate and Spread SOFR + 6.25% Interest Rate 10.66%                            
Investment, par [2],[11],[15] $ 30,625                          
Investment due date [2],[11],[15] 2030-11                          
Initial Acquisition Date [2],[11],[15] Nov. 02, 2023                          
Reference Rate [2],[11],[15] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11],[15] 10.66%   10.66% 10.66% 10.66% 10.66% 10.66% 10.66%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 29,804                          
Total investments at fair value [2],[4],[11],[15] $ 30,800                          
Percentage of Net Assets [2],[11],[15] 1.80%   1.80% 1.80% 1.80% 1.80% 1.80% 1.80%            
Investment, Identifier [Axis]: Debt Investments Education Kangaroo Bidco AS. First-lien loan ($25,582 par, due 11/2030) Initial Acquisition Date 11/2/2023 Reference Rate and Spread SOFR + 7.50% Interest Rate 12.94%                            
Investment, par [5],[7]   $ 25,582                        
Investment due date [5],[7]   2030-11                        
Initial Acquisition Date [5],[7]   Nov. 02, 2023                        
Reference Rate [5],[7]   7.50%             7.50% 7.50% 7.50% 7.50%    
Interest Rate [5],[7]   12.94%             12.94% 12.94% 12.94% 12.94%    
Investments at amortized cost [5],[7],[8],[9]   $ 24,621                        
Total investments at fair value [5],[7],[10]   $ 24,794                        
Percentage of Net Assets [5],[7]   1.70%             1.70% 1.70% 1.70% 1.70%    
Investment, Identifier [Axis]: Debt Investments Education Severin Acquisition, LLC Investment First-lien loan ($15,046 par, due 10/2031) Initial Acquisition Date 10/01/2024 Reference Rate and Spread SOFR + 5.00% Interest Rate 9.36% (incl.2.25% PIK)                            
Investment, par [2],[11] $ 15,046                          
Investment due date [2],[11] 2031-10                          
Initial Acquisition Date [2],[11] Oct. 01, 2024                          
Reference Rate [2],[11] 5.00%   5.00% 5.00% 5.00% 5.00% 5.00% 5.00%            
Interest Rate [2],[11] 9.36%   9.36% 9.36% 9.36% 9.36% 9.36% 9.36%            
Interest Rate, PIK [2],[11] 2.25%   2.25% 2.25% 2.25% 2.25% 2.25% 2.25%            
Investments at amortized cost [1],[2],[3],[11] $ 15,028                          
Total investments at fair value [2],[4],[11] $ 15,046                          
Percentage of Net Assets [2],[11] 0.90%   0.90% 0.90% 0.90% 0.90% 0.90% 0.90%            
Investment, Identifier [Axis]: Debt Investments Electronics Sapphire Software Buyer, Inc. Investment First-lien loan ($26,962 par, due 9/2031) Initial Acquisition Date 09/30/2024 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.75% (incl.3.0% PIK)                            
Investment, par [2],[11] $ 26,962                          
Investment due date [2],[11] 2031-09                          
Initial Acquisition Date [2],[11] Sep. 30, 2024                          
Reference Rate [2],[11] 5.50%   5.50% 5.50% 5.50% 5.50% 5.50% 5.50%            
Interest Rate [2],[11] 9.75%   9.75% 9.75% 9.75% 9.75% 9.75% 9.75%            
Interest Rate, PIK [2],[11] 3.00%   3.00% 3.00% 3.00% 3.00% 3.00% 3.00%            
Investments at amortized cost [1],[2],[3],[11] $ 26,672                          
Total investments at fair value [2],[4],[11] $ 26,811                          
Percentage of Net Assets [2],[11] 1.70%   1.70% 1.70% 1.70% 1.70% 1.70% 1.70%            
Investment, Identifier [Axis]: Debt Investments Financial Services                            
Investments at amortized cost [1],[2],[3] $ 279,516 $ 342,885                        
Total investments at fair value [2],[4] $ 285,838 $ 349,384                        
Percentage of Net Assets [2] 17.80% 23.40% 17.80% 17.80% 17.80% 17.80% 17.80% 17.80% 23.40% 23.40% 23.40% 23.40%    
Investment, Identifier [Axis]: Debt Investments Financial Services Alaska Bidco Oy First-lien loan (EUR 727 par, due 5/2030) Initial Acquisition Date 5/30/2023 Reference Rate and Spread E + 6.25% Interest Rate 10.39%                            
Investment, par | € [2],[11],[15]                 € 727          
Investment due date [2],[11],[15]   2030-05                        
Initial Acquisition Date [2],[11],[15]   May 30, 2023                        
Reference Rate [2],[11],[15]   6.25%             6.25% 6.25% 6.25% 6.25%    
Interest Rate [2],[11],[15]   10.39%             10.39% 10.39% 10.39% 10.39%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 755                        
Total investments at fair value [2],[4],[11],[15]   $ 796             € 720          
Percentage of Net Assets [2],[11],[15]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Debt Investments Financial Services Alaska Bidco Oy Investment First-lien loan (EUR 727 par, due 5/2030) Initial Acquisition Date 05/30/2023 Reference Rate and Spread E + 5.75% Interest Rate 8.51%                            
Investment, par | € [2],[11],[15]     € 727                      
Investment due date [2],[11],[15] 2030-05                          
Initial Acquisition Date [2],[11],[15] May 30, 2023                          
Reference Rate [2],[11],[15] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11],[15] 8.51%   8.51% 8.51% 8.51% 8.51% 8.51% 8.51%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 759                          
Total investments at fair value [2],[4],[11],[15] $ 765   € 739                      
Percentage of Net Assets [2],[11],[15] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, Identifier [Axis]: Debt Investments Financial Services BCTO Bluebill Buyer, Inc. First-lien loan ($28,640 par, due 7/2029) Initial Acquisition Date 7/20/2023 Reference Rate and Spread SOFR + 6.25% Interest Rate 7.25%                            
Investment, par [2],[11]   $ 28,640                        
Investment due date [2],[11]   2029-07                        
Initial Acquisition Date [2],[11]   Jul. 20, 2023                        
Reference Rate [2],[11]   7.25%             7.25% 7.25% 7.25% 7.25%    
Interest Rate [2],[11]   12.60%             12.60% 12.60% 12.60% 12.60%    
Investments at amortized cost [1],[2],[3],[11]   $ 27,635                        
Total investments at fair value [2],[4],[11]   $ 27,996                        
Percentage of Net Assets [2],[11]   1.90%             1.90% 1.90% 1.90% 1.90%    
Investment, Identifier [Axis]: Debt Investments Financial Services BCTO Bluebill Buyer, Inc. Investment First-lien loan ($29,532 par, due 7/2029) Initial Acquisition Date 07/20/2023 Reference Rate and Spread SOFR + 6.25% Interest Rate 10.84%                            
Investment, par [2],[11],[13] $ 29,532                          
Investment due date [2],[11],[13] 2029-07                          
Initial Acquisition Date [2],[11],[13] Jul. 20, 2023                          
Reference Rate [2],[11],[13] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11],[13] 10.84%   10.84% 10.84% 10.84% 10.84% 10.84% 10.84%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 28,681                          
Total investments at fair value [2],[4],[11],[13] $ 29,827                          
Percentage of Net Assets [2],[11],[13] 1.90%   1.90% 1.90% 1.90% 1.90% 1.90% 1.90%            
Investment, Identifier [Axis]: Debt Investments Financial Services BTRS Holdings, Inc. First-lien loan ($47,501 par, due 12/2028) Initial Acquisition Date 12/16/2022 Reference Rate and Spread SOFR + 8.00% Interest Rate 13.38%                            
Investment, par [2],[11]   $ 47,051                        
Investment due date [2],[11]   2028-12                        
Initial Acquisition Date [2],[11]   Dec. 16, 2022                        
Reference Rate [2],[11]   8.00%             8.00% 8.00% 8.00% 8.00%    
Interest Rate [2],[11]   13.38%             13.38% 13.38% 13.38% 13.38%    
Investments at amortized cost [1],[2],[3],[11]   $ 45,931                        
Total investments at fair value [2],[4],[11]   $ 47,168                        
Percentage of Net Assets [2],[11]   3.20%             3.20% 3.20% 3.20% 3.20%    
Investment, Identifier [Axis]: Debt Investments Financial Services BTRS Holdings, Inc. First-lien revolving loan ($1,205 par, due 12/2028) Initial Acquisition Date 12/16/2022 Reference Rate and Spread SOFR + 7.25% Interest Rate 12.63%                            
Investment, par [2],[11]   $ 1,205                        
Investment due date [2],[11]   2028-12                        
Initial Acquisition Date [2],[11]   Dec. 16, 2022                        
Reference Rate [2],[11]   7.25%             7.25% 7.25% 7.25% 7.25%    
Interest Rate [2],[11]   12.63%             12.63% 12.63% 12.63% 12.63%    
Investments at amortized cost [1],[2],[3],[11]   $ 1,085                        
Total investments at fair value [2],[4],[11]   $ 1,217                        
Percentage of Net Assets [2],[11]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Debt Investments Financial Services BTRS Holdings, Inc. Investment First-lien loan ($48,983 par, due 12/2028) Initial Acquisition Date 12/16/2022 Reference Rate and Spread SOFR + 7.25% Interest Rate 11.61%                            
Investment, par [2],[11] $ 48,983                          
Investment due date [2],[11] 2028-12                          
Initial Acquisition Date [2],[11] Dec. 16, 2022                          
Reference Rate [2],[11] 7.25%   7.25% 7.25% 7.25% 7.25% 7.25% 7.25%            
Interest Rate [2],[11] 11.61%   11.61% 11.61% 11.61% 11.61% 11.61% 11.61%            
Investments at amortized cost [1],[2],[3],[11] $ 48,089                          
Total investments at fair value [2],[4],[11] $ 49,473                          
Percentage of Net Assets [2],[11] 3.10%   3.10% 3.10% 3.10% 3.10% 3.10% 3.10%            
Investment, Identifier [Axis]: Debt Investments Financial Services BTRS Holdings, Inc. Investment First-lien revolving loan ($1,807 par, due 12/2028) Initial Acquisition Date 12/16/2022 Reference Rate and Spread SOFR + 7.25% Interest Rate 11.76%                            
Investment, par [2],[11] $ 1,807                          
Investment due date [2],[11] 2028-12                          
Initial Acquisition Date [2],[11] Dec. 16, 2022                          
Reference Rate [2],[11] 7.25%   7.25% 7.25% 7.25% 7.25% 7.25% 7.25%            
Interest Rate [2],[11] 11.76%   11.76% 11.76% 11.76% 11.76% 11.76% 11.76%            
Investments at amortized cost [1],[2],[3],[11] $ 1,712                          
Total investments at fair value [2],[4],[11] $ 1,855                          
Percentage of Net Assets [2],[11] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Financial Services Bear OpCo, LLC First-lien loan ($21,392 par, due 10/2024) Initial Acquisition Date 10/10/2019 Reference Rate and Spread SOFR + 7.65% Interest Rate 13.01%                            
Investment, par [2],[11],[13]   $ 21,392                        
Investment due date [2],[11],[13]   2024-10                        
Initial Acquisition Date [2],[11],[13]   Oct. 10, 2019                        
Reference Rate [2],[11],[13]   7.65%             7.65% 7.65% 7.65% 7.65%    
Interest Rate [2],[11],[13]   13.01%             13.01% 13.01% 13.01% 13.01%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 21,294                        
Total investments at fair value [2],[4],[11],[13]   $ 21,713                        
Percentage of Net Assets [2],[11],[13]   1.50%             1.50% 1.50% 1.50% 1.50%    
Investment, Identifier [Axis]: Debt Investments Financial Services BlueSnap, Inc. First-lien loan ($41,895 par, due 10/2025) Initial Acquisition Date 10/25/2019 Reference Rate and Spread SOFR + 7.15% Interest Rate 12.50%                            
Investment, par [2],[11],[13]   $ 41,895                        
Investment due date [2],[11],[13]   2025-10                        
Initial Acquisition Date [2],[11],[13]   Oct. 25, 2019                        
Reference Rate [2],[11],[13]   7.15%             7.15% 7.15% 7.15% 7.15%    
Interest Rate [2],[11],[13]   12.50%             12.50% 12.50% 12.50% 12.50%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 41,516                        
Total investments at fair value [2],[4],[11],[13]   $ 42,117                        
Percentage of Net Assets [2],[11],[13]   2.80%             2.80% 2.80% 2.80% 2.80%    
Investment, Identifier [Axis]: Debt Investments Financial Services BlueSnap, Inc. Investment First-lien loan ($45,106 par, due 8/2025) Initial Acquisition Date 10/25/2019 Reference Rate and Spread SOFR + 9.15% Interest Rate 13.48%                            
Investment, par [2],[11],[13] $ 45,106                          
Investment due date [2],[11],[13] 2025-08                          
Initial Acquisition Date [2],[11],[13] Oct. 25, 2019                          
Reference Rate [2],[11],[13] 9.15%   9.15% 9.15% 9.15% 9.15% 9.15% 9.15%            
Interest Rate [2],[11],[13] 13.48%   13.48% 13.48% 13.48% 13.48% 13.48% 13.48%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 44,928                          
Total investments at fair value [2],[4],[11],[13] $ 44,749                          
Percentage of Net Assets [2],[11],[13] 2.80%   2.80% 2.80% 2.80% 2.80% 2.80% 2.80%            
Investment, Identifier [Axis]: Debt Investments Financial Services CLGF Holdco 2, LLC First-lien loan ($3,916 par, due 11/2027) Initial Acquisition Date 11/7/2023 Reference Rate and Spread SOFR + 8.50% Interest Rate 13.85%                            
Investment, par [2],[11],[15]   $ 3,916                        
Investment due date [2],[11],[15]   2027-11                        
Initial Acquisition Date [2],[11],[15]   Nov. 07, 2023                        
Reference Rate [2],[11],[15]   8.50%             8.50% 8.50% 8.50% 8.50%    
Interest Rate [2],[11],[15]   13.85%             13.85% 13.85% 13.85% 13.85%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 3,845                        
Total investments at fair value [2],[4],[11],[15]   $ 3,867                        
Percentage of Net Assets [2],[11],[15]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Debt Investments Financial Services CLGF Holdco 2, LLC Investment First-lien loan ($3,916 par, due 11/2027) Initial Acquisition Date 11/07/2023 Reference Rate and Spread SOFR + 8.50% Interest Rate 12.83%                            
Investment, par [2],[11],[15] $ 3,916                          
Investment due date [2],[11],[15] 2027-11                          
Initial Acquisition Date [2],[11],[15] Nov. 07, 2023                          
Reference Rate [2],[11],[15] 8.50%   8.50% 8.50% 8.50% 8.50% 8.50% 8.50%            
Interest Rate [2],[11],[15] 12.83%   12.83% 12.83% 12.83% 12.83% 12.83% 12.83%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 3,860                          
Total investments at fair value [2],[4],[11],[15] $ 3,926                          
Percentage of Net Assets [2],[11],[15] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, Identifier [Axis]: Debt Investments Financial Services CLGF Holdco 2, LLC Investment Second-lien loan ($3,357 par, due 11/2028) Initial Acquisition Date 11/07/2023 Reference Rate and Spread SOFR + 12.00% Interest Rate 16.33%                            
Investment, par [2],[11],[15] $ 3,357                          
Investment due date [2],[11],[15] 2028-11                          
Initial Acquisition Date [2],[11],[15] Nov. 07, 2023                          
Reference Rate [2],[11],[15] 12.00%   12.00% 12.00% 12.00% 12.00% 12.00% 12.00%            
Interest Rate [2],[11],[15] 16.33%   16.33% 16.33% 16.33% 16.33% 16.33% 16.33%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 3,150                          
Total investments at fair value [2],[4],[11],[15] $ 3,357                          
Percentage of Net Assets [2],[11],[15] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, Identifier [Axis]: Debt Investments Financial Services CLGF Holdco 2, LLC Second-lien loan ($3,357 par, due 11/2028) Initial Acquisition Date 11/7/2023 Reference Rate and Spread SOFR + 12.00% Interest Rate 17.35%                            
Investment, par [2],[11],[15]   $ 3,357                        
Investment due date [2],[11],[15]   2028-11                        
Initial Acquisition Date [2],[11],[15]   Nov. 07, 2023                        
Reference Rate [2],[11],[15]   12.00%             12.00% 12.00% 12.00% 12.00%    
Interest Rate [2],[11],[15]   17.35%             17.35% 17.35% 17.35% 17.35%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 3,116                        
Total investments at fair value [2],[4],[11],[15]   $ 3,164                        
Percentage of Net Assets [2],[11],[15]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Debt Investments Financial Services Fullsteam Operations LLC First-lien loan ($29,663 par, due 11/2029) Initial Acquisition Date 11/27/2023 Reference Rate and Spread SOFR + 8.40% Interest Rate 13.78%                            
Investment, par [2],[11]   $ 29,663                        
Investment due date [2],[11]   2029-11                        
Initial Acquisition Date [2],[11]   Nov. 27, 2023                        
Reference Rate [2],[11]   8.40%             8.40% 8.40% 8.40% 8.40%    
Interest Rate [2],[11]   13.78%             13.78% 13.78% 13.78% 13.78%    
Investments at amortized cost [1],[2],[3],[11]   $ 28,611                        
Total investments at fair value [2],[4],[11]   $ 29,049                        
Percentage of Net Assets [2],[11]   1.90%             1.90% 1.90% 1.90% 1.90%    
Investment, Identifier [Axis]: Debt Investments Financial Services Fullsteam Operations, LLC Investment First-lien loan ($40,048 par, due 11/2029) Initial Acquisition Date 11/27/2023 Reference Rate and Spread SOFR + 8.38% Interest Rate 12.89%                            
Investment, par [2],[11] $ 40,048                          
Investment due date [2],[11] 2029-11                          
Initial Acquisition Date [2],[11] Nov. 27, 2023                          
Reference Rate [2],[11] 8.38%   8.38% 8.38% 8.38% 8.38% 8.38% 8.38%            
Interest Rate [2],[11] 12.89%   12.89% 12.89% 12.89% 12.89% 12.89% 12.89%            
Investments at amortized cost [1],[2],[3],[11] $ 38,946                          
Total investments at fair value [2],[4],[11] $ 40,457                          
Percentage of Net Assets [2],[11] 2.50%   2.50% 2.50% 2.50% 2.50% 2.50% 2.50%            
Investment, Identifier [Axis]: Debt Investments Financial Services GreenShoot BidCo B.V Investment First-lien loan (EUR 5,107 par, due 5/2030) Initial Acquisition Date 05/28/2024 Reference Rate and Spread E + 5.75% Interest Rate 8.66%                            
Investment, par | € [2],[11],[15]     € 5,107                      
Investment due date [2],[11],[15] 2030-05                          
Initial Acquisition Date [2],[11],[15] May 28, 2024                          
Reference Rate [2],[11],[15] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11],[15] 8.66%   8.66% 8.66% 8.66% 8.66% 8.66% 8.66%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 5,413                          
Total investments at fair value [2],[4],[11],[15] $ 5,246   € 5,066                      
Percentage of Net Assets [2],[11],[15] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Financial Services Ibis Intermediate Co. First-lien loan ($1,201 par, due 5/2027) Initial Acquisition Date 5/28/2021 Reference Rate and Spread SOFR + 4.65% Interest Rate 10.04%                            
Investment, par [2],[11],[13]   $ 1,201                        
Investment due date [2],[11],[13]   2027-05                        
Initial Acquisition Date [2],[11],[13]   May 28, 2021                        
Reference Rate [2],[11],[13]   4.65%             4.65% 4.65% 4.65% 4.65%    
Interest Rate [2],[11],[13]   10.04%             10.04% 10.04% 10.04% 10.04%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 1,066                        
Total investments at fair value [2],[4],[11],[13]   $ 1,257                        
Percentage of Net Assets [2],[11],[13]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Debt Investments Financial Services Ibis Intermediate Co. Investment First-lien loan ($1,185 par, due 5/2027) Initial Acquisition Date 05/28/2021 Reference Rate and Spread SOFR + 4.65% Interest Rate 9.16%                            
Investment, par [2],[11],[13] $ 1,185                          
Investment due date [2],[11],[13] 2027-05                          
Initial Acquisition Date [2],[11],[13] May 28, 2021                          
Reference Rate [2],[11],[13] 4.65%   4.65% 4.65% 4.65% 4.65% 4.65% 4.65%            
Interest Rate [2],[11],[13] 9.16%   9.16% 9.16% 9.16% 9.16% 9.16% 9.16%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 1,154                          
Total investments at fair value [2],[4],[11],[13] $ 1,191                          
Percentage of Net Assets [2],[11],[13] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Financial Services Ibis US Blocker Co. First-lien loan ($15,958 par, due 5/2028) Initial Acquisition Date 5/28/2021 Reference Rate and Spread SOFR + 8.40% Interest Rate 13.79% (PIK)                            
Investment, par [2],[11]   $ 15,958                        
Investment due date [2],[11]   2028-05                        
Initial Acquisition Date [2],[11]   May 28, 2021                        
Reference Rate [2],[11]   8.40%             8.40% 8.40% 8.40% 8.40%    
Interest Rate, PIK [2],[11]   13.79%             13.79% 13.79% 13.79% 13.79%    
Investments at amortized cost [1],[2],[3],[11]   $ 15,743                        
Total investments at fair value [2],[4],[11]   $ 15,838                        
Percentage of Net Assets [2],[11]   1.10%             1.10% 1.10% 1.10% 1.10%    
Investment, Identifier [Axis]: Debt Investments Financial Services Ibis US Blocker Co. Investment First-lien loan ($18,290 par, due 5/2028) Initial Acquisition Date 05/28/2021 Reference Rate and Spread SOFR + 8.40% Interest Rate 12.91% PIK                            
Investment, par [2],[11] $ 18,290                          
Investment due date [2],[11] 2028-05                          
Initial Acquisition Date [2],[11] May 28, 2021                          
Reference Rate [2],[11] 8.40%   8.40% 8.40% 8.40% 8.40% 8.40% 8.40%            
Interest Rate, PIK [2],[11] 12.91%   12.91% 12.91% 12.91% 12.91% 12.91% 12.91%            
Investments at amortized cost [1],[2],[3],[11] $ 18,111                          
Total investments at fair value [2],[4],[11] $ 18,290                          
Percentage of Net Assets [2],[11] 1.10%   1.10% 1.10% 1.10% 1.10% 1.10% 1.10%            
Investment, Identifier [Axis]: Debt Investments Financial Services Kyriba Corp. First-lien loan ($35,634 par, due 4/2028) Initial Acquisition Date 12/21/2023 Reference Rate and Spread SOFR + 8.50% Interest Rate 13.87% (incl. 8.50% PIK)                            
Investment, par [2],[11]   $ 35,634                        
Investment due date [2],[11]   2028-04                        
Initial Acquisition Date [2],[11]   Dec. 21, 2023                        
Reference Rate [2],[11]   8.50%             8.50% 8.50% 8.50% 8.50%    
Interest Rate [2],[11]   13.87%             13.87% 13.87% 13.87% 13.87%    
Interest Rate, PIK [2],[11]   8.50%             8.50% 8.50% 8.50% 8.50%    
Investments at amortized cost [1],[2],[3],[11]   $ 34,875                        
Total investments at fair value [2],[4],[11]   $ 34,871                        
Percentage of Net Assets [2],[11]   2.30%             2.30% 2.30% 2.30% 2.30%    
Investment, Identifier [Axis]: Debt Investments Financial Services Kyriba Corp. First-lien loan (EUR 10,924 par, due 4/2028) Initial Acquisition Date 12/21/2023 Reference Rate and Spread E + 8.50% Interest Rate 12.42% (incl. 8.50% PIK)                            
Investment, par | € [2],[11]                 € 10,924          
Investment due date [2],[11]   2028-04                        
Initial Acquisition Date [2],[11]   Dec. 21, 2023                        
Reference Rate [2],[11]   8.50%             8.50% 8.50% 8.50% 8.50%    
Interest Rate [2],[11]   12.42%             12.42% 12.42% 12.42% 12.42%    
Interest Rate, PIK [2],[11]   8.50%             8.50% 8.50% 8.50% 8.50%    
Investments at amortized cost [1],[2],[3],[11]   $ 11,766                        
Total investments at fair value [2],[4],[11]   $ 11,825             € 10,705          
Percentage of Net Assets [2],[11]   0.80%             0.80% 0.80% 0.80% 0.80%    
Investment, Identifier [Axis]: Debt Investments Financial Services Passport Labs, Inc. Convertible Promissory Note A ($1,086 par, due 8/2026) Initial Acquisition Date 3/2/2023 Reference Rate and Spread 8.00% Interest Rate 8.00%                            
Investment, par [2],[11]   $ 1,086                        
Investment due date [2],[11]   2026-08                        
Initial Acquisition Date [2],[11]   Mar. 02, 2023                        
Reference Rate [2],[11]   8.00%             8.00% 8.00% 8.00% 8.00%    
Interest Rate [2],[11]   8.00%             8.00% 8.00% 8.00% 8.00%    
Investments at amortized cost [1],[2],[3],[11]   $ 1,086                        
Total investments at fair value [2],[4],[11]   $ 2,025                        
Percentage of Net Assets [2],[11]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Debt Investments Financial Services Passport Labs, Inc. First-lien loan ($24,603 par, due 4/2026) Initial Acquisition Date 4/28/2021 Reference Rate and Spread SOFR + 8.40% Interest Rate 13.75%                            
Investment, par [2],[11]   $ 24,603                        
Investment due date [2],[11]   2026-04                        
Initial Acquisition Date [2],[11]   Apr. 28, 2021                        
Reference Rate [2],[11]   8.40%             8.40% 8.40% 8.40% 8.40%    
Interest Rate [2],[11]   13.75%             13.75% 13.75% 13.75% 13.75%    
Investments at amortized cost [1],[2],[3],[11]   $ 24,444                        
Total investments at fair value [2],[4],[11]   $ 24,555                        
Percentage of Net Assets [2],[11]   1.60%             1.60% 1.60% 1.60% 1.60%    
Investment, Identifier [Axis]: Debt Investments Financial Services Passport Labs, Inc. Investment Convertible Promissory Note A ($1,086 par, due 8/2026) Initial Acquisition Date 03/02/2023 Reference Rate and Spread 0.08 Interest Rate 8.00%                            
Investment, par [2] $ 1,086                          
Investment due date [2] 2026-08                          
Initial Acquisition Date [2] Mar. 02, 2023                          
Reference Rate [2] 8.00%   8.00% 8.00% 8.00% 8.00% 8.00% 8.00%            
Interest Rate [2] 8.00%   8.00% 8.00% 8.00% 8.00% 8.00% 8.00%            
Investments at amortized cost [1],[2],[3] $ 1,086                          
Total investments at fair value [2],[4] $ 2,076                          
Percentage of Net Assets [2] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Financial Services Passport Labs, Inc. Investment First-lien loan ($24,995, par, due 4/2026) Initial Acquisition Date 04/28/2021 Reference Rate and Spread SOFR + 8.40% Interest Rate 12.91%                            
Investment, par [2],[11] $ 24,995                          
Investment due date [2],[11] 2026-04                          
Initial Acquisition Date [2],[11] Apr. 28, 2021                          
Reference Rate [2],[11] 8.40%   8.40% 8.40% 8.40% 8.40% 8.40% 8.40%            
Interest Rate [2],[11] 12.91%   12.91% 12.91% 12.91% 12.91% 12.91% 12.91%            
Investments at amortized cost [1],[2],[3],[11] $ 24,914                          
Total investments at fair value [2],[4],[11] $ 25,058                          
Percentage of Net Assets [2],[11] 1.60%   1.60% 1.60% 1.60% 1.60% 1.60% 1.60%            
Investment, Identifier [Axis]: Debt Investments Financial Services Ping Identity Holding Corp. First-lien loan ($22,727 par, due 10/2029) Initial Acquisition Date 10/17/2022 Reference Rate and Spread SOFR + 7.00% Interest Rate 12.36%                            
Investment, par [2],[11]   $ 22,727                        
Investment due date [2],[11]   2029-10                        
Initial Acquisition Date [2],[11]   Oct. 17, 2022                        
Reference Rate [2],[11]   7.00%             7.00% 7.00% 7.00% 7.00%    
Interest Rate [2],[11]   12.36%             12.36% 12.36% 12.36% 12.36%    
Investments at amortized cost [1],[2],[3],[11]   $ 22,183                        
Total investments at fair value [2],[4],[11]   $ 23,165                        
Percentage of Net Assets [2],[11]   1.50%             1.50% 1.50% 1.50% 1.50%    
Investment, Identifier [Axis]: Debt Investments Financial Services PrimeRevenue, Inc. First-lien loan ($9,007 par, due 12/2024) Initial Acquisition Date 12/31/2018 Reference Rate and Spread SOFR + 7.10% Interest Rate 12.46%                            
Investment, par [2],[11]   $ 9,007                        
Investment due date [2],[11]   2024-12                        
Initial Acquisition Date [2],[11]   Dec. 31, 2018                        
Reference Rate [2],[11]   7.10%             7.10% 7.10% 7.10% 7.10%    
Interest Rate [2],[11]   12.46%             12.46% 12.46% 12.46% 12.46%    
Investments at amortized cost [1],[2],[3],[11]   $ 8,996                        
Total investments at fair value [2],[4],[11]   $ 9,083                        
Percentage of Net Assets [2],[11]   0.60%             0.60% 0.60% 0.60% 0.60%    
Investment, Identifier [Axis]: Debt Investments Financial Services TradingScreen, Inc. First-lien loan ($47,198 par, due 4/2027) Initial Acquisition Date 4/30/2021 Reference Rate and Spread SOFR + 6.35% Interest Rate 11.73%                            
Investment, par [2],[11],[13]   $ 47,198                        
Investment due date [2],[11],[13]   2027-04                        
Initial Acquisition Date [2],[11],[13]   Apr. 30, 2021                        
Reference Rate [2],[11],[13]   6.35%             6.35% 6.35% 6.35% 6.35%    
Interest Rate [2],[11],[13]   11.73%             11.73% 11.73% 11.73% 11.73%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 46,360                        
Total investments at fair value [2],[4],[11],[13]   $ 47,080                        
Percentage of Net Assets [2],[11],[13]   3.10%             3.10% 3.10% 3.10% 3.10%    
Investment, Identifier [Axis]: Debt Investments Financial Services TradingScreen, Inc. Investment First-lien loan ($55,528 par, due 4/2027) Initial Acquisition Date 04/30/2021 Reference Rate and Spread SOFR + 6.35% Interest Rate 10.93%                            
Investment, par [2],[11],[13] $ 55,528                          
Investment due date [2],[11],[13] 2027-04                          
Initial Acquisition Date [2],[11],[13] Apr. 30, 2021                          
Reference Rate [2],[11],[13] 6.35%   6.35% 6.35% 6.35% 6.35% 6.35% 6.35%            
Interest Rate [2],[11],[13] 10.93%   10.93% 10.93% 10.93% 10.93% 10.93% 10.93%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 54,788                          
Total investments at fair value [2],[4],[11],[13] $ 55,528                          
Percentage of Net Assets [2],[11],[13] 3.50%   3.50% 3.50% 3.50% 3.50% 3.50% 3.50%            
Investment, Identifier [Axis]: Debt Investments Financial Services TradingScreen, Inc. Investment First-lien revolving loan ($899 par, due 5/2027) Initial Acquisition Date 11/01/2024 Reference Rate and Spread P + 5.25% Interest Rate 12.75%                            
Investment, par [2],[11],[13] $ 899                          
Investment due date [2],[11],[13] 2027-05                          
Initial Acquisition Date [2],[11],[13] Nov. 01, 2024                          
Reference Rate [2],[11],[13] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11],[13] 12.75%   12.75% 12.75% 12.75% 12.75% 12.75% 12.75%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 876                          
Total investments at fair value [2],[4],[11],[13] $ 899                          
Percentage of Net Assets [2],[11],[13] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Financial Services Volante Technologies, Inc. First-lien loan ($2,604 par, due 9/2028) Initial Acquisition Date 9/29/2023 Reference Rate and Spread 16.50% Interest Rate 16.50% PIK                            
Investment, par [2]   $ 2,604                        
Investment due date [2]   2028-09                        
Initial Acquisition Date [2]   Sep. 29, 2023                        
Reference Rate [2]   16.50%             16.50% 16.50% 16.50% 16.50%    
Interest Rate, PIK [2]   16.50%             16.50% 16.50% 16.50% 16.50%    
Investments at amortized cost [1],[2],[3]   $ 2,578                        
Total investments at fair value [2],[4]   $ 2,598                        
Percentage of Net Assets [2]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Debt Investments Financial Services Volante Technologies, Inc. Investment First-lien loan ($3,072 par, due 9/2028) Initial Acquisition Date 09/29/2023 Reference Rate and Spread 16.50% Interest Rate 16.50% PIK                            
Investment, par [2] $ 3,072                          
Investment due date [2] 2028-09                          
Initial Acquisition Date [2] Sep. 29, 2023                          
Reference Rate [2] 16.50%   16.50% 16.50% 16.50% 16.50% 16.50% 16.50%            
Interest Rate, PIK [2] 16.50%   16.50% 16.50% 16.50% 16.50% 16.50% 16.50%            
Investments at amortized cost [1],[2],[3] $ 3,049                          
Total investments at fair value [2],[4] $ 3,141                          
Percentage of Net Assets [2] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, Identifier [Axis]: Debt Investments Healthcare                            
Investments at amortized cost [1],[2],[3] $ 226,581 $ 255,200                        
Total investments at fair value [2],[4] $ 231,751 $ 260,633                        
Percentage of Net Assets [2] 14.40% 17.50% 14.40% 14.40% 14.40% 14.40% 14.40% 14.40% 17.50% 17.50% 17.50% 17.50%    
Investment, Identifier [Axis]: Debt Investments Healthcare BCTO Ace Purchaser, Inc. First-lien loan ($69,231 par, due 11/2027) Initial Acquisition Date 11/23/2020 Reference Rate Spread SOFR + 7.45% Interest Rate 12.84%                            
Investment, par [2],[11],[13]   $ 69,231                        
Investment due date [2],[11],[13]   2027-11                        
Initial Acquisition Date [2],[11]   Nov. 23, 2020                        
Reference Rate [2],[11]   7.45%             7.45% 7.45% 7.45% 7.45%    
Interest Rate [2],[11]   12.84%             12.84% 12.84% 12.84% 12.84%    
Investments at amortized cost [1],[2],[3],[11]   $ 68,325                        
Total investments at fair value [2],[4],[11]   $ 69,746                        
Percentage of Net Assets [2],[11]   4.70%             4.70% 4.70% 4.70% 4.70%    
Investment, Identifier [Axis]: Debt Investments Healthcare BCTO Ace Purchaser, Inc. Investment First-lien loan ($70,154 par, due 11/2029) Initial Acquisition Date 11/23/2020 Reference Rate and Spread SOFR + 6.50% Interest Rate 11.01%                            
Investment, par [2],[11] $ 70,154                          
Investment due date [2],[11] 2029-11                          
Initial Acquisition Date [2],[11] Nov. 23, 2020                          
Reference Rate [2],[11] 6.50%   6.50% 6.50% 6.50% 6.50% 6.50% 6.50%            
Interest Rate [2],[11] 11.01%   11.01% 11.01% 11.01% 11.01% 11.01% 11.01%            
Investments at amortized cost [1],[2],[3],[11] $ 69,484                          
Total investments at fair value [2],[4],[11] $ 71,208                          
Percentage of Net Assets [2],[11] 4.40%   4.40% 4.40% 4.40% 4.40% 4.40% 4.40%            
Investment, Identifier [Axis]: Debt Investments Healthcare BCTO Ace Purchaser, Inc. Investment Second-lien loan ($6,596 par, due 1/2030) Initial Acquisition Date 01/23/2023 Reference Rate and Spread SOFR + 10.70% Interest Rate 15.33% PIK                            
Investment, par [2],[11] $ 6,596                          
Investment due date [2],[11] 2030-01                          
Initial Acquisition Date [2],[11] Jan. 23, 2023                          
Reference Rate [2],[11] 10.70%   10.70% 10.70% 10.70% 10.70% 10.70% 10.70%            
Interest Rate, PIK [2],[11] 15.33%   15.33% 15.33% 15.33% 15.33% 15.33% 15.33%            
Investments at amortized cost [1],[2],[3],[11] $ 6,488                          
Total investments at fair value [2],[4],[11] $ 6,745                          
Percentage of Net Assets [2],[11] 0.40%   0.40% 0.40% 0.40% 0.40% 0.40% 0.40%            
Investment, Identifier [Axis]: Debt Investments Healthcare BCTO Ace Purchaser, Inc. Second-lien loan ($5,623 par, due 1/2030) Initial Acquisition Date 1/23/2023 Reference Rate and Spread SOFR + 10.70% Interest Rate 16.10%                            
Investment, par [2],[11],[13]   $ 5,623                        
Investment due date [2],[11],[13]   2030-01                        
Initial Acquisition Date [2],[11]   Jan. 23, 2023                        
Reference Rate [2],[11]   10.70%             10.70% 10.70% 10.70% 10.70%    
Interest Rate [2],[11]   16.10%             16.10% 16.10% 16.10% 16.10%    
Investments at amortized cost [1],[2],[3],[11]   $ 5,493                        
Total investments at fair value [2],[4],[11]   $ 5,637                        
Percentage of Net Assets [2],[11]   0.40%             0.40% 0.40% 0.40% 0.40%    
Investment, Identifier [Axis]: Debt Investments Healthcare Edge Bidco B.V First-lien loan (EUR 3,850 par, due 2/2029) Initial Acquisition Date 2/24/2023 Reference Rate and Spread E + 7.00% Interest Rate 16.10% (incl. 3.25% PIK)                            
Investment, par | € [2],[11],[13],[15]                 € 3,850          
Investment due date [2],[11],[13],[15]   2029-02                        
Initial Acquisition Date [2],[11],[13],[15]   Feb. 24, 2023                        
Reference Rate [2],[11],[13],[15]   7.00%             7.00% 7.00% 7.00% 7.00%    
Interest Rate [2],[11],[13],[15]   16.10%             16.10% 16.10% 16.10% 16.10%    
Interest Rate, PIK [2],[11],[13],[15]   3.25%             3.25% 3.25% 3.25% 3.25%    
Investments at amortized cost [1],[2],[3],[11],[13],[15]   $ 3,951                        
Total investments at fair value [2],[4],[11],[13],[15]   $ 4,266             € 3,862          
Percentage of Net Assets [2],[11],[13],[15]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Debt Investments Healthcare Edge Bidco B.V. Investment First-lien loan (EUR 5,947 par, due 2/2029) Initial Acquisition Date 02/24/2023 Reference Rate and Spread E + 6.75% Interest Rate 9.43%                            
Investment, par | € [2],[11],[13],[15]     € 5,947                      
Investment due date [2],[11],[13],[15] 2029-02                          
Initial Acquisition Date [2],[11],[13],[15] Feb. 24, 2023                          
Reference Rate [2],[11],[13],[15] 6.75%   6.75% 6.75% 6.75% 6.75% 6.75% 6.75%            
Interest Rate [2],[11],[13],[15] 9.43%   9.43% 9.43% 9.43% 9.43% 9.43% 9.43%            
Investments at amortized cost [1],[2],[3],[11],[13],[15] $ 6,219                          
Total investments at fair value [2],[4],[11],[13],[15] $ 6,284   € 6,068                      
Percentage of Net Assets [2],[11],[13],[15] 0.40%   0.40% 0.40% 0.40% 0.40% 0.40% 0.40%            
Investment, Identifier [Axis]: Debt Investments Healthcare Eventus Buyer, LLC Investment First-lien loan ($25,900 par, due 11/2030) Initial Acquisition Date 11/1/2024 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.86%                            
Investment, par [2],[11] $ 25,900                          
Investment due date [2],[11] 2030-11                          
Initial Acquisition Date [2],[11] Nov. 01, 2024                          
Reference Rate [2],[11] 5.50%   5.50% 5.50% 5.50% 5.50% 5.50% 5.50%            
Interest Rate [2],[11] 9.86%   9.86% 9.86% 9.86% 9.86% 9.86% 9.86%            
Investments at amortized cost [1],[2],[3],[11] $ 25,472                          
Total investments at fair value [2],[4],[11] $ 25,571                          
Percentage of Net Assets [2],[11] 1.60%   1.60% 1.60% 1.60% 1.60% 1.60% 1.60%            
Investment, Identifier [Axis]: Debt Investments Healthcare Eventus Buyer, LLC Investment First-lien revolving loan ($467 par, due 11/2030) Initial Acquisition Date 11/1/2024 Reference Rate and Spread SOFR + 5.50% Interest Rate 10.03%                            
Investment, par [2],[11] $ 467                          
Investment due date [2],[11] 2030-11                          
Initial Acquisition Date [2],[11] Nov. 01, 2024                          
Reference Rate [2],[11] 5.50%   5.50% 5.50% 5.50% 5.50% 5.50% 5.50%            
Interest Rate [2],[11] 10.03%   10.03% 10.03% 10.03% 10.03% 10.03% 10.03%            
Investments at amortized cost [1],[2],[3],[11] $ 416                          
Total investments at fair value [2],[4],[11] $ 432                          
Percentage of Net Assets [2],[11] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, Identifier [Axis]: Debt Investments Healthcare Homecare Software Solutions, LLC First-lien loan ($65,000 par, due 10/2026) Initial Acquisition Date 10/6/2021 Reference Rate and Spread SOFR + 5.70% Interest Rate 11.06%                            
Investment, par [2],[11],[13]   $ 65,000                        
Investment due date [2],[11],[13]   2026-10                        
Initial Acquisition Date [2],[11],[13]   Oct. 06, 2021                        
Reference Rate [2],[11],[13]   5.70%             5.70% 5.70% 5.70% 5.70%    
Interest Rate [2],[11],[13]   11.06%             11.06% 11.06% 11.06% 11.06%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 64,017                        
Total investments at fair value [2],[4],[11],[13]   $ 64,838                        
Percentage of Net Assets [2],[11],[13]   4.30%             4.30% 4.30% 4.30% 4.30%    
Investment, Identifier [Axis]: Debt Investments Healthcare Merative L.P. First-lien loan ($70,103 par, due 6/2028) Initial Acquisition Date 6/30/2022 Reference Rate Spread SOFR + 7.25% Interest Rate 12.60%                            
Investment, par [2],[11],[13]   $ 70,103                        
Investment due date [2],[11],[13]   2028-06                        
Initial Acquisition Date [2],[11],[13]   Jun. 30, 2022                        
Reference Rate [2],[11],[13]   7.25%             7.25% 7.25% 7.25% 7.25%    
Interest Rate [2],[11],[13]   12.60%             12.60% 12.60% 12.60% 12.60%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 68,205                        
Total investments at fair value [2],[4],[11],[13]   $ 69,753                        
Percentage of Net Assets [2],[11],[13]   4.70%             4.70% 4.70% 4.70% 4.70%    
Investment, Identifier [Axis]: Debt Investments Healthcare Merative L.P. Investment First-lien loan ($70,103 par, due 6/2028) Initial Acquisition Date 06/30/2022 Reference Rate and Spread SOFR + 7.25% Interest Rate 11.58%                            
Investment, par [2],[11],[13] $ 70,103                          
Investment due date [2],[11],[13] 2028-06                          
Initial Acquisition Date [2],[11],[13] Jun. 30, 2022                          
Reference Rate [2],[11],[13] 7.25%   7.25% 7.25% 7.25% 7.25% 7.25% 7.25%            
Interest Rate [2],[11],[13] 11.58%   11.58% 11.58% 11.58% 11.58% 11.58% 11.58%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 68,543                          
Total investments at fair value [2],[4],[11],[13] $ 69,928                          
Percentage of Net Assets [2],[11],[13] 4.40%   4.40% 4.40% 4.40% 4.40% 4.40% 4.40%            
Investment, Identifier [Axis]: Debt Investments Healthcare Raptor US Buyer II Corp. First-lien loan ($15,569 par, due 3/2029) Initial Acquisition Date 3/24/2023 Reference Rate and Spread SOFR + 6.75% Interest Rate 12.10%                            
Investment, par [2],[11]   $ 15,569                        
Investment due date [2],[11]   2029-03                        
Initial Acquisition Date [2],[11]   Mar. 24, 2023                        
Reference Rate [2],[11]   6.75%             6.75% 6.75% 6.75% 6.75%    
Interest Rate [2],[11]   12.10%             12.10% 12.10% 12.10% 12.10%    
Investments at amortized cost [1],[2],[3],[11]   $ 15,070                        
Total investments at fair value [2],[4],[11]   $ 15,491                        
Percentage of Net Assets [2],[11]   1.00%             1.00% 1.00% 1.00% 1.00%    
Investment, Identifier [Axis]: Debt Investments Healthcare Raptor US Buyer II Corp. Investment First-lien loan ($18,133 par, due 3/2029) Initial Acquisition Date 03/24/2023 Reference Rate and Spread SOFR + 6.25% Interest Rate 10.61%                            
Investment, par [2],[11],[13] $ 18,133                          
Investment due date [2],[11],[13] 2029-03                          
Initial Acquisition Date [2],[11],[13] Mar. 24, 2023                          
Reference Rate [2],[11],[13] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11],[13] 10.61%   10.61% 10.61% 10.61% 10.61% 10.61% 10.61%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 17,695                          
Total investments at fair value [2],[4],[11],[13] $ 18,368                          
Percentage of Net Assets [2],[11],[13] 1.10%   1.10% 1.10% 1.10% 1.10% 1.10% 1.10%            
Investment, Identifier [Axis]: Debt Investments Healthcare SL Buyer Corp. First-lien loan ($31,475 par, due 7/2029) Initial Acquisition Date 7/7/2023 Reference Rate and Spread SOFR + 7.00% Interest Rate 12.36%                            
Investment, par [2],[11],[13]   $ 31,475                        
Investment due date [2],[11],[13]   2029-07                        
Initial Acquisition Date [2],[11],[13]   Jul. 07, 2023                        
Reference Rate [2],[11],[13]   7.00%             7.00% 7.00% 7.00% 7.00%    
Interest Rate [2],[11],[13]   12.36%             12.36% 12.36% 12.36% 12.36%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 30,139                        
Total investments at fair value [2],[4],[11],[13]   $ 30,902                        
Percentage of Net Assets [2],[11],[13]   2.10%             2.10% 2.10% 2.10% 2.10%    
Investment, Identifier [Axis]: Debt Investments Healthcare SL Buyer Corp. Investment First-lien loan ($33,416 par, due 7/2029) Initial Acquisition Date 07/07/2023 Reference Rate and Spread SOFR + 7.75% Interest Rate 12.34%                            
Investment, par [2],[11],[13] $ 33,416                          
Investment due date [2],[11],[13] 2029-07                          
Initial Acquisition Date [2],[11],[13] Jul. 07, 2023                          
Reference Rate [2],[11],[13] 7.75%   7.75% 7.75% 7.75% 7.75% 7.75% 7.75%            
Interest Rate [2],[11],[13] 12.34%   12.34% 12.34% 12.34% 12.34% 12.34% 12.34%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 32,264                          
Total investments at fair value [2],[4],[11],[13] $ 33,215                          
Percentage of Net Assets [2],[11],[13] 2.10%   2.10% 2.10% 2.10% 2.10% 2.10% 2.10%            
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure                            
Investments at amortized cost [1],[2],[3] $ 260,128 $ 116,599                        
Total investments at fair value [2],[4] $ 260,674 $ 119,523                        
Percentage of Net Assets [2] 16.20% 7.90% 16.20% 16.20% 16.20% 16.20% 16.20% 16.20% 7.90% 7.90% 7.90% 7.90%    
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure ASG II, LLC First-lien loan ($61,609 par, due 5/2028) Initial Acquisition Date 5/25/2022 Reference Rate Spread SOFR + 6.40% Interest Rate 11.77%                            
Investment, par [2],[11],[13],[19]   $ 61,609                        
Investment due date [2],[11],[13],[19]   2028-05                        
Initial Acquisition Date [2],[11],[13],[19]   May 25, 2022                        
Reference Rate [2],[11],[13],[19]   6.40%             6.40% 6.40% 6.40% 6.40%    
Interest Rate [2],[11],[13],[19]   11.77%             11.77% 11.77% 11.77% 11.77%    
Investments at amortized cost [1],[2],[3],[11],[13],[19]   $ 60,383                        
Total investments at fair value [2],[4],[11],[13],[19]   $ 61,934                        
Percentage of Net Assets [2],[11],[13],[19]   4.10%             4.10% 4.10% 4.10% 4.10%    
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure ASG II, LLC First-lien loan ($65,000 par, due 5/2028) Initial Acquisition Date 5/25/2022 Reference Rate and Spread SOFR + 6.40% Interest Rate 10.99%                            
Investment, par [2],[11],[13] $ 65,000                          
Investment due date [2],[11],[13] 2028-05                          
Initial Acquisition Date [2],[11],[13] May 25, 2022                          
Reference Rate [2],[11],[13] 6.40%   6.40% 6.40% 6.40% 6.40% 6.40% 6.40%            
Interest Rate [2],[11],[13] 10.99%   10.99% 10.99% 10.99% 10.99% 10.99% 10.99%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 63,983                          
Total investments at fair value [2],[4],[11],[13] $ 65,162                          
Percentage of Net Assets [2],[11],[13] 4.10%   4.10% 4.10% 4.10% 4.10% 4.10% 4.10%            
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure AVSC Holding Corp. First-lien loan ($45,167 par, due 12/2031) Initial Acquisition Date 12/5/2024 Reference Rate and Spread SOFR + 5.00% Interest Rate 9.36%                            
Investment, par [2],[11] $ 45,167                          
Investment due date [2],[11] 2031-12                          
Initial Acquisition Date [2],[11] Dec. 05, 2024                          
Reference Rate [2],[11] 5.00%   5.00% 5.00% 5.00% 5.00% 5.00% 5.00%            
Interest Rate [2],[11] 9.36%   9.36% 9.36% 9.36% 9.36% 9.36% 9.36%            
Investments at amortized cost [1],[2],[3],[11] $ 44,175                          
Total investments at fair value [2],[4],[11] $ 44,292                          
Percentage of Net Assets [2],[11] 2.80%   2.80% 2.80% 2.80% 2.80% 2.80% 2.80%            
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure Equinox Holdings, Inc. First-lien loan ($49,590 par, due 3/2029) Initial Acquisition Date 3/8/2024 Reference Rate and Spread SOFR + 8.25% Interest Rate 12.58% (incl. 4.13% PIK)                            
Investment, par [2],[11] $ 49,590                          
Investment due date [2],[11] 2029-03                          
Initial Acquisition Date [2],[11] Mar. 08, 2024                          
Reference Rate [2],[11] 8.25%   8.25% 8.25% 8.25% 8.25% 8.25% 8.25%            
Interest Rate [2],[11] 12.58%   12.58% 12.58% 12.58% 12.58% 12.58% 12.58%            
Interest Rate, PIK [2],[11] 4.13%   4.13% 4.13% 4.13% 4.13% 4.13% 4.13%            
Investments at amortized cost [1],[2],[3],[11] $ 48,934                          
Total investments at fair value [2],[4],[11] $ 49,714                          
Percentage of Net Assets [2],[11] 3.10%   3.10% 3.10% 3.10% 3.10% 3.10% 3.10%            
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure IRGSE Holding Corp. First-lien loan ($30,261 par, due 6/2024) Initial Acquisition Date 12/21/2018 Reference Rate and Spread SOFR + 9.65% Interest Rate 15.00%                            
Investment, par [2],[11],[20]   $ 30,261                        
Investment due date [2],[11],[20]   2024-06                        
Initial Acquisition Date [2],[11],[20]   Dec. 21, 2018                        
Reference Rate [2],[11],[20]   9.65%             9.65% 9.65% 9.65% 9.65%    
Interest Rate [2],[11],[20]   15.00%             15.00% 15.00% 15.00% 15.00%    
Investments at amortized cost [1],[2],[3],[11],[20]   $ 28,594                        
Total investments at fair value [2],[4],[11],[20]   $ 30,109                        
Percentage of Net Assets [2],[11],[20]   2.00%             2.00% 2.00% 2.00% 2.00%    
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure IRGSE Holding Corp. First-lien loan ($30,261 par, due 6/2025) Initial Acquisition Date 12/21/2018 Reference Rate and Spread SOFR + 9.65% Interest Rate 13.98%                            
Investment, par [2],[11],[19] $ 30,261                          
Investment due date [2],[11],[19] 2025-06                          
Initial Acquisition Date [2],[11],[19] Dec. 21, 2018                          
Reference Rate [2],[11],[19] 9.65%   9.65% 9.65% 9.65% 9.65% 9.65% 9.65%            
Interest Rate [2],[11],[19] 13.98%   13.98% 13.98% 13.98% 13.98% 13.98% 13.98%            
Investments at amortized cost [1],[2],[3],[11],[19] $ 28,594                          
Total investments at fair value [2],[4],[11],[19] $ 28,823                          
Percentage of Net Assets [2],[11],[19] 1.80%   1.80% 1.80% 1.80% 1.80% 1.80% 1.80%            
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure IRGSE Holding Corp. First-lien revolving loan ($27,622 par, due 6/2024) Initial Acquisition Date 12/21/2018 Reference Rate and Spread SOFR + 9.65% Interest Rate 15.03%                            
Investment, par [2],[11],[19],[20]   $ 27,622                        
Investment due date [2],[11],[19],[20]   2024-06                        
Initial Acquisition Date [2],[11],[19],[20]   Dec. 21, 2018                        
Reference Rate [2],[11],[19],[20]   9.65%             9.65% 9.65% 9.65% 9.65%    
Interest Rate [2],[11],[19],[20]   15.03%             15.03% 15.03% 15.03% 15.03%    
Investments at amortized cost [1],[2],[3],[11],[19],[20]   $ 27,622                        
Total investments at fair value [2],[4],[11],[19],[20]   $ 27,480                        
Percentage of Net Assets [2],[11],[19],[20]   1.80%             1.80% 1.80% 1.80% 1.80%    
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure IRGSE Holding Corp. First-lien revolving loan ($37,972 par, due 6/2025) Initial Acquisition Date 12/21/2018 Reference Rate and Spread SOFR + 9.65% Interest Rate 14.14%                            
Investment, par [2],[11],[19] $ 37,972                          
Investment due date [2],[11],[19] 2025-06                          
Initial Acquisition Date [2],[11],[19] Dec. 21, 2018                          
Reference Rate [2],[11],[19] 9.65%   9.65% 9.65% 9.65% 9.65% 9.65% 9.65%            
Interest Rate [2],[11],[19] 14.14%   14.14% 14.14% 14.14% 14.14% 14.14% 14.14%            
Investments at amortized cost [1],[2],[3],[11],[19] $ 37,972                          
Total investments at fair value [2],[4],[11],[19] $ 36,144                          
Percentage of Net Assets [2],[11],[19] 2.20%   2.20% 2.20% 2.20% 2.20% 2.20% 2.20%            
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure QSR Acquisition Co. First-lien loan ($30,000 par, due 10/2030) Initial Acquisition Date 10/31/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.84%                            
Investment, par [2],[11],[13] $ 30,000                          
Investment due date [2],[11],[13] 2030-10                          
Initial Acquisition Date [2],[11],[13] Oct. 31, 2024                          
Reference Rate [2],[11],[13] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11],[13] 9.84%   9.84% 9.84% 9.84% 9.84% 9.84% 9.84%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 29,461                          
Total investments at fair value [2],[4],[11],[13] $ 29,550                          
Percentage of Net Assets [2],[11],[13] 1.80%   1.80% 1.80% 1.80% 1.80% 1.80% 1.80%            
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure Second-lien loan ($2,347 par, due 6/2027) Initial Acquisition Date 3/13/2024 Reference Rate and Spread 16.00% Interest Rate 16.00% PIK                            
Investment, par [2],[11] $ 2,347                          
Investment due date [2],[11] 2027-06                          
Initial Acquisition Date [2],[11] Mar. 13, 2024                          
Reference Rate [2],[11] 16.00%   16.00% 16.00% 16.00% 16.00% 16.00% 16.00%            
Interest Rate, PIK [2],[11] 16.00%   16.00% 16.00% 16.00% 16.00% 16.00% 16.00%            
Investments at amortized cost [1],[2],[3],[11] $ 2,297                          
Total investments at fair value [2],[4],[11] $ 2,388                          
Percentage of Net Assets [2],[11] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure Sport Alliance GmbH First-lien loan (EUR 4,494 par, due 4/2030) Initial Acquisition Date 4/10/2024 Reference Rate and Spread E + 7.25% Interest Rate 10.15% (incl. 3.88% PIK)                            
Investment, par | € [2],[11],[15]     € 4,494                      
Investment due date [2],[11],[15] 2030-04                          
Initial Acquisition Date [2],[11],[15] Apr. 10, 2024                          
Reference Rate [2],[11],[15] 7.25%   7.25% 7.25% 7.25% 7.25% 7.25% 7.25%            
Interest Rate [2],[11],[15] 10.15%   10.15% 10.15% 10.15% 10.15% 10.15% 10.15%            
Interest Rate, PIK [2],[11],[15] 3.88%   3.88% 3.88% 3.88% 3.88% 3.88% 3.88%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 4,712                          
Total investments at fair value [2],[4],[11],[15] $ 4,601   € 4,443                      
Percentage of Net Assets [2],[11],[15] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services                            
Investments at amortized cost [1],[2],[3] $ 342,299 $ 351,845                        
Total investments at fair value [2],[4] $ 344,772 $ 355,607                        
Percentage of Net Assets [2] 21.40% 23.70% 21.40% 21.40% 21.40% 21.40% 21.40% 21.40% 23.70% 23.70% 23.70% 23.70%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Axonify, Inc. First-lien loan ($41,607 par, due 5/2027) Initial Acquisition Date 5/5/2021 Reference Rate and Spread SOFR + 7.65% Interest Rate 13.04%                            
Investment, par [2],[11],[13],[15]   $ 41,607                        
Investment due date [2],[11],[13],[15]   2027-05                        
Initial Acquisition Date [2],[11],[13],[15]   May 05, 2021                        
Reference Rate [2],[11],[13],[15]   7.65%             7.65% 7.65% 7.65% 7.65%    
Interest Rate [2],[11],[13],[15]   13.04%             13.04% 13.04% 13.04% 13.04%    
Investments at amortized cost [1],[2],[3],[11],[13],[15]   $ 41,035                        
Total investments at fair value [2],[4],[11],[13],[15]   $ 41,718                        
Percentage of Net Assets [2],[11],[13],[15]   2.70%             2.70% 2.70% 2.70% 2.70%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Axonify, Inc. First-lien loan ($44,419 par, due 5/2026) Initial Acquisition Date 5/5/2021 Reference Rate and Spread SOFR + 7.65% Interest Rate 12.2%                            
Investment, par [2],[11],[13],[15] $ 44,419                          
Investment due date [2],[11],[13],[15] 2026-05                          
Initial Acquisition Date [2],[11],[13],[15] May 05, 2021                          
Reference Rate [2],[11],[13],[15] 7.65%   7.65% 7.65% 7.65% 7.65% 7.65% 7.65%            
Interest Rate [2],[11],[13],[15] 12.20%   12.20% 12.20% 12.20% 12.20% 12.20% 12.20%            
Investments at amortized cost [1],[2],[3],[11],[13],[15] $ 43,982                          
Total investments at fair value [2],[4],[11],[13],[15] $ 44,532                          
Percentage of Net Assets [2],[11],[13],[15] 2.70%   2.70% 2.70% 2.70% 2.70% 2.70% 2.70%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Elysian Finco Ltd. First-lien loan ($19,519 par, due 1/2028) Initial Acquisition Date 1/31/2021 Reference Rate and Spread SOFR + 6.65% Interest Rate 2.03% (incl. 6.50% PIK)                            
Investment, par [2],[11],[13],[15]   $ 19,519                        
Investment due date [2],[11],[13],[15]   2028-01                        
Initial Acquisition Date [2],[11],[13],[15]   Jan. 31, 2021                        
Reference Rate [2],[11],[13],[15]   6.65%             6.65% 6.65% 6.65% 6.65%    
Interest Rate [2],[11],[13],[15]   12.03%             12.03% 12.03% 12.03% 12.03%    
Interest Rate, PIK [2],[11],[13],[15]   6.50%             6.50% 6.50% 6.50% 6.50%    
Investments at amortized cost [1],[2],[3],[11],[13],[15]   $ 19,112                        
Total investments at fair value [2],[4],[11],[13],[15]   $ 19,987                        
Percentage of Net Assets [2],[11],[13],[15]   1.30%             1.30% 1.30% 1.30% 1.30%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Elysian Finco Ltd. First-lien loan ($21,899 par, due 1/2028) Initial Acquisition Date 1/31/2021 Reference Rate and Spread SOFR + 6.65% Interest Rate 11.28%                            
Investment, par [2],[11],[13],[15] $ 21,899                          
Investment due date [2],[11],[13],[15] 2028-01                          
Initial Acquisition Date [2],[11],[13],[15] Jan. 31, 2021                          
Reference Rate [2],[11],[13],[15] 6.65%   6.65% 6.65% 6.65% 6.65% 6.65% 6.65%            
Interest Rate [2],[11],[13],[15] 11.28%   11.28% 11.28% 11.28% 11.28% 11.28% 11.28%            
Investments at amortized cost [1],[2],[3],[11],[13],[15] $ 21,616                          
Total investments at fair value [2],[4],[11],[13],[15] $ 21,954                          
Percentage of Net Assets [2],[11],[13],[15] 1.40%   1.40% 1.40% 1.40% 1.40% 1.40% 1.40%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Elysian Finco Ltd. First-lien revolving loan (GBP 325 par, due 1/2028) Initial Acquisition Date 1/31/2021 Reference Rate and Spread S + 5.00% Interest Rate 9.7%                            
Investment, par | £ [2],[11],[13],[15]       £ 325                    
Investment due date [2],[11],[13],[15] 2028-01                          
Initial Acquisition Date [2],[11],[13],[15] Jan. 31, 2021                          
Reference Rate [2],[11],[13],[15] 5.00%   5.00% 5.00% 5.00% 5.00% 5.00% 5.00%            
Interest Rate [2],[11],[13],[15] 9.70%   9.70% 9.70% 9.70% 9.70% 9.70% 9.70%            
Investments at amortized cost [1],[2],[3],[11],[13],[15] $ 361                          
Total investments at fair value [2],[4],[11],[13],[15] $ 396     £ 316                    
Percentage of Net Assets [2],[11],[13],[15] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Employment Hero Holdings Pty Ltd First-lien loan (AUD 60,000 par, due 12/2026) Initial Acquisition Date Reference Rate and Spread Interest Rate                            
Investment, par [2],[11],[15]           $ 60,000                
Investment due date [2],[11],[15] 2026-12                          
Initial Acquisition Date [2],[11],[15] Dec. 06, 2021                          
Reference Rate [2],[11],[15] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11],[15] 10.73%   10.73% 10.73% 10.73% 10.73% 10.73% 10.73%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 41,424                          
Total investments at fair value [2],[4],[11],[15] $ 37,247         $ 60,158                
Percentage of Net Assets [2],[11],[15] 2.30%   2.30% 2.30% 2.30% 2.30% 2.30% 2.30%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Employment Hero Holdings Pty Ltd. First-lien loan (AUD 50,000 par, due 12/2026) Initial Acquisition Date 12/6/2021 Reference Rate and Spread B + 6.25% Interest Rate 10.67%                            
Investment, par [2],[11],[15]                     $ 50,000      
Investment due date [2],[11],[15]   2026-12                        
Initial Acquisition Date [2],[11],[15]   Dec. 06, 2021                        
Reference Rate [2],[11],[15]   6.25%             6.25% 6.25% 6.25% 6.25%    
Interest Rate [2],[11],[15]   10.67%             10.67% 10.67% 10.67% 10.67%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 34,834                        
Total investments at fair value [2],[4],[11],[15]   $ 34,117                 $ 50,000      
Percentage of Net Assets [2],[11],[15]   2.30%             2.30% 2.30% 2.30% 2.30%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Hire Vue, Inc. First-lien revolving loan ($4,378 par, due 5/2029) Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 6.75% Interest Rate 11.30%                            
Investment, par [2],[11] $ 4,378                          
Investment due date [2],[11] 2029-05                          
Initial Acquisition Date [2],[11] May 03, 2023                          
Reference Rate [2],[11] 6.75%   6.75% 6.75% 6.75% 6.75% 6.75% 6.75%            
Interest Rate [2],[11] 11.30%   11.30% 11.30% 11.30% 11.30% 11.30% 11.30%            
Investments at amortized cost [1],[2],[3],[11] $ 4,233                          
Total investments at fair value [2],[4],[11] $ 4,464                          
Percentage of Net Assets [2],[11] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services HireVue, Inc. First-lien loan ($53,572 par, due 5/2029) Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 6.75% Interest Rate 11.34%                            
Investment, par [2],[11] $ 53,572                          
Investment due date [2],[11] 2029-05                          
Initial Acquisition Date [2],[11] May 03, 2023                          
Reference Rate [2],[11] 6.75%   6.75% 6.75% 6.75% 6.75% 6.75% 6.75%            
Interest Rate [2],[11] 11.34%   11.34% 11.34% 11.34% 11.34% 11.34% 11.34%            
Investments at amortized cost [1],[2],[3],[11] $ 52,335                          
Total investments at fair value [2],[4],[11] $ 54,240                          
Percentage of Net Assets [2],[11] 3.40%   3.40% 3.40% 3.40% 3.40% 3.40% 3.40%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services HireVue, Inc. First-lien loan ($54,113 par, due 5/2029) Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 7.25% Interest Rate 12.63%                            
Investment, par [2],[11]   $ 54,113                        
Investment due date [2],[11]   2029-05                        
Initial Acquisition Date [2],[11]   May 03, 2023                        
Reference Rate [2],[11]   7.25%             7.25% 7.25% 7.25% 7.25%    
Interest Rate [2],[11]   12.63%             12.63% 12.63% 12.63% 12.63%    
Investments at amortized cost [1],[2],[3],[11]   $ 52,478                        
Total investments at fair value [2],[4],[11]   $ 53,808                        
Percentage of Net Assets [2],[11]   3.60%             3.60% 3.60% 3.60% 3.60%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Madcap Software, Inc. First-lien loan ($32,175 par, due 12/2026) Initial Acquisition Date 12/15/2023 Reference Rate and Spread SOFR + 6.10% Interest Rate 10.35%                            
Investment, par [2],[11],[13] $ 32,175                          
Investment due date [2],[11],[13] 2026-12                          
Initial Acquisition Date [2],[11],[13] Dec. 15, 2023                          
Reference Rate [2],[11],[13] 6.10%   6.10% 6.10% 6.10% 6.10% 6.10% 6.10%            
Interest Rate [2],[11],[13] 10.35%   10.35% 10.35% 10.35% 10.35% 10.35% 10.35%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 31,657                          
Total investments at fair value [2],[4],[11],[13] $ 32,175                          
Percentage of Net Assets [2],[11],[13] 2.00%   2.00% 2.00% 2.00% 2.00% 2.00% 2.00%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Madcap Software, Inc. First-lien loan ($32,500 par, due 12/2026) Initial Acquisition Date 12/15/2023 Reference Rate and Spread SOFR + 6.10% Interest Rate 11.46%                            
Investment, par [2],[11],[13]   $ 32,500                        
Investment due date [2],[11],[13]   2026-12                        
Initial Acquisition Date [2],[11],[13]   Dec. 15, 2023                        
Reference Rate [2],[11],[13]   6.10%             6.10% 6.10% 6.10% 6.10%    
Interest Rate [2],[11],[13]   11.46%             11.46% 11.46% 11.46% 11.46%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 31,713                        
Total investments at fair value [2],[4],[11],[13]   $ 31,769                        
Percentage of Net Assets [2],[11],[13]   2.10%             2.10% 2.10% 2.10% 2.10%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services PageUp People, Ltd. First-lien loan ($10,557 par, due 12/2025) Initial Acquisition Date 10/28/2021 Reference Rate and Spread SOFR + 5.10% Interest Rate 10.45%                            
Investment, par [2],[11],[13],[15]   $ 10,557                        
Investment due date [2],[11],[13],[15]   2025-12                        
Initial Acquisition Date [2],[11],[13],[15]   Oct. 28, 2021                        
Reference Rate [2],[11],[13],[15]   5.10%             5.10% 5.10% 5.10% 5.10%    
Interest Rate [2],[11],[13],[15]   10.45%             10.45% 10.45% 10.45% 10.45%    
Investments at amortized cost [1],[2],[3],[11],[13],[15]   $ 10,549                        
Total investments at fair value [2],[4],[11],[13],[15]   $ 10,557                        
Percentage of Net Assets [2],[11],[13],[15]   0.70%             0.70% 0.70% 0.70% 0.70%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services PageUp People, Ltd. First-lien loan (AUD 13,400 par, due 12/2025) Initial Acquisition Date 1/11/2018 Reference Rate and Spread B + 5.00% Interest Rate 9.36%                            
Investment, par [2],[11],[13],[15]                     $ 13,400      
Investment due date [2],[11],[13],[15]   2025-12                        
Initial Acquisition Date [2],[11],[13],[15]   Jan. 11, 2018                        
Reference Rate [2],[11],[13],[15]   5.00%             5.00% 5.00% 5.00% 5.00%    
Interest Rate [2],[11],[13],[15]   9.36%             9.36% 9.36% 9.36% 9.36%    
Investments at amortized cost [1],[2],[3],[11],[13],[15]   $ 10,114                        
Total investments at fair value [2],[4],[11],[13],[15]   $ 9,143                 $ 13,400      
Percentage of Net Assets [2],[11],[13],[15]   0.60%             0.60% 0.60% 0.60% 0.60%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services PageUp People, Ltd. First-lien loan (GBP 3,104 par, due 12/2025) Initial Acquisition Date 10/28/2021 Reference Rate and Spread S + 5.03% Interest Rate 10.22%                            
Investment, par | £ [2],[11],[13],[15]                   £ 3,104        
Investment due date [2],[11],[13],[15]   2025-12                        
Initial Acquisition Date [2],[11],[13],[15]   Oct. 28, 2021                        
Reference Rate [2],[11],[13],[15]   5.03%             5.03% 5.03% 5.03% 5.03%    
Interest Rate [2],[11],[13],[15]   10.22%             10.22% 10.22% 10.22% 10.22%    
Investments at amortized cost [1],[2],[3],[11],[13],[15]   $ 4,276                        
Total investments at fair value [2],[4],[11],[13],[15]   $ 3,957               £ 3,104        
Percentage of Net Assets [2],[11],[13],[15]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services PayScale Holdings, Inc. First-lien loan ($70,465 par, due 5/2027) Initial Acquisition Date 5/3/2019 Reference Rate and Spread SOFR + 5.85% Interest Rate 10.18%                            
Investment, par [2],[11],[13] $ 70,465                          
Investment due date [2],[11],[13] 2027-05                          
Initial Acquisition Date [2],[11],[13] May 03, 2019                          
Reference Rate [2],[11],[13] 5.85%   5.85% 5.85% 5.85% 5.85% 5.85% 5.85%            
Interest Rate [2],[11],[13] 10.18%   10.18% 10.18% 10.18% 10.18% 10.18% 10.18%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 70,196                          
Total investments at fair value [2],[4],[11],[13] $ 71,170                          
Percentage of Net Assets [2],[11],[13] 4.40%   4.40% 4.40% 4.40% 4.40% 4.40% 4.40%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services PayScale Holdings, Inc. First-lien loan ($71,196 par, due 5/2027) Initial Acquisition Date 5/3/2019 Reference Rate and Spread SOFR + 6.35% Interest Rate 11.70%                            
Investment, par [2],[11],[13]   $ 71,196                        
Investment due date [2],[11],[13]   2027-05                        
Initial Acquisition Date [2],[11],[13]   May 03, 2019                        
Reference Rate [2],[11],[13]   6.35%             6.35% 6.35% 6.35% 6.35%    
Interest Rate [2],[11],[13]   11.70%             11.70% 11.70% 11.70% 11.70%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 70,826                        
Total investments at fair value [2],[4],[11],[13]   $ 71,374                        
Percentage of Net Assets [2],[11],[13]   4.80%             4.80% 4.80% 4.80% 4.80%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services PrimePay Intermediate, LLC First-lien loan ($34,025 par, due 12/2026) Initial Acquisition Date 12/17/2021 Reference Rate and Spread SOFR + 7.15% Interest Rate 11.63%                            
Investment, par [2],[11],[13] $ 34,025                          
Investment due date [2],[11],[13] 2026-12                          
Initial Acquisition Date [2],[11],[13] Dec. 17, 2021                          
Reference Rate [2],[11],[13] 7.15%   7.15% 7.15% 7.15% 7.15% 7.15% 7.15%            
Interest Rate [2],[11],[13] 11.63%   11.63% 11.63% 11.63% 11.63% 11.63% 11.63%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 33,466                          
Total investments at fair value [2],[4],[11],[13] $ 34,025                          
Percentage of Net Assets [2],[11],[13] 2.10%   2.10% 2.10% 2.10% 2.10% 2.10% 2.10%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services PrimePay Intermediate, LLC First-lien loan ($34,375 par, due 12/2026) Initial Acquisition Date 12/17/2021 Reference Rate and Spread SOFR + 7.15% Interest Rate 12.54%                            
Investment, par [2],[11],[13]   $ 34,375                        
Investment due date [2],[11],[13]   2026-12                        
Initial Acquisition Date [2],[11],[13]   Dec. 17, 2021                        
Reference Rate [2],[11],[13]   7.15%             7.15% 7.15% 7.15% 7.15%    
Interest Rate [2],[11],[13]   12.54%             12.54% 12.54% 12.54% 12.54%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 33,672                        
Total investments at fair value [2],[4],[11],[13]   $ 34,375                        
Percentage of Net Assets [2],[11],[13]   2.30%             2.30% 2.30% 2.30% 2.30%    
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services bswift, LLC First-lien loan ($43,910 par, due 11/2028) Initial Acquisition Date 11/7/2022 Reference Rate and Spread SOFR + 6.38% Interest Rate 11.05%                            
Investment, par [2],[11],[13] $ 43,910                          
Investment due date [2],[11],[13] 2028-11                          
Initial Acquisition Date [2],[11],[13] Nov. 07, 2022                          
Reference Rate [2],[11],[13] 6.38%   6.38% 6.38% 6.38% 6.38% 6.38% 6.38%            
Interest Rate [2],[11],[13] 11.05%   11.05% 11.05% 11.05% 11.05% 11.05% 11.05%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 43,029                          
Total investments at fair value [2],[4],[11],[13] $ 44,569                          
Percentage of Net Assets [2],[11],[13] 2.80%   2.80% 2.80% 2.80% 2.80% 2.80% 2.80%            
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services bswift, LLC First-lien loan ($44,358 par, due 11/2028) Initial Acquisition Date 11/7/2022 Reference Rate and Spread SOFR + 6.63% Interest Rate 12.03%                            
Investment, par [2],[11],[13]   $ 44,358                        
Investment due date [2],[11],[13]   2028-11                        
Initial Acquisition Date [2],[11],[13]   Nov. 07, 2022                        
Reference Rate [2],[11],[13]   6.63%             6.63% 6.63% 6.63% 6.63%    
Interest Rate [2],[11],[13]   12.03%             12.03% 12.03% 12.03% 12.03%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 43,236                        
Total investments at fair value [2],[4],[11],[13]   $ 44,802                        
Percentage of Net Assets [2],[11],[13]   3.00%             3.00% 3.00% 3.00% 3.00%    
Investment, Identifier [Axis]: Debt Investments Insurance Disco Parent, Inc. First-lien loan ($4,545 par, due 3/2029) Initial Acquisition Date 3/30/2023 Reference Rate and Spread SOFR + 7.50% Interest Rate 12.89%                            
Investment, par [2],[11]   $ 4,545                        
Investment due date [2],[11]   2029-03                        
Initial Acquisition Date [2],[11]   Mar. 30, 2023                        
Reference Rate [2],[11]   7.50%             7.50% 7.50% 7.50% 7.50%    
Interest Rate [2],[11]   12.89%             12.89% 12.89% 12.89% 12.89%    
Investments at amortized cost [1],[2],[3],[11]   $ 4,436                        
Total investments at fair value [2],[4],[11]   $ 4,533                        
Percentage of Net Assets [2],[11]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Debt Investments Insurance Disco Parent, Inc. First-lien loan ($5,319 par, due 3/2029) Initial Acquisition Date 3/30/2023 Reference Rate and Spread SOFR + 7.50% Interest Rate 12.01%                            
Investment, par [2],[11] $ 5,319                          
Investment due date [2],[11] 2029-03                          
Initial Acquisition Date [2],[11] Mar. 30, 2023                          
Reference Rate [2],[11] 7.50%   7.50% 7.50% 7.50% 7.50% 7.50% 7.50%            
Interest Rate [2],[11] 12.01%   12.01% 12.01% 12.01% 12.01% 12.01% 12.01%            
Investments at amortized cost [1],[2],[3],[11] $ 5,216                          
Total investments at fair value [2],[4],[11] $ 5,377                          
Percentage of Net Assets [2],[11] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Internet Services                            
Investments at amortized cost [1],[2],[3] $ 587,502 $ 473,034                        
Total investments at fair value [2],[4] $ 556,444 $ 479,531                        
Percentage of Net Assets [2] 34.70% 31.90% 34.70% 34.70% 34.70% 34.70% 34.70% 34.70% 31.90% 31.90% 31.90% 31.90%    
Investment, Identifier [Axis]: Debt Investments Internet Services Arrow Buyer, Inc. First-lien loan ($33,125 par, due 7/2030) Initial Acquisition Date 6/30/2023 Reference Rate and Spread SOFR + 6.50% Interest Rate 11.85%                            
Investment, par [2],[11]   $ 33,125                        
Investment due date [2],[11]   2030-07                        
Initial Acquisition Date [2],[11]   Jun. 30, 2023                        
Reference Rate [2],[11]   6.50%             6.50% 6.50% 6.50% 6.50%    
Interest Rate [2],[11]   11.85%             11.85% 11.85% 11.85% 11.85%    
Investments at amortized cost [1],[2],[3],[11]   $ 32,249                        
Total investments at fair value [2],[4],[11]   $ 32,820                        
Percentage of Net Assets [2],[11]   2.20%             2.20% 2.20% 2.20% 2.20%    
Investment, Identifier [Axis]: Debt Investments Internet Services Arrow Buyer, Inc. First-lien loan ($34,944 par, due 7/2030) Initial Acquisition Date 6/30/2023 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.08%                            
Investment, par [2],[11] $ 34,944                          
Investment due date [2],[11] 2030-07                          
Initial Acquisition Date [2],[11] Jun. 30, 2023                          
Reference Rate [2],[11] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11] 10.08%   10.08% 10.08% 10.08% 10.08% 10.08% 10.08%            
Investments at amortized cost [1],[2],[3],[11] $ 34,152                          
Total investments at fair value [2],[4],[11] $ 35,449                          
Percentage of Net Assets [2],[11] 2.20%   2.20% 2.20% 2.20% 2.20% 2.20% 2.20%            
Investment, Identifier [Axis]: Debt Investments Internet Services Bayshore Intermediate #2, L.P. First-lien loan ($36,629 par, due 10/2028) Initial Acquisition Date 10/1/2021 Reference Rate and Spread SOFR + 7.60% Interest Rate 12.96% PIK                            
Investment, par [2],[11]   $ 36,629                        
Investment due date [2],[11]   2028-10                        
Initial Acquisition Date [2],[11]   Oct. 01, 2021                        
Reference Rate [2],[11]   7.60%             7.60% 7.60% 7.60% 7.60%    
Interest Rate, PIK [2],[11]   12.96%             12.96% 12.96% 12.96% 12.96%    
Investments at amortized cost [1],[2],[3],[11]   $ 36,129                        
Total investments at fair value [2],[4],[11]   $ 36,446                        
Percentage of Net Assets [2],[11]   2.40%             2.40% 2.40% 2.40% 2.40%    
Investment, Identifier [Axis]: Debt Investments Internet Services Bayshore Intermediate #2, L.P. First-lien loan ($40,663 par, due 10/2028) Initial Acquisition Date 10/1/2021 Reference Rate and Spread SOFR + 6.25% Interest Rate 10.77% (incl. 3.38% PIK)                            
Investment, par [2],[11] $ 40,663                          
Investment due date [2],[11] 2028-10                          
Initial Acquisition Date [2],[11] Oct. 01, 2021                          
Reference Rate [2],[11] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11] 10.77%   10.77% 10.77% 10.77% 10.77% 10.77% 10.77%            
Interest Rate, PIK [2],[11] 3.38%   3.38% 3.38% 3.38% 3.38% 3.38% 3.38%            
Investments at amortized cost [1],[2],[3],[11] $ 40,222                          
Total investments at fair value [2],[4],[11] $ 40,774                          
Percentage of Net Assets [2],[11] 2.50%   2.50% 2.50% 2.50% 2.50% 2.50% 2.50%            
Investment, Identifier [Axis]: Debt Investments Internet Services Bayshore Intermediate #2, L.P. First-lien revolving loan ($480 par, due 10/2027) Initial Acquisition Date 10/1/2021 Reference Rate and Spread SOFR + 6.60% Interest Rate 12.01%                            
Investment, par [2],[11]   $ 480                        
Investment due date [2],[11]   2027-10                        
Initial Acquisition Date [2],[11]   Oct. 01, 2021                        
Reference Rate [2],[11]   6.60%             6.60% 6.60% 6.60% 6.60%    
Interest Rate [2],[11]   12.01%             12.01% 12.01% 12.01% 12.01%    
Investments at amortized cost [1],[2],[3],[11]   $ 446                        
Total investments at fair value [2],[4],[11]   $ 468                        
Percentage of Net Assets [2],[11]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Debt Investments Internet Services Coupa Holdings, LLC First-lien loan ($42,975 par, due 2/2030) Initial Acquisition Date 2/27/2023 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.84%                            
Investment, par [2],[11] $ 42,975                          
Investment due date [2],[11] 2030-02                          
Initial Acquisition Date [2],[11] Feb. 27, 2023                          
Reference Rate [2],[11] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11] 9.84%   9.84% 9.84% 9.84% 9.84% 9.84% 9.84%            
Investments at amortized cost [1],[2],[3],[11] $ 42,097                          
Total investments at fair value [2],[4],[11] $ 43,722                          
Percentage of Net Assets [2],[11] 2.70%   2.70% 2.70% 2.70% 2.70% 2.70% 2.70%            
Investment, Identifier [Axis]: Debt Investments Internet Services Coupa Holdings, LLC First-lien loan ($43,191 par, due 2/2030) Initial Acquisition Date 2/27/2023 Reference Rate and Spread SOFR + 7.50% Interest Rate 12.86%                            
Investment, par [2],[11]   $ 43,191                        
Investment due date [2],[11]   2030-02                        
Initial Acquisition Date [2],[11]   Feb. 27, 2023                        
Reference Rate [2],[11]   7.50%             7.50% 7.50% 7.50% 7.50%    
Interest Rate [2],[11]   12.86%             12.86% 12.86% 12.86% 12.86%    
Investments at amortized cost [1],[2],[3],[11]   $ 42,135                        
Total investments at fair value [2],[4],[11]   $ 43,441                        
Percentage of Net Assets [2],[11]   2.90%             2.90% 2.90% 2.90% 2.90%    
Investment, Identifier [Axis]: Debt Investments Internet Services CrunchTime Information, Systems, Inc. First-lien loan ($58,898 par, due 6/2028) Initial Acquisition Date 6/17/2022 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.11%                            
Investment, par [2],[11] $ 58,898                          
Investment due date [2],[11] 2028-06                          
Initial Acquisition Date [2],[11] Jun. 17, 2022                          
Reference Rate [2],[11] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11] 10.11%   10.11% 10.11% 10.11% 10.11% 10.11% 10.11%            
Investments at amortized cost [1],[2],[3],[11] $ 58,078                          
Total investments at fair value [2],[4],[11] $ 58,898                          
Percentage of Net Assets [2],[11] 3.70%   3.70% 3.70% 3.70% 3.70% 3.70% 3.70%            
Investment, Identifier [Axis]: Debt Investments Internet Services CrunchTime Information, Systems, Inc. First-lien loan ($59,500 par, due 6/2028) Initial Acquisition Date 6/17/2022 Reference Rate and Spread SOFR + 6.00% Interest Rate 11.36%                            
Investment, par [2],[11],[13]   $ 59,500                        
Investment due date [2],[11],[13]   2028-06                        
Initial Acquisition Date [2],[11],[13]   Jun. 17, 2022                        
Reference Rate [2],[11],[13]   6.00%             6.00% 6.00% 6.00% 6.00%    
Interest Rate [2],[11],[13]   11.36%             11.36% 11.36% 11.36% 11.36%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 58,477                        
Total investments at fair value [2],[4],[11],[13]   $ 59,947                        
Percentage of Net Assets [2],[11],[13]   4.00%             4.00% 4.00% 4.00% 4.00%    
Investment, Identifier [Axis]: Debt Investments Internet Services EDB Parent, LLC First-lien loan ($63,508 par, due 7/2028) Initial Acquisition Date 7/7/2022 Reference Rate and Spread SOFR + 6.75% Interest Rate 12.10%                            
Investment, par [2],[11],[13]   $ 63,508                        
Investment due date [2],[11],[13]   2028-07                        
Initial Acquisition Date [2],[11],[13]   Jul. 07, 2022                        
Reference Rate [2],[11],[13]   6.75%             6.75% 6.75% 6.75% 6.75%    
Interest Rate [2],[11],[13]   12.10%             12.10% 12.10% 12.10% 12.10%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 62,301                        
Total investments at fair value [2],[4],[11],[13]   $ 63,032                        
Percentage of Net Assets [2],[11],[13]   4.20%             4.20% 4.20% 4.20% 4.20%    
Investment, Identifier [Axis]: Debt Investments Internet Services EDB Parent, LLC First-lien loan ($69,873 par, due 7/2028) Initial Acquisition Date 7/7/2022 Reference Rate and Spread SOFR + 6.75% Interest Rate 11.26%                            
Investment, par [2],[11] $ 69,873                          
Investment due date [2],[11] 2028-07                          
Initial Acquisition Date [2],[11] Jul. 07, 2022                          
Reference Rate [2],[11] 6.75%   6.75% 6.75% 6.75% 6.75% 6.75% 6.75%            
Interest Rate [2],[11] 11.26%   11.26% 11.26% 11.26% 11.26% 11.26% 11.26%            
Investments at amortized cost [1],[2],[3],[11] $ 68,832                          
Total investments at fair value [2],[4],[11] $ 69,349                          
Percentage of Net Assets [2],[11] 4.30%   4.30% 4.30% 4.30% 4.30% 4.30% 4.30%            
Investment, Identifier [Axis]: Debt Investments Internet Services Flight Intermediate HoldCo, Inc. First-lien loan ($40,000 par, due 4/2030) Initial Acquisition Date 10/3/2024 Reference Rate and Spread 11.50% Interest Rate 11.50%                            
Investment, par [2] $ 40,000                          
Investment due date [2] 2030-04                          
Initial Acquisition Date [2] Oct. 03, 2024                          
Reference Rate [2] 11.50%   11.50% 11.50% 11.50% 11.50% 11.50% 11.50%            
Interest Rate [2] 11.50%   11.50% 11.50% 11.50% 11.50% 11.50% 11.50%            
Investments at amortized cost [1],[2],[3] $ 38,851                          
Total investments at fair value [2],[4] $ 38,900                          
Percentage of Net Assets [2] 2.40%   2.40% 2.40% 2.40% 2.40% 2.40% 2.40%            
Investment, Identifier [Axis]: Debt Investments Internet Services Higher Logic, LLC First-lien loan ($50,054 par, due 1/2025) Initial Acquisition Date 6/18/2018 Reference Rate and Spread SOFR + 6.25% Interest Rate 10.61%                            
Investment, par [2],[11],[13] $ 50,054                          
Investment due date [2],[11],[13] 2025-01                          
Initial Acquisition Date [2],[11],[13] Jun. 18, 2018                          
Reference Rate [2],[11],[13] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11],[13] 10.61%   10.61% 10.61% 10.61% 10.61% 10.61% 10.61%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 50,047                          
Total investments at fair value [2],[4],[11],[13] $ 50,054                          
Percentage of Net Assets [2],[11],[13] 3.10%   3.10% 3.10% 3.10% 3.10% 3.10% 3.10%            
Investment, Identifier [Axis]: Debt Investments Internet Services Higher Logic, LLC First-lien loan ($52,937 par, due 1/2025) Initial Acquisition Date 6/18/2018 Reference Rate and Spread SOFR + 6.75% Interest Rate 12.10%                            
Investment, par [2],[11],[13]   $ 52,937                        
Investment due date [2],[11],[13]   2025-01                        
Initial Acquisition Date [2],[11],[13]   Jun. 18, 2018                        
Reference Rate [2],[11],[13]   6.75%             6.75% 6.75% 6.75% 6.75%    
Interest Rate [2],[11],[13]   12.10%             12.10% 12.10% 12.10% 12.10%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 52,781                        
Total investments at fair value [2],[4],[11],[13]   $ 53,069                        
Percentage of Net Assets [2],[11],[13]   3.50%             3.50% 3.50% 3.50% 3.50%    
Investment, Identifier [Axis]: Debt Investments Internet Services Hippo XPA Bidco AB First-lien loan (EUR 2,472 par, due 2/2031) Initial Acquisition Date 2/20/2024 Reference Rate and Spread E + 6.50% Interest Rate 9.87% (incl. 3.50% PIK)                            
Investment, par | € [2],[11],[15]     € 2,472                      
Investment due date [2],[11],[15] 2031-02                          
Initial Acquisition Date [2],[11],[15] Feb. 20, 2024                          
Reference Rate [2],[11],[15] 6.50%   6.50% 6.50% 6.50% 6.50% 6.50% 6.50%            
Interest Rate [2],[11],[15] 9.87%   9.87% 9.87% 9.87% 9.87% 9.87% 9.87%            
Interest Rate, PIK [2],[11],[15] 3.50%   3.50% 3.50% 3.50% 3.50% 3.50% 3.50%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 2,636                          
Total investments at fair value [2],[4],[11],[15] $ 2,554   € 2,466                      
Percentage of Net Assets [2],[11],[15] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, Identifier [Axis]: Debt Investments Internet Services Hippo XPA Bidco AB First-lien loan (SEK 80,225 par, due 2/2031) Initial Acquisition Date 2/20/2024 Reference Rate and Spread STIBOR + 6.50% Interest Rate 9.16% (incl. 3.50% PIK)                            
Investment, par | kr [2],[11],[15]             kr 80,225              
Investment due date [2],[11],[15] 2031-02                          
Initial Acquisition Date [2],[11],[15] Feb. 20, 2024                          
Reference Rate [2],[11],[15] 6.50%   6.50% 6.50% 6.50% 6.50% 6.50% 6.50%            
Interest Rate [2],[11],[15] 9.16%   9.16% 9.16% 9.16% 9.16% 9.16% 9.16%            
Interest Rate, PIK [2],[11],[15] 3.50%   3.50% 3.50% 3.50% 3.50% 3.50% 3.50%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 7,557                          
Total investments at fair value [2],[4],[11],[15] $ 7,238           kr 79,977              
Percentage of Net Assets [2],[11],[15] 0.50%   0.50% 0.50% 0.50% 0.50% 0.50% 0.50%            
Investment, Identifier [Axis]: Debt Investments Internet Services Kryptona BidCo US, LLC First-lien loan ($19,912 par, due 12/2031) Initial Acquisition Date 12/18/2024 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.10%                            
Investment, par [2],[11] $ 19,912                          
Investment due date [2],[11] 2031-12                          
Initial Acquisition Date [2],[11] Dec. 18, 2024                          
Reference Rate [2],[11] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11] 10.10%   10.10% 10.10% 10.10% 10.10% 10.10% 10.10%            
Investments at amortized cost [1],[2],[3],[11] $ 19,472                          
Total investments at fair value [2],[4],[11] $ 19,526                          
Percentage of Net Assets [2],[11] 1.20%   1.20% 1.20% 1.20% 1.20% 1.20% 1.20%            
Investment, Identifier [Axis]: Debt Investments Internet Services Kryptona BidCo US, LLC First-lien loan (EUR 4,608 par, due 12/2031) Initial Acquisition Date 12/18/2024 Reference Rate and Spread E + 5.75% Interest Rate 8.61%                            
Investment, par | € [2],[11]     € 4,608                      
Investment due date [2],[11] 2031-12                          
Initial Acquisition Date [2],[11] Dec. 18, 2024                          
Reference Rate [2],[11] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11] 8.61%   8.61% 8.61% 8.61% 8.61% 8.61% 8.61%            
Investments at amortized cost [1],[2],[3],[11] $ 4,729                          
Total investments at fair value [2],[4],[11] $ 4,688   € 4,527                      
Percentage of Net Assets [2],[11] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Internet Services LeanTaaS Holdings, Inc. First-lien loan ($36,966 par, due 7/2028) Initial Acquisition Date 7/12/2022 Reference Rate and Spread SOFR + 7.50% Interest Rate 12.85%                            
Investment, par [2],[11],[13]   $ 36,966                        
Investment due date [2],[11],[13]   2028-07                        
Initial Acquisition Date [2],[11],[13]   Jul. 12, 2022                        
Reference Rate [2],[11],[13]   7.50%             7.50% 7.50% 7.50% 7.50%    
Interest Rate [2],[11],[13]   12.85%             12.85% 12.85% 12.85% 12.85%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 36,190                        
Total investments at fair value [2],[4],[11],[13]   $ 37,411                        
Percentage of Net Assets [2],[11],[13]   2.50%             2.50% 2.50% 2.50% 2.50%    
Investment, Identifier [Axis]: Debt Investments Internet Services LeanTaaS Holdings, Inc. First-lien loan ($56,156 par, due 7/2028) Initial Acquisition Date 7/12/2022 Reference Rate and Spread SOFR + 7.50% Interest Rate 11.83%                            
Investment, par [2],[11],[13] $ 56,156                          
Investment due date [2],[11],[13] 2028-07                          
Initial Acquisition Date [2],[11],[13] Jul. 12, 2022                          
Reference Rate [2],[11],[13] 7.50%   7.50% 7.50% 7.50% 7.50% 7.50% 7.50%            
Interest Rate [2],[11],[13] 11.83%   11.83% 11.83% 11.83% 11.83% 11.83% 11.83%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 55,388                          
Total investments at fair value [2],[4],[11],[13] $ 56,437                          
Percentage of Net Assets [2],[11],[13] 3.50%   3.50% 3.50% 3.50% 3.50% 3.50% 3.50%            
Investment, Identifier [Axis]: Debt Investments Internet Services Lithium Technologies, LLC First-lien loan ($57,665 par, due 1/2025) Initial Acquisition Date 10/3/2017 Reference Rate and Spread SOFR + 9.00% Interest Rate 14.39% (incl. 4.50% PIK)                            
Investment, par [2],[11]   $ 57,665                        
Investment due date [2],[11]   2025-01                        
Initial Acquisition Date [2],[11]   Oct. 03, 2017                        
Reference Rate [2],[11]   9.00%             9.00% 9.00% 9.00% 9.00%    
Interest Rate [2],[11]   14.39%             14.39% 14.39% 14.39% 14.39%    
Interest Rate, PIK [2],[11]   4.50%             4.50% 4.50% 4.50% 4.50%    
Investments at amortized cost [1],[2],[3],[11]   $ 57,673                        
Total investments at fair value [2],[4],[11]   $ 56,367                        
Percentage of Net Assets [2],[11]   3.80%             3.80% 3.80% 3.80% 3.80%    
Investment, Identifier [Axis]: Debt Investments Internet Services Lithium Technologies, LLC First-lien loan ($61,483 par, due 1/2025) Initial Acquisition Date 10/3/2017 Reference Rate and Spread SOFR + 11.00% Interest Rate 15.59%                            
Investment, par [2],[11],[18] $ 61,483                          
Investment due date [2],[11],[18] 2025-01                          
Initial Acquisition Date [2],[11],[18] Oct. 03, 2017                          
Reference Rate [2],[11],[18] 11.00%   11.00% 11.00% 11.00% 11.00% 11.00% 11.00%            
Interest Rate [2],[11],[18] 15.59%   15.59% 15.59% 15.59% 15.59% 15.59% 15.59%            
Investments at amortized cost [1],[2],[3],[11],[18] $ 61,483                          
Total investments at fair value [2],[4],[11],[18] $ 22,287                          
Percentage of Net Assets [2],[11],[18] 1.40%   1.40% 1.40% 1.40% 1.40% 1.40% 1.40%            
Investment, Identifier [Axis]: Debt Investments Internet Services Lucidworks, Inc. First-lien loan ($8,912 par, due 2/2027) Initial Acquisition Date 2/11/2022 Reference Rate and Spread SOFR + 7.50% Interest Rate 12.86% (incl. 3.50% PIK)                            
Investment, par [2],[11],[13]   $ 8,912                        
Investment due date [2],[11],[13]   2027-02                        
Initial Acquisition Date [2],[11],[13]   Feb. 11, 2022                        
Reference Rate [2],[11],[13]   7.50%             7.50% 7.50% 7.50% 7.50%    
Interest Rate [2],[11],[13]   12.86%             12.86% 12.86% 12.86% 12.86%    
Interest Rate, PIK [2],[11],[13]   3.50%             3.50% 3.50% 3.50% 3.50%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 8,912                        
Total investments at fair value [2],[4],[11],[13]   $ 8,912                        
Percentage of Net Assets [2],[11],[13]   0.60%             0.60% 0.60% 0.60% 0.60%    
Investment, Identifier [Axis]: Debt Investments Internet Services Lucidworks, Inc. First-lien loan ($9,477 par, due 2/2027) Initial Acquisition Date 2/11/2022 Reference Rate and Spread SOFR + 7.50% Interest Rate 11.86% (3.50% PIK)                            
Investment, par [2],[11],[13] $ 9,477                          
Investment due date [2],[11],[13] 2027-02                          
Initial Acquisition Date [2],[11],[13] Feb. 11, 2022                          
Reference Rate [2],[11],[13] 7.50%   7.50% 7.50% 7.50% 7.50% 7.50% 7.50%            
Interest Rate [2],[11],[13] 11.86%   11.86% 11.86% 11.86% 11.86% 11.86% 11.86%            
Interest Rate, PIK [2],[11],[13] 3.50%   3.50% 3.50% 3.50% 3.50% 3.50% 3.50%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 9,477                          
Total investments at fair value [2],[4],[11],[13] $ 9,501                          
Percentage of Net Assets [2],[11],[13] 0.60%   0.60% 0.60% 0.60% 0.60% 0.60% 0.60%            
Investment, Identifier [Axis]: Debt Investments Internet Services Merit Software Finance Holdings, LLC First-lien loan ($43,214 par, due 6/2029) Initial Acquisition Date 6/20/2024 Reference Rate and Spread SOFR + 7.50% Interest Rate 11.85%                            
Investment, par [2],[11] $ 43,214                          
Investment due date [2],[11] 2029-06                          
Initial Acquisition Date [2],[11] Jun. 20, 2024                          
Reference Rate [2],[11] 7.50%   7.50% 7.50% 7.50% 7.50% 7.50% 7.50%            
Interest Rate [2],[11] 11.85%   11.85% 11.85% 11.85% 11.85% 11.85% 11.85%            
Investments at amortized cost [1],[2],[3],[11] $ 41,939                          
Total investments at fair value [2],[4],[11] $ 42,389                          
Percentage of Net Assets [2],[11] 2.70%   2.70% 2.70% 2.70% 2.70% 2.70% 2.70%            
Investment, Identifier [Axis]: Debt Investments Internet Services Piano Software, Inc. First-lien loan ($50,889 par, due 2/2026) Initial Acquisition Date 2/25/2021 Reference Rate and Spread SOFR + 7.10% Interest Rate 12.45%                            
Investment, par [2],[11],[13]   $ 50,889                        
Investment due date [2],[11],[13]   2026-02                        
Initial Acquisition Date [2],[11],[13]   Feb. 25, 2021                        
Reference Rate [2],[11],[13]   7.10%             7.10% 7.10% 7.10% 7.10%    
Interest Rate [2],[11],[13]   12.45%             12.45% 12.45% 12.45% 12.45%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 50,282                        
Total investments at fair value [2],[4],[11],[13]   $ 50,508                        
Percentage of Net Assets [2],[11],[13]   3.30%             3.30% 3.30% 3.30% 3.30%    
Investment, Identifier [Axis]: Debt Investments Internet Services SMA Technologies Holdings, LLC First-lien loan ($36,833 par, due 10/2028) Initial Acquisition Date 10/31/2022 Reference Rate and Spread SOFR + 6.75% Interest Rate 12.11%                            
Investment, par [2],[11],[13]   $ 36,833                        
Investment due date [2],[11],[13]   2028-10                        
Initial Acquisition Date [2],[11],[13]   Oct. 31, 2022                        
Reference Rate [2],[11],[13]   6.75%             6.75% 6.75% 6.75% 6.75%    
Interest Rate [2],[11],[13]   12.11%             12.11% 12.11% 12.11% 12.11%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 35,459                        
Total investments at fair value [2],[4],[11],[13]   $ 37,110                        
Percentage of Net Assets [2],[11],[13]   2.50%             2.50% 2.50% 2.50% 2.50%    
Investment, Identifier [Axis]: Debt Investments Internet Services SMA Technologies Holdings, LLC First-lien loan ($53,991 par, due 10/2028) Initial Acquisition Date 10/31/2022 Reference Rate and Spread SOFR + 6.50% Interest Rate 11.01%                            
Investment, par [2],[11],[13] $ 53,991                          
Investment due date [2],[11],[13] 2028-10                          
Initial Acquisition Date [2],[11],[13] Oct. 31, 2022                          
Reference Rate [2],[11],[13] 6.50%   6.50% 6.50% 6.50% 6.50% 6.50% 6.50%            
Interest Rate [2],[11],[13] 11.01%   11.01% 11.01% 11.01% 11.01% 11.01% 11.01%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 52,542                          
Total investments at fair value [2],[4],[11],[13] $ 54,678                          
Percentage of Net Assets [2],[11],[13] 3.40%   3.40% 3.40% 3.40% 3.40% 3.40% 3.40%            
Investment, Identifier [Axis]: Debt Investments Manufacturing                            
Investments at amortized cost [1],[2],[3] $ 119,888 $ 81,403                        
Total investments at fair value [2],[4] $ 122,161 $ 83,215                        
Percentage of Net Assets [2] 7.60% 5.70% 7.60% 7.60% 7.60% 7.60% 7.60% 7.60% 5.70% 5.70% 5.70% 5.70%    
Investment, Identifier [Axis]: Debt Investments Manufacturing ASP Unifrax Holdings, Inc. First-lien loan ($1,130 par, due 12/2025) Initial Acquisition Date 8/25/2023 Reference Rate and Spread SOFR + 3.90% Interest Rate 9.25%                            
Investment, par [2],[11],[14]   $ 1,130                        
Investment due date [2],[11],[14]   2025-12                        
Initial Acquisition Date [2],[14]   Aug. 25, 2023                        
Reference Rate [2],[14]   3.90%             3.90% 3.90% 3.90% 3.90%    
Interest Rate [2],[14]   9.25%             9.25% 9.25% 9.25% 9.25%    
Investments at amortized cost [1],[2],[3],[14]   $ 1,053                        
Total investments at fair value [2],[4],[14]   $ 1,051                        
Percentage of Net Assets [2],[14]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Debt Investments Manufacturing ASP Unifrax Holdings, Inc. First-lien loan (EUR 1,023 par, due 12/2025) Initial Acquisition Date 9/14/2023 Reference Rate and Spread E + 3.75% Interest Rate 7.68%                            
Investment, par | € [2],[11],[14]                 € 1,023          
Investment due date [2],[11],[14]   2025-12                        
Initial Acquisition Date [2],[14]   Sep. 14, 2023                        
Reference Rate [2],[14]   3.75%             3.75% 3.75% 3.75% 3.75%    
Interest Rate [2],[14]   7.68%             7.68% 7.68% 7.68% 7.68%    
Investments at amortized cost [1],[2],[3],[14]   $ 998                        
Total investments at fair value [2],[4],[14]   $ 1,030             € 932          
Percentage of Net Assets [2],[14]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Debt Investments Manufacturing ASP Unifrax Holdings, Inc. Secured Note ($91 par, due 9/2028) Initial Acquisition Date 12/19/2023 Reference Rate and Spread 5.25% Interest Rate 5.25%                            
Investment, par [2],[14]   $ 91                        
Investment due date [2],[14]   2028-09                        
Initial Acquisition Date [2],[14]   Dec. 19, 2023                        
Reference Rate [2],[14]   5.25%             5.25% 5.25% 5.25% 5.25%    
Interest Rate [2],[14]   5.25%             5.25% 5.25% 5.25% 5.25%    
Investments at amortized cost [1],[2],[3],[14]   $ 62                        
Total investments at fair value [2],[4],[14]   $ 66                        
Percentage of Net Assets [2],[14]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Debt Investments Manufacturing ASP Unifrax Holdings, Inc. Unsecured Note ($1,059 par, due 9/2029) Initial Acquisition Date 8/31/2023 Reference Rate and Spread 7.50% Interest Rate 7.50%                            
Investment, par [2],[14]   $ 1,059                        
Investment due date [2],[14]   2029-09                        
Initial Acquisition Date [2],[14]   Aug. 31, 2023                        
Reference Rate [2],[14]   7.50%             7.50% 7.50% 7.50% 7.50%    
Interest Rate [2],[14]   7.50%             7.50% 7.50% 7.50% 7.50%    
Investments at amortized cost [1],[2],[3],[14]   $ 570                        
Total investments at fair value [2],[4],[14]   $ 540                        
Percentage of Net Assets [2],[14]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Debt Investments Manufacturing ASP Unifrax Holdings, Inc., First-lien loan ($3,449 par, due 9/2029) Initial Acquisition Date 9/30/2024 Reference Rate and Spread SOFR + 7.75% Interest Rate 12.08% (incl. 4.75% PIK)                            
Investment, par [2],[11],[14] $ 3,449                          
Investment due date [2],[11],[14] 2029-09                          
Initial Acquisition Date [2],[11],[14] Sep. 30, 2024                          
Reference Rate [2],[11],[14] 7.75%   7.75% 7.75% 7.75% 7.75% 7.75% 7.75%            
Interest Rate [2],[11],[14] 12.08%   12.08% 12.08% 12.08% 12.08% 12.08% 12.08%            
Interest Rate, PIK [2],[11],[14] 4.75%   4.75% 4.75% 4.75% 4.75% 4.75% 4.75%            
Investments at amortized cost [1],[2],[3],[11],[14] $ 3,376                          
Total investments at fair value [2],[4],[11],[14] $ 3,484                          
Percentage of Net Assets [2],[11],[14] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, Identifier [Axis]: Debt Investments Manufacturing ASP Unifrax Holdings, Inc., Second-lien note ($1,999 par, due 9/2029) Initial Acquisition Date 8/31/2023 Reference Rate and Spread 7.10% Interest Rate 7.10% (incl. 1.25% PIK)                            
Investment, par [2],[14] $ 1,999                          
Investment due date [2],[14] 2029-09                          
Initial Acquisition Date [2],[14] Aug. 31, 2023                          
Reference Rate [2],[14] 7.10%   7.10% 7.10% 7.10% 7.10% 7.10% 7.10%            
Interest Rate [2],[14] 7.10%   7.10% 7.10% 7.10% 7.10% 7.10% 7.10%            
Interest Rate, PIK [2],[14] 1.25%   1.25% 1.25% 1.25% 1.25% 1.25% 1.25%            
Investments at amortized cost [1],[2],[3],[14] $ 1,513                          
Total investments at fair value [2],[4],[14] $ 1,309                          
Percentage of Net Assets [2],[14] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Manufacturing Aptean, Inc. First-lien loan ($8,835 par, due 1/2031) Initial Acquisition Date 1/30/2024 Reference Rate and Spread SOFR + 5.00% Interest Rate 9.58%                            
Investment, par [2],[11] $ 8,835                          
Investment due date [2],[11] 2031-01                          
Initial Acquisition Date [2],[11] Jan. 30, 2024                          
Reference Rate [2],[11] 5.00%   5.00% 5.00% 5.00% 5.00% 5.00% 5.00%            
Interest Rate [2],[11] 9.58%   9.58% 9.58% 9.58% 9.58% 9.58% 9.58%            
Investments at amortized cost [1],[2],[3],[11] $ 8,748                          
Total investments at fair value [2],[4],[11] $ 8,860                          
Percentage of Net Assets [2],[11] 0.60%   0.60% 0.60% 0.60% 0.60% 0.60% 0.60%            
Investment, Identifier [Axis]: Debt Investments Manufacturing Avalara, Inc. First-lien loan ($38,636 par, due 10/2028) Initial Acquisition Date 10/19/2022 Reference Rate and Spread SOFR + 7.25% Interest Rate 12.60%                            
Investment, par [2],[11]   $ 38,636                        
Investment due date [2],[11]   2028-10                        
Initial Acquisition Date [2],[11]   Oct. 19, 2022                        
Reference Rate [2],[11]   7.25%             7.25% 7.25% 7.25% 7.25%    
Interest Rate [2],[11]   12.60%             12.60% 12.60% 12.60% 12.60%    
Investments at amortized cost [1],[2],[3],[11]   $ 37,736                        
Total investments at fair value [2],[4],[11]   $ 38,743                        
Percentage of Net Assets [2],[11]   2.60%             2.60% 2.60% 2.60% 2.60%    
Investment, Identifier [Axis]: Debt Investments Manufacturing Avalara, Inc., First-lien loan ($38,636 par, due 10/2028) Initial Acquisition Date 10/19/2022 Reference Rate and Spread SOFR + 6.25% Interest Rate 10.58%                            
Investment, par [2],[11] $ 38,636                          
Investment due date [2],[11] 2028-10                          
Initial Acquisition Date [2],[11] Oct. 19, 2022                          
Reference Rate [2],[11] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11] 10.58%   10.58% 10.58% 10.58% 10.58% 10.58% 10.58%            
Investments at amortized cost [1],[2],[3],[11] $ 37,889                          
Total investments at fair value [2],[4],[11] $ 38,955                          
Percentage of Net Assets [2],[11] 2.40%   2.40% 2.40% 2.40% 2.40% 2.40% 2.40%            
Investment, Identifier [Axis]: Debt Investments Manufacturing Heritage Environmental Services, Inc, First-lien loan ($1,329 par, due 1/2031) Initial Acquisition Date 1/31/2024 Reference Rate and Spread SOFR + 5.00% Interest Rate 9.33%                            
Investment, par [2],[11] $ 1,329                          
Investment due date [2],[11] 2031-01                          
Initial Acquisition Date [2],[11] Jan. 31, 2024                          
Reference Rate [2],[11] 5.00%   5.00% 5.00% 5.00% 5.00% 5.00% 5.00%            
Interest Rate [2],[11] 9.33%   9.33% 9.33% 9.33% 9.33% 9.33% 9.33%            
Investments at amortized cost [1],[2],[3],[11] $ 1,323                          
Total investments at fair value [2],[4],[11] $ 1,329                          
Percentage of Net Assets [2],[11] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Manufacturing Heritage Environmental Services, Inc, First-lien loan ($12,284 par, due 1/2031) Initial Acquisition Date 1/31/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.84%                            
Investment, par [2],[11] $ 12,284                          
Investment due date [2],[11] 2031-01                          
Initial Acquisition Date [2],[11] Jan. 31, 2024                          
Reference Rate [2],[11] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11] 9.84%   9.84% 9.84% 9.84% 9.84% 9.84% 9.84%            
Investments at amortized cost [1],[2],[3],[11] $ 12,221                          
Total investments at fair value [2],[4],[11] $ 12,425                          
Percentage of Net Assets [2],[11] 0.80%   0.80% 0.80% 0.80% 0.80% 0.80% 0.80%            
Investment, Identifier [Axis]: Debt Investments Manufacturing Skylark UK DebtCo Limited First-lien loan ($16,340 par, due 9/2030) Initial Acquisition Date 9/7/2023 Reference Rate and Spread SOFR + 5.66% Interest Rate 9.99%                            
Investment, par [2],[11],[15] $ 16,340                          
Investment due date [2],[11],[15] 2030-09                          
Initial Acquisition Date [2],[11],[15] Sep. 07, 2023                          
Reference Rate [2],[11],[15] 5.66%   5.66% 5.66% 5.66% 5.66% 5.66% 5.66%            
Interest Rate [2],[11],[15] 9.99%   9.99% 9.99% 9.99% 9.99% 9.99% 9.99%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 15,951                          
Total investments at fair value [2],[4],[11],[15] $ 16,503                          
Percentage of Net Assets [2],[11],[15] 1.00%   1.00% 1.00% 1.00% 1.00% 1.00% 1.00%            
Investment, Identifier [Axis]: Debt Investments Manufacturing Skylark UK DebtCo Limited First-lien loan ($16,340 par, due 9/2030) Initial Acquisition Date 9/7/2023 Reference Rate and Spread SOFR + 6.25% Interest Rate 11.60%                            
Investment, par [2],[11],[15]   $ 16,340                        
Investment due date [2],[11],[15]   2030-09                        
Initial Acquisition Date [2],[11],[15]   Sep. 07, 2023                        
Reference Rate [2],[11],[15]   6.25%             6.25% 6.25% 6.25% 6.25%    
Interest Rate [2],[11],[15]   11.60%             11.60% 11.60% 11.60% 11.60%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 15,722                        
Total investments at fair value [2],[4],[11],[15]   $ 15,812                        
Percentage of Net Assets [2],[11],[15]   1.10%             1.10% 1.10% 1.10% 1.10%    
Investment, Identifier [Axis]: Debt Investments Manufacturing Skylark UK DebtCo Limited First-lien loan (EUR 4,851 par, due 9/2030) Initial Acquisition Date 9/7/2023 Reference Rate and Spread E + 5.66% Interest Rate 8.35%                            
Investment, par | € [2],[11],[15]     € 4,851                      
Investment due date [2],[11],[15] 2030-09                          
Initial Acquisition Date [2],[11],[15] Sep. 07, 2023                          
Reference Rate [2],[11],[15] 5.66%   5.66% 5.66% 5.66% 5.66% 5.66% 5.66%            
Interest Rate [2],[11],[15] 8.35%   8.35% 8.35% 8.35% 8.35% 8.35% 8.35%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 5,071                          
Total investments at fair value [2],[4],[11],[15] $ 5,074   € 4,900                      
Percentage of Net Assets [2],[11],[15] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Manufacturing Skylark UK DebtCo Limited First-lien loan (EUR 4,851 par, due 9/2030) Initial Acquisition Date 9/7/2023 Reference Rate and Spread E + 6.25% Interest Rate 10.18%                            
Investment, par | € [2],[11],[15]                 € 4,851          
Investment due date [2],[11],[15]   2030-09                        
Initial Acquisition Date [2],[11],[15]   Sep. 07, 2023                        
Reference Rate [2],[11],[15]   6.25%             6.25% 6.25% 6.25% 6.25%    
Interest Rate [2],[11],[15]   10.18%             10.18% 10.18% 10.18% 10.18%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 5,055                        
Total investments at fair value [2],[4],[11],[15]   $ 5,238             € 4,742          
Percentage of Net Assets [2],[11],[15]   0.40%             0.40% 0.40% 0.40% 0.40%    
Investment, Identifier [Axis]: Debt Investments Manufacturing Skylark UK DebtCo Limited First-lien loan (GBP 16,640 par, due 9/2030) Initial Acquisition Date 9/7/2023 Reference Rate and Spread S + 5.66% Interest 10.36%                            
Investment, par | £ [2],[11],[15]       £ 16,640                    
Investment due date [2],[11],[15] 2030-09                          
Initial Acquisition Date [2],[11],[15] Sep. 07, 2023                          
Reference Rate [2],[11],[15] 5.66%   5.66% 5.66% 5.66% 5.66% 5.66% 5.66%            
Interest Rate [2],[11],[15] 10.36%   10.36% 10.36% 10.36% 10.36% 10.36% 10.36%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 20,115                          
Total investments at fair value [2],[4],[11],[15] $ 21,117     £ 16,861                    
Percentage of Net Assets [2],[11],[15] 1.30%   1.30% 1.30% 1.30% 1.30% 1.30% 1.30%            
Investment, Identifier [Axis]: Debt Investments Manufacturing Skylark UK DebtCo Limited First-lien loan (GBP 16,640 par, due 9/2030) Initial Acquisition Date 9/7/2023 Reference Rate and Spread S + 6.25% Interest Rate 11.52%                            
Investment, par | £ [2],[11],[15]                   £ 16,640        
Investment due date [2],[11],[15]   2030-09                        
Initial Acquisition Date [2],[11],[15]   Sep. 07, 2023                        
Reference Rate [2],[11],[15]   6.25%             6.25% 6.25% 6.25% 6.25%    
Interest Rate [2],[11],[15]   11.52%             11.52% 11.52% 11.52% 11.52%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 20,207                        
Total investments at fair value [2],[4],[11],[15]   $ 20,735               £ 16,265        
Percentage of Net Assets [2],[11],[15]   1.40%             1.40% 1.40% 1.40% 1.40%    
Investment, Identifier [Axis]: Debt Investments Manufacturing Varinem German BidCo GMBH First-lien loan (EUR 12,696 par, due 7/2031) Initial Acquisition Date 7/11/2024 Reference Rate and Spread E + 5.75% Interest 9.42%                            
Investment, par | € [2],[11],[15]     € 12,696                      
Investment due date [2],[11],[15] 2031-07                          
Initial Acquisition Date [2],[11],[15] Jul. 11, 2024                          
Reference Rate [2],[11],[15] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11],[15] 9.42%   9.42% 9.42% 9.42% 9.42% 9.42% 9.42%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 13,681                          
Total investments at fair value [2],[4],[11],[15] $ 13,105   € 12,656                      
Percentage of Net Assets [2],[11],[15] 0.80%   0.80% 0.80% 0.80% 0.80% 0.80% 0.80%            
Investment, Identifier [Axis]: Debt Investments Office Products USR Parent, Inc. ABL FILO term loan ($15,000 par, due 4/2027) Initial Acquisition Date 4/25/2022 Reference Rate and Spread SOFR + 6.50% Interest Rate 11.05%                            
Investment, par [2],[11],[13] $ 15,000                          
Investment due date [2],[11],[13] 2027-04                          
Initial Acquisition Date [2],[11],[13] Apr. 25, 2022                          
Reference Rate [2],[11],[13] 6.50%   6.50% 6.50% 6.50% 6.50% 6.50% 6.50%            
Interest Rate [2],[11],[13] 11.05%   11.05% 11.05% 11.05% 11.05% 11.05% 11.05%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 14,781                          
Total investments at fair value [2],[4],[11],[13] $ 15,000                          
Percentage of Net Assets [2],[11],[13] 0.90%   0.90% 0.90% 0.90% 0.90% 0.90% 0.90%            
Investment, Identifier [Axis]: Debt Investments Office Products USR Parent, Inc. ABL FILO term loan ($17,000 par, due 4/2027) Initial Acquisition Date 4/25/2022 Reference Rate and Spread SOFR + 6.50% Interest Rate 11.84%                            
Investment, par [2],[11],[13]   $ 17,000                        
Investment due date [2],[11],[13]   2027-04                        
Initial Acquisition Date [2],[11],[13]   Apr. 25, 2022                        
Reference Rate [2],[11],[13]   6.50%             6.50% 6.50% 6.50% 6.50%    
Interest Rate [2],[11],[13]   11.84%             11.84% 11.84% 11.84% 11.84%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 16,703                        
Total investments at fair value [2],[4],[11],[13]   $ 16,914                        
Percentage of Net Assets [2],[11],[13]   1.10%             1.10% 1.10% 1.10% 1.10%    
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels                            
Investments at amortized cost [1],[2],[3] $ 85,126 $ 123,493                        
Total investments at fair value [2],[4] $ 87,084 $ 127,289                        
Percentage of Net Assets [2] 5.40% 8.50% 5.40% 5.40% 5.40% 5.40% 5.40% 5.40% 8.50% 8.50% 8.50% 8.50%    
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels Laramie Energy, LLC First-lien loan ($27,317 par, due 2/2027) Initial Acquisition Date 2/21/2023 Reference Rate and Spread SOFR + 7.10% Interest Rate 11.46%                            
Investment, par [2],[11] $ 27,317                          
Investment due date [2],[11] 2027-02                          
Initial Acquisition Date [2],[11] Feb. 21, 2023                          
Reference Rate [2],[11] 7.10%   7.10% 7.10% 7.10% 7.10% 7.10% 7.10%            
Interest Rate [2],[11] 11.46%   11.46% 11.46% 11.46% 11.46% 11.46% 11.46%            
Investments at amortized cost [1],[2],[3],[11] $ 27,025                          
Total investments at fair value [2],[4],[11] $ 27,590                          
Percentage of Net Assets [2],[11] 1.70%   1.70% 1.70% 1.70% 1.70% 1.70% 1.70%            
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels Laramie Energy, LLC First-lien loan ($27,317 par, due 2/2027) Initial Acquisition Date 2/21/2023 Reference Rate and Spread SOFR + 7.10% Interest Rate 12.46%                            
Investment, par [2],[11]   $ 27,317                        
Investment due date [2],[11]   2027-02                        
Initial Acquisition Date [2],[11]   Feb. 21, 2023                        
Reference Rate [2],[11]   7.10%             7.10% 7.10% 7.10% 7.10%    
Interest Rate [2],[11]   12.46%             12.46% 12.46% 12.46% 12.46%    
Investments at amortized cost [1],[2],[3],[11]   $ 26,768                        
Total investments at fair value [2],[4],[11]   $ 27,142                        
Percentage of Net Assets [2],[11]   1.80%             1.80% 1.80% 1.80% 1.80%    
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels Mach Natural Resources LP First-lien loan ($4,625 par, due 12/2026) Initial Acquisition Date 12/28/2023 Reference Rate and Spread SOFR + 6.65% Interest Rate 10.98%                            
Investment, par [2],[11],[15] $ 4,625                          
Investment due date [2],[11],[15] 2026-12                          
Initial Acquisition Date [2],[11],[15] Dec. 28, 2023                          
Reference Rate [2],[11],[15] 6.65%   6.65% 6.65% 6.65% 6.65% 6.65% 6.65%            
Interest Rate [2],[11],[15] 10.98%   10.98% 10.98% 10.98% 10.98% 10.98% 10.98%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 4,561                          
Total investments at fair value [2],[4],[11],[15] $ 4,660                          
Percentage of Net Assets [2],[11],[15] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels Mach Natural Resources LP First-lien loan ($5,000 par, due 12/2026) Initial Acquisition Date 12/28/2023 Reference Rate and Spread SOFR + 6.65% Interest Rate 12.00%                            
Investment, par [2],[11],[15]   $ 5,000                        
Investment due date [2],[11],[15]   2026-12                        
Initial Acquisition Date [2],[11],[15]   Dec. 28, 2023                        
Reference Rate [2],[11],[15]   6.65%             6.65% 6.65% 6.65% 6.65%    
Interest Rate [2],[11],[15]   12.00%             12.00% 12.00% 12.00% 12.00%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 4,900                        
Total investments at fair value [2],[4],[11],[15]   $ 4,900                        
Percentage of Net Assets [2],[11],[15]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels Murchison Oil and Gas, LLC First-lien loan ($27,849 par, due 6/2026) Initial Acquisition Date 6/30/2022 Reference Rate and Spread SOFR + 8.65% Interest Rate 14.00%                            
Investment, par [2],[11]   $ 27,849                        
Investment due date [2],[11]   2026-06                        
Initial Acquisition Date [2],[11]   Jun. 30, 2022                        
Reference Rate [2],[11]   8.65%             8.65% 8.65% 8.65% 8.65%    
Interest Rate [2],[11]   14.00%             14.00% 14.00% 14.00% 14.00%    
Investments at amortized cost [1],[2],[3],[11]   $ 27,453                        
Total investments at fair value [2],[4],[11]   $ 28,267                        
Percentage of Net Assets [2],[11]   1.90%             1.90% 1.90% 1.90% 1.90%    
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels TRP Assets, LLC First-lien loan ($54,834 par, due 12/2029) Initial Acquisition Date 12/20/2024 Reference Rate and Spread SOFR + 7.00% Interest Rate 11.33%                            
Investment, par [2],[11] $ 54,834                          
Investment due date [2],[11] 2029-12                          
Initial Acquisition Date [2],[11] Dec. 20, 2024                          
Reference Rate [2],[11] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11] 11.33%   11.33% 11.33% 11.33% 11.33% 11.33% 11.33%            
Investments at amortized cost [1],[2],[3],[11] $ 53,540                          
Total investments at fair value [2],[4],[11] $ 54,834                          
Percentage of Net Assets [2],[11] 3.40%   3.40% 3.40% 3.40% 3.40% 3.40% 3.40%            
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels TRP Assets, LLC First-lien loan ($65,000 par, due 12/2025) Initial Acquisition Date 12/3/2021 Reference Rate and Spread SOFR + 7.76% Interest Rate 13.11%                            
Investment, par [2],[11]   $ 65,000                        
Investment due date [2],[11]   2025-12                        
Initial Acquisition Date [2],[11]   Dec. 03, 2021                        
Reference Rate [2],[11]   7.76%             7.76% 7.76% 7.76% 7.76%    
Interest Rate [2],[11]   13.11%             13.11% 13.11% 13.11% 13.11%    
Investments at amortized cost [1],[2],[3],[11]   $ 64,372                        
Total investments at fair value [2],[4],[11]   $ 66,980                        
Percentage of Net Assets [2],[11]   4.50%             4.50% 4.50% 4.50% 4.50%    
Investment, Identifier [Axis]: Debt Investments Other                            
Investments at amortized cost [1],[2],[3] $ 62,396                          
Total investments at fair value [2],[4] $ 62,370                          
Percentage of Net Assets [2] 3.90%   3.90% 3.90% 3.90% 3.90% 3.90% 3.90%            
Investment, Identifier [Axis]: Debt Investments Other Omnigo Software, LLC First-lien loan ($39,533 par, due 3/2027) Initial Acquisition Date 3/31/2021 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.86%                            
Investment, par [2],[11],[13] $ 39,533                          
Investment due date [2],[11],[13] 2027-03                          
Initial Acquisition Date [2],[11],[13] Mar. 31, 2021                          
Reference Rate [2],[11],[13] 5.50%   5.50% 5.50% 5.50% 5.50% 5.50% 5.50%            
Interest Rate [2],[11],[13] 9.86%   9.86% 9.86% 9.86% 9.86% 9.86% 9.86%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 39,244                          
Total investments at fair value [2],[4],[11],[13] $ 39,533                          
Percentage of Net Assets [2],[11],[13] 2.50%   2.50% 2.50% 2.50% 2.50% 2.50% 2.50%            
Investment, Identifier [Axis]: Debt Investments Other Omnigo Software, LLC First-lien loan ($39,943 par, due 3/2026) Initial Acquisition Date 3/31/2021 Reference Rate and Spread SOFR + 6.60% Interest Rate 11.96%                            
Investment, par [2],[11],[13]   $ 39,943                        
Investment due date [2],[11],[13]   2026-03                        
Initial Acquisition Date [2],[11],[13]   Mar. 31, 2021                        
Reference Rate [2],[11],[13]   6.60%             6.60% 6.60% 6.60% 6.60%    
Interest Rate [2],[11],[13]   11.96%             11.96% 11.96% 11.96% 11.96%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 39,440                        
Total investments at fair value [2],[4],[11],[13]   $ 39,743                        
Percentage of Net Assets [2],[11],[13]   2.70%             2.70% 2.70% 2.70% 2.70%    
Investment, Identifier [Axis]: Debt Investments Other Scorpio Bidco First-lien loan (EUR 2,511 par, due 4/2031) Initial Acquisition Date 4/4/2024 Reference Rate and Spread E + 5.75% Interest Rate 8.43%                            
Investment, par | € [2],[11],[15]     € 2,511                      
Investment due date [2],[11],[15] 2031-04                          
Initial Acquisition Date [2],[11],[15] Apr. 04, 2024                          
Reference Rate [2],[11],[15] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11],[15] 8.43%   8.43% 8.43% 8.43% 8.43% 8.43% 8.43%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 2,671                          
Total investments at fair value [2],[4],[11],[15] $ 2,584   € 2,496                      
Percentage of Net Assets [2],[11],[15] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, Identifier [Axis]: Debt Investments Other Sky Bidco S.p.A. First-lien note ($14,085 par, due 10/2031) Initial Acquisition Date 10/29/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 10.51%                            
Investment, par [2],[11],[15] $ 14,085                          
Investment due date [2],[11],[15] 2031-10                          
Initial Acquisition Date [2],[11],[15] Oct. 29, 2024                          
Reference Rate [2],[11],[15] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11],[15] 10.51%   10.51% 10.51% 10.51% 10.51% 10.51% 10.51%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 13,810                          
Total investments at fair value [2],[4],[11],[15] $ 13,838                          
Percentage of Net Assets [2],[11],[15] 0.80%   0.80% 0.80% 0.80% 0.80% 0.80% 0.80%            
Investment, Identifier [Axis]: Debt Investments Other Sky Bidco S.p.A. First-lien note (EUR 6,368 par, due 4/2031) Initial Acquisition Date 10/29/2024 Reference Rate and Spread E + 5.25% Interest Rate 8.20%                            
Investment, par | € [2],[11],[15]     € 6,368                      
Investment due date [2],[11],[15] 2031-10                          
Initial Acquisition Date [2],[11],[15] Oct. 29, 2024                          
Reference Rate [2],[11],[15] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11],[15] 8.20%   8.20% 8.20% 8.20% 8.20% 8.20% 8.20%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 6,671                          
Total investments at fair value [2],[4],[11],[15] $ 6,415   € 6,195                      
Percentage of Net Assets [2],[11],[15] 0.40%   0.40% 0.40% 0.40% 0.40% 0.40% 0.40%            
Investment, Identifier [Axis]: Debt Investments Pharmaceuticals                            
Investments at amortized cost [1],[2],[3] $ 83,258                          
Total investments at fair value [2],[4] $ 94,390                          
Percentage of Net Assets [2] 5.90%   5.90% 5.90% 5.90% 5.90% 5.90% 5.90%            
Investment, Identifier [Axis]: Debt Investments Pharmaceuticals Apellis Pharmaceuticals, Inc. First-lien loan ($19,737 par, due 5/2030) Initial Acquisition Date 5/13/2024 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.08%                            
Investment, par [2],[11],[15] $ 19,737                          
Investment due date [2],[11],[15] 2030-05                          
Initial Acquisition Date [2],[11],[15] May 13, 2024                          
Reference Rate [2],[11],[15] 5.75%   5.75% 5.75% 5.75% 5.75% 5.75% 5.75%            
Interest Rate [2],[11],[15] 10.08%   10.08% 10.08% 10.08% 10.08% 10.08% 10.08%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 19,737                          
Total investments at fair value [2],[4],[11],[15] $ 19,924                          
Percentage of Net Assets [2],[11],[15] 1.20%   1.20% 1.20% 1.20% 1.20% 1.20% 1.20%            
Investment, Identifier [Axis]: Debt Investments Pharmaceuticals Arrowhead Pharmaceuticals, Inc. First-lien loan ($33,059 par, due 8/2031) Initial Acquisition Date 8/7/2024 Reference Rate and Spread 15.00% Interest Rate 15.00%                            
Investment, par [2],[15] $ 33,059                          
Investment due date [2],[15] 2031-08                          
Initial Acquisition Date [2],[15] Aug. 07, 2024                          
Reference Rate [2],[15] 15.00%   15.00% 15.00% 15.00% 15.00% 15.00% 15.00%            
Interest Rate [2],[15] 15.00%   15.00% 15.00% 15.00% 15.00% 15.00% 15.00%            
Investments at amortized cost [1],[2],[3],[15] $ 32,758                          
Total investments at fair value [2],[4],[15] $ 44,133                          
Percentage of Net Assets [2],[15] 2.70%   2.70% 2.70% 2.70% 2.70% 2.70% 2.70%            
Investment, Identifier [Axis]: Debt Investments Pharmaceuticals Elysium BidCo Limited First-lien loan (EUR 17,985 par, due 12/2030) Initial Acquisition Date 12/11/2024 Reference Rate and Spread E + 7.25% Interest Rate 10.07%                            
Investment, par | € [2],[11],[15]     € 17,985                      
Investment due date [2],[11],[15] 2030-12                          
Initial Acquisition Date [2],[11],[15] Dec. 11, 2024                          
Reference Rate [2],[11],[15] 7.25%   7.25% 7.25% 7.25% 7.25% 7.25% 7.25%            
Interest Rate [2],[11],[15] 10.07%   10.07% 10.07% 10.07% 10.07% 10.07% 10.07%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 18,396                          
Total investments at fair value [2],[4],[11],[15] $ 18,204   € 17,580                      
Percentage of Net Assets [2],[11],[15] 1.10%   1.10% 1.10% 1.10% 1.10% 1.10% 1.10%            
Investment, Identifier [Axis]: Debt Investments Pharmaceuticals Elysium BidCo Limited First-lien loan (GBP 9,953 par, due 6/2030) Initial Acquisition Date 12/11/2024 Reference Rate and Spread S + 7.25% Interest Rate 11.95%                            
Investment, par | £ [2],[11],[15]       £ 9,953                    
Investment due date [2],[11],[15] 2030-06                          
Initial Acquisition Date [2],[11],[15] Dec. 11, 2024                          
Reference Rate [2],[11],[15] 7.25%   7.25% 7.25% 7.25% 7.25% 7.25% 7.25%            
Interest Rate [2],[11],[15] 11.95%   11.95% 11.95% 11.95% 11.95% 11.95% 11.95%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 12,367                          
Total investments at fair value [2],[4],[11],[15] $ 12,129     £ 9,684                    
Percentage of Net Assets [2],[11],[15] 0.90%   0.90% 0.90% 0.90% 0.90% 0.90% 0.90%            
Investment, Identifier [Axis]: Debt Investments Real Estate Cirrus (BidCo) Limited First-lien loan (GBP 675 par, due 8/2030) Initial Acquisition Date 8/9/2024 Reference Rate and Spread S + 6.25% Interest Rate 10.95% (3.00% PIK)                            
Investment, par | £ [2],[11],[13],[15]       £ 675                    
Investment due date [2],[11],[13],[15] 2030-08                          
Initial Acquisition Date [2],[11],[13],[15] Aug. 09, 2024                          
Reference Rate [2],[11],[13],[15] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11],[13],[15] 10.95%   10.95% 10.95% 10.95% 10.95% 10.95% 10.95%            
Interest Rate, PIK [2],[11],[13],[15] 3.00%   3.00% 3.00% 3.00% 3.00% 3.00% 3.00%            
Investments at amortized cost [1],[2],[3],[11],[13],[15] $ 836                          
Total investments at fair value [2],[4],[11],[13],[15] $ 836     £ 667                    
Percentage of Net Assets [2],[11],[13],[15] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products                            
Investments at amortized cost [2] $ 335,285 $ 263,928 [1],[3]                        
Total investments at fair value [2] $ 328,344 $ 257,985 [4]                        
Percentage of Net Assets [2] 20.40% 17.20% 20.40% 20.40% 20.40% 20.40% 20.40% 20.40% 17.20% 17.20% 17.20% 17.20%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products 99 Cents Only Stores LLC ABL FILO term loan ($25,000 par, due 5/2025) Initial Acquisition Date 9/6/2017 Reference Rate and Spread SOFR + 8.65% Interest Rate 14.03%                            
Investment, par [2],[11]   $ 25,000                        
Investment due date [2],[11]   2025-05                        
Initial Acquisition Date [2],[11]   Sep. 06, 2017                        
Reference Rate [2],[11]   8.65%             8.65% 8.65% 8.65% 8.65%    
Interest Rate [2],[11]   14.03%             14.03% 14.03% 14.03% 14.03%    
Investments at amortized cost [1],[2],[3],[11]   $ 24,868                        
Total investments at fair value [2],[4],[11]   $ 25,000                        
Percentage of Net Assets [2],[11]   1.70%             1.70% 1.70% 1.70% 1.70%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Acosta First-lien loan ($10,000 par, due 8/2031) Initial Acquisition Date 8/20/2024 Reference Rate and Spread SOFR + 5.60% Interest Rate 10.12%                            
Investment, par [2],[11],[14] $ 10,000                          
Investment due date [2],[11],[14] 2031-08                          
Initial Acquisition Date [2],[11],[14] Aug. 20, 2024                          
Reference Rate [2],[11],[14] 5.60%   5.60% 5.60% 5.60% 5.60% 5.60% 5.60%            
Interest Rate [2],[11],[14] 10.12%   10.12% 10.12% 10.12% 10.12% 10.12% 10.12%            
Investments at amortized cost [1],[2],[3],[11],[14] $ 9,806                          
Total investments at fair value [2],[4],[11],[14] $ 9,925                          
Percentage of Net Assets [2],[11],[14] 0.60%   0.60% 0.60% 0.60% 0.60% 0.60% 0.60%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products American Achievement, Corp. First-lien loan ($1,341 par, due 9/2026) Initial Acquisition Date 6/10/2021 Reference Rate and Spread SOFR + 15.10% Interest Rate 19.65% (incl. 19.15% PIK)                            
Investment, par [2],[11],[18] $ 1,341                          
Investment due date [2],[11],[18] 2026-09                          
Initial Acquisition Date [2],[11],[18] Jun. 10, 2021                          
Reference Rate [2],[11],[18] 15.10%   15.10% 15.10% 15.10% 15.10% 15.10% 15.10%            
Interest Rate [2],[11],[18] 19.65%   19.65% 19.65% 19.65% 19.65% 19.65% 19.65%            
Interest Rate, PIK [2],[11],[18] 19.15%   19.15% 19.15% 19.15% 19.15% 19.15% 19.15%            
Investments at amortized cost [1],[2],[3],[11],[18] $ 1,341                          
Total investments at fair value [2],[4],[11],[18] $ 101                          
Percentage of Net Assets [2],[11],[18] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products American Achievement, Corp. First-lien loan ($1,352 par, due 9/2026) Initial Acquisition Date 6/10/2021 Reference Rate and Spread SOFR + 14.10% Interest Rate 18.94% PIK                            
Investment, par [2],[11],[21]   $ 1,352                        
Investment due date [2],[11],[21]   2026-09                        
Initial Acquisition Date [2],[11],[21]   Jun. 10, 2021                        
Reference Rate [2],[11],[21]   14.10%             14.10% 14.10% 14.10% 14.10%    
Interest Rate, PIK [2],[11],[21]   18.94%             18.94% 18.94% 18.94% 18.94%    
Investments at amortized cost [1],[2],[3],[11],[21]   $ 1,352                        
Total investments at fair value [2],[4],[11],[21]   $ 101                        
Percentage of Net Assets [2],[11],[21]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products American Achievement, Corp. First-lien loan ($26,864 par, due 9/2026) Initial Acquisition Date 9/30/2015 Reference Rate and Spread SOFR + 7.35% Interest Rate 11.90% (11.40%PIK)                            
Investment, par [2],[11],[18] $ 26,864                          
Investment due date [2],[11],[18] 2026-09                          
Initial Acquisition Date [2],[11],[18] Sep. 30, 2015                          
Reference Rate [2],[11],[18] 7.35%   7.35% 7.35% 7.35% 7.35% 7.35% 7.35%            
Interest Rate [2],[11],[18] 11.90%   11.90% 11.90% 11.90% 11.90% 11.90% 11.90%            
Interest Rate, PIK [2],[11],[18] 11.40%   11.40% 11.40% 11.40% 11.40% 11.40% 11.40%            
Investments at amortized cost [1],[2],[3],[11],[18] $ 26,042                          
Total investments at fair value [2],[4],[11],[18] $ 20,551                          
Percentage of Net Assets [2],[11],[18] 1.30%   1.30% 1.30% 1.30% 1.30% 1.30% 1.30%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products American Achievement, Corp. First-lien loan ($27,046 par, due 9/2026) Initial Acquisition Date 9/30/2015 Reference Rate and Spread SOFR + 6.35% Interest Rate 11.19% PIK                            
Investment, par [2],[11],[21]   $ 27,046                        
Investment due date [2],[11],[21]   2026-09                        
Initial Acquisition Date [2],[11],[21]   Sep. 30, 2015                        
Reference Rate [2],[11],[21]   6.35%             6.35% 6.35% 6.35% 6.35%    
Interest Rate, PIK [2],[11],[21]   11.19%             11.19% 11.19% 11.19% 11.19%    
Investments at amortized cost [1],[2],[3],[11],[21]   $ 26,219                        
Total investments at fair value [2],[4],[11],[21]   $ 20,488                        
Percentage of Net Assets [2],[11],[21]   1.40%             1.40% 1.40% 1.40% 1.40%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products American Achievement, Corp. Subordinated note ($4,740 par, due 9/2026) Initial Acquisition Date 3/16/2021 Reference Rate and Spread SOFR + 1.15% Interest Rate 5.74%                            
Investment, par [2],[11],[18] $ 4,740                          
Investment due date [2],[11],[18] 2026-09                          
Initial Acquisition Date [2],[11],[18] Mar. 16, 2021                          
Reference Rate [2],[11],[18] 1.15%   1.15% 1.15% 1.15% 1.15% 1.15% 1.15%            
Interest Rate [2],[11],[18] 5.74%   5.74% 5.74% 5.74% 5.74% 5.74% 5.74%            
Investments at amortized cost [1],[2],[3],[11],[18] $ 545                          
Total investments at fair value [2],[4],[11],[18] $ 59                          
Percentage of Net Assets [2],[11],[18] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products American Achievement, Corp. Subordinated note ($4,740 par, due 9/2026) Initial Acquisition Date 3/16/2021 Reference Rate and Spread SOFR + 1.15% Interest Rate 6.54% PIK                            
Investment, par [2],[11],[21]   $ 4,740                        
Investment due date [2],[11],[21]   2026-09                        
Initial Acquisition Date [2],[11],[21]   Mar. 16, 2021                        
Reference Rate [2],[11],[21]   1.15%             1.15% 1.15% 1.15% 1.15%    
Interest Rate, PIK [2],[11],[21]   6.54%             6.54% 6.54% 6.54% 6.54%    
Investments at amortized cost [1],[2],[3],[11],[21]   $ 545                        
Total investments at fair value [2],[4],[11],[21]   $ 71                        
Percentage of Net Assets [2],[11],[21]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Bed Bath and Beyond Inc. ABL FILO term loan ($14,065 par, due 8/2027) Initial Acquisition Date 9/2/2022 Reference Rate and Spread SOFR + 9.90% Interest Rate 15.26%                            
Investment, par [2],[11],[22]   $ 14,065                        
Investment due date [2],[11],[22]   2027-08                        
Initial Acquisition Date [2],[11],[22]   Sep. 02, 2022                        
Reference Rate [2],[11],[22]   9.90%             9.90% 9.90% 9.90% 9.90%    
Interest Rate [2],[11],[22]   15.26%             15.26% 15.26% 15.26% 15.26%    
Investments at amortized cost [1],[2],[3],[11],[22]   $ 13,787                        
Total investments at fair value [2],[4],[11],[22]   $ 13,468                        
Percentage of Net Assets [2],[11],[22]   0.90%             0.90% 0.90% 0.90% 0.90%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Bed Bath and Beyond Inc. ABL FILO term loan ($8,994 par, due 8/2027) Initial Acquisition Date 9/2/2022 Reference Rate and Spread SOFR + 9.90% Interest Rate 14.26%                            
Investment, par [2],[11],[23] $ 8,994                          
Investment due date [2],[11],[23] 2027-08                          
Initial Acquisition Date [2],[11],[23] Sep. 02, 2022                          
Reference Rate [2],[11],[23] 9.90%   9.90% 9.90% 9.90% 9.90% 9.90% 9.90%            
Interest Rate [2],[11],[23] 14.26%   14.26% 14.26% 14.26% 14.26% 14.26% 14.26%            
Investments at amortized cost [1],[2],[3],[11],[23] $ 8,856                          
Total investments at fair value [2],[4],[11],[23] $ 8,229                          
Percentage of Net Assets [2],[11],[23] 0.50%   0.50% 0.50% 0.50% 0.50% 0.50% 0.50%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Bed Bath and Beyond Inc. Roll Up DIP term loan ($24,924 par) Initial Acquisition Date 4/24/2023 Reference Rate and Spread SOFR + 7.90% Interest Rate 12.26% PIK                            
Investment, par [2],[11],[23] $ 24,924                          
Initial Acquisition Date [2],[11],[23] Apr. 24, 2023                          
Reference Rate [2],[11],[23] 7.90%   7.90% 7.90% 7.90% 7.90% 7.90% 7.90%            
Interest Rate [2],[11],[23] 12.26%   12.26% 12.26% 12.26% 12.26% 12.26% 12.26%            
Investments at amortized cost [1],[2],[3],[11],[23] $ 24,924                          
Total investments at fair value [2],[4],[11],[23] $ 22,806                          
Percentage of Net Assets [2],[11],[23] 1.50%   1.50% 1.50% 1.50% 1.50% 1.50% 1.50%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Bed Bath and Beyond Inc. Roll Up DIP term loan ($25,931 par, due 9/2024) Initial Acquisition Date 4/24/2023 Reference Rate and Spread SOFR + 7.90% Interest Rate 13.26% (incl. 13.26% PIK)                            
Investment, par [2],[11],[22]   $ 25,931                        
Investment due date [2],[11],[22]   2024-09                        
Initial Acquisition Date [2],[11],[22]   Apr. 24, 2023                        
Reference Rate [2],[11],[22]   7.90%             7.90% 7.90% 7.90% 7.90%    
Interest Rate [2],[11],[22]   13.26%             13.26% 13.26% 13.26% 13.26%    
Interest Rate, PIK [2],[11],[22]   13.26%             13.26% 13.26% 13.26% 13.26%    
Investments at amortized cost [1],[2],[3],[11],[22]   $ 25,931                        
Total investments at fair value [2],[4],[11],[22]   $ 24,828                        
Percentage of Net Assets [2],[11],[22]   1.70%             1.70% 1.70% 1.70% 1.70%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Bed Bath and Beyond Inc. Super-Priority DIP term loan ($3,988 par) Initial Acquisition Date 4/24/2023 Reference Rate and Spread SOFR + 7.90% Interest Rate 12.26%                            
Investment, par [2],[11],[23] $ 3,988                          
Initial Acquisition Date [2],[11],[23] Apr. 24, 2023                          
Reference Rate [2],[11],[23] 7.90%   7.90% 7.90% 7.90% 7.90% 7.90% 7.90%            
Interest Rate [2],[11],[23] 12.26%   12.26% 12.26% 12.26% 12.26% 12.26% 12.26%            
Investments at amortized cost [1],[2],[3],[11],[23] $ 3,988                          
Total investments at fair value [2],[4],[11],[23] $ 3,649                          
Percentage of Net Assets [2],[11],[23] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Bed Bath and Beyond Inc. Super-Priority DIP term loan ($4,739 par, due 9/2024) Initial Acquisition Date 4/24/2023 Reference Rate and Spread SOFR + 7.90% Interest Rate 13.26%                            
Investment, par [2],[11],[22]   $ 4,739                        
Investment due date [2],[11],[22]   2024-09                        
Initial Acquisition Date [2],[11],[22]   Apr. 24, 2023                        
Reference Rate [2],[11],[22]   7.90%             7.90% 7.90% 7.90% 7.90%    
Interest Rate [2],[11],[22]   13.26%             13.26% 13.26% 13.26% 13.26%    
Investments at amortized cost [1],[2],[3],[11],[22]   $ 4,739                        
Total investments at fair value [2],[4],[11],[22]   $ 4,538                        
Percentage of Net Assets [2],[11],[22]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Belk, Inc. First-lien loan ($49,375 par, due 7/2029) Initial Acquisition Date 7/22/2024 Reference Rate and Spread SOFR + 7.00% Interest Rate 11.51%                            
Investment, par [2],[11] $ 49,375                          
Investment due date [2],[11] 2029-07                          
Initial Acquisition Date [2],[11] Jul. 22, 2024                          
Reference Rate [2],[11] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11] 11.51%   11.51% 11.51% 11.51% 11.51% 11.51% 11.51%            
Investments at amortized cost [1],[2],[3],[11] $ 48,637                          
Total investments at fair value [2],[4],[11] $ 49,005                          
Percentage of Net Assets [2],[11] 3.00%   3.00% 3.00% 3.00% 3.00% 3.00% 3.00%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Cordance Operations, LLC First-lien loan ($49,543 par, due 7/2028) Initial Acquisition Date 7/25/2022 Reference Rate and Spread SOFR + 9.25% Interest Rate 14.66%                            
Investment, par [2],[11]   $ 49,543                        
Investment due date [2],[11]   2028-07                        
Initial Acquisition Date [2],[11]   Jul. 25, 2022                        
Reference Rate [2],[11]   9.25%             9.25% 9.25% 9.25% 9.25%    
Interest Rate [2],[11]   14.66%             14.66% 14.66% 14.66% 14.66%    
Investments at amortized cost [1],[2],[3],[11]   $ 48,641                        
Total investments at fair value [2],[4],[11]   $ 49,801                        
Percentage of Net Assets [2],[11]   3.20%             3.20% 3.20% 3.20% 3.20%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Cordance Operations, LLC First-lien loan ($60,781 par, due 7/2028) Initial Acquisition Date 7/25/2022 Reference Rate and Spread SOFR + 9.25% Interest Rate 13.51%                            
Investment, par [2],[11] $ 60,781                          
Investment due date [2],[11] 2028-07                          
Initial Acquisition Date [2],[11] Jul. 25, 2022                          
Reference Rate [2],[11] 9.25%   9.25% 9.25% 9.25% 9.25% 9.25% 9.25%            
Interest Rate [2],[11] 13.51%   13.51% 13.51% 13.51% 13.51% 13.51% 13.51%            
Investments at amortized cost [1],[2],[3],[11] $ 59,808                          
Total investments at fair value [2],[4],[11] $ 61,428                          
Percentage of Net Assets [2],[11] 3.80%   3.80% 3.80% 3.80% 3.80% 3.80% 3.80%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Neuintel, LLC First-lien loan ($55,038 par, due 12/2026) Initial Acquisition Date 12/20/2021 Reference Rate and Spread SOFR + 6.85% Interest Rate 11.21%                            
Investment, par [2],[11],[13] $ 55,038                          
Investment due date [2],[11],[13] 2026-12                          
Initial Acquisition Date [2],[11],[13] Dec. 20, 2021                          
Reference Rate [2],[11],[13] 6.85%   6.85% 6.85% 6.85% 6.85% 6.85% 6.85%            
Interest Rate [2],[11],[13] 11.21%   11.21% 11.21% 11.21% 11.21% 11.21% 11.21%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 54,520                          
Total investments at fair value [2],[4],[11],[13] $ 55,176                          
Percentage of Net Assets [2],[11],[13] 3.40%   3.40% 3.40% 3.40% 3.40% 3.40% 3.40%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Neuintel, LLC First-lien loan ($57,701 par, due 12/2026) Initial Acquisition Date 12/20/2021 Reference Rate and Spread SOFR + 7.65% Interest Rate 13.03%                            
Investment, par [2],[11],[13]   $ 57,701                        
Investment due date [2],[11],[13]   2026-12                        
Initial Acquisition Date [2],[11],[13]   Dec. 20, 2021                        
Reference Rate [2],[11],[13]   7.65%             7.65% 7.65% 7.65% 7.65%    
Interest Rate [2],[11],[13]   13.03%             13.03% 13.03% 13.03% 13.03%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 56,923                        
Total investments at fair value [2],[4],[11],[13]   $ 58,134                        
Percentage of Net Assets [2],[11],[13]   3.90%             3.90% 3.90% 3.90% 3.90%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products PDI TA Holdings, Inc. First-lien loan ($18,133 par, due 2/2031) Initial Acquisition Date 2/1/2024 Reference Rate and Spread SOFR + 5.50 Interest Rate 10.09%                            
Investment, par [2],[11] $ 18,133                          
Investment due date [2],[11] 2031-02                          
Initial Acquisition Date [2],[11] Feb. 01, 2024                          
Reference Rate [2],[11] 5.50%   5.50% 5.50% 5.50% 5.50% 5.50% 5.50%            
Interest Rate [2],[11] 10.09%   10.09% 10.09% 10.09% 10.09% 10.09% 10.09%            
Investments at amortized cost [1],[2],[3],[11] $ 17,854                          
Total investments at fair value [2],[4],[11] $ 18,241                          
Percentage of Net Assets [2],[11] 1.10%   1.10% 1.10% 1.10% 1.10% 1.10% 1.10%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Rapid Data GmbH Unternehmensberatung First-lien loan (EUR 4,495 par, due 7/2029) Initial Acquisition Date 7/11/2023 Reference Rate and Spread E + 6.50% Interest Rate 10.48%                            
Investment, par | € [2],[11],[15]                 € 4,495          
Investment due date [2],[11],[15]   2029-07                        
Initial Acquisition Date [2],[11],[15]   Jul. 11, 2023                        
Reference Rate [2],[11],[15]   6.50%             6.50% 6.50% 6.50% 6.50%    
Interest Rate [2],[11],[15]   10.48%             10.48% 10.48% 10.48% 10.48%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 4,676                        
Total investments at fair value [2],[4],[11],[15]   $ 4,853             € 4,393          
Percentage of Net Assets [2],[11],[15]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Rapid Data GmbH Unternehmensberatung First-lien loan (EUR 7,378 par, due 7/2029) Initial Acquisition Date 7/11/2023 Reference Rate and Spread E + 6.25% Interest Rate 9.47% (3.00% PIK)                            
Investment, par | € [2],[11],[15]     € 7,378                      
Investment due date [2],[11],[15] 2029-07                          
Initial Acquisition Date [2],[11],[15] Jul. 11, 2023                          
Reference Rate [2],[11],[15] 6.25%   6.25% 6.25% 6.25% 6.25% 6.25% 6.25%            
Interest Rate [2],[11],[15] 9.47%   9.47% 9.47% 9.47% 9.47% 9.47% 9.47%            
Interest Rate, PIK [2],[11],[15] 3.00%   3.00% 3.00% 3.00% 3.00% 3.00% 3.00%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 7,885                          
Total investments at fair value [2],[4],[11],[15] $ 7,685   € 7,422                      
Percentage of Net Assets [2],[11],[15] 0.50%   0.50% 0.50% 0.50% 0.50% 0.50% 0.50%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Tango Management Consulting, LLC First-lien loan ($57,007 par, due 12/2027) Initial Acquisition Date 12/1/2021 Reference Rate and Spread SOFR + 6.85% Interest Rate 12.20%                            
Investment, par [2],[11],[13]   $ 57,007                        
Investment due date [2],[11],[13]   2027-12                        
Initial Acquisition Date [2],[11],[13]   Dec. 01, 2021                        
Reference Rate [2],[11],[13]   6.85%             6.85% 6.85% 6.85% 6.85%    
Interest Rate [2],[11],[13]   12.20%             12.20% 12.20% 12.20% 12.20%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 56,247                        
Total investments at fair value [2],[4],[11],[13]   $ 56,703                        
Percentage of Net Assets [2],[11],[13]   3.80%             3.80% 3.80% 3.80% 3.80%    
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Tango Management Consulting, LLC First-lien loan ($69,218 par, due 12/2027) Initial Acquisition Date 12/1/2021 Reference Rate and Spread SOFR + 6.90% Interest Rate 11.56%                            
Investment, par [2],[11],[13] $ 69,218                          
Investment due date [2],[11],[13] 2027-12                          
Initial Acquisition Date [2],[11],[13] Dec. 01, 2021                          
Reference Rate [2],[11],[13] 6.90%   6.90% 6.90% 6.90% 6.90% 6.90% 6.90%            
Interest Rate [2],[11],[13] 11.56%   11.56% 11.56% 11.56% 11.56% 11.56% 11.56%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 68,671                          
Total investments at fair value [2],[4],[11],[13] $ 69,045                          
Percentage of Net Assets [2],[11],[13] 4.30%   4.30% 4.30% 4.30% 4.30% 4.30% 4.30%            
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Tango Management Consulting, LLC First-lien revolving loan ($$2,454 par, due 12/2027) Initial Acquisition Date 12/1/2021 Reference Rate and Spread P + 6.75% Interest Rate 14.25%                            
Investment, par [2],[11],[13] $ 2,454                          
Investment due date [2],[11],[13] 2027-12                          
Reference Rate [2],[11],[13] 6.75%   6.75% 6.75% 6.75% 6.75% 6.75% 6.75%            
Interest Rate [2],[11],[13] 14.25%   14.25% 14.25% 14.25% 14.25% 14.25% 14.25%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 2,408                          
Total investments at fair value [2],[4],[11],[13] $ 2,444                          
Percentage of Net Assets [2],[11],[13] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, Identifier [Axis]: Debt Investments Transportation                            
Investments at amortized cost [1],[2],[3] $ 127,476 $ 66,748                        
Total investments at fair value [2],[4] $ 127,172 $ 68,108                        
Percentage of Net Assets [2] 7.90% 4.50% 7.90% 7.90% 7.90% 7.90% 7.90% 7.90% 4.50% 4.50% 4.50% 4.50%    
Investment, Identifier [Axis]: Debt Investments Transportation Ben Nevis Midco Limited First-lien loan ($3,635 par, due 3/2028) Initial Acquisition Date 3/26/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.81%                            
Investment, par [2],[11],[15] $ 3,635                          
Investment due date [2],[11],[15] 2028-03                          
Initial Acquisition Date [2],[11],[15] Mar. 26, 2024                          
Reference Rate [2],[11],[15] 5.25%   5.25% 5.25% 5.25% 5.25% 5.25% 5.25%            
Interest Rate [2],[11],[15] 9.81%   9.81% 9.81% 9.81% 9.81% 9.81% 9.81%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 3,581                          
Total investments at fair value [2],[4],[11],[15] $ 3,610                          
Percentage of Net Assets [2],[11],[15] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, Identifier [Axis]: Debt Investments Transportation Marcura Equities LTD First-lien loan ($32,007 par, due 8/2029) Initial Acquisition Date 8/11/2023 Reference Rate and Spread SOFR + 7.00% Interest Rate 12.18%                            
Investment, par [2],[11],[15]   $ 32,007                        
Investment due date [2],[11],[15]   2029-08                        
Initial Acquisition Date [2],[11],[15]   Aug. 11, 2023                        
Reference Rate [2],[11],[15]   7.00%             7.00% 7.00% 7.00% 7.00%    
Interest Rate [2],[11],[15]   12.18%             12.18% 12.18% 12.18% 12.18%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 31,020                        
Total investments at fair value [2],[4],[11],[15]   $ 31,482                        
Percentage of Net Assets [2],[11],[15]   2.10%             2.10% 2.10% 2.10% 2.10%    
Investment, Identifier [Axis]: Debt Investments Transportation Marcura Equities LTD First-lien loan ($33,874 par, due 8/2029) Initial Acquisition Date 8/11/2023 Reference Rate and Spread SOFR + 7.00% Interest Rate 11.33%                            
Investment, par [2],[11],[15] $ 33,874                          
Investment due date [2],[11],[15] 2029-08                          
Initial Acquisition Date [2],[11],[15] Aug. 11, 2023                          
Reference Rate [2],[11],[15] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11],[15] 11.33%   11.33% 11.33% 11.33% 11.33% 11.33% 11.33%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 33,030                          
Total investments at fair value [2],[4],[11],[15] $ 34,189                          
Percentage of Net Assets [2],[11],[15] 2.10%   2.10% 2.10% 2.10% 2.10% 2.10% 2.10%            
Investment, Identifier [Axis]: Debt Investments Transportation Marcura Equities LTD First-lien revolving loan ($1,667 par, due 8/2029) Initial Acquisition Date 8/11/2023 Reference Rate and Spread SOFR + 7.00% Interest Rate 12.18%                            
Investment, par [2],[11],[15]   $ 1,667                        
Investment due date [2],[11],[15]   2029-08                        
Initial Acquisition Date [2],[11],[15]   Aug. 11, 2023                        
Reference Rate [2],[11],[15]   7.00%             7.00% 7.00% 7.00% 7.00%    
Interest Rate [2],[11],[15]   12.18%             12.18% 12.18% 12.18% 12.18%    
Investments at amortized cost [1],[2],[3],[11],[15]   $ 1,589                        
Total investments at fair value [2],[4],[11],[15]   $ 1,625                        
Percentage of Net Assets [2],[11],[15]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Debt Investments Transportation Marcura Equities LTD First-lien revolving loan($2,333 par, due 8/2029) Initial Acquisition Date 8/11/2023 Reference Rate and Spread SOFR + 7.00% Interest Rate 11.33%                            
Investment, par [2],[11],[15] $ 2,333                          
Investment due date [2],[11],[15] 2029-08                          
Initial Acquisition Date [2],[11],[15] Aug. 11, 2023                          
Reference Rate [2],[11],[15] 7.00%   7.00% 7.00% 7.00% 7.00% 7.00% 7.00%            
Interest Rate [2],[11],[15] 11.33%   11.33% 11.33% 11.33% 11.33% 11.33% 11.33%            
Investments at amortized cost [1],[2],[3],[11],[15] $ 2,269                          
Total investments at fair value [2],[4],[11],[15] $ 2,358                          
Percentage of Net Assets [2],[11],[15] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Debt Investments Transportation Project44, Inc First-lien loan ($54,824 par, due 11/2027) Initial Acquisition Date 11/12/2021 Reference Rate and Spread SOFR + 6.35% Interest Rate 10.75%                            
Investment, par [2],[11],[13] $ 54,824                          
Investment due date [2],[11],[13] 2027-11                          
Initial Acquisition Date [2],[11],[13] Nov. 12, 2021                          
Reference Rate [2],[11],[13] 6.35%   6.35% 6.35% 6.35% 6.35% 6.35% 6.35%            
Interest Rate [2],[11],[13] 10.75%   10.75% 10.75% 10.75% 10.75% 10.75% 10.75%            
Investments at amortized cost [1],[2],[3],[11],[13] $ 54,087                          
Total investments at fair value [2],[4],[11],[13] $ 54,824                          
Percentage of Net Assets [2],[11],[13] 3.40%   3.40% 3.40% 3.40% 3.40% 3.40% 3.40%            
Investment, Identifier [Axis]: Debt Investments Transportation Project44, Inc. First-lien loan ($35,139 par, due 11/2027) Initial Acquisition Date 11/12/2021 Reference Rate and Spread SOFR + 6.40% Interest Rate 11.78%                            
Investment, par [2],[11],[13]   $ 35,139                        
Investment due date [2],[11],[13]   2027-11                        
Initial Acquisition Date [2],[11],[13]   Nov. 12, 2021                        
Reference Rate [2],[11],[13]   6.40%             6.40% 6.40% 6.40% 6.40%    
Interest Rate [2],[11],[13]   11.78%             11.78% 11.78% 11.78% 11.78%    
Investments at amortized cost [1],[2],[3],[11],[13]   $ 34,139                        
Total investments at fair value [2],[4],[11],[13]   $ 35,001                        
Percentage of Net Assets [2],[11],[13]   2.30%             2.30% 2.30% 2.30% 2.30%    
Investment, Identifier [Axis]: Debt Investments Transportation Shiftmove GMBH First-lien loan (EUR 31,875 par, due 9/2030) Initial Acquisition Date 9/30/2024 Reference Rate and Spread E + 6.00% Interest Rate 8.68%                            
Investment, par | € [2],[11],[13],[15]     € 31,875                      
Investment due date [2],[11],[13],[15] 2030-09                          
Initial Acquisition Date [2],[11],[13],[15] Sep. 30, 2024                          
Reference Rate [2],[11],[13],[15] 6.00%   6.00% 6.00% 6.00% 6.00% 6.00% 6.00%            
Interest Rate [2],[11],[13],[15] 8.68%   8.68% 8.68% 8.68% 8.68% 8.68% 8.68%            
Investments at amortized cost [1],[2],[3],[11],[13],[15] $ 34,509                          
Total investments at fair value [2],[4],[11],[13],[15] $ 32,191   € 31,088                      
Percentage of Net Assets [2],[11],[13],[15] 2.10%   2.10% 2.10% 2.10% 2.10% 2.10% 2.10%            
Investment, Identifier [Axis]: Derivative Interest Rate Swap                            
Notional Amount $ 950,000 $ 952,500                        
Fair Market Value 22,363 23,979                        
Change in Unrealized Gains / (Losses) $ (2,807) $ 23,243                        
Derivative, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] Interest Expense, Operating, Unrealized Gain (Loss) on Derivatives Interest Expense, Operating, Unrealized Gain (Loss) on Derivatives                        
Investment, Identifier [Axis]: Equity and Other Investments                            
Investments at amortized cost $ 150,909 [1],[2],[3] $ 205,488 [5],[8],[9]                        
Total investments at fair value $ 156,973 [2],[4] $ 211,442 [5],[10]                        
Percentage of Net Assets 9.70% [2] 14.10% [5] 9.70% [2] 9.70% [2] 9.70% [2] 9.70% [2] 9.70% [2] 9.70% [2] 14.10% [5] 14.10% [5] 14.10% [5] 14.10% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Automotive Clarience Technologies, LLC Class A Units (333 units) Initial Acquisition Date 2/12/2024                            
Initial Acquisition Date [2],[24],[25] Feb. 12, 2024                          
Investments at amortized cost [1],[2],[3],[24],[25] $ 820                          
Total investments at fair value [2],[4],[24],[25] $ 820                          
Percentage of Net Assets [2],[24],[25] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, shares | shares [2],[24],[25] 333   333 333 333 333 333 333            
Investment, Identifier [Axis]: Equity and Other Investments Business Services                            
Investments at amortized cost $ 23,071 [1],[2],[3] $ 19,707 [5],[8],[9]                        
Total investments at fair value $ 19,489 [2],[4] $ 17,819 [5],[10]                        
Percentage of Net Assets 1.20% [2] 1.20% [5] 1.20% [2] 1.20% [2] 1.20% [2] 1.20% [2] 1.20% [2] 1.20% [2] 1.20% [5] 1.20% [5] 1.20% [5] 1.20% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Business Services Artisan Topco LP Class A Preferred Units (2,117,264 units) Initial Acquisition Date 11/7/2023                            
Initial Acquisition Date Nov. 07, 2023 [2],[25] Nov. 07, 2023 [5],[26],[27]                        
Investments at amortized cost $ 2,117 [1],[2],[3],[25] $ 2,117 [5],[8],[9],[26],[27]                        
Total investments at fair value $ 1,773 [2],[4],[25] $ 2,117 [5],[10],[26],[27]                        
Percentage of Net Assets 0.10% [2],[25] 0.10% [5],[26],[27] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [5],[26],[27] 0.10% [5],[26],[27] 0.10% [5],[26],[27] 0.10% [5],[26],[27]    
Investment, shares | shares 2,117,264 [2],[25] 2,117,264 [5],[26],[27] 2,117,264 [2],[25] 2,117,264 [2],[25] 2,117,264 [2],[25] 2,117,264 [2],[25] 2,117,264 [2],[25] 2,117,264 [2],[25] 2,117,264 [5],[26],[27] 2,117,264 [5],[26],[27] 2,117,264 [5],[26],[27] 2,117,264 [5],[26],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Business Services Dye & Durham, Ltd. Common Shares (126,968 shares) Initial Acquisition Date 12/3/2021                            
Initial Acquisition Date Dec. 03, 2021 [2],[15],[28] Dec. 03, 2021 [5],[12],[29]                        
Investments at amortized cost $ 3,909 [1],[2],[3],[15],[28] $ 3,909 [5],[8],[9],[12],[29]                        
Total investments at fair value $ 1,552 [2],[4],[15],[28] $ 1,383 [5],[10],[12],[29]           $ 2,232 [2],[4],[15],[28]       $ 1,823 [5],[10],[12],[29]    
Percentage of Net Assets 0.10% [2],[15],[28] 0.10% [5],[12],[29] 0.10% [2],[15],[28] 0.10% [2],[15],[28] 0.10% [2],[15],[28] 0.10% [2],[15],[28] 0.10% [2],[15],[28] 0.10% [2],[15],[28] 0.10% [5],[12],[29] 0.10% [5],[12],[29] 0.10% [5],[12],[29] 0.10% [5],[12],[29]    
Investment, shares | shares 126,968 [2],[15],[28] 126,968 [5],[12],[29] 126,968 [2],[15],[28] 126,968 [2],[15],[28] 126,968 [2],[15],[28] 126,968 [2],[15],[28] 126,968 [2],[15],[28] 126,968 [2],[15],[28] 126,968 [5],[12],[29] 126,968 [5],[12],[29] 126,968 [5],[12],[29] 126,968 [5],[12],[29]    
Investment, Identifier [Axis]: Equity and Other Investments Business Services Insight Hideaway Aggregator, L.P. Partnership Interest (329,861 units) Initial Acquisition Date 3/19/2024                            
Initial Acquisition Date [2],[24],[25] Mar. 19, 2024                          
Investments at amortized cost [1],[2],[3],[24],[25] $ 3,299                          
Total investments at fair value [2],[4],[24],[25] $ 3,299                          
Percentage of Net Assets [2],[24],[25] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, shares | shares [2],[24],[25] 329,861   329,861 329,861 329,861 329,861 329,861 329,861            
Investment, Identifier [Axis]: Equity and Other Investments Business Services Mitnick TA Aggregator, L.P. Membership Interest (0.43% ownership) Initial Acquisition Date 5/2/2022                            
Initial Acquisition Date [2],[25] May 02, 2022                          
Investments at amortized cost [1],[2],[3],[25] $ 5,247                          
Total investments at fair value [2],[4],[25] $ 3,751                          
Percentage of Net Assets [2],[25] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Partnership/Membership interest of ownership [2],[25] 0.43%   0.43% 0.43% 0.43% 0.43% 0.43% 0.43%            
Investment, Identifier [Axis]: Equity and Other Investments Business Services Newark FP Co-Invest, L.P. Partnership (2,527,719 units) Initial Acquisition Date 11/8/2023                            
Initial Acquisition Date Nov. 08, 2023 [2],[25] Nov. 08, 2023 [5],[26],[27]                        
Investments at amortized cost $ 2,532 [1],[2],[3],[25] $ 2,532 [5],[8],[9],[26],[27]                        
Total investments at fair value $ 2,254 [2],[4],[25] $ 2,532 [5],[10],[26],[27]                        
Percentage of Net Assets 0.10% [2],[25] 0.20% [5],[26],[27] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.20% [5],[26],[27] 0.20% [5],[26],[27] 0.20% [5],[26],[27] 0.20% [5],[26],[27]    
Investment, shares | shares 2,527,719 [2],[25] 2,527,719 [5],[26],[27] 2,527,719 [2],[25] 2,527,719 [2],[25] 2,527,719 [2],[25] 2,527,719 [2],[25] 2,527,719 [2],[25] 2,527,719 [2],[25] 2,527,719 [5],[26],[27] 2,527,719 [5],[26],[27] 2,527,719 [5],[26],[27] 2,527,719 [5],[26],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC 90,634 Warrants Initial Acquisition Date 12/20/2023                            
Investments at amortized cost [5],[8],[9],[30]   $ 102                        
Total investments at fair value [5],[10],[30]   $ 102                        
Percentage of Net Assets [5],[30]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5],[26],[27],[30]   90,634             90,634 90,634 90,634 90,634    
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Class A-1 Units (637,713 units) Initial Acquisition Date 11/23/2021                            
Initial Acquisition Date [2],[25],[31] Nov. 23, 2021                          
Investments at amortized cost [1],[2],[3],[25],[31] $ 1,120                          
Total investments at fair value [2],[4],[25],[31] $ 1,658                          
Percentage of Net Assets [2],[25],[31] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, shares | shares [2],[25],[31] 637,713   637,713 637,713 637,713 637,713 637,713 637,713            
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Class A-2 Units (10,611 units) Initial Acquisition Date 6/21/2022                            
Initial Acquisition Date [2],[24],[25],[31] Jun. 21, 2022                          
Investments at amortized cost [1],[2],[3],[24],[25],[31] $ 23                          
Total investments at fair value [2],[4],[24],[25],[31] $ 35                          
Percentage of Net Assets [2],[24],[25],[31] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[24],[25],[31] 10,611   10,611 10,611 10,611 10,611 10,611 10,611            
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Class A-3 Units (16,957 units) Initial Acquisition Date 11/10/2023                            
Initial Acquisition Date [2],[25],[31] Nov. 10, 2023                          
Investments at amortized cost [1],[2],[3],[25],[31] $ 36                          
Total investments at fair value [2],[4],[25],[31] $ 53                          
Percentage of Net Assets [2],[25],[31] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[25],[31] 16,957   16,957 16,957 16,957 16,957 16,957 16,957            
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Series A Preferred Sotck (1,667 Units) Initial Acquisition Date 12/20/2023                            
Initial Acquisition Date [5],[30]   Dec. 20, 2023                        
Investments at amortized cost [5],[8],[9],[30]   $ 1,502                        
Total investments at fair value [5],[10],[30]   $ 1,504                        
Percentage of Net Assets [5],[30]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, shares | shares [5],[26],[30]   1,667             1,667 1,667 1,667 1,667    
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Series A Preferred Stock (1,667 Units) Initial Acquisition Date 12/20/2023 Reference Rate and Spread SOFR+12.00% Interest Rate 16.60% PIK                            
Initial Acquisition Date [2],[11],[31] Dec. 20, 2023                          
Reference Rate [2],[11],[31] 12.00%   12.00% 12.00% 12.00% 12.00% 12.00% 12.00%            
Interest Rate, PIK [2],[11],[31] 16.60%   16.60% 16.60% 16.60% 16.60% 16.60% 16.60%            
Investments at amortized cost [1],[2],[3],[11],[31] $ 1,817                          
Total investments at fair value [2],[4],[11],[31] $ 1,989                          
Percentage of Net Assets [2],[11],[31] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, shares | shares [2],[11],[31] 1,667   1,667 1,667 1,667 1,667 1,667 1,667            
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Warrants (90,634 warrants) Initial Acquisition Date 12/20/2023                            
Initial Acquisition Date [2],[25],[31] Dec. 20, 2023                          
Investments at amortized cost [1],[2],[3],[25],[31] $ 102                          
Total investments at fair value [2],[4],[25],[31] $ 126                          
Percentage of Net Assets [2],[25],[31] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[25],[31] 90,634   90,634 90,634 90,634 90,634 90,634 90,634            
Investment, Identifier [Axis]: Equity and Other Investments Business Services Sprinklr, Inc. Common Shares (283,499 shares) Initial Acquisition Date 6/24/2021                            
Initial Acquisition Date [2],[25],[28] Jun. 24, 2021                          
Investments at amortized cost [1],[2],[3],[25],[28] $ 2,445                          
Total investments at fair value [2],[4],[25],[28] $ 2,395                          
Percentage of Net Assets [2],[25],[28] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, shares | shares [2],[25],[28] 283,499   283,499 283,499 283,499 283,499 283,499 283,499            
Investment, Identifier [Axis]: Equity and Other Investments Business Services Sprinklr, Inc. Common Shares (315,005 shares) Initial Acquisition Date 6/24/2021                            
Initial Acquisition Date [5],[27],[29]   Jun. 24, 2021                        
Investments at amortized cost [5],[8],[9],[27],[29]   $ 2,716                        
Total investments at fair value [5],[10],[27],[29]   $ 3,793                        
Percentage of Net Assets [5],[27],[29]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, Identifier [Axis]: Equity and Other Investments Business Services Warrior TopCo LP Class A Units (423,728 units) Initial Acquisition Date 7/7/2023                            
Initial Acquisition Date [5],[26],[27]   Jul. 07, 2023                        
Investments at amortized cost [5],[8],[9],[26],[27]   $ 424                        
Total investments at fair value [5],[10],[26],[27]   $ 424                        
Percentage of Net Assets [5],[26],[27]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5],[26],[27]   423,728             423,728 423,728 423,728 423,728    
Investment, Identifier [Axis]: Equity and Other Investments Business Services Warrior TopCo LP Class A Units (423,729 units) Initial Acquisition Date 7/7/2023                            
Initial Acquisition Date [2] Jul. 07, 2023                          
Investments at amortized cost [1],[2],[3] $ 424                          
Total investments at fair value [2],[4] $ 604                          
Percentage of Net Assets [2] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2] 423,729   423,729 423,729 423,729 423,729 423,729 423,729            
Investment, Identifier [Axis]: Equity and Other Investments Communications                            
Investments at amortized cost $ 6,174 [1],[2],[3] $ 6,174 [5],[8],[9]                        
Total investments at fair value $ 4,438 [2],[4] $ 5,306 [5],[10]                        
Percentage of Net Assets 0.30% [2] 0.30% [5] 0.30% [2] 0.30% [2] 0.30% [2] 0.30% [2] 0.30% [2] 0.30% [2] 0.30% [5] 0.30% [5] 0.30% [5] 0.30% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Communications Celtra Technologies, Inc. Class A Units (1,250,000 units) Initial Acquisition Date 11/19/2021                            
Initial Acquisition Date Nov. 19, 2021 [2],[25] Nov. 19, 2021 [5],[27]                        
Investments at amortized cost $ 1,250 [1],[2],[3],[25] $ 1,250 [5],[8],[9],[27]                        
Total investments at fair value $ 1,250 [2],[4],[25] $ 1,250 [5],[10],[27]                        
Percentage of Net Assets 0.10% [2],[25] 0.10% [5],[27] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27]    
Investment, shares | shares 1,250,000 [2],[25] 1,250,000 [5],[27] 1,250,000 [2],[25] 1,250,000 [2],[25] 1,250,000 [2],[25] 1,250,000 [2],[25] 1,250,000 [2],[25] 1,250,000 [2],[25] 1,250,000 [5],[27] 1,250,000 [5],[27] 1,250,000 [5],[27] 1,250,000 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Communications IntelePeer Holdings, Inc. 106,592 Series D Warrants Initial Acquisition Date 4/8/2021                            
Initial Acquisition Date [5],[27]   Apr. 08, 2021                        
Percentage of Net Assets [5],[27]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5],[27]   106,592             106,592 106,592 106,592 106,592    
Investment, Identifier [Axis]: Equity and Other Investments Communications IntelePeer Holdings, Inc. 280,000 Series C Warrants Initial Acquisition Date 2/28/2020                            
Initial Acquisition Date [5],[27]   Feb. 28, 2020                        
Investments at amortized cost [5],[8],[9],[27]   $ 183                        
Percentage of Net Assets [5],[27]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5],[27]   280,000             280,000 280,000 280,000 280,000    
Investment, Identifier [Axis]: Equity and Other Investments Communications IntelePeer Holdings, Inc. Series C Preferred Shares (1,816,295 shares) Initial Acquisition Date 4/8/2021                            
Initial Acquisition Date Apr. 08, 2021 [2],[25] Apr. 08, 2021 [5],[27]                        
Investments at amortized cost $ 1,816 [1],[2],[3],[25] $ 1,816 [5],[8],[9],[27]                        
Total investments at fair value $ 1,535 [2],[4],[25] $ 1,957 [5],[10],[27]                        
Percentage of Net Assets 0.10% [2],[25] 0.10% [5],[27] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27]    
Investment, shares | shares 1,816,295 [2],[25] 1,816,295 [5],[27] 1,816,295 [2],[25] 1,816,295 [2],[25] 1,816,295 [2],[25] 1,816,295 [2],[25] 1,816,295 [2],[25] 1,816,295 [2],[25] 1,816,295 [5],[27] 1,816,295 [5],[27] 1,816,295 [5],[27] 1,816,295 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Communications IntelePeer Holdings, Inc. Series C Warrants (280,000 warrants) Initial Acquisition Date 2/28/2020                            
Initial Acquisition Date [2],[25] Feb. 28, 2020                          
Investments at amortized cost [1],[2],[3],[25] $ 183                          
Percentage of Net Assets [2],[25] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[25] 280,000   280,000 280,000 280,000 280,000 280,000 280,000            
Investment, Identifier [Axis]: Equity and Other Investments Communications IntelePeer Holdings, Inc. Series D Preferred Shares (1,598,874 shares) Initial Acquisition Date 4/8/2021                            
Initial Acquisition Date Apr. 08, 2021 [2],[25] Apr. 08, 2021 [5],[27]                        
Investments at amortized cost $ 2,925 [1],[2],[3],[25] $ 2,925 [5],[8],[9],[27]                        
Total investments at fair value $ 1,653 [2],[4],[25] $ 2,099 [5],[10],[27]                        
Percentage of Net Assets 0.10% [2],[25] 0.10% [5],[27] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27]    
Investment, shares | shares 1,598,874 [2],[25] 1,598,874 [5],[27] 1,598,874 [2],[25] 1,598,874 [2],[25] 1,598,874 [2],[25] 1,598,874 [2],[25] 1,598,874 [2],[25] 1,598,874 [2],[25] 1,598,874 [5],[27] 1,598,874 [5],[27] 1,598,874 [5],[27] 1,598,874 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Communications IntelePeer Holdings, Inc. Series D Warrants (106,592 warrants) Initial Acquisition Date 4/8/2021                            
Initial Acquisition Date [2],[25] Apr. 08, 2021                          
Percentage of Net Assets [2],[25] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[25] 106,592   106,592 106,592 106,592 106,592 106,592 106,592            
Investment, Identifier [Axis]: Equity and Other Investments Education                            
Investments at amortized cost $ 9,777 [1],[2],[3] $ 9,777 [5],[8],[9]                        
Total investments at fair value $ 4,455 [2],[4] $ 6,526 [5],[10]                        
Percentage of Net Assets 0.30% [2] 0.50% [5] 0.30% [2] 0.30% [2] 0.30% [2] 0.30% [2] 0.30% [2] 0.30% [2] 0.50% [5] 0.50% [5] 0.50% [5] 0.50% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Education Astra 2L Holdings II LLC Membership Interest (10.17% ownership) Initial Acquisition Date 1/13/2022                            
Initial Acquisition Date Jan. 13, 2022 [2],[25] Jan. 13, 2022 [5],[27]                        
Investments at amortized cost $ 3,255 [1],[2],[3],[25] $ 3,255 [5],[8],[9],[27]                        
Total investments at fair value [5],[10],[27]   $ 309                        
Percentage of Net Assets 0.00% [2],[25] 0.00% [5],[27] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [5],[27] 0.00% [5],[27] 0.00% [5],[27] 0.00% [5],[27]    
Partnership/Membership interest of ownership 10.17% [2],[25] 10.17% [5],[27] 10.17% [2],[25] 10.17% [2],[25] 10.17% [2],[25] 10.17% [2],[25] 10.17% [2],[25] 10.17% [2],[25] 10.17% [5],[27] 10.17% [5],[27] 10.17% [5],[27] 10.17% [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Education EMS Linq, Inc. Class B Units (5,522,526 units) Initial Acquisition Date 12/22/2021                            
Initial Acquisition Date Dec. 22, 2021 [2],[25] Dec. 22, 2021 [5],[27]                        
Investments at amortized cost $ 5,522 [1],[2],[3],[25] $ 5,522 [5],[8],[9],[27]                        
Total investments at fair value $ 2,830 [2],[4],[25] $ 4,762 [5],[10],[27]                        
Percentage of Net Assets 0.20% [2],[25] 0.40% [5],[27] 0.20% [2],[25] 0.20% [2],[25] 0.20% [2],[25] 0.20% [2],[25] 0.20% [2],[25] 0.20% [2],[25] 0.40% [5],[27] 0.40% [5],[27] 0.40% [5],[27] 0.40% [5],[27]    
Investment, shares | shares 5,522,526 [2],[25] 5,522,526 [5],[27] 5,522,526 [2],[25] 5,522,526 [2],[25] 5,522,526 [2],[25] 5,522,526 [2],[25] 5,522,526 [2],[25] 5,522,526 [2],[25] 5,522,526 [5],[27] 5,522,526 [5],[27] 5,522,526 [5],[27] 5,522,526 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Education RMCF IV CIV XXXV, LP. Partnership Interest (11.94% ownership) Initial Acquisition Date 6/8/2021                            
Initial Acquisition Date Jun. 08, 2021 [2],[25] Jun. 08, 2021 [5],[27]                        
Investments at amortized cost $ 1,000 [1],[2],[3],[25] $ 1,000 [5],[8],[9],[27]                        
Total investments at fair value $ 1,625 [2],[4],[25] $ 1,455 [5],[10],[27]                        
Percentage of Net Assets 0.10% [2],[25] 0.10% [5],[27] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27]    
Partnership/Membership interest of ownership 11.94% [2],[25] 11.94% [5],[27] 11.94% [2],[25] 11.94% [2],[25] 11.94% [2],[25] 11.94% [2],[25] 11.94% [2],[25] 11.94% [2],[25] 11.94% [5],[27] 11.94% [5],[27] 11.94% [5],[27] 11.94% [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Financial Services                            
Investments at amortized cost $ 9,287 [1],[2],[3] $ 9,249 [5],[8],[9]                        
Total investments at fair value $ 18,458 [2],[4] $ 16,470 [5],[10]                        
Percentage of Net Assets 1.20% [2] 1.10% [5] 1.20% [2] 1.20% [2] 1.20% [2] 1.20% [2] 1.20% [2] 1.20% [2] 1.10% [5] 1.10% [5] 1.10% [5] 1.10% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Financial Services AF Eagle Parent, L.P. Partnership (121,329 units) Initial Acquisition Date 11/27/2023                            
Initial Acquisition Date [5],[26],[27]   Nov. 27, 2023                        
Investments at amortized cost [5],[8],[9],[26],[27]   $ 4,091                        
Total investments at fair value [5],[10],[26],[27]   $ 4,091                        
Percentage of Net Assets [5],[26],[27]   0.30%             0.30% 0.30% 0.30% 0.30%    
Investment, shares | shares [5],[26],[27]   121,329             121,329 121,329 121,329 121,329    
Investment, Identifier [Axis]: Equity and Other Investments Financial Services AF Eagle Parent, L.P. Partnership Units (121,329 units) Initial Acquisition Date 11/27/2023                            
Initial Acquisition Date [2],[25] Nov. 27, 2023                          
Investments at amortized cost [1],[2],[3],[25] $ 4,091                          
Total investments at fair value [2],[4],[25] $ 4,684                          
Percentage of Net Assets [2],[25] 0.30%   0.30% 0.30% 0.30% 0.30% 0.30% 0.30%            
Investment, shares | shares [2],[25] 121,329   121,329 121,329 121,329 121,329 121,329 121,329            
Investment, Identifier [Axis]: Equity and Other Investments Financial Services CLGF Holdco 2, LLC 334,682 Warrants Initial Acquisition Date 11/7/2023                            
Initial Acquisition Date [5],[12],[26],[27]   Nov. 07, 2023                        
Investments at amortized cost [5],[8],[9],[12],[26],[27]   $ 183                        
Total investments at fair value [5],[10],[12],[26],[27]   $ 183                        
Percentage of Net Assets [5],[12],[26],[27]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5],[12],[26],[27]   334,682             334,682 334,682 334,682 334,682    
Investment, Identifier [Axis]: Equity and Other Investments Financial Services CLGF Holdings, L.P. Warrants (334,682 warrants) Initial Acquisition Date 11/7/2023                            
Initial Acquisition Date [2],[15],[25] Nov. 07, 2023                          
Investments at amortized cost [1],[2],[3],[15],[25] $ 183                          
Total investments at fair value [2],[4],[15],[25] $ 330                          
Percentage of Net Assets [2],[15],[25] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[15],[25] 334,682   334,682 334,682 334,682 334,682 334,682 334,682            
Investment, Identifier [Axis]: Equity and Other Investments Financial Services Newport Parent Holdings, L.P. Class A-2 Units (131,569 units) Initial Acquisition Date 12/10/2020                            
Initial Acquisition Date Dec. 10, 2020 [2],[25] Dec. 10, 2020 [5],[27]                        
Investments at amortized cost $ 4,177 [1],[2],[3],[25] $ 4,177 [5],[8],[9],[27]                        
Total investments at fair value $ 12,802 [2],[4],[25] $ 11,591 [5],[10],[27]                        
Percentage of Net Assets 0.90% [2],[25] 0.80% [5],[27] 0.90% [2],[25] 0.90% [2],[25] 0.90% [2],[25] 0.90% [2],[25] 0.90% [2],[25] 0.90% [2],[25] 0.80% [5],[27] 0.80% [5],[27] 0.80% [5],[27] 0.80% [5],[27]    
Investment, shares | shares 131,569 [2],[25] 131,569 [5],[27] 131,569 [2],[25] 131,569 [2],[25] 131,569 [2],[25] 131,569 [2],[25] 131,569 [2],[25] 131,569 [2],[25] 131,569 [5],[27] 131,569 [5],[27] 131,569 [5],[27] 131,569 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Financial Services Oxford Square Capital Corp. Common Shares (1,620 shares) Initial Acquisition Date 8/5/2015                            
Initial Acquisition Date Aug. 05, 2015 [2],[15],[28] Aug. 05, 2015 [5],[12],[29]                        
Investments at amortized cost $ 6 [1],[2],[3],[15],[28] $ 6 [5],[8],[9],[12],[29]                        
Total investments at fair value $ 4 [2],[4],[15],[28] $ 5 [5],[10],[12],[29]                        
Percentage of Net Assets 0.00% [2],[15],[28] 0.00% [5],[12],[29] 0.00% [2],[15],[28] 0.00% [2],[15],[28] 0.00% [2],[15],[28] 0.00% [2],[15],[28] 0.00% [2],[15],[28] 0.00% [2],[15],[28] 0.00% [5],[12],[29] 0.00% [5],[12],[29] 0.00% [5],[12],[29] 0.00% [5],[12],[29]    
Investment, shares | shares 1,620 [2],[15],[28] 1,620 [5],[12],[29] 1,620 [2],[15],[28] 1,620 [2],[15],[28] 1,620 [2],[15],[28] 1,620 [2],[15],[28] 1,620 [2],[15],[28] 1,620 [2],[15],[28] 1,620 [5],[12],[29] 1,620 [5],[12],[29] 1,620 [5],[12],[29] 1,620 [5],[12],[29]    
Investment, Identifier [Axis]: Equity and Other Investments Financial Services Passport Labs, Inc. 17,534 Warrants Initial Acquisition Date 4/28/2021                            
Initial Acquisition Date Apr. 28, 2021 [2],[25] Apr. 28, 2021 [5],[27]                        
Investments at amortized cost $ 192 [1],[2],[3],[25] $ 192 [5],[8],[9],[27]                        
Percentage of Net Assets 0.00% [2],[25] 0.00% [5],[27] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [5],[27] 0.00% [5],[27] 0.00% [5],[27] 0.00% [5],[27]    
Investment, shares | shares 17,534 [2],[25] 17,534 [5],[27] 17,534 [2],[25] 17,534 [2],[25] 17,534 [2],[25] 17,534 [2],[25] 17,534 [2],[25] 17,534 [2],[25] 17,534 [5],[27] 17,534 [5],[27] 17,534 [5],[27] 17,534 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Financial Services TradingScreen, Inc. Class A Units (600,000 units) Initial Acquisition Date 5/14/2021                            
Initial Acquisition Date May 14, 2021 [2],[25],[31] May 14, 2021 [5],[27],[30]                        
Investments at amortized cost $ 600 [1],[2],[3],[25],[31] $ 600 [5],[8],[9],[27],[30]                        
Total investments at fair value $ 600 [2],[4],[25],[31] $ 600 [5],[10],[27],[30]                        
Percentage of Net Assets 0.00% [2],[25],[31] 0.00% [5],[27],[30] 0.00% [2],[25],[31] 0.00% [2],[25],[31] 0.00% [2],[25],[31] 0.00% [2],[25],[31] 0.00% [2],[25],[31] 0.00% [2],[25],[31] 0.00% [5],[27],[30] 0.00% [5],[27],[30] 0.00% [5],[27],[30] 0.00% [5],[27],[30]    
Investment, shares | shares 600,000 [2],[25],[31] 600,000 [5],[27],[30] 600,000 [2],[25],[31] 600,000 [2],[25],[31] 600,000 [2],[25],[31] 600,000 [2],[25],[31] 600,000 [2],[25],[31] 600,000 [2],[25],[31] 600,000 [5],[27],[30] 600,000 [5],[27],[30] 600,000 [5],[27],[30] 600,000 [5],[27],[30]    
Investment, Identifier [Axis]: Equity and Other Investments Financial Services TradingScreen, Inc. Class AA Units (19,093 units) Initial Acquisition Date 11/1/2024 Reference Rate and Spread 20.00% Interest Rate 20.00%                            
Initial Acquisition Date [2],[24],[31] Nov. 01, 2024                          
Reference Rate [2],[24],[31] 20.00%   20.00% 20.00% 20.00% 20.00% 20.00% 20.00%            
Interest Rate [2],[24],[31] 20.00%   20.00% 20.00% 20.00% 20.00% 20.00% 20.00%            
Investments at amortized cost [1],[2],[3],[24],[31] $ 38                          
Total investments at fair value [2],[4],[24],[31] $ 38                          
Percentage of Net Assets [2],[24],[31] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[24],[31] 19,093   19,093 19,093 19,093 19,093 19,093 19,093            
Investment, Identifier [Axis]: Equity and Other Investments Healthcare                            
Investments at amortized cost $ 25,922 [1],[2],[3] $ 25,922 [5],[8],[9]                        
Total investments at fair value $ 32,484 [2],[4] $ 30,280 [5],[10]                        
Percentage of Net Assets 2.00% [2] 2.00% [5] 2.00% [2] 2.00% [2] 2.00% [2] 2.00% [2] 2.00% [2] 2.00% [2] 2.00% [5] 2.00% [5] 2.00% [5] 2.00% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Caris Life Sciences, Inc. 569,991 Warrants Initial Acquisition Date 4/2/2020                            
Initial Acquisition Date Apr. 02, 2020 [2],[25] Apr. 02, 2020 [5],[27]                        
Investments at amortized cost $ 250 [1],[2],[3],[25] $ 250 [5],[8],[9],[27]                        
Total investments at fair value $ 1,321 [2],[4],[25] $ 885 [5],[10],[27]                        
Percentage of Net Assets 0.10% [2],[25] 0.10% [5],[27] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27]    
Investment, shares | shares 569,991 [2],[25] 569,991 [5],[27] 569,991 [2],[25] 569,991 [2],[25] 569,991 [2],[25] 569,991 [2],[25] 569,991 [2],[25] 569,991 [2],[25] 569,991 [5],[27] 569,991 [5],[27] 569,991 [5],[27] 569,991 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Caris Life Sciences, Inc. 633,376 Warrants Initial Acquisition Date 9/21/2018                            
Initial Acquisition Date Sep. 21, 2018 [2],[25] Sep. 21, 2018 [5],[27]                        
Investments at amortized cost $ 192 [1],[2],[3],[25] $ 192 [5],[8],[9],[27]                        
Total investments at fair value $ 1,672 [2],[4],[25] $ 1,187 [5],[10],[27]                        
Percentage of Net Assets 0.10% [2],[25] 0.10% [5],[27] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27]    
Investment, shares | shares 633,376 [2],[25] 633,376 [5],[27] 633,376 [2],[25] 633,376 [2],[25] 633,376 [2],[25] 633,376 [2],[25] 633,376 [2],[25] 633,376 [2],[25] 633,376 [5],[27] 633,376 [5],[27] 633,376 [5],[27] 633,376 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Caris Life Sciences, Inc. Series C Preferred Shares (1,915,114 shares) Initial Acquisition Date 10/13/2020                            
Initial Acquisition Date Oct. 13, 2020 [2],[25] Oct. 13, 2020 [5],[27]                        
Investments at amortized cost $ 3,500 [1],[2],[3],[25] $ 3,500 [5],[8],[9],[27]                        
Total investments at fair value $ 8,137 [2],[4],[25] $ 6,676 [5],[10],[27]                        
Percentage of Net Assets 0.50% [2],[25] 0.40% [5],[27] 0.50% [2],[25] 0.50% [2],[25] 0.50% [2],[25] 0.50% [2],[25] 0.50% [2],[25] 0.50% [2],[25] 0.40% [5],[27] 0.40% [5],[27] 0.40% [5],[27] 0.40% [5],[27]    
Investment, shares | shares 1,915,114 [2],[25] 1,915,114 [5],[27] 1,915,114 [2],[25] 1,915,114 [2],[25] 1,915,114 [2],[25] 1,915,114 [2],[25] 1,915,114 [2],[25] 1,915,114 [2],[25] 1,915,114 [5],[27] 1,915,114 [5],[27] 1,915,114 [5],[27] 1,915,114 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Caris Life Sciences, Inc. Series D Preferred Shares (1,240,740 shares) Initial Acquisition Date 5/11/2021                            
Initial Acquisition Date May 11, 2021 [2],[25] May 11, 2021 [5],[27]                        
Investments at amortized cost $ 10,050 [1],[2],[3],[25] $ 10,050 [5],[8],[9],[27]                        
Total investments at fair value $ 9,924 [2],[4],[25] $ 9,899 [5],[10],[27]                        
Percentage of Net Assets 0.60% [2],[25] 0.70% [5],[27] 0.60% [2],[25] 0.60% [2],[25] 0.60% [2],[25] 0.60% [2],[25] 0.60% [2],[25] 0.60% [2],[25] 0.70% [5],[27] 0.70% [5],[27] 0.70% [5],[27] 0.70% [5],[27]    
Investment, shares | shares 1,240,740 [2],[25] 1,240,740 [5],[27] 1,240,740 [2],[25] 1,240,740 [2],[25] 1,240,740 [2],[25] 1,240,740 [2],[25] 1,240,740 [2],[25] 1,240,740 [2],[25] 1,240,740 [5],[27] 1,240,740 [5],[27] 1,240,740 [5],[27] 1,240,740 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Merative Topco L.P. 989,691 Class A-1 Units Initial Acquisition Date 6/30/2022                            
Initial Acquisition Date Jun. 30, 2022 [2],[25] Jun. 30, 2022 [5],[27]                        
Investments at amortized cost $ 9,897 [1],[2],[3],[25] $ 9,897 [5],[8],[9],[27]                        
Total investments at fair value $ 9,600 [2],[4],[25] $ 9,600 [5],[10],[27]                        
Percentage of Net Assets 0.60% [2],[25] 0.60% [5],[27] 0.60% [2],[25] 0.60% [2],[25] 0.60% [2],[25] 0.60% [2],[25] 0.60% [2],[25] 0.60% [2],[25] 0.60% [5],[27] 0.60% [5],[27] 0.60% [5],[27] 0.60% [5],[27]    
Investment, shares | shares 989,691 [2],[25] 989,691 [5],[27] 989,691 [2],[25] 989,691 [2],[25] 989,691 [2],[25] 989,691 [2],[25] 989,691 [2],[25] 989,691 [2],[25] 989,691 [5],[27] 989,691 [5],[27] 989,691 [5],[27] 989,691 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Raptor US Buyer II Corp. 13,176 Ordinary Shares Initial Acquisition Date 3/24/2023                            
Initial Acquisition Date [2],[25] Mar. 24, 2023                          
Investments at amortized cost [1],[2],[3],[25] $ 2,033                          
Total investments at fair value [2],[4],[25] $ 1,830                          
Percentage of Net Assets [2],[25] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, shares | shares [2],[25] 13,176   13,176 13,176 13,176 13,176 13,176 13,176            
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Raptor US Buyer II Corp. 20,268 Ordinary Shares Initial Acquisition Date 3/24/2023                            
Initial Acquisition Date [5],[26],[27]   Mar. 24, 2023                        
Investments at amortized cost [5],[8],[9],[26],[27]   $ 2,033                        
Total investments at fair value [5],[10],[26],[27]   $ 2,033                        
Percentage of Net Assets [5],[26],[27]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, shares | shares [5],[26],[27]   20,268             20,268 20,268 20,268 20,268    
Investment, Identifier [Axis]: Equity and Other Investments Hotel, Gaming and Leisure                            
Investments at amortized cost $ 21,942 [1],[2],[3] $ 21,942 [5],[8],[9]                        
Total investments at fair value $ 128 [2],[4] $ 2,324 [5],[10]                        
Percentage of Net Assets 0.00% [2] 0.20% [5] 0.00% [2] 0.00% [2] 0.00% [2] 0.00% [2] 0.00% [2] 0.00% [2] 0.20% [5] 0.20% [5] 0.20% [5] 0.20% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Hotel, Gaming and Leisure IRGSE Holding Corp. Class A Units (33,790,171 units) Initial Acquisition Date 12/21/2018                            
Initial Acquisition Date Dec. 21, 2018 [1],[2],[25] Dec. 21, 2018 [5],[8],[27]                        
Investments at amortized cost $ 21,842 [1],[2],[3],[25] $ 21,842 [5],[8],[9],[27]                        
Total investments at fair value $ 85 [1],[2],[4],[25] $ 2,281 [5],[8],[10],[27]                        
Percentage of Net Assets 0.00% [1],[2],[25] 0.20% [5],[8],[27] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.20% [5],[8],[27] 0.20% [5],[8],[27] 0.20% [5],[8],[27] 0.20% [5],[8],[27]    
Investment, shares | shares 33,790,171 [1],[2],[25] 33,790,171 [5],[8],[27] 33,790,171 [1],[2],[25] 33,790,171 [1],[2],[25] 33,790,171 [1],[2],[25] 33,790,171 [1],[2],[25] 33,790,171 [1],[2],[25] 33,790,171 [1],[2],[25] 33,790,171 [5],[8],[27] 33,790,171 [5],[8],[27] 33,790,171 [5],[8],[27] 33,790,171 [5],[8],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Hotel, Gaming and Leisure IRGSE Holding Corp. Class C-1 Units (8,800,000 units) Initial Acquisition Date 12/21/2018                            
Initial Acquisition Date Dec. 21, 2018 [1],[2],[25] Dec. 21, 2018 [5],[8],[27]                        
Investments at amortized cost $ 100 [1],[2],[3],[25] $ 100 [5],[8],[9],[27]                        
Total investments at fair value $ 43 [1],[2],[4],[25] $ 43 [5],[8],[10],[27]                        
Percentage of Net Assets 0.00% [1],[2],[25] 0.00% [5],[8],[27] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.00% [1],[2],[25] 0.00% [5],[8],[27] 0.00% [5],[8],[27] 0.00% [5],[8],[27] 0.00% [5],[8],[27]    
Investment, shares | shares 8,800,000 [1],[2],[25] 8,800,000 [5],[8],[27] 8,800,000 [1],[2],[25] 8,800,000 [1],[2],[25] 8,800,000 [1],[2],[25] 8,800,000 [1],[2],[25] 8,800,000 [1],[2],[25] 8,800,000 [1],[2],[25] 8,800,000 [5],[8],[27] 8,800,000 [5],[8],[27] 8,800,000 [5],[8],[27] 8,800,000 [5],[8],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Human Resource Support Services                            
Investments at amortized cost $ 9,654 [1],[2],[3] $ 9,655 [5],[8],[9]                        
Total investments at fair value $ 14,877 [2],[4] $ 11,163 [5],[10]                        
Percentage of Net Assets 0.90% [2] 0.80% [5] 0.90% [2] 0.90% [2] 0.90% [2] 0.90% [2] 0.90% [2] 0.90% [2] 0.80% [5] 0.80% [5] 0.80% [5] 0.80% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Human Resource Support Services Axonify, Inc. Class A-1 Units (3,780,000 units) Initial Acquisition Date 5/5/2021                            
Initial Acquisition Date May 05, 2021 [2],[15],[25],[31] May 05, 2021 [5],[12],[26],[27]                        
Investments at amortized cost $ 3,780 [1],[2],[3],[15],[25],[31] $ 3,780 [5],[8],[9],[12],[26],[27]                        
Total investments at fair value $ 4,848 [2],[4],[15],[25],[31] $ 4,026 [5],[10],[12],[26],[27]                        
Percentage of Net Assets 0.30% [2],[15],[25],[31] 0.30% [5],[12],[26],[27] 0.30% [2],[15],[25],[31] 0.30% [2],[15],[25],[31] 0.30% [2],[15],[25],[31] 0.30% [2],[15],[25],[31] 0.30% [2],[15],[25],[31] 0.30% [2],[15],[25],[31] 0.30% [5],[12],[26],[27] 0.30% [5],[12],[26],[27] 0.30% [5],[12],[26],[27] 0.30% [5],[12],[26],[27]    
Investment, shares | shares 3,780,000 [2],[15],[25],[31] 3,780,000 [5],[12],[26],[27] 3,780,000 [2],[15],[25],[31] 3,780,000 [2],[15],[25],[31] 3,780,000 [2],[15],[25],[31] 3,780,000 [2],[15],[25],[31] 3,780,000 [2],[15],[25],[31] 3,780,000 [2],[15],[25],[31] 3,780,000 [5],[12],[26],[27] 3,780,000 [5],[12],[26],[27] 3,780,000 [5],[12],[26],[27] 3,780,000 [5],[12],[26],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Human Resource Support Services DaySmart Holdings, LLC Class A Units (166,811 units) Initial Acquisition Date 10/1/2019                            
Initial Acquisition Date [5],[27]   Dec. 18, 2020                        
Investments at amortized cost [5],[8],[9],[27]   $ 1,347                        
Total investments at fair value [5],[10],[27]   $ 2,138                        
Percentage of Net Assets [5],[27]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, shares | shares [5],[27]   166,811             166,811 166,811 166,811 166,811    
Investment, Identifier [Axis]: Equity and Other Investments Human Resource Support Services DaySmart Holdings, LLC Class A Units (166,811 units) Initial Acquisition Date 12/18/2020                            
Initial Acquisition Date [2],[25] Dec. 18, 2020                          
Investments at amortized cost [1],[2],[3],[25] $ 1,347                          
Total investments at fair value [2],[4],[25] $ 2,148                          
Percentage of Net Assets [2],[25] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, shares | shares [2],[25] 166,811   166,811 166,811 166,811 166,811 166,811 166,811            
Investment, Identifier [Axis]: Equity and Other Investments Human Resource Support Services Employment Hero Holdings Pty Ltd. Series E Preferred Shares (113,250 shares) Initial Acquisition Date 3/1/2022                            
Initial Acquisition Date Mar. 01, 2022 [2],[15],[25] Mar. 01, 2022 [5],[12],[27]                        
Investments at amortized cost $ 2,134 [1],[2],[3],[15],[25] $ 2,134 [5],[8],[9],[12],[27]                        
Total investments at fair value $ 2,819 [2],[4],[15],[25] $ 2,605 [5],[10],[12],[27]       $ 4,552 [2],[4],[15],[25]               $ 3,817 [5],[10],[12],[27]
Percentage of Net Assets 0.20% [2],[15],[25] 0.20% [5],[12],[27] 0.20% [2],[15],[25] 0.20% [2],[15],[25] 0.20% [2],[15],[25] 0.20% [2],[15],[25] 0.20% [2],[15],[25] 0.20% [2],[15],[25] 0.20% [5],[12],[27] 0.20% [5],[12],[27] 0.20% [5],[12],[27] 0.20% [5],[12],[27]    
Investment, shares | shares 113,250 [2],[15],[25] 113,250 [5],[12],[27] 113,250 [2],[15],[25] 113,250 [2],[15],[25] 113,250 [2],[15],[25] 113,250 [2],[15],[25] 113,250 [2],[15],[25] 113,250 [2],[15],[25] 113,250 [5],[12],[27] 113,250 [5],[12],[27] 113,250 [5],[12],[27] 113,250 [5],[12],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Human Resource Support Services bswift, LLC Class A-1 Units (2,393,509 units) Initial Acquisition Date 11/7/2022                            
Initial Acquisition Date Nov. 07, 2022 [2],[25] Nov. 07, 2022 [5],[26],[27]                        
Investments at amortized cost $ 2,393 [1],[2],[3],[25] $ 2,394 [5],[8],[9],[26],[27]                        
Total investments at fair value $ 5,062 [2],[4],[25] $ 2,394 [5],[10],[26],[27]                        
Percentage of Net Assets 0.30% [2],[25] 0.20% [5],[26],[27] 0.30% [2],[25] 0.30% [2],[25] 0.30% [2],[25] 0.30% [2],[25] 0.30% [2],[25] 0.30% [2],[25] 0.20% [5],[26],[27] 0.20% [5],[26],[27] 0.20% [5],[26],[27] 0.20% [5],[26],[27]    
Investment, shares | shares 2,393,509 [2],[25] 2,393,509 [5],[26],[27] 2,393,509 [2],[25] 2,393,509 [2],[25] 2,393,509 [2],[25] 2,393,509 [2],[25] 2,393,509 [2],[25] 2,393,509 [2],[25] 2,393,509 [5],[26],[27] 2,393,509 [5],[26],[27] 2,393,509 [5],[26],[27] 2,393,509 [5],[26],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Internet Services                            
Investments at amortized cost $ 17,981 [1],[2],[3] $ 17,629 [5],[8],[9]                        
Total investments at fair value $ 21,056 [2],[4] $ 17,104 [5],[10]                        
Percentage of Net Assets 1.30% [2] 1.10% [5] 1.30% [2] 1.30% [2] 1.30% [2] 1.30% [2] 1.30% [2] 1.30% [2] 1.10% [5] 1.10% [5] 1.10% [5] 1.10% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Internet Services Bayshore Intermediate #2, L.P. Co-Invest 2 Common Units (3,493,701 units) Initial Acquisition Date 10/1/2021                            
Initial Acquisition Date Oct. 01, 2021 [2],[25],[31] Oct. 01, 2021 [5],[26],[27]                        
Investments at amortized cost $ 3,494 [1],[2],[3],[25],[31] $ 3,494 [5],[8],[9],[26],[27]                        
Total investments at fair value $ 4,297 [2],[4],[25],[31] $ 3,345 [5],[10],[26],[27]                        
Percentage of Net Assets 0.40% [2],[25],[31] 0.20% [5],[26],[27] 0.40% [2],[25],[31] 0.40% [2],[25],[31] 0.40% [2],[25],[31] 0.40% [2],[25],[31] 0.40% [2],[25],[31] 0.40% [2],[25],[31] 0.20% [5],[26],[27] 0.20% [5],[26],[27] 0.20% [5],[26],[27] 0.20% [5],[26],[27]    
Investment, shares | shares 3,493,701 [2],[25],[31] 3,493,701 [5],[26],[27] 3,493,701 [2],[25],[31] 3,493,701 [2],[25],[31] 3,493,701 [2],[25],[31] 3,493,701 [2],[25],[31] 3,493,701 [2],[25],[31] 3,493,701 [2],[25],[31] 3,493,701 [5],[26],[27] 3,493,701 [5],[26],[27] 3,493,701 [5],[26],[27] 3,493,701 [5],[26],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Internet Services Bayshore Intermediate #2, L.P. Co-Invest Common Units (8,837,008 units) Initial Acquisition Date 10/1/2021                            
Initial Acquisition Date Oct. 01, 2021 [2],[25],[31] Oct. 01, 2021 [5],[26],[27]                        
Investments at amortized cost $ 8,837 [1],[2],[3],[25],[31] $ 8,837 [5],[8],[9],[26],[27]                        
Total investments at fair value $ 10,870 [2],[4],[25],[31] $ 8,461 [5],[10],[26],[27]                        
Percentage of Net Assets 0.70% [2],[25],[31] 0.50% [5],[26],[27] 0.70% [2],[25],[31] 0.70% [2],[25],[31] 0.70% [2],[25],[31] 0.70% [2],[25],[31] 0.70% [2],[25],[31] 0.70% [2],[25],[31] 0.50% [5],[26],[27] 0.50% [5],[26],[27] 0.50% [5],[26],[27] 0.50% [5],[26],[27]    
Investment, shares | shares 8,837,008 [2],[25],[31] 8,837,008 [5],[26],[27] 8,837,008 [2],[25],[31] 8,837,008 [2],[25],[31] 8,837,008 [2],[25],[31] 8,837,008 [2],[25],[31] 8,837,008 [2],[25],[31] 8,837,008 [2],[25],[31] 8,837,008 [5],[26],[27] 8,837,008 [5],[26],[27] 8,837,008 [5],[26],[27] 8,837,008 [5],[26],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Internet Services Lucidworks, Inc. Series F Preferred Shares (199,054 shares) Initial Acquisition Date 8/2/2019                            
Initial Acquisition Date Aug. 02, 2019 [2],[25] Aug. 02, 2019 [5],[27]                        
Investments at amortized cost $ 800 [1],[2],[3],[25] $ 800 [5],[8],[9],[27]                        
Total investments at fair value $ 776 [2],[4],[25] $ 800 [5],[10],[27]                        
Percentage of Net Assets 0.00% [2],[25] 0.10% [5],[27] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27] 0.10% [5],[27]    
Investment, shares | shares 199,054 [2],[25] 199,054 [5],[27] 199,054 [2],[25] 199,054 [2],[25] 199,054 [2],[25] 199,054 [2],[25] 199,054 [2],[25] 199,054 [2],[25] 199,054 [5],[27] 199,054 [5],[27] 199,054 [5],[27] 199,054 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Internet Services Piano Software, Inc. Series C-1 Preferred Shares (418,527 shares) Initial Acquisition Date 12/22/2021                            
Initial Acquisition Date Dec. 22, 2021 [2],[25] Dec. 22, 2021 [5],[27]                        
Investments at amortized cost $ 3,000 [1],[2],[3],[25] $ 3,000 [5],[8],[9],[27]                        
Total investments at fair value $ 2,400 [2],[4],[25] $ 3,000 [5],[10],[27]                        
Percentage of Net Assets 0.10% [2],[25] 0.20% [5],[27] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.10% [2],[25] 0.20% [5],[27] 0.20% [5],[27] 0.20% [5],[27] 0.20% [5],[27]    
Investment, shares | shares 418,527 [2],[25] 418,527 [5],[27] 418,527 [2],[25] 418,527 [2],[25] 418,527 [2],[25] 418,527 [2],[25] 418,527 [2],[25] 418,527 [2],[25] 418,527 [5],[27] 418,527 [5],[27] 418,527 [5],[27] 418,527 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Internet Services Piano Software, Inc. Series C-2 Preferred Shares (27,588 shares) Initial Acquisition Date 11/18/2022                            
Initial Acquisition Date Nov. 18, 2022 [2],[25] Nov. 18, 2022 [5],[27]                        
Investments at amortized cost $ 198 [1],[2],[3],[25] $ 198 [5],[8],[9],[27]                        
Total investments at fair value $ 317 [2],[4],[25] $ 198 [5],[10],[27]                        
Percentage of Net Assets 0.00% [2],[25] 0.00% [5],[27] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [5],[27] 0.00% [5],[27] 0.00% [5],[27] 0.00% [5],[27]    
Investment, shares | shares 27,588 [2],[25] 27,588 [5],[27] 27,588 [2],[25] 27,588 [2],[25] 27,588 [2],[25] 27,588 [2],[25] 27,588 [2],[25] 27,588 [2],[25] 27,588 [5],[27] 27,588 [5],[27] 27,588 [5],[27] 27,588 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Internet Services SMA Technologies Holdings, LLC Class A Units (1,300 shares) Initial Acquisition Date 11/21/2022                            
Initial Acquisition Date [5],[26],[27]   Nov. 21, 2022                        
Investments at amortized cost [5],[8],[9],[26],[27]   $ 1,300                        
Total investments at fair value [5],[10],[26],[27]   $ 1,300                        
Percentage of Net Assets [5],[26],[27]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, shares | shares [5],[26],[27]   1,300             1,300 1,300 1,300 1,300    
Investment, Identifier [Axis]: Equity and Other Investments Internet Services SMA Technologies Holdings, LLC Class A Units (1,584 units) Initial Acquisition Date 11/21/2022                            
Initial Acquisition Date [2],[24],[25] Nov. 21, 2022                          
Investments at amortized cost [1],[2],[3],[24],[25] $ 1,584                          
Total investments at fair value [2],[4],[24],[25] $ 2,297                          
Percentage of Net Assets [2],[24],[25] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, shares | shares [2],[24],[25] 1,584   1,584 1,584 1,584 1,584 1,584 1,584            
Investment, Identifier [Axis]: Equity and Other Investments Internet Services SMA Technologies Holdings, LLC Class B Units (1,124,813 units) Initial Acquisition Date 11/21/2022                            
Initial Acquisition Date [2],[24],[25] Nov. 21, 2022                          
Investments at amortized cost [1],[2],[3],[24],[25] $ 68                          
Total investments at fair value [2],[4],[24],[25] $ 99                          
Percentage of Net Assets [2],[24],[25] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[24],[25] 1,124,813   1,124,813 1,124,813 1,124,813 1,124,813 1,124,813 1,124,813            
Investment, Identifier [Axis]: Equity and Other Investments Internet Services SMA Technologies Holdings, LLC Class B Units (923,250 shares) Initial Acquisition Date 11/21/2022                            
Initial Acquisition Date [5],[26],[27]   Nov. 21, 2022                        
Percentage of Net Assets [5],[26],[27]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5],[26],[27]   923,250             923,250 923,250 923,250 923,250    
Investment, Identifier [Axis]: Equity and Other Investments Marketing Services Validity, Inc. Series A Preferred Shares (3,840,000 shares) Initial Acquisition Date 5/31/2018                            
Initial Acquisition Date May 31, 2018 [2],[25] May 31, 2018 [5]                        
Investments at amortized cost $ 3,840 [1],[2],[3],[25] $ 3,840 [5],[8],[9]                        
Total investments at fair value $ 10,752 [2],[4],[25] $ 10,368 [5],[10]                        
Percentage of Net Assets 0.80% [2],[25] 0.70% [5] 0.80% [2],[25] 0.80% [2],[25] 0.80% [2],[25] 0.80% [2],[25] 0.80% [2],[25] 0.80% [2],[25] 0.70% [5] 0.70% [5] 0.70% [5] 0.70% [5]    
Investment, shares | shares 3,840,000 [2],[25] 3,840,000 [5] 3,840,000 [2],[25] 3,840,000 [2],[25] 3,840,000 [2],[25] 3,840,000 [2],[25] 3,840,000 [2],[25] 3,840,000 [2],[25] 3,840,000 [5] 3,840,000 [5] 3,840,000 [5] 3,840,000 [5]    
Investment, Identifier [Axis]: Equity and Other Investments Oil, Gas and Consumable Fuels                            
Investments at amortized cost $ 8,820 [1],[2],[3] $ 22,110 [5],[8],[9]                        
Total investments at fair value $ 9,612 [2],[4] $ 25,669 [5],[10]                        
Percentage of Net Assets 0.70% [2] 1.70% [5] 0.70% [2] 0.70% [2] 0.70% [2] 0.70% [2] 0.70% [2] 0.70% [2] 1.70% [5] 1.70% [5] 1.70% [5] 1.70% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Oil, Gas and Consumable Fuels Murchison Oil and Gas, LLC 13,355 Preferred Units Initial Acquisition Date 6/30/2022                            
Initial Acquisition Date [5],[26]   Jun. 30, 2022                        
Investments at amortized cost [5],[8],[9],[26]   $ 13,355                        
Total investments at fair value [5],[10],[26]   $ 14,156                        
Percentage of Net Assets [5],[26]   0.90%             0.90% 0.90% 0.90% 0.90%    
Investment, shares | shares [5],[26]   13,355             13,355 13,355 13,355 13,355    
Investment, Identifier [Axis]: Equity and Other Investments Oil, Gas and Consumable Fuels Murchison Oil and Gas, LLC Preferred Units (13,355 units) Initial Acquisition Date 6/30/2022                            
Initial Acquisition Date [2],[31] Jun. 30, 2022                          
Total investments at fair value [2],[4],[31] $ 2,137                          
Percentage of Net Assets [2],[31] 0.20%   0.20% 0.20% 0.20% 0.20% 0.20% 0.20%            
Investment, shares | shares [2],[31] 13,355   13,355 13,355 13,355 13,355 13,355 13,355            
Investment, Identifier [Axis]: Equity and Other Investments Oil, Gas and Consumable Fuels TRP Assets, LLC Partnership Interest (1.89% ownership) Initial Acquisition Date 8/25/2022                            
Initial Acquisition Date Aug. 25, 2022 [2],[31] Aug. 25, 2022 [5],[26],[27]                        
Investments at amortized cost $ 8,820 [1],[2],[3],[31] $ 8,755 [5],[8],[9],[26],[27]                        
Total investments at fair value $ 7,475 [2],[4],[31] $ 11,513 [5],[10],[26],[27]                        
Percentage of Net Assets 0.50% [2],[31] 0.80% [5],[26],[27] 0.50% [2],[31] 0.50% [2],[31] 0.50% [2],[31] 0.50% [2],[31] 0.50% [2],[31] 0.50% [2],[31] 0.80% [5],[26],[27] 0.80% [5],[26],[27] 0.80% [5],[26],[27] 0.80% [5],[26],[27]    
Partnership/Membership interest of ownership 1.89% [2],[31] 1.89% [5],[26],[27] 1.89% [2],[31] 1.89% [2],[31] 1.89% [2],[31] 1.89% [2],[31] 1.89% [2],[31] 1.89% [2],[31] 1.89% [5],[26],[27] 1.89% [5],[26],[27] 1.89% [5],[26],[27] 1.89% [5],[26],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Pharmaceuticals                            
Investments at amortized cost [1],[2],[3] $ 7,370                          
Total investments at fair value [2],[4] $ 6,341                          
Percentage of Net Assets [2] 0.40%   0.40% 0.40% 0.40% 0.40% 0.40% 0.40%            
Investment, Identifier [Axis]: Equity and Other Investments Pharmaceuticals Elysium BidCo Limited Convertible Preference Shares (4,976,563 Shares) Initial Acquisition Date 12/11/2024                            
Initial Acquisition Date [2],[15],[24],[25] Dec. 11, 2024                          
Investments at amortized cost [1],[2],[3],[15],[24],[25] $ 6,341                          
Total investments at fair value [2],[4],[15],[24],[25] $ 6,341     £ 5,063                    
Percentage of Net Assets [2],[15],[24],[25] 0.40%   0.40% 0.40% 0.40% 0.40% 0.40% 0.40%            
Investment, shares | shares [2],[15],[24],[25] 4,976,563   4,976,563 4,976,563 4,976,563 4,976,563 4,976,563 4,976,563            
Investment, Identifier [Axis]: Equity and Other Investments Pharmaceuticals TherapeuticsMD, Inc. 14,256 Warrants Initial Acquisition Date 8/5/2020                            
Initial Acquisition Date [5],[12],[27]   Aug. 05, 2020                        
Investments at amortized cost [5],[8],[9],[12],[27]   $ 1,029                        
Percentage of Net Assets [5],[12],[27]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5],[12],[27]   14,256             14,256 14,256 14,256 14,256    
Investment, Identifier [Axis]: Equity and Other Investments Pharmaceuticals TherapeuticsMD, Inc. Warrants (14,256 warrants) Initial Acquisition Date 8/5/2020                            
Initial Acquisition Date [2],[15],[25] Aug. 05, 2020                          
Investments at amortized cost [1],[2],[3],[15],[25] $ 1,029                          
Percentage of Net Assets [2],[15],[25] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[15],[25] 14,256   14,256 14,256 14,256 14,256 14,256 14,256            
Investment, Identifier [Axis]: Equity and Other Investments Retail and Consumer Products                            
Investments at amortized cost $ 4,751 [1],[2],[3] $ 5,589 [5],[8],[9]                        
Total investments at fair value $ 12,591 [2],[4] $ 12,569 [5],[10]                        
Percentage of Net Assets 0.80% [2] 0.80% [5] 0.80% [2] 0.80% [2] 0.80% [2] 0.80% [2] 0.80% [2] 0.80% [2] 0.80% [5] 0.80% [5] 0.80% [5] 0.80% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Retail and Consumer Products American Achievement, Corp. Class A Units (687 units) Initial Acquisition Date 3/16/2021                            
Initial Acquisition Date Mar. 16, 2021 [2],[25] Mar. 16, 2021 [5],[27]                        
Total investments at fair value $ 50 [2],[4],[25] $ 50 [5],[10],[27]                        
Percentage of Net Assets 0.00% [2],[25] 0.00% [5],[27] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [2],[25] 0.00% [5],[27] 0.00% [5],[27] 0.00% [5],[27] 0.00% [5],[27]    
Investment, shares | shares 687 [2],[25] 687 [5],[27] 687 [2],[25] 687 [2],[25] 687 [2],[25] 687 [2],[25] 687 [2],[25] 687 [2],[25] 687 [5],[27] 687 [5],[27] 687 [5],[27] 687 [5],[27]    
Investment, Identifier [Axis]: Equity and Other Investments Retail and Consumer Products Copper Bidco, LLC Trust Certificates (132,928 Certificates) Initial Acquisition Date 12/7/2020                            
Initial Acquisition Date [5]   Dec. 07, 2020                        
Total investments at fair value [5],[10]   $ 0                        
Percentage of Net Assets [5]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5]   132,928             132,928 132,928 132,928 132,928    
Investment, Identifier [Axis]: Equity and Other Investments Retail and Consumer Products Copper Bidco, LLC Trust Certificates (996,958 Certificates) Initial Acquisition Date 1/30/2021                            
Initial Acquisition Date Jan. 30, 2021 [2],[14] Jan. 30, 2021 [5]                        
Investments at amortized cost $ 1,751 [1],[2],[3],[14] $ 2,589 [5],[8],[9]                        
Total investments at fair value $ 11,963 [2],[4],[14] $ 10,089 [5],[10]                        
Percentage of Net Assets 0.80% [2],[14] 0.60% [5] 0.80% [2],[14] 0.80% [2],[14] 0.80% [2],[14] 0.80% [2],[14] 0.80% [2],[14] 0.80% [2],[14] 0.60% [5] 0.60% [5] 0.60% [5] 0.60% [5]    
Investment, shares | shares 996,958 [2],[14] 996,958 [5] 996,958 [2],[14] 996,958 [2],[14] 996,958 [2],[14] 996,958 [2],[14] 996,958 [2],[14] 996,958 [2],[14] 996,958 [5] 996,958 [5] 996,958 [5] 996,958 [5]    
Investment, Identifier [Axis]: Equity and Other Investments Retail and Consumer Products Neuintel, LLC Class A Units (1,176,494 units) Initial Acquisition Date 12/20/2021                            
Initial Acquisition Date [2],[25],[31] Dec. 20, 2021                          
Investments at amortized cost [1],[2],[3],[25],[31] $ 3,000                          
Total investments at fair value [2],[4],[25],[31] $ 578                          
Percentage of Net Assets [2],[25],[31] 0.00%   0.00% 0.00% 0.00% 0.00% 0.00% 0.00%            
Investment, shares | shares [2],[25],[31] 1,176,494   1,176,494 1,176,494 1,176,494 1,176,494 1,176,494 1,176,494            
Investment, Identifier [Axis]: Equity and Other Investments Retail and Consumer Products Neuintel, LLC Class A Units (1,176,494 units) Initial Acquisition Date 12/21/2021                            
Initial Acquisition Date [5],[26],[27]   Dec. 21, 2021                        
Investments at amortized cost [5],[8],[9],[26],[27]   $ 3,000                        
Total investments at fair value [5],[10],[26],[27]   $ 2,430                        
Percentage of Net Assets [5],[26],[27]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, shares | shares [5],[26],[27]   1,176,494             1,176,494 1,176,494 1,176,494 1,176,494    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit                            
Investments at amortized cost $ 1,500 [2] $ 52,865 [5],[8],[9]                        
Total investments at fair value $ 1,472 [2] $ 55,844 [5],[10]                        
Percentage of Net Assets 0.10% [2] 3.70% [5] 0.10% [2] 0.10% [2] 0.10% [2] 0.10% [2] 0.10% [2] 0.10% [2] 3.70% [5] 3.70% [5] 3.70% [5] 3.70% [5]    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Allegro CLO Ltd, Series 2018-1A, Structured Credit ($1,000 par, due 6/2031) Initial Acquisition Date 5/26/2022 Reference Rate and Spread SOFR + 3.11% Interest Rate 8.51%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2031-06                        
Initial Acquisition Date [5],[7],[12],[16]   May 26, 2022                        
Reference Rate [5],[7],[12],[16]   3.11%             3.11% 3.11% 3.11% 3.11%    
Interest Rate [5],[7],[12],[16]   8.51%             8.51% 8.51% 8.51% 8.51%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 983                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 971                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit American Money Management Corp CLO Ltd, Series 2016-18A Structured Credit ($1,500 par, due 5/2031) Initial Acquisition Date 6/22/2022 Reference Rate and Spread SOFR + 3.31% Interest Rate 8.70%                            
Investment, par [5],[7],[12],[16]   $ 1,500                        
Investment due date [5],[7],[12],[16]   2031-05                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 22, 2022                        
Reference Rate [5],[7],[12],[16]   3.31%             3.31% 3.31% 3.31% 3.31%    
Interest Rate [5],[7],[12],[16]   8.70%             8.70% 8.70% 8.70% 8.70%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,359                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 1,475                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Ares CLO Ltd, Series 2021-59A Structured Credit ($1,000 par, due 4/2034) Initial Acquisition Date 6/23/2022 Reference Rate and Spread SOFR + 6.51% Interest Rate 11.89%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2034-04                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 23, 2022                        
Reference Rate [5],[7],[12],[16]   6.51%             6.51% 6.51% 6.51% 6.51%    
Interest Rate [5],[7],[12],[16]   11.89%             11.89% 11.89% 11.89% 11.89%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 898                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 967                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Ares Loan Funding I Ltd, Series 2021-ALFA, Class E Structured Credit ($1,000 par, due 10/2034) Initial Acquisition Date 6/24/2022 Reference Rate and Spread SOFR + 6.96% Interest Rate 12.36%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2034-10                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 24, 2022                        
Reference Rate [5],[7],[12],[16]   6.96%             6.96% 6.96% 6.96% 6.96%    
Interest Rate [5],[7],[12],[16]   12.36%             12.36% 12.36% 12.36% 12.36%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 944                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 988                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Bain Capital Credit CLO Ltd, Series 2018-1A Structured Credit ($500 par, due 4/2031) Initial Acquisition Date 10/15/2020 Reference Rate and Spread SOFR + 5.61% Interest Rate 11.02%                            
Investment, par [5],[7],[12],[16]   $ 500                        
Investment due date [5],[7],[12],[16]   2031-04                        
Initial Acquisition Date [5],[7],[12],[16]   Oct. 15, 2020                        
Reference Rate [5],[7],[12],[16]   5.61%             5.61% 5.61% 5.61% 5.61%    
Interest Rate [5],[7],[12],[16]   11.02%             11.02% 11.02% 11.02% 11.02%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 429                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 445                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Battalion CLO Ltd, Series 2021-21A Structured Credit ($1,300 par, due 7/2034) Initial Acquisition Date 7/13/2022 Reference Rate and Spread SOFR + 3.56% Interest Rate 8.96%                            
Investment, par [5],[7],[12],[16]   $ 1,300                        
Investment due date [5],[7],[12],[16]   2034-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jul. 13, 2022                        
Reference Rate [5],[7],[12],[16]   3.56%             3.56% 3.56% 3.56% 3.56%    
Interest Rate [5],[7],[12],[16]   8.96%             8.96% 8.96% 8.96% 8.96%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,170                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 1,252                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Benefit Street Partners CLO Ltd, Series 2015-8A Structured Credit ($1,425 par, due 1/2031) Initial Acquisition Date 9/13/2022 Reference Rate and Spread SOFR + 3.01% Interest Rate 8.43%                            
Investment, par [5],[7],[12],[16]   $ 1,425                        
Investment due date [5],[7],[12],[16]   2031-01                        
Initial Acquisition Date [5],[7],[12],[16]   Sep. 13, 2022                        
Reference Rate [5],[7],[12],[16]   3.01%             3.01% 3.01% 3.01% 3.01%    
Interest Rate [5],[7],[12],[16]   8.43%             8.43% 8.43% 8.43% 8.43%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,289                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 1,367                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Benefit Street Partners CLO Ltd, Series 2015-BR Structured Credit ($2,500 par, due 7/2034) Initial Acquisition Date 7/13/2022 Reference Rate and Spread SOFR + 4.11% Interest Rate 9.53%                            
Investment, par [5],[7],[12],[16]   $ 2,500                        
Investment due date [5],[7],[12],[16]   2034-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jul. 13, 2022                        
Reference Rate [5],[7],[12],[16]   4.11%             4.11% 4.11% 4.11% 4.11%    
Interest Rate [5],[7],[12],[16]   9.53%             9.53% 9.53% 9.53% 9.53%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 2,194                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 2,465                        
Percentage of Net Assets [5],[7],[12],[16]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit CIFC CLO Ltd, Series 2018-3A Structured Credit ($1,000 par, due7/2031) Initial Acquisition Date 6/16/2022 Reference Rate and Spread SOFR + 5.76% Interest Rate 11.16%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2031-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 16, 2022                        
Reference Rate [5],[7],[12],[16]   5.76%             5.76% 5.76% 5.76% 5.76%    
Interest Rate [5],[7],[12],[16]   11.16%             11.16% 11.16% 11.16% 11.16%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 904                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 956                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit CIFC CLO Ltd, Series 2021-4A Structured Credit ($1,000 par, due 7/2033) Initial Acquisition Date 7/14/2022 Reference Rate and Spread SOFT + 6.26% Interest Rate 11.66%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2033-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jul. 14, 2022                        
Reference Rate [5],[7],[12],[16]   6.26%             6.26% 6.26% 6.26% 6.26%    
Interest Rate [5],[7],[12],[16]   11.66%             11.66% 11.66% 11.66% 11.66%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 900                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 991                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit CarVal CLO III Ltd, Series 2019-2A Structured Credit ($1,000 par, due 7/2032) Initial Acquisition Date 6/30/2022 Reference Rate and Spread SOFR + 6.70% Interest Rate 12.11%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2032-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 30, 2022                        
Reference Rate [5],[7],[12],[16]   6.70%             6.70% 6.70% 6.70% 6.70%    
Interest Rate [5],[7],[12],[16]   12.11%             12.11% 12.11% 12.11% 12.11%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 903                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 971                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Carlyle Global Market Strategies CLO Ltd, Series 2014-4RA Structured Credit ($1,000 par, due 7/2030) Initial Acquisition Date 5/26/2022 Reference Rate and Spread SOFR + 3.16% Interest Rate 8.56%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2030-07                        
Initial Acquisition Date [5],[7],[12],[16]   May 26, 2022                        
Reference Rate [5],[7],[12],[16]   3.16%             3.16% 3.16% 3.16% 3.16%    
Interest Rate [5],[7],[12],[16]   8.56%             8.56% 8.56% 8.56% 8.56%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 920                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 962                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Carlyle Global Market Strategies CLO Ltd, Series 2016-1, Ltd Structured Credit ($1,600 par, due 4/2034) Initial Acquisition Date 2/15/2023 Reference Rate and Spread SOFR+6.86% Interest Rate 12.28%                            
Investment, par [5],[7],[12],[16]   $ 1,600                        
Investment due date [5],[7],[12],[16]   2034-04                        
Initial Acquisition Date [5],[7],[12],[16]   Feb. 15, 2023                        
Reference Rate [5],[7],[12],[16]   6.86%             6.86% 6.86% 6.86% 6.86%    
Interest Rate [5],[7],[12],[16]   12.28%             12.28% 12.28% 12.28% 12.28%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,430                        
Total investments at fair value [5],[7],[10],[12],[16]   1,521                        
Percentage of Net Assets [5],[7],[12],[16]                         0.10% 0.10%
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Carlyle Global Market Strategies CLO Ltd, Series 2018-1A Structured Credit ($1,550 par, due 4/2031) Initial Acquisition Date 8/11/2020 Reference Rate and Spread SOFR + 6.01% Interest Rate 11.42%                            
Investment, par [5],[7],[12],[16]   $ 1,550                        
Investment due date [5],[7],[12],[16]   2031-04                        
Initial Acquisition Date [5],[7],[12],[16]   Aug. 11, 2020                        
Reference Rate [5],[7],[12],[16]   6.01%             6.01% 6.01% 6.01% 6.01%    
Interest Rate [5],[7],[12],[16]   11.42%             11.42% 11.42% 11.42% 11.42%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,264                        
Total investments at fair value [5],[7],[10],[12],[16]   1,442                        
Percentage of Net Assets [5],[7],[12],[16]                         0.10% 0.10%
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Cedar Funding CLO Ltd, Series 2018-7A, Structured Credit ($1,000 par, due 1/2031) Initial Acquisition Date 7/21/2022 Reference Rate and Spread SOFR + 4.81% Interest Rate 10.23%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2031-01                        
Initial Acquisition Date [5],[7],[12],[16]   Jul. 21, 2022                        
Reference Rate [5],[7],[12],[16]   4.81%             4.81% 4.81% 4.81% 4.81%    
Interest Rate [5],[7],[12],[16]   10.23%             10.23% 10.23% 10.23% 10.23%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 874                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 934                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Crown Point CLO Ltd, Series 2021-10A Structured Credit ($1,000 par, due 7/2034) Initial Acquisition Date 6/14/2022 Reference Rate and Spread SOFR + 7.11% Interest Rate 12.53%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2034-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 14, 2022                        
Reference Rate [5],[7],[12],[16]   7.11%             7.11% 7.11% 7.11% 7.11%    
Interest Rate [5],[7],[12],[16]   12.53%             12.53% 12.53% 12.53% 12.53%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 903                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 953                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Dryden Senior Loan Fund, Series 2018-55A Structured Credit ($1,000 par, due 4/2031) Initial Acquisition Date 7/25/2022 Reference Rate and Spread SOFR + 3.11% Interest Rate 8.51%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2031-04                        
Initial Acquisition Date [5],[7],[12],[16]   Jul. 25, 2022                        
Reference Rate [5],[7],[12],[16]   3.11%             3.11% 3.11% 3.11% 3.11%    
Interest Rate [5],[7],[12],[16]   8.51%             8.51% 8.51% 8.51% 8.51%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 927                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 959                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Dryden Senior Loan Fund, Series 2020-86A Structured Credit ($1,500 par, due 7/2034) Initial Acquisition Date 8/17/2022 Reference Rate and Spread SOFR + 6.76% Interest Rate 11.41%                            
Investment, par [2],[11],[14],[15] $ 1,500                          
Investment due date [2],[11],[14],[15] 2034-07                          
Initial Acquisition Date [2],[11],[14],[15] Aug. 17, 2022                          
Reference Rate [2],[11],[14],[15] 6.76%   6.76% 6.76% 6.76% 6.76% 6.76% 6.76%            
Interest Rate [2],[11],[14],[15] 11.41%   11.41% 11.41% 11.41% 11.41% 11.41% 11.41%            
Investments at amortized cost [1],[2],[3],[11],[14],[15] $ 1,500                          
Total investments at fair value [2],[4],[11],[14],[15] $ 1,472                          
Percentage of Net Assets [2],[11],[14],[15] 0.10%   0.10% 0.10% 0.10% 0.10% 0.10% 0.10%            
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Dryden Senior Loan Fund, Series 2020-86A Structured Credit ($1,500 par, due 7/2034) Initial Acquisition Date 8/17/2022 Reference Rate and Spread SOFR + 6.76% Interest Rate 12.16%                            
Investment, par [5],[7],[12],[16]   $ 1,500                        
Investment due date [5],[7],[12],[16]   2034-07                        
Initial Acquisition Date [5],[7],[12],[16]   Aug. 17, 2022                        
Reference Rate [5],[7],[12],[16]   6.76%             6.76% 6.76% 6.76% 6.76%    
Interest Rate [5],[7],[12],[16]   12.16%             12.16% 12.16% 12.16% 12.16%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,463                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 1,433                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Eaton CLO Ltd, Series 2015-1A Structured Credit ($2,500 par, due 1/2030) Initial Acquisition Date 6/23/2022 Reference Rate and Spread SOFR + 2.76% Interest Rate 8.18%                            
Investment, par [5],[7],[12],[16]   $ 2,500                        
Investment due date [5],[7],[12],[16]   2030-01                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 23, 2022                        
Reference Rate [5],[7],[12],[16]   2.76%             2.76% 2.76% 2.76% 2.76%    
Interest Rate [5],[7],[12],[16]   8.18%             8.18% 8.18% 8.18% 8.18%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 2,260                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 2,410                        
Percentage of Net Assets [5],[7],[12],[16]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Eaton CLO Ltd, Series 2020-1A Structured Credit ($1,000 par, due 10/2034) Initial Acquisition Date 8/11/2022 Reference Rate and Spread SOFR + 6.51% Interest Rate 11.91%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2034-10                        
Initial Acquisition Date [5],[7],[12],[16]   Aug. 11, 2022                        
Reference Rate [5],[7],[12],[16]   6.51%             6.51% 6.51% 6.51% 6.51%    
Interest Rate [5],[7],[12],[16]   11.91%             11.91% 11.91% 11.91% 11.91%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 936                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 970                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit GoldenTree CLO Ltd, Series 2020-7A Structured Credit ($1,000 par, due 4/2034) Initial Acquisition Date 6/17/2022 Reference Rate and Spread SOFR + 6.76% Interest Rate 12.18%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2034-04                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 17, 2022                        
Reference Rate [5],[7],[12],[16]   6.76%             6.76% 6.76% 6.76% 6.76%    
Interest Rate [5],[7],[12],[16]   12.18%             12.18% 12.18% 12.18% 12.18%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 921                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 994                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Gulf Stream Meridian, Series 2021-4A Structured Credit ($1,015 par, due 7/2034) Initial Acquisition Date 6/3/2022 Reference Rate and Spread SOFR + 6.61% Interest Rate 12.01%                            
Investment, par [5],[7],[12],[16]   $ 1,015                        
Investment due date [5],[7],[12],[16]   2034-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 03, 2022                        
Reference Rate [5],[7],[12],[16]   6.61%             6.61% 6.61% 6.61% 6.61%    
Interest Rate [5],[7],[12],[16]   12.01%             12.01% 12.01% 12.01% 12.01%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 942                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 968                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Gulf Stream Meridian, Series 2021-6A Structured Credit ($2,000 par, due 1/2037) Initial Acquisition Date 9/12/2022 Reference Rate and Spread SOFR + 6.62% Interest Rate 11.93%                            
Investment, par [5],[7],[12],[16]   $ 2,000                        
Investment due date [5],[7],[12],[16]   2037-01                        
Initial Acquisition Date [5],[7],[12],[16]   Sep. 12, 2022                        
Reference Rate [5],[7],[12],[16]   6.62%             6.62% 6.62% 6.62% 6.62%    
Interest Rate [5],[7],[12],[16]   11.93%             11.93% 11.93% 11.93% 11.93%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,851                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 1,928                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Jefferson Mill CLO Ltd, Series 2015-1A Structured Credit ($1,000 par, due 10/2031) Initial Acquisition Date 5/23/2022 Reference Rate and Spread SOFR + 3.81% Interest Rate 9.22%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2031-10                        
Initial Acquisition Date [5],[7],[12],[16]   May 23, 2022                        
Reference Rate [5],[7],[12],[16]   3.81%             3.81% 3.81% 3.81% 3.81%    
Interest Rate [5],[7],[12],[16]   9.22%             9.22% 9.22% 9.22% 9.22%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 908                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 965                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit KKR CLO Ltd, 49A Structured Credit ($1,000 par, due 7/2035) Initial Acquisition Date 6/2/2022 Reference Rate and Spread SOFR + 8.26% Interest Rate 13.42%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2035-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 02, 2022                        
Reference Rate [5],[7],[12],[16]   8.26%             8.26% 8.26% 8.26% 8.26%    
Interest Rate [5],[7],[12],[16]   13.42%             13.42% 13.42% 13.42% 13.42%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 978                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 987                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Madison Park CLO, Series 2018-28A Structured Credit ($1,000 par, due 7/2030) Initial Acquisition Date 6/28/2022 Reference Rate and Spread SOFR + 5.51% Interest Rate 10.91%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2030-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 28, 2022                        
Reference Rate [5],[7],[12],[16]   5.51%             5.51% 5.51% 5.51% 5.51%    
Interest Rate [5],[7],[12],[16]   10.91%             10.91% 10.91% 10.91% 10.91%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 911                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 963                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Magnetite CLO Ltd, Series 2021-30A Structured Credit ($1,000 par, due 10/2034) Initial Acquisition Date 6/13/2022 Reference Rate and Spread SOFR + 6.46% Interest Rate 11.84%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2034-10                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 13, 2022                        
Reference Rate [5],[7],[12],[16]   6.46%             6.46% 6.46% 6.46% 6.46%    
Interest Rate [5],[7],[12],[16]   11.84%             11.84% 11.84% 11.84% 11.84%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 920                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 988                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit MidOcean Credit CLO Ltd, Series 2016-6A Structured Credit ($3,500 par, due 4/2033) Initial Acquisition Date 5/23/2022 Reference Rate and Spread SOFR + 3.78% Interest Rate 9.20%                            
Investment, par [5],[7],[12],[16]   $ 3,500                        
Investment due date [5],[7],[12],[16]   2033-04                        
Initial Acquisition Date [5],[7],[12],[16]   May 23, 2022                        
Reference Rate [5],[7],[12],[16]   3.78%             3.78% 3.78% 3.78% 3.78%    
Interest Rate [5],[7],[12],[16]   9.20%             9.20% 9.20% 9.20% 9.20%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 3,170                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 3,274                        
Percentage of Net Assets [5],[7],[12],[16]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit MidOcean Credit CLO Ltd, Series 2018-9A Structured Credit ($1,100 par, due 7/2031) Initial Acquisition Date 6/1/2022 Reference Rate and Spread SOFR + 6.31% Interest Rate 11.73%                            
Investment, par [5],[7],[12],[16]   $ 1,100                        
Investment due date [5],[7],[12],[16]   2031-07                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 01, 2022                        
Reference Rate [5],[7],[12],[16]   6.31%             6.31% 6.31% 6.31% 6.31%    
Interest Rate [5],[7],[12],[16]   11.73%             11.73% 11.73% 11.73% 11.73%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 970                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 1,012                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Octagon 57 LLC, Series 2021-1A Structured Credit ($1,000 par, due 10/2034) Initial Acquisition Date 5/24/2022 Reference Rate and Spread SOFR + 6.86% Interest Rate 12.26%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2034-10                        
Initial Acquisition Date [5],[7],[12],[16]   May 24, 2022                        
Reference Rate [5],[7],[12],[16]   6.86%             6.86% 6.86% 6.86% 6.86%    
Interest Rate [5],[7],[12],[16]   12.26%             12.26% 12.26% 12.26% 12.26%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 951                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 940                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Octagon Investment Partners 18 Ltd, Series 2018-18A Structured Credit ($1,000 par, due 4/2031) Initial Acquisition Date 7/26/2022 Reference Rate and Spread SOFR + 2.96% Interest Rate 8.36%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2031-04                        
Initial Acquisition Date [5],[7],[12],[16]   Jul. 26, 2022                        
Reference Rate [5],[7],[12],[16]   2.96%             2.96% 2.96% 2.96% 2.96%    
Interest Rate [5],[7],[12],[16]   8.36%             8.36% 8.36% 8.36% 8.36%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 913                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 959                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Octagon Investment Partners 38 Ltd, Series 2018-1A Structured Credit ($2,800 par, due 7/2030) Initial Acquisition Date 9/20/2022 Reference Rate and Spread SOFR + 3.21% Interest Rate 8.63%                            
Investment, par [5],[7],[12],[16]   $ 2,800                        
Investment due date [5],[7],[12],[16]   2030-07                        
Initial Acquisition Date [5],[7],[12],[16]   Sep. 20, 2022                        
Reference Rate [5],[7],[12],[16]   3.21%             3.21% 3.21% 3.21% 3.21%    
Interest Rate [5],[7],[12],[16]   8.63%             8.63% 8.63% 8.63% 8.63%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 2,505                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 2,713                        
Percentage of Net Assets [5],[7],[12],[16]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Park Avenue Institutional Advisers CLO Ltd, Series 2018-1A Structured Credit ($1,000 par, due 10/2031) Initial Acquisition Date 9/23/2022 Reference Rate and Spread SOFR + 3.59% Interest Rate 9.01%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2031-10                        
Initial Acquisition Date [5],[7],[12],[16]   Sep. 23, 2022                        
Reference Rate [5],[7],[12],[16]   3.59%             3.59% 3.59% 3.59% 3.59%    
Interest Rate [5],[7],[12],[16]   9.01%             9.01% 9.01% 9.01% 9.01%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 870                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 925                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Pikes Peak CLO, Series 2021-9A Structured Credit ($2,000 par, due 10/2034) Initial Acquisition Date 8/31/2022 Reference Rate and Spread SOFR + 6.84% Interest Rate 12.23%                            
Investment, par [5],[7],[12],[16]   $ 2,000                        
Investment due date [5],[7],[12],[16]   2034-10                        
Initial Acquisition Date [5],[7],[12],[16]   Aug. 31, 2022                        
Reference Rate [5],[7],[12],[16]   6.84%             6.84% 6.84% 6.84% 6.84%    
Interest Rate [5],[7],[12],[16]   12.23%             12.23% 12.23% 12.23% 12.23%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,787                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 1,890                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit RR Ltd, Series 2020-8A Structured Credit ($1,000 par, due 4/2033) Initial Acquisition Date 8/22/2022 Reference Rate and Spread SOFR + 6.66% Interest Rate 12.06%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2033-04                        
Initial Acquisition Date [5],[7],[12],[16]   Aug. 22, 2022                        
Reference Rate [5],[7],[12],[16]   6.66%             6.66% 6.66% 6.66% 6.66%    
Interest Rate [5],[7],[12],[16]   12.06%             12.06% 12.06% 12.06% 12.06%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 955                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 995                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Signal Peak CLO LLC, Series 2018-5A Structured Credit ($1,000 par, due 4/2031) Initial Acquisition Date 8/9/2022 Reference Rate and Spread SOFR + 5.91% Interest Rate 11.29%                            
Investment, par [5],[7],[12],[16]   $ 333                        
Investment due date [5],[7],[12],[16]   2031-04                        
Initial Acquisition Date [5],[7],[12],[16]   Aug. 09, 2022                        
Reference Rate [5],[7],[12],[16]   5.91%             5.91% 5.91% 5.91% 5.91%    
Interest Rate [5],[7],[12],[16]   11.29%             11.29% 11.29% 11.29% 11.29%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 301                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 318                        
Percentage of Net Assets [5],[7],[12],[16]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Southwick Park CLO Ltd, Series 2019-4A Structured Credit ($1,000 par, due 7/2032) Initial Acquisition Date 5/25/2022 Reference Rate and Spread SOFR + 6.51% Interest Rate 11.93%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2032-07                        
Initial Acquisition Date [5],[7],[12],[16]   May 25, 2022                        
Reference Rate [5],[7],[12],[16]   6.51%             6.51% 6.51% 6.51% 6.51%    
Interest Rate [5],[7],[12],[16]   11.93%             11.93% 11.93% 11.93% 11.93%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 932                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 968                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Stewart Park CLO Ltd, Series 2015-1A Structured Credit ($1,000 par, due 1/2030) Initial Acquisition Date 7/25/2022 Reference Rate and Spread SOFR + 2.86% Interest Rate 8.26%                            
Investment, par [5],[7],[12],[16]   $ 1,000                        
Investment due date [5],[7],[12],[16]   2030-01                        
Initial Acquisition Date [5],[7],[12],[16]   Jul. 25, 2022                        
Reference Rate [5],[7],[12],[16]   2.86%             2.86% 2.86% 2.86% 2.86%    
Interest Rate [5],[7],[12],[16]   8.26%             8.26% 8.26% 8.26% 8.26%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 928                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 970                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Voya CLO Ltd, Series 2018-3A Structured Credit ($2,750 par, due 10/2031) Initial Acquisition Date 6/22/2022 Reference Rate and Spread SOFR + 6.01% Interest Rate 11.41%                            
Investment, par [5],[7],[12],[16]   $ 2,750                        
Investment due date [5],[7],[12],[16]   2031-10                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 22, 2022                        
Reference Rate [5],[7],[12],[16]   6.01%             6.01% 6.01% 6.01% 6.01%    
Interest Rate [5],[7],[12],[16]   11.41%             11.41% 11.41% 11.41% 11.41%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 2,441                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 2,484                        
Percentage of Net Assets [5],[7],[12],[16]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Wind River CLO Ltd, Series 2014-2A Structured Credit ($1,500 par, due 1/2031) Initial Acquisition Date 6/23/2022 Reference Rate and Spread SOFR + 3.16% Interest Rate 8.56%                            
Investment, par [5],[7],[12],[16]   $ 1,500                        
Investment due date [5],[7],[12],[16]   2031-01                        
Initial Acquisition Date [5],[7],[12],[16]   Jun. 23, 2022                        
Reference Rate [5],[7],[12],[16]   3.16%             3.16% 3.16% 3.16% 3.16%    
Interest Rate [5],[7],[12],[16]   8.56%             8.56% 8.56% 8.56% 8.56%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,407                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 1,404                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Wind River CLO Ltd, Series 2017-1A Structured Credit ($3,000 par, due 4/2036) Initial Acquisition Date 7/14/2022 Reference Rate and Spread SOFR + 3.98% Interest Rate 9.38%                            
Investment, par [5],[7],[12],[16]   $ 3,000                        
Investment due date [5],[7],[12],[16]   2036-04                        
Initial Acquisition Date [5],[7],[12],[16]   Jul. 14, 2022                        
Reference Rate [5],[7],[12],[16]   3.98%             3.98% 3.98% 3.98% 3.98%    
Interest Rate [5],[7],[12],[16]   9.38%             9.38% 9.38% 9.38% 9.38%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 2,633                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 2,911                        
Percentage of Net Assets [5],[7],[12],[16]   0.20%             0.20% 0.20% 0.20% 0.20%    
Investment, Identifier [Axis]: Equity and Other Investments Structured Credit Wind River CLO Ltd, Series 2018-3A Structured Credit ($2,000 par, due 1/2031) Initial Acquisition Date 12/12/2022 Reference Rate and Spread SOFR + 5.91% Interest Rate 11.33%                            
Investment, par [5],[7],[12],[16]   $ 2,000                        
Investment due date [5],[7],[12],[16]   2031-01                        
Initial Acquisition Date [5],[7],[12],[16]   Dec. 12, 2022                        
Reference Rate [5],[7],[12],[16]   5.91%             5.91% 5.91% 5.91% 5.91%    
Interest Rate [5],[7],[12],[16]   11.33%             11.33% 11.33% 11.33% 11.33%    
Investments at amortized cost [5],[7],[8],[9],[12],[16]   $ 1,721                        
Total investments at fair value [5],[7],[10],[12],[16]   $ 1,856                        
Percentage of Net Assets [5],[7],[12],[16]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, Identifier [Axis]: Hedge Accounting Swaps                            
Notional Amount $ 950,000 $ 952,500                        
Fair Market Value (24,238) (31,840)                        
Change in Unrealized Gains / (Losses) $ (2,807) $ 23,243                        
Investment, Identifier [Axis]: Interest Rate Swap Company Pays 3.875% Maturity Date 11/1/2024                            
Derivative, basis spread on variable rate [32]   3.875%             3.875% 3.875% 3.875% 3.875%    
Investment, Identifier [Axis]: Interest Rate Swap Company Pays SOFR + 2.17% Maturity Date 8/1/2026                            
Derivative, basis spread on variable rate 2.17% [33],[34] 2.17% [32],[35] 2.17% [33],[34] 2.17% [33],[34] 2.17% [33],[34] 2.17% [33],[34] 2.17% [33],[34] 2.17% [33],[34] 2.17% [32],[35] 2.17% [32],[35] 2.17% [32],[35] 2.17% [32],[35]    
Investment, Identifier [Axis]: Interest Rate Swap Company Pays SOFR + 2.44% Maturity Date 3/1/2029                            
Derivative, basis spread on variable rate [33],[34] 2.44%   2.44% 2.44% 2.44% 2.44% 2.44% 2.44%            
Investment, Identifier [Axis]: Interest Rate Swap Company Pays SOFR + 2.51% Maturity Date 11/1/2024                            
Derivative, basis spread on variable rate [32],[35],[36],[37]   2.51%             2.51% 2.51% 2.51% 2.51%    
Investment, Identifier [Axis]: Interest Rate Swap Company Pays SOFR + 2.72% Maturity Date 11/1/2024                            
Derivative, basis spread on variable rate [32],[35],[36],[37]   2.72%             2.72% 2.72% 2.72% 2.72%    
Investment, Identifier [Axis]: Interest Rate Swap Company Pays SOFR + 2.99% Maturity Date 8/14/2028                            
Derivative, basis spread on variable rate 2.99% [33],[34] 2.99% [32],[35] 2.99% [33],[34] 2.99% [33],[34] 2.99% [33],[34] 2.99% [33],[34] 2.99% [33],[34] 2.99% [33],[34] 2.99% [32],[35] 2.99% [32],[35] 2.99% [32],[35] 2.99% [32],[35]    
Investment, Identifier [Axis]: Interest Rate Swap Company Receives 2.50% Company Pays SOFR + 2.17% Maturity Date 8/1/2026                            
Derivative, basis spread on variable rate 2.50% [33],[34] 2.50% [32],[35] 2.50% [33],[34] 2.50% [33],[34] 2.50% [33],[34] 2.50% [33],[34] 2.50% [33],[34] 2.50% [33],[34] 2.50% [32],[35] 2.50% [32],[35] 2.50% [32],[35] 2.50% [32],[35]    
Maturity Date Aug. 01, 2026 [33],[34] Aug. 01, 2026 [32],[35]                        
Notional Amount $ 300,000 [33],[34] $ 300,000 [32],[35]                        
Fair Market Value (17,618) [33],[34] (26,111) [32],[35]                        
Change in Unrealized Gains / (Losses) $ 8,493 [33],[34] $ 9,554 [32],[35]                        
Investment, Identifier [Axis]: Interest Rate Swap Company Receives 3.875% Company Pays SOFR + 2.51% Maturity Date 11/1/2024                            
Derivative, basis spread on variable rate [32],[35],[36],[37]   3.875%             3.875% 3.875% 3.875% 3.875%    
Maturity Date [32],[35],[36],[37]   Nov. 01, 2024                        
Notional Amount [32],[35],[36],[37]   $ 300,000                        
Fair Market Value [32],[35],[36],[37]   (8,846)                        
Change in Unrealized Gains / (Losses) [32],[35],[36],[37]   $ 7,647                        
Investment, Identifier [Axis]: Interest Rate Swap Company Receives 3.875% Company Pays SOFR + 2.72% Maturity Date 11/1/2024                            
Derivative, basis spread on variable rate [32],[35],[36],[37]   3.875%             3.875% 3.875% 3.875% 3.875%    
Maturity Date [32],[35],[36],[37]   Nov. 01, 2024                        
Notional Amount [32],[35],[36],[37]   $ 50,000                        
Fair Market Value [32],[35],[36],[37]   (1,563)                        
Change in Unrealized Gains / (Losses) [32],[35],[36],[37]   $ 1,362                        
Investment, Identifier [Axis]: Interest Rate Swap Company Receives 6.125% Company Pays SOFR + 2.44% Maturity Date 3/1/2029                            
Derivative, basis spread on variable rate [33],[34] 6.125%   6.125% 6.125% 6.125% 6.125% 6.125% 6.125%            
Maturity Date [33],[34] Mar. 01, 2029                          
Notional Amount [33],[34] $ 350,000                          
Fair Market Value [33],[34] (5,243)                          
Change in Unrealized Gains / (Losses) [33],[34] $ (5,243)                          
Investment, Identifier [Axis]: Interest Rate Swap Company Receives 6.95% Company Pays SOFR + 2.99% Maturity Date 8/14/2028                            
Derivative, basis spread on variable rate 6.95% [33],[34] 6.95% [32],[35] 6.95% [33],[34] 6.95% [33],[34] 6.95% [33],[34] 6.95% [33],[34] 6.95% [33],[34] 6.95% [33],[34] 6.95% [32],[35] 6.95% [32],[35] 6.95% [32],[35] 6.95% [32],[35]    
Maturity Date Aug. 14, 2028 [33],[34] Aug. 14, 2028 [32],[35]                        
Notional Amount $ 300,000 [33],[34] $ 300,000 [32],[35]                        
Fair Market Value (1,377) [33],[34] 4,680 [32],[35]                        
Change in Unrealized Gains / (Losses) (6,057) [33],[34] $ 4,680 [32],[35]                        
Investment, Identifier [Axis]: Interest Rate Swap Company Receives SOFR + 2.54% Maturity Date 11/1/2024                            
Derivative, basis spread on variable rate [32]   2.54%             2.54% 2.54% 2.54% 2.54%    
Maturity Date [32]   Nov. 01, 2024                        
Notional Amount [32]   $ 2,500                        
Investment, Identifier [Axis]: Interest Rate Swap, Cash collateral                            
Fair Market Value   $ 55,819                        
Cash collateral 46,601                          
Investment, Identifier [Axis]: Investment, Identifier [Axis]: Equity and Other Investments Business Services Mitnick TA Aggregator, L.P. Membership Interest (0.43% ownership) Initial Acquisition Date 5/2/2022                            
Initial Acquisition Date [5],[27]   May 02, 2022                        
Investments at amortized cost [5],[8],[9],[27]   $ 5,243                        
Total investments at fair value [5],[10],[27]   $ 4,496                        
Percentage of Net Assets [5],[27]   0.30%             0.30% 0.30% 0.30% 0.30%    
Partnership/Membership interest of ownership [5],[27]   0.43%             0.43% 0.43% 0.43% 0.43%    
Investment, Identifier [Axis]: Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Class A-1 Units (637,713 units) Initial Acquisition Date 11/23/2021                            
Initial Acquisition Date [5],[30]   Nov. 23, 2021                        
Investments at amortized cost [5],[8],[9],[30]   $ 1,120                        
Total investments at fair value [5],[10],[30]   $ 1,414                        
Percentage of Net Assets [5],[30]   0.10%             0.10% 0.10% 0.10% 0.10%    
Investment, shares | shares [5],[26],[27],[30]   637,713             637,713 637,713 637,713 637,713    
Investment, Identifier [Axis]: Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Class A-2 Units (2,989 units) Initial Acquisition Date 6/21/2022                            
Initial Acquisition Date [5],[30]   Jun. 21, 2022                        
Investments at amortized cost [5],[8],[9],[30]   $ 6                        
Total investments at fair value [5],[10],[30]   $ 8                        
Percentage of Net Assets [5],[30]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5],[26],[27],[30]   2,989             2,989 2,989 2,989 2,989    
Investment, Identifier [Axis]: Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Class A-3 Units (16,957 units) Initial Acquisition Date 11/10/2023                            
Initial Acquisition Date [5],[30]   Nov. 10, 2023                        
Investments at amortized cost [5],[8],[9],[30]   $ 36                        
Total investments at fair value [5],[10],[30]   $ 46                        
Percentage of Net Assets [5],[30]   0.00%             0.00% 0.00% 0.00% 0.00%    
Investment, shares | shares [5],[26],[27],[30]   16,957             16,957 16,957 16,957 16,957    
Investment, Identifier [Axis]: Investment, Identifier [Axis]: Equity and Other Investments Business Services Sprinklr, Inc. Common Shares (315,005 shares) Initial Acquisition Date 6/24/2021                            
Investment, shares | shares [5],[27],[29]   315,005             315,005 315,005 315,005 315,005    
Investment, Identifier [Axis]: Total Investments                            
Investments at amortized cost 3,539,153 [1],[2],[3] $ 3,251,012 [5],[8],[9]                        
Total investments at fair value $ 3,518,412 [2],[4] $ 3,283,065 [5],[10]                        
Percentage of Net Assets 218.90% [2] 219.40% [5] 218.90% [2] 218.90% [2] 218.90% [2] 218.90% [2] 218.90% [2] 218.90% [2] 219.40% [5] 219.40% [5] 219.40% [5] 219.40% [5]    
[1] As of December 31, 2024, the estimated cost basis of investments for U.S. federal tax purposes was $3,535,963 resulting in estimated gross unrealized gains and losses of $207,435 and $216,975, respectively.
[2] Certain portfolio company investments are subject to contractual restrictions on sales.
[3] The amortized cost represents the original cost adjusted for the amortization of discounts and premiums, as applicable, on debt investments using the effective interest method.
[4] In accordance with Financial Accounting Standards Board Accounting Standards Codification Topic 820, Fair Value Measurements (“ASC Topic 820”), unless otherwise indicated, the fair values of all investments were determined using significant unobservable inputs and are considered Level 3 investments. See Note 6 for further information related to investments at fair value.
[5] Certain portfolio company investments are subject to contractual restrictions on sales.
[6] In addition to the interest earned based on the stated interest rate of this investment, which is the amount reflected in this schedule, the Company may be entitled to receive additional interest as a result of an arrangement with other members in the syndicate to the extent an investment has been allocated to “first out” and “last out” tranches, whereby the “first out” tranche will have priority as to the “last out” tranche with respect to payments of principal, interest and any amounts due thereunder and the Company holds the “last out” tranche.
[7] Investment contains a variable rate structure, subject to an interest rate floor. Variable rate investments bear interest at a rate that may be determined by reference to either Euro Interbank Offer Rate (“Euribor” or “E”), Sterling Overnight Index Average ("SONIA"), Canadian Dollar Offered Rate (“CDOR” or “C”), Secured Overnight Financing Rate (“SOFR”) which may also contain a credit spread adjustment depending on the tenor election, Bank Bill Swap Bid Rate (“BBSY” or “B”) or an alternate base rate (which can include the Federal Funds Effective Rate or the Prime Rate or “P”), all of which include an available tenor, selected at the borrower’s option, which reset periodically based on the terms of the credit agreement. For investments with multiple interest rate contracts, the interest rate shown is the weighted average interest rate in effect at December 31, 2023.
[8] As of December 31, 2023, the estimated cost basis of investments for U.S. federal tax purposes was $3,256,630 resulting in estimated gross unrealized gains and losses of $159,281 and $135,606, respectively.
[9] The amortized cost represents the original cost adjusted for the amortization of discounts and premiums, as applicable, on debt investments using the effective interest method.
[10] In accordance with Financial Accounting Standards Board Accounting Standards Codification Topic 820, Fair Value Measurements (“ASC Topic 820”), unless otherwise indicated, the fair values of all investments were determined using significant unobservable inputs and are considered Level 3 investments. See Note 6 for further information related to investments at fair value.
[11] Investment contains a variable rate structure, subject to an interest rate floor. Variable rate investments bear interest at a rate that may be determined by reference to either Euro Interbank Offer Rate (“Euribor” or “E”), Sterling Overnight Index Average ("SONIA"), Secured Overnight Financing Rate (“SOFR”) which may also contain a credit spread adjustment depending on the tenor election, Bank Bill Swap Bid Rate (“BBSY” or “B”), Stockholm Interbank Offered Rate (“STIBOR”), Norwegian Interbank Offered Rate (“NIBOR” or “N”) or an alternate base rate (which can include the Federal Funds Effective Rate or the Prime Rate or “P”), all of which include an available tenor, selected at the borrower’s option, which reset periodically based on the terms of the credit agreement. For investments with multiple interest rate contracts, the interest rate shown is the weighted average interest rate in effect at December 31, 2024.
[12] This portfolio company is not a qualifying asset under Section 55(a) of the Investment Company Act of 1940, as amended (the “1940 Act”). Under the 1940 Act, the Company may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of total assets. Non-qualifying assets represented 13.1% of total assets as of December 31, 2023.
[13] In addition to the interest earned based on the stated interest rate of this investment, which is the amount reflected in this schedule, the Company may be entitled to receive additional interest as a result of an arrangement with other members in the syndicate to the extent an investment has been allocated to “first out” and “last out” tranches, whereby the “first out” tranche will have priority as to the “last out” tranche with respect to payments of principal, interest and any amounts due thereunder and the Company holds the “last out” tranche.
[14] This investment is valued using observable inputs and is considered a Level 2 investment. See Note 6 for further information related to investments at fair value.
[15] This portfolio company is not a qualifying asset under Section 55(a) of the Investment Company Act of 1940, as amended (the “1940 Act”). Under the 1940 Act, the Company may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of total assets. Non-qualifying assets represented 16.5% of total assets as of December 31, 2024.
[16] This investment is valued using observable inputs and is considered a Level 2 investment. See Note 6 for further information related to investments at fair value.
[17] Gross additions include increases in the cost basis of investments resulting from new investments, payment-in-kind interest or dividends, the amortization of any unearned income or discounts on debt investments, as applicable.
[18] Investment is on non-accrual status as of December 31, 2024.
[19] Under the 1940 Act, the Company is deemed to be both an “Affiliated Person” of and “Control,” as such terms are defined in the 1940 Act, this portfolio company, as the Company owns more than 25% of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company (including through a management agreement). Transactions during the year ended December 31, 2024 in which the issuer was an Affiliated Person of and was deemed to Control a portfolio company are as follows:
[20] Under the 1940 Act, the Company is deemed to be both an “Affiliated Person” of and “Control,” as such terms are defined in the 1940 Act, this portfolio company, as the Company owns more than 25% of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company (including through a management agreement). Transactions during the year ended December 31, 2023 in which the issuer was an Affiliated Person of and was deemed to Control a portfolio company are as follows:

 

Controlled, Affiliated Investments during the year ended December 31, 2023

 

Company

 

Fair
Value at
December 31, 2022

 

 

Gross
Additions (a)

 

 

Gross
Reductions
(b)

 

 

Net Change
In Unrealized
Gain/(Loss)

 

 

Realized
Gain/(Losses)

 

 

Transfers

 

 

Fair
Value at
December 31,
2023

 

 

Other
Income

 

 

Interest
Income

 

IRGSE Holding Corp.

 

$

70,755

 

 

$

10,875

 

 

$

 

 

$

(21,717

)

 

$

 

 

$

 

 

$

59,913

 

 

$

6

 

 

$

7,756

 

Total

 

$

70,755

 

 

$

10,875

 

 

$

 

 

$

(21,717

)

 

$

 

 

$

 

 

$

59,913

 

 

$

6

 

 

$

7,756

 

 

[21] Investment is on non-accrual status as of December 31, 2023.
[22] In addition to the principal amount outstanding and accrued interest owed on this investment, the Company is entitled to a separate Make-Whole Amount (the “Make-Whole”) of $11.8 million. The Make-Whole is a contractual obligation of the borrower and accrues interest on the balance outstanding. The Make-Whole is included on the Company’s consolidated balance sheet within other assets, net of any valuation allowance. Given uncertainty relating to collectability of the Make-Whole, the Company has applied a full valuation allowance against the amount of the Make-Whole balance outstanding.
[23] In addition to the principal amount outstanding and accrued interest owed on this investment, the Company is entitled to a
separate Make-Whole Amount (the “Make-Whole”) of
$13.7 million. The Make-Whole is a contractual obligation of the
borrower and accrues interest on the balance outstanding. The Make-Whole is included on the Company’s consolidated balance
sheet within other assets, net of any valuation allowance. Given uncertainty relating to collectability of the Make-Whole, the
Company has applied a full valuation allowance against the amount of the Make-Whole balance outstanding.
[24] All or a portion of this security was acquired in a transaction exempt from registration under the Securities Act of 1933, and may be deemed to be “restricted securities” under the Securities Act. As of December 31, 2024, the aggregate fair value of these securities is $12,926, or 0.8% of the Company’s net assets.
[25] This investment is non-income producing.
[26] All or a portion of this security was acquired in a transaction exempt from registration under the Securities Act of 1933, and may be deemed to be “restricted securities” under the Securities Act. As of December 31, 2023, the aggregate fair value of these securities is $13,032, or 0.9% of the Company’s net assets.
[27] This investment is non-income producing.
[28] This investment is valued using observable inputs and is considered a Level 1 investment. See Note 6 for further information related to investments at fair value.
[29] This investment is valued using observable inputs and is considered a Level 1 investment. See Note 6 for further information related to investments at fair value.
[30] Ownership of equity investments may occur through a holding company or partnership.
[31] Ownership of equity investments may occur through a holding company or partnership.
[32] Contains a variable rate structure. Bears interest at a rate determined by SOFR.
[33] Contains a variable rate structure. Bears interest at a rate determined by SOFR.
[34] Instrument is used in a hedge accounting relationship. The associated change in fair value is recorded along with the change in fair value of the hedged item within interest expense.
[35] Instrument is used in a hedge accounting relationship. The associated change in fair value is recorded along with the change in fair value of the hedged item within interest expense.
[36] $2.5 million in aggregate notional value of these instruments is no longer designated as instruments in a hedge accounting relationship. The associated change in fair value of the de-designated portion is recorded within unrealized gain/(loss).
[37] The fair market value of this instrument is presented net with the $2.5 million in aggregate notional value of instruments no longer designated as instruments in a hedge accounting relationship.