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Consolidated Schedule of Investments (Affiliated Investments)
€ in Thousands, £ in Thousands, kr in Thousands, kr in Thousands, $ in Thousands, $ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2025
USD ($)
Dec. 31, 2025
EUR (€)
Dec. 31, 2025
GBP (£)
Dec. 31, 2025
NOK (kr)
Dec. 31, 2025
SEK (kr)
Dec. 31, 2025
CAD ($)
Dec. 31, 2025
AUD ($)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
USD ($)
Fair Value, Beginning balance [1],[2] $ 3,518,412                
Fair Value, Ending balance 3,347,317 [3],[4]             $ 3,518,412 [1],[2]  
Controlled, Affiliated Investments                  
Fair Value, Beginning balance 65,095             59,913  
Gross Additions 11,630 [5]             10,351  
Gross Reductions [6] (5,310)                
Net Change in Unrealized Gain/(Loss) 3,266             (5,169)  
Realized Gain/(Loss) (16,309)                
Fair Value, Ending balance 58,372             65,095 $ 59,913
Other Income 11                
Other Income 11             13 6
Interest Income 10,347             9,428  
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%                  
Fair Value, Beginning balance [1],[2],[7] 40,256                
Fair Value, Ending balance [1],[2],[7]               40,256  
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 69,975                
Fair Value, Ending balance [1],[2],[7],[8]               69,975  
Investment, Identifier [Axis]: Debt Investments Business Services Artisan Bidco, Inc . Investment First-lien loan ($38,438 par, due 11/2029) Initial Acquisition Date 11/07/2023 Reference Rate and Spread SOFR + 7.00% Interest Rate 10.94%                  
Fair Value, Ending balance [3],[4],[9] 38,245                
Investment, Identifier [Axis]: Debt Investments Business Services Artisan Bidco, Inc . Investment First-lien loan (EUR 17,380 par, due 11/2029) Initial Acquisition Date 11/07/2023 Reference Rate and Spread E + 7.00% Interest Rate 09.03%                  
Fair Value, Ending balance [3],[4],[9] 20,310 € 17,293              
Investment, Identifier [Axis]: Debt Investments Business Services Artisan Bidco, Inc . Investment First-lien revolving loan ($4,287 par, due 11/2029) Initial Acquisition Date 11/07/2023 Reference Rate and Spread SOFR + 7.00% Interest Rate 10.95%                  
Fair Value, Ending balance [3],[4],[9] 4,259                
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%                  
Fair Value, Beginning balance [1],[2],[7] 38,830                
Fair Value, Ending balance [1],[2],[7]               38,830  
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%                  
Fair Value, Beginning balance [1],[2],[7] 18,181 17,558              
Fair Value, Ending balance [1],[2],[7]               18,181  
Investment, Identifier [Axis]: Debt Investments Business Services Azurite Intermediate Holdings, Inc Investment First-lien loan ($42,750 par, due 3/2031) Initial Acquisition Date 3/19/2024 Reference Rate and Spread SOFR + 6.00% Interest Rate 9.72%                  
Fair Value, Ending balance [3],[4],[9] 42,988                
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%                  
Fair Value, Beginning balance [1],[2],[7] 42,513                
Fair Value, Ending balance [1],[2],[7]               42,513  
Investment, Identifier [Axis]: Debt Investments Business Services BCTO Ignition Purchaser, Inc Investment First-lien holdco loan ($54,435 par, due 10/2030) Initial Acquisition Date 4/18/2023 Reference Rate and Spread SOFR + 7.50% Interest Rate 11.37% PIK                  
Fair Value, Ending balance [3],[4],[9] 55,388                
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                  
Fair Value, Beginning balance [1],[2],[7] 36,955                
Fair Value, Ending balance [1],[2],[7]               36,955  
Investment, Identifier [Axis]: Debt Investments Business Services Crewline Buyer, Inc Investment First-lien loan ($58,384 par, due 11/2030) Initial Acquisition Date 11/8/2023 Reference Rate and Spread SOFR + 6.75% Interest Rate 10.59%                  
Fair Value, Ending balance [3],[4],[9] 58,705                
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%                  
Fair Value, Beginning balance [1],[2],[7] 58,866                
Fair Value, Ending balance [1],[2],[7]               58,866  
Investment, Identifier [Axis]: Debt Investments Business Services Dye & Durham Corp. Investment First-lien loan ($945 par, due 4/2031) Initial Acquisition Date 4/4/2024 Reference Rate and Spread SOFR + 4.35% Interest Rate 8.02%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 869                
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%                  
Fair Value, Beginning balance [1],[2],[7],[12],[13] 964                
Fair Value, Ending balance [1],[2],[7],[12],[13]               964  
Investment, Identifier [Axis]: Debt Investments Business Services Elements Finco Limited Investment First-lien loan ($1,848 par, due 4/2031) Initial Acquisition Date 4/29/2024 Reference Rate and Spread SOFR + 5.00% Interest Rate 8.72%                  
Fair Value, Ending balance [3],[4],[9],[11] 1,858                
Investment, Identifier [Axis]: Debt Investments Business Services Elements Finco Limited Investment First-lien loan ($2,270 par, due 4/2031) Initial Acquisition Date 4/29/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 8.97% (incl. 2.25 % PIK)                  
Fair Value, Ending balance [3],[4],[9],[11] 2,293                
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)                  
Fair Value, Beginning balance [1],[2],[7],[13] 4,069                
Fair Value, Ending balance [1],[2],[7],[13]               4,069  
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                  
Fair Value, Beginning balance [1],[2],[7],[13] 12,869   £ 10,275            
Fair Value, Ending balance [1],[2],[7],[13]               12,869  
Investment, Identifier [Axis]: Debt Investments Business Services Elements Finco Limited Investment First-lien loan (GBP 10,529 par, due 4/2031) Initial Acquisition Date 4/29/2024 Reference Rate and Spread S + 5.50% Interest Rate 9.23% (incl. 2.50% PIK)                  
Fair Value, Ending balance [3],[4],[9],[11] 14,338   10,660            
Investment, Identifier [Axis]: Debt Investments Business Services ExtraHop Networks, Inc Investment First-lien loan ($76,301 par, due 7/2027) Initial Acquisition Date 7/22/2021 Reference Rate and Spread SOFR + 6.60% Interest Rate 10.32%                  
Fair Value, Ending balance [3],[4],[9],[14] 76,492                
Investment, Identifier [Axis]: Debt Investments Business Services ExtraHop Networks, Inc Investment First-lien revolving loan ($669 par, due 7/2027) Initial Acquisition Date 7/22/2021 Reference Rate and Spread SOFR + 6.60% Interest Rate 10.33%                  
Fair Value, Ending balance [3],[4],[9],[14] 672                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 74,616                
Fair Value, Ending balance [1],[2],[7],[8]               74,616  
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%                  
Fair Value, Beginning balance [1],[2],[7] 5,565                
Fair Value, Ending balance [1],[2],[7]               5,565  
Investment, Identifier [Axis]: Debt Investments Business Services Galileo Parent, Inc. Investment First-lien loan ($63,444 par, due 5/2030) Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 5.75% Interest Rate 9.42%                  
Fair Value, Ending balance [3],[4],[9] 64,078                
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%                  
Fair Value, Beginning balance [1],[2],[7] 64,093                
Fair Value, Ending balance [1],[2],[7]               64,093  
Investment, Identifier [Axis]: Debt Investments Business Services Galileo Parent, Inc. Investment First-lien revolving loan ($4,615 par, due 5/2030 Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 5.75% Interest Rate 10.08%                  
Fair Value, Beginning balance [1],[2],[7] 4,615                
Fair Value, Ending balance [1],[2],[7]               4,615  
Investment, Identifier [Axis]: Debt Investments Business Services Galileo Parent, Inc. Investment First-lien revolving loan ($6,635 par, due 5/2030) Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 5.75% Interest Rate 9.42%                  
Fair Value, Ending balance [3],[4],[9] 6,736                
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)                  
Fair Value, Beginning balance [1],[2],[7],[13] 1,392                
Fair Value, Ending balance [1],[2],[7],[13]               1,392  
Investment, Identifier [Axis]: Debt Investments Business Services Lynx BidCo Investment First-lien loan ($1,523 par, due 7/2031) Initial Acquisition Date 7/5/2024 Reference Rate and Spread SOFR + 6.50% Interest Rate 10.17%                  
Fair Value, Ending balance [3],[4],[9],[11] 1,467                
Investment, Identifier [Axis]: Debt Investments Business Services Lynx BidCo Investment First-lien loan (EUR 23,956 par, due 7/2031) Initial Acquisition Date 7/5/2024 Reference Rate and Spread E + 6.50% Interest Rate 8.52%                  
Fair Value, Ending balance [3],[4],[9],[11] 27,875 23,735              
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)                  
Fair Value, Beginning balance [1],[2],[7],[13] 611 590              
Fair Value, Ending balance [1],[2],[7],[13]               611  
Investment, Identifier [Axis]: Debt Investments Business Services Mitnick Corporate Purchaser, Inc Investment First-lien loan ($323 par, due 5/2029) Initial Acquisition Date 5/2/2022 Reference Rate and Spread SOFR + 4.85% Interest Rate 8.69%                  
Fair Value, Ending balance [3],[4],[9],[10] 206                
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%                  
Fair Value, Beginning balance [1],[2],[7],[12] 302                
Fair Value, Ending balance [1],[2],[7],[12]               302  
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 9.08%                  
Fair Value, Ending balance [3],[4],[9],[11] 1,087 926              
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 8.33%                  
Fair Value, Ending balance [3],[4],[9],[11] 1,079 919              
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 10.06%                  
Fair Value, Beginning balance [1],[2],[7],[13] 947 915              
Fair Value, Ending balance [1],[2],[7],[13]               947  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 919 887              
Fair Value, Ending balance [1],[2],[7],[13]               919  
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%                  
Fair Value, Beginning balance [1],[2],[7] 6,899                
Fair Value, Ending balance [1],[2],[7]               6,899  
Investment, Identifier [Axis]: Debt Investments Business Services USA DeBusk, LLC Investment First-lien loan ($8,322 par, due 4/2031) Initial Acquisition Date 4/30/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.00%                  
Fair Value, Ending balance [3],[4],[9] 8,374                
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%                  
Fair Value, Beginning balance [1],[2],[7] 275                
Fair Value, Ending balance [1],[2],[7]               275  
Investment, Identifier [Axis]: Debt Investments Business Services USA DeBusk, LLC Investment First-lien revolving loan ($901 par, due 4/2030) Initial Acquisition Date 4/30/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.06%                  
Fair Value, Ending balance [3],[4],[9] 908                
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%                  
Fair Value, Beginning balance [1],[2],[7] 5,553                
Fair Value, Ending balance [1],[2],[7]               5,553  
Investment, Identifier [Axis]: Debt Investments Business Services Wrangler TopCo, LLC Investment First-lien loan ($5,970 par, due 9/2029) Initial Acquisition Date 7/7/2023 Reference Rate and Spread SOFR + 5.75% Interest Rate 9.49%                  
Fair Value, Ending balance [3],[4],[9] 6,038                
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL Investment First-lien loan (EUR 11,548 par, due 9/2028) Initial Acquisition Date 9/6/2022 Reference Rate and Spread E + 7.00% Interest Rate 9.07%                  
Fair Value, Ending balance [3],[4],[9],[11] 13,809 11,758              
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 7,650 7,388              
Fair Value, Ending balance [1],[2],[7],[13]               7,650  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 24,904   19,885            
Fair Value, Ending balance [1],[2],[7],[13]               24,904  
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL Investment First-lien loan (GBP 19,593 par, due 9/2028) Initial Acquisition Date 9/6/2022 Reference Rate and Spread S + 7.00% Interest Rate 10.73%                  
Fair Value, Ending balance [3],[4],[9],[11] 26,681   19,836            
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 664     kr 7,538          
Fair Value, Ending balance [1],[2],[7],[13]               664  
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL Investment First-lien loan (NOK 7,428 par, due 9/2028) Initial Acquisition Date 9/6/2022 Reference Rate and Spread N + 7.00% Interest Rate 11.23%                  
Fair Value, Ending balance [3],[4],[9],[11] 745     kr 7,520          
Investment, Identifier [Axis]: Debt Investments Chemicals Erling Lux Bidco SARL Investment First-lien revolving loan (GBP 594 par, due 9/2028) Initial Acquisition Date 9/6/2022 Reference Rate and Spread S + 7.00% Interest Rate 10.73%                  
Fair Value, Ending balance [3],[4],[9],[11] 807   600            
Investment, Identifier [Axis]: Debt Investments Communications Aurelia Netherlands B.V. Investment First-lien loan (EUR 32,904 par, due 5/2031) Initial Acquisition Date 5/22/2024 Reference Rate and Spread E + 4.75% Interest Rate 6.78%                  
Fair Value, Ending balance [3],[4],[9],[11] 38,837 33,068              
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 34,157 32,986              
Fair Value, Ending balance [1],[2],[7],[13]               34,157  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 1,557                
Fair Value, Ending balance [1],[2],[7],[13]               1,557  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 16,594                
Fair Value, Ending balance [1],[2],[7],[13]               16,594  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 40,173                
Fair Value, Ending balance [1],[2],[7],[13]               40,173  
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 26,503                
Fair Value, Ending balance [1],[2],[7],[8]               26,503  
Investment, Identifier [Axis]: Debt Investments Communications X Holdings Inc. Investment First-lien loan ($9,338 par, due 10/2029) Initial Acquisition Date 2/5/2025 Reference Rate and Spread SOFR + 6.75% Interest Rate 10.45%                  
Fair Value, Ending balance [3],[4],[10] 9,164                
Investment, Identifier [Axis]: Debt Investments Communications X Holdings Inc. Investment First-lien loan ($988 par, due 10/2029) Initial Acquisition Date 4/28/2025 Reference Rate and Spread 9.50% Interest Rate 9.50%                  
Fair Value, Ending balance [3],[4],[10] 984                
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%                  
Fair Value, Beginning balance [1],[2],[7],[15] 6,045                
Fair Value, Ending balance [1],[2],[7],[15]               6,045  
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 58,950                
Fair Value, Ending balance [1],[2],[7],[8]               58,950  
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%                  
Fair Value, Beginning balance [1],[2],[7] 4,172                
Fair Value, Ending balance [1],[2],[7]               4,172  
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 10.07%                  
Fair Value, Ending balance [3],[4],[9] 55,232                
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%                  
Fair Value, Beginning balance [1],[2],[7] 55,935                
Fair Value, Ending balance [1],[2],[7]               55,935  
Investment, Identifier [Axis]: Debt Investments Education EMS Linq, Inc. Investment First-lien revolving loan ($2,916 par, due 12/2027) Initial Acquisition Date 12/22/2021 Reference Rate and Spread SOFR + 6.35% Interest Rate 10.07%                  
Fair Value, Ending balance [3],[4],[9] 2,762                
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 30,800                
Fair Value, Ending balance [1],[2],[7],[13]               30,800  
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 9.99%                  
Fair Value, Ending balance [3],[4],[9],[11] 30,975                
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)                  
Fair Value, Beginning balance [1],[2],[7] 15,046                
Fair Value, Ending balance [1],[2],[7]               15,046  
Investment, Identifier [Axis]: Debt Investments Education Severin Acquisition, LLC Investment First-lien loan ($15,905 par, due 10/2031) Initial Acquisition Date 10/01/2024 Reference Rate and Spread SOFR + 4.75% Interest Rate 8.47% (incl. 2.25% PIK)                  
Fair Value, Ending balance [3],[4],[9] 15,855                
Investment, Identifier [Axis]: Debt Investments Electronics Sapphire Software Buyer, Inc. Investment First-lien loan ($26,962 par, due 9/2031) Initial Acquisition Date 9/30/2024 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.75% (incl. 3.30% PIK)                  
Fair Value, Beginning balance [1],[2],[7] 26,811                
Fair Value, Ending balance [1],[2],[7]               26,811  
Investment, Identifier [Axis]: Debt Investments Electronics Sapphire Software Buyer, Inc. Investment First-lien loan ($26,963 par, due 9/2031) Initial Acquisition Date 9/30/2024 Reference Rate and Spread SOFR + 5.00% Interest Rate 8.87%                  
Fair Value, Ending balance [3],[4],[9] 26,812                
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 765 739              
Fair Value, Ending balance [1],[2],[7],[13]               765  
Investment, Identifier [Axis]: Debt Investments Financial Services Alaska Bidco Oy Investment First-lien loan (EUR 727 par, due 5/2030) Initial Acquisition Date 5/30/2023 Reference Rate and Spread E + 5.75% Interest Rate 7.77%                  
Fair Value, Ending balance [3],[4],[9],[11] 860 732              
Investment, Identifier [Axis]: Debt Investments Financial Services Arlberg Bidco LLC Investment First-lien loan ($5,000 par, due 2/2031) Initial Acquisition Date 2/14/2025 Reference Rate and Spread SOFR + 5.75% Interest Rate 9.60%                  
Fair Value, Ending balance [3],[4],[9],[11],[14] 4,962                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 29,827                
Fair Value, Ending balance [1],[2],[7],[8]               29,827  
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%                  
Fair Value, Beginning balance [1],[2],[7] 49,473                
Fair Value, Ending balance [1],[2],[7]               49,473  
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%                  
Fair Value, Beginning balance [1],[2],[7] 1,855                
Fair Value, Ending balance [1],[2],[7]               1,855  
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 44,749                
Fair Value, Ending balance [1],[2],[7],[8]               44,749  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 3,926                
Fair Value, Ending balance [1],[2],[7],[13]               3,926  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 3,357                
Fair Value, Ending balance [1],[2],[7],[13]               3,357  
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%                  
Fair Value, Beginning balance [1],[2],[7] 40,457                
Fair Value, Ending balance [1],[2],[7]               40,457  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 5,246 5,066              
Fair Value, Ending balance [1],[2],[7],[13]               5,246  
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 5/28/2024 Reference Rate and Spread E + 5.75% Interest Rate 7.82%                  
Fair Value, Ending balance [3],[4],[9],[11] 5,917 5,038              
Investment, Identifier [Axis]: Debt Investments Financial Services Ibis Intermediate Co. Investment First-lien loan ($1,170 par, due 5/2027) Initial Acquisition Date 5/28/2021 Reference Rate and Spread SOFR + 4.65% Interest Rate 8.47%                  
Fair Value, Ending balance [3],[4],[9],[14] 1,184                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 1,191                
Fair Value, Ending balance [1],[2],[7],[8]               1,191  
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                  
Fair Value, Beginning balance [1],[2],[7] 18,290                
Fair Value, Ending balance [1],[2],[7]               18,290  
Investment, Identifier [Axis]: Debt Investments Financial Services Ibis US Blocker Co. Investment First-lien loan ($20,790 par, due 5/2028) Initial Acquisition Date 5/28/2021 Reference Rate and Spread SOFR + 8.40% Interest Rate 12.22% PIK                  
Fair Value, Ending balance [3],[4],[9] 20,946                
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 8.00% Interest Rate 8.00%                  
Fair Value, Beginning balance [1],[2] 2,076                
Fair Value, Ending balance [1],[2]               2,076  
Investment, Identifier [Axis]: Debt Investments Financial Services Passport Labs, Inc. Investment 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%                  
Fair Value, Ending balance [3],[4] 1,167                
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%                  
Fair Value, Beginning balance [1],[2] 25,058                
Fair Value, Ending balance [1],[2]               25,058  
Investment, Identifier [Axis]: Debt Investments Financial Services Payroc Buyer, LLC Investment Promissory Note ($6,000 par, due 9/2030) Initial Acquisition Date 9/30/2025 Reference Rate and Spread 5.50% Interest Rate 5.50%                  
Fair Value, Ending balance [3],[4] 5,070                
Investment, Identifier [Axis]: Debt Investments Financial Services TS Imagine, Inc. Investment First-lien loan ($54,960 par, due 4/2027) Initial Acquisition Date 4/30/2021 Reference Rate and Spread SOFR + 5.85% Interest Rate 9.69%                  
Fair Value, Ending balance [3],[4],[9],[14] 54,960                
Investment, Identifier [Axis]: Debt Investments Financial Services TS Imagine, Inc. Investment First-lien revolving loan ($899 par, due 5/2027) Initial Acquisition Date 11/1/2024 Reference Rate and Spread P + 4.75% Interest Rate 11.50%                  
Fair Value, Ending balance [3],[4] 899                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 55,528                
Fair Value, Ending balance [1],[2],[7],[8]               55,528  
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 899                
Fair Value, Ending balance [1],[2],[7],[8]               899  
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                  
Fair Value, Beginning balance [1],[2] 3,141                
Fair Value, Ending balance [1],[2]               3,141  
Investment, Identifier [Axis]: Debt Investments Financial Services Volante Technologies, Inc. Investment First-lien loan ($3,619 par, due 9/2028) Initial Acquisition Date 9/29/2023 Reference Rate and Spread 16.50% Interest Rate 16.50% PIK                  
Fair Value, Ending balance [3],[4] 3,755                
Investment, Identifier [Axis]: Debt Investments Healthcare Aledade Inc. Investment First-lien revolving loan ($10,864 par, due 11/2028) Initial Acquisition Date 11/21/2025, Reference Rate and Spread SOFR + 5.75% Interest Rate 9.54%                  
Fair Value, Ending balance [3],[4],[9] 10,513                
Investment, Identifier [Axis]: Debt Investments Healthcare BCTO Ace Purchaser, Inc. Investment First-lien loan ($69,942 par, due 11/2029) Initial Acquisition Date 11/23/2020, Reference Rate and Spread SOFR + 6.50% Interest Rate 10.32%                  
Fair Value, Ending balance [3],[4],[9] 70,818                
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%                  
Fair Value, Beginning balance [1],[2],[7] 71,208                
Fair Value, Ending balance [1],[2],[7]               71,208  
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                  
Fair Value, Beginning balance [1],[2],[7] 6,745                
Fair Value, Ending balance [1],[2],[7]               6,745  
Investment, Identifier [Axis]: Debt Investments Healthcare BCTO Ace Purchaser, Inc. Investment Second-lien loan ($7,665 par, due 1/2030) Initial Acquisition Date 1/23/2023, Reference Rate and Spread SOFR + 10.70% Interest Rate 15.02% PIK                  
Fair Value, Ending balance [3],[4],[9] 7,856                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8],[13] 6,284 6,068              
Fair Value, Ending balance [1],[2],[7],[8],[13]               6,284  
Investment, Identifier [Axis]: Debt Investments Healthcare Eventus Buyer, LLC . Investment First-lien loan ($25,706 par, due 11/2030) Initial Acquisition Date 11/1/2024, Reference Rate and Spread SOFR + 5.50% Interest Rate 9.17%                  
Fair Value, Ending balance [3],[4],[9] 25,542                
Investment, Identifier [Axis]: Debt Investments Healthcare Eventus Buyer, LLC . Investment First-lien revolving loan ($1,867 par, due 11/2030) Initial Acquisition Date 11/1/2024, Reference Rate and Spread SOFR + 5.50% Interest Rate 9.17%                  
Fair Value, Ending balance [3],[4],[9] 1,849                
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%                  
Fair Value, Beginning balance [1],[2],[7] 25,571                
Fair Value, Ending balance [1],[2],[7]               25,571  
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%                  
Fair Value, Beginning balance [1],[2],[7] 432                
Fair Value, Ending balance [1],[2],[7]               432  
Investment, Identifier [Axis]: Debt Investments Healthcare HMP Omnimedia, LLC. Investment First-lien loan ($19,723 par, due 7/2032) Initial Acquisition Date 7/31/2025, Reference Rate and Spread SOFR + 5.25 Interest Rate 8.97%                  
Fair Value, Ending balance [3],[4],[9] 19,537                
Investment, Identifier [Axis]: Debt Investments Healthcare HMP Omnimedia, LLC. Investment First-lien revolving loan ($409 par, due 7/2030) Initial Acquisition Date 7/31/2025, Reference Rate and Spread P + 4.25% Interest Rate 11.00%                  
Fair Value, Ending balance [3],[4],[9] 371                
Investment, Identifier [Axis]: Debt Investments Healthcare Ingenovis Health Finance, LLC. Investment First-lien revolving loan ($32,500 par, due 5/2030) Initial Acquisition Date 5/13/2025, Reference Rate and Spread SOFR + 6.00% Interest Rate 9.82%                  
Fair Value, Ending balance [3],[4],[9] 32,013                
Investment, Identifier [Axis]: Debt Investments Healthcare LIHA Holdco B.V. Investment First-lien loan (EUR 5,903 par, due 2/2029) Initial Acquisition Date 2/24/2023, Reference Rate and Spread E + 6.50% Interest Rate 8.52%                  
Fair Value, Ending balance [3],[4],[9],[11],[14] 6,989 5,951              
Investment, Identifier [Axis]: Debt Investments Healthcare LIHA Holdco B.V. Investment First-lien revolving loan (EUR 318 par, due 2/2029) Initial Acquisition Date 2/24/2023, Reference Rate and Spread E + 6.50% Interest Rate 8.52%                  
Fair Value, Ending balance [3],[4],[9],[11],[14] 377 321              
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 69,928                
Fair Value, Ending balance [1],[2],[7],[8]               69,928  
Investment, Identifier [Axis]: Debt Investments Healthcare Raptor US Buyer II Corp. Investment First-lien loan ($17,949 par, due 3/2029) Initial Acquisition Date 3/24/2023, Reference Rate and Spread SOFR + 6.25% Interest Rate 9.97%                  
Fair Value, Ending balance [3],[4],[9],[14] 18,083                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 18,368                
Fair Value, Ending balance [1],[2],[7],[8]               18,368  
Investment, Identifier [Axis]: Debt Investments Healthcare Raptor US Buyer II Corp. Investment First-lien revolving loan ($82 par, due 3/2029) Initial Acquisition Date 3/24/2023, Reference Rate and Spread SOFR + 6.25% Interest Rate 9.97%                  
Fair Value, Ending balance [3],[4],[9],[14] 87                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 33,215                
Fair Value, Ending balance [1],[2],[7],[8]               33,215  
Investment, Identifier [Axis]: Debt Investments Healthcare Symplr Software Inc. Investment First-lien loan ($635 par, due 12/2027) Initial Acquisition Date 4/4/2025, Reference Rate and Spread SOFR + 4.60% Interest Rate 8.44%                  
Fair Value, Ending balance [3],[4],[9],[10] 537                
Investment, Identifier [Axis]: Debt Investments Healthcare Velocity Clinical Research, Inc. Investment First-lien loan ($62,899 par, due 9/2031) Initial Acquisition Date 9/9/2025, Reference Rate and Spread SOFR + 7.50% Interest Rate 11.17%                  
Fair Value, Ending balance [3],[4],[9] 62,585                
Investment, Identifier [Axis]: Debt Investments Healthcare Velocity Clinical Research, Inc. Investment First-lien revolving loan ($528 par, due 9/2031) Initial Acquisition Date 9/9/2025, Reference Rate and Spread SOFR + 7.50% Interest Rate 11.17%                  
Fair Value, Ending balance [3],[4],[9] 513                
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure ASG II, LLC . Investment First-lien loan ($65,000 par, due 5/2028) Initial Acquisition Date 5/25/2022, Reference Rate and Spread SOFR + 6.40% Interest Rate 10.24%                  
Fair Value, Ending balance [3],[4],[9],[14] 64,025                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 65,162                
Fair Value, Ending balance [1],[2],[7],[8]               65,162  
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%                  
Fair Value, Beginning balance [1],[2],[7] 44,292                
Fair Value, Ending balance [1],[2],[7]               44,292  
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure AVSC Holding Corp. Investment First-lien loan ($44,828 par, due 12/2031) Initial Acquisition Date 12/5/2024, Reference Rate and Spread SOFR + 5.00% Interest Rate 8.72%                  
Fair Value, Ending balance [3],[4],[9] 44,704                
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)                  
Fair Value, Beginning balance [1],[2] 49,714                
Fair Value, Ending balance [1],[2]               49,714  
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure Equinox Holdings, Inc. Investment First-lien loan ($51,697 par, due 3/2029) Initial Acquisition Date 3/8/2024, Reference Rate and Spread SOFR + 8.25% Interest Rate 11.92% (incl. 4.13% PIK)                  
Fair Value, Ending balance [3],[4] 53,377                
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure Equinox Holdings, Inc. Investment Second-lien loan ($2,746 par, due 6/2027) Initial Acquisition Date 3/13/2024, Reference Rate and Spread 16.00% Interest Rate 16.00% PIK                  
Fair Value, Ending balance [3],[4] 3,240                
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure Equinox Holdings, Inc. 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                  
Fair Value, Beginning balance [1],[2] 2,388                
Fair Value, Ending balance [1],[2]               2,388  
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%                  
Fair Value, Beginning balance [1],[2],[16] 28,823                
Fair Value, Ending balance [1],[2],[16]               28,823  
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%                  
Fair Value, Beginning balance [1],[2],[16] 36,144                
Fair Value, Ending balance [1],[2],[16]               36,144  
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure IRGSE Holding Corp. Investment First-lien loan ($30,261 par, due 6/2026) Initial Acquisition Date 12/21/2018, Reference Rate and Spread SOFR + 9.65% Interest Rate 13.32%                  
Fair Value, Ending balance [3],[4],[9],[17] 30,261                
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure IRGSE Holding Corp. Investment First-lien revolving loan ($27,943 par, due 6/2026) Initial Acquisition Date 12/21/2018, Reference Rate and Spread SOFR + 9.65% Interest Rate 13.44%                  
Fair Value, Ending balance [3],[4],[9],[17] 27,943                
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%                  
Fair Value, Beginning balance [1],[2] 29,550                
Fair Value, Ending balance [1],[2]               29,550  
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)                  
Fair Value, Beginning balance [1],[2] 4,601 4,443              
Fair Value, Ending balance [1],[2]               4,601  
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure Sport Alliance GmbH. Investment First-lien loan (EUR 208 par, due 4/2030) Initial Acquisition Date 4/10/2024, Reference Rate and Spread E + 7.25% Interest Rate 9.27%                  
Fair Value, Ending balance [3],[4],[9],[11] 256 218              
Investment, Identifier [Axis]: Debt Investments Hotel, Gaming and Leisure Sport Alliance GmbH. Investment First-lien loan (EUR 37,133 par, due 4/2030) Initial Acquisition Date 4/10/2024, Reference Rate and Spread E + 7.75% Interest Rate 9.77% (incl. 4.13% PIK)                  
Fair Value, Ending balance [3],[4],[9],[11] 43,502 37,041              
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 12.20%                  
Fair Value, Beginning balance [1],[2],[7],[8],[13] 44,532                
Fair Value, Ending balance [1],[2],[7],[8],[13]               44,532  
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Axonify, Inc. Investment First-lien loan ($45,113 par, due 5/2027) Initial Acquisition Date 5/5/2021 Reference Rate and Spread SOFR + 6.65% Interest Rate 10.55%                  
Fair Value, Ending balance [3],[4],[9],[11],[14] 45,113                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8],[13] 21,954                
Fair Value, Ending balance [1],[2],[7],[8],[13]               21,954  
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 9.70%                  
Fair Value, Beginning balance [1],[2],[7],[8],[13] 396   316            
Fair Value, Ending balance [1],[2],[7],[8],[13]               396  
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Elysian Finco Ltd. Investment First-lien loan ($21,745 par, due 1/2028) Initial Acquisition Date 1/31/2021 Reference Rate and Spread SOFR + 5.15% Interest Rate 8.82%                  
Fair Value, Ending balance [3],[4],[9],[11],[14] 21,691                
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Elysian Finco Ltd. Investment First-lien revolving loan (GBP 1,055 par, due 1/2028) Initial Acquisition Date 1/31/2021 Reference Rate and Spread S + 4.00% Interest Rate 7.73%                  
Fair Value, Ending balance [3],[4],[9],[11],[14] 1,381   1,027            
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 12/6/2021 Reference Rate and Spread B + 6.25% Interest Rate 10.73%                  
Fair Value, Beginning balance [1],[2],[7],[13] 37,247           $ 60,158    
Fair Value, Ending balance [1],[2],[7],[13]               37,247  
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%                  
Fair Value, Beginning balance [1],[2],[7] 4,464                
Fair Value, Ending balance [1],[2],[7]               4,464  
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%                  
Fair Value, Beginning balance [1],[2],[7] 54,240                
Fair Value, Ending balance [1],[2],[7]               54,240  
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services HireVue, Inc. Investment First-lien loan ($53,031 par, due 5/2029) Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 6.75% Interest Rate 10.59%                  
Fair Value, Ending balance [3],[4],[9] 50,909                
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services HireVue, Inc. Investment First-lien revolving loan ($6,887 par, due 5/2029) Initial Acquisition Date 5/3/2023 Reference Rate and Spread SOFR + 6.75% Interest Rate 10.57%                  
Fair Value, Ending balance [3],[4],[9] 6,612                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 32,175                
Fair Value, Ending balance [1],[2],[7],[8]               32,175  
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services Madcap Software, Inc. Investment First-lien loan ($31,850 par, due 12/2026) Initial Acquisition Date 12/15/2023 Reference Rate and Spread SOFR + 6.10% Interest Rate 9.77%                  
Fair Value, Ending balance [3],[4],[9],[14] 31,850                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 71,170                
Fair Value, Ending balance [1],[2],[7],[8]               71,170  
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services PayScale Holdings, Inc. Investment First-lien loan ($74,916 par, due 10/2029) Initial Acquisition Date 5/3/2019 Reference Rate and Spread SOFR + 5.25% Interest Rate 8.92%                  
Fair Value, Ending balance [3],[4],[9],[14] 74,879                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 34,025                
Fair Value, Ending balance [1],[2],[7],[8]               34,025  
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 44,569                
Fair Value, Ending balance [1],[2],[7],[8]               44,569  
Investment, Identifier [Axis]: Debt Investments Human Resource Support Services bswift, LLC Investment First-lien loan ($54,630 par, due 11/2028) Initial Acquisition Date 11/7/2022 Reference Rate and Spread SOFR + 4.75% Interest Rate 8.64%                  
Fair Value, Ending balance [3],[4],[9],[14] 54,766                
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%                  
Fair Value, Beginning balance [1],[2],[7] 5,377                
Fair Value, Ending balance [1],[2],[7]               5,377  
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%                  
Fair Value, Beginning balance [1],[2],[7] 35,449                
Fair Value, Ending balance [1],[2],[7]               35,449  
Investment, Identifier [Axis]: Debt Investments Internet Services Arrow Buyer, Inc. Investment First-lien loan ($36,651 par, due 7/2030) Initial Acquisition Date 6/30/2023 Reference Rate and Spread SOFR + 5.00% Interest Rate 8.67%                  
Fair Value, Ending balance [3],[4],[9] 36,834                
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)                  
Fair Value, Beginning balance [1],[2],[7] 40,774                
Fair Value, Ending balance [1],[2],[7]               40,774  
Investment, Identifier [Axis]: Debt Investments Internet Services Bayshore Intermediate #2, L.P. Investment First-lien loan ($42,190 par, due 10/2028) Initial Acquisition Date 10/1/2021 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.19% (incl. 3.00% PIK)                  
Fair Value, Ending balance [3],[4],[9] 42,085                
Investment, Identifier [Axis]: Debt Investments Internet Services Bayshore Intermediate #2, L.P. Investment First-lien revolving loan ($902 par, due 10/2027) Initial Acquisition Date 10/1/2021 Reference Rate and Spread SOFR + 5.00% Interest Rate 8.69%                  
Fair Value, Ending balance [3],[4],[9] 893                
Investment, Identifier [Axis]: Debt Investments Internet Services Big Wombat Holdings, Inc. Investment First-lien loan ($47,188 par, due 4/2031) Initial Acquisition Date 10/20/2025 Reference Rate and Spread SOFR + 7.00% Interest Rate 10.88%                  
Fair Value, Ending balance [3],[4],[9],[14] 46,598                
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%                  
Fair Value, Beginning balance [1],[2],[7] 43,722                
Fair Value, Ending balance [1],[2],[7]               43,722  
Investment, Identifier [Axis]: Debt Investments Internet Services Coupa Holdings, LLC Investment First-lien loan ($42,543 par, due 2/2030) Initial Acquisition Date 2/27/2023 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.09%                  
Fair Value, Ending balance [3],[4],[9] 42,913                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 58,898                
Fair Value, Ending balance [1],[2],[7],[8]               58,898  
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 69,349                
Fair Value, Ending balance [1],[2],[7],[8]               69,349  
Investment, Identifier [Axis]: Debt Investments Internet Services EDB Parent, LLC Investment First-lien loan ($76,729 par, due 7/2028) Initial Acquisition Date 7/7/2022 Reference Rate and Spread SOFR + 7.00% Interest Rate 10.84%                  
Fair Value, Ending balance [3],[4],[9],[14] 76,729                
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%                  
Fair Value, Beginning balance [1],[2] 38,900                
Fair Value, Ending balance [1],[2]               38,900  
Investment, Identifier [Axis]: Debt Investments Internet Services Flight Intermediate HoldCo, Inc. Investment 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%                  
Fair Value, Ending balance [3],[4] 40,300                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 50,054                
Fair Value, Ending balance [1],[2],[7],[8]               50,054  
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)                  
Fair Value, Beginning balance [1],[2],[7],[13] 2,554 2,466              
Fair Value, Ending balance [1],[2],[7],[13]               2,554  
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)                  
Fair Value, Beginning balance [1],[2],[7],[13] 7,238       kr 79,977        
Fair Value, Ending balance [1],[2],[7],[13]               7,238  
Investment, Identifier [Axis]: Debt Investments Internet Services Hippo XPA Bidco AB Investment First-lien loan (EUR 2,571 par, due 2/2031) Initial Acquisition Date 2/20/2024 Reference Rate and Spread E + 6.75% Interest Rate 8.77% (incl. 3.63% PIK)                  
Fair Value, Ending balance [3],[4],[9],[11] 3,019 2,571              
Investment, Identifier [Axis]: Debt Investments Internet Services Hippo XPA Bidco AB Investment First-lien loan (SEK 214,115 par, due 2/2031) Initial Acquisition Date 2/20/2024 Reference Rate and Spread STIBOR + 6.75% Interest Rate 8.60% (incl. 3.63% PIK)                  
Fair Value, Ending balance [3],[4],[9],[11] 23,226       214,115        
Investment, Identifier [Axis]: Debt Investments Internet Services Hippo XPA Bidco AB Investment First-lien loan (SEK 3,906 par, due 2/2031) Initial Acquisition Date 2/20/2024 Reference Rate and Spread STIBOR + 6.25% Interest Rate 8.00%                  
Fair Value, Ending balance [3],[4],[9],[11] 424       kr 3,906        
Investment, Identifier [Axis]: Debt Investments Internet Services Kaseware Intermediate Holding Company Investment First-lien loan ($43,251 par, due 10/2031) Initial Acquisition Date 10/20/2025 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.23%                  
Fair Value, Ending balance [3],[4],[9],[14] 42,501                
Investment, Identifier [Axis]: Debt Investments Internet Services Khoros, LLC Investment First-lien loan ($11,682 par, due 5/2030) Initial Acquisition Date 5/23/2025 Reference Rate and Spread 10.00% Interest Rate 10.00%                  
Fair Value, Ending balance [3],[4] 11,711                
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%                  
Fair Value, Beginning balance [1],[2],[7] 19,526                
Fair Value, Ending balance [1],[2],[7]               19,526  
Investment, Identifier [Axis]: Debt Investments Internet Services Kryptona BidCo US, LLC First-lien loan ($20,595 par, due 12/2031) Initial Acquisition Date 12/18/2024 Reference Rate and Spread SOFR + 6.00% Interest Rate 9.70% (incl. 3.25% PIK)                  
Fair Value, Ending balance [3],[4],[9] 20,765                
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%                  
Fair Value, Beginning balance [1],[2],[7] 4,688 4,527              
Fair Value, Ending balance [1],[2],[7]               4,688  
Investment, Identifier [Axis]: Debt Investments Internet Services Kryptona BidCo US, LLC First-lien loan (EUR 4,766 par, due 12/2031) Initial Acquisition Date 12/18/2024 Reference Rate and Spread E + 6.00% Interest Rate 8.06% (incl. 3.25% PIK)                  
Fair Value, Ending balance [3],[4],[9] 5,640 802              
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 56,437                
Fair Value, Ending balance [1],[2],[7],[8]               56,437  
Investment, Identifier [Axis]: Debt Investments Internet Services LeanTaaS Holdings, Inc. First-lien loan ($62,984 par, due 7/2028) Initial Acquisition Date 7/12/2022 Reference Rate and Spread SOFR + 7.75% Interest Rate 11.42%                  
Fair Value, Ending balance [3],[4],[9],[14] 62,827                
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%                  
Fair Value, Beginning balance [1],[2],[7],[15] 22,287                
Fair Value, Ending balance [1],[2],[7],[15]               22,287  
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% (incl. 3.50% PIK)                  
Fair Value, Beginning balance [1],[2],[7],[8] 9,501                
Fair Value, Ending balance [1],[2],[7],[8]               9,501  
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%                  
Fair Value, Beginning balance [1],[2],[7] 42,389                
Fair Value, Ending balance [1],[2],[7]               42,389  
Investment, Identifier [Axis]: Debt Investments Internet Services RainFocus, LLC First-lien loan ($64,232 par, due 4/2031) Initial Acquisition Date 4/25/2025 Reference Rate and Spread SOFR + 6.38% Interest Rate 10.24%                  
Fair Value, Ending balance [3],[4],[9],[14] 64,072                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 54,678                
Fair Value, Ending balance [1],[2],[7],[8]               54,678  
Investment, Identifier [Axis]: Debt Investments Internet Services SMA Technologies Holdings, LLC First-lien loan ($55,579 par, due 10/2028) Initial Acquisition Date 10/31/2022 Reference Rate and Spread SOFR + 6.50% Interest Rate 10.32%                  
Fair Value, Ending balance [3],[4],[9],[14] 56,710                
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)                  
Fair Value, Beginning balance [1],[2],[7],[12] 3,484                
Fair Value, Ending balance [1],[2],[7],[12]               3,484  
Investment, Identifier [Axis]: Debt Investments Manufacturing ASP Unifrax Holdings, Inc. First-lien loan ($3,619 par, due 9/2029) Initial Acquisition Date 9/30/2024 Reference Rate and Spread SOFR + 7.75% Interest Rate 11.75% (incl. 4.75% PIK)                  
Fair Value, Ending balance [3],[4],[10] 2,877                
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 SOFR + 7.10% Interest Rate 7.10% (incl. 1.25% PIK)                  
Fair Value, Beginning balance [1],[2],[12] 1,309                
Fair Value, Ending balance [1],[2],[12]               1,309  
Investment, Identifier [Axis]: Debt Investments Manufacturing ASP Unifrax Holdings, Inc. Second-lien note ($2,024 par, due 9/2029) Initial Acquisition Date 8/31/2023 Reference Rate and Spread 7.10% Interest Rate 7.10% (incl. 1.25% PIK)                  
Fair Value, Ending balance [3],[10],[18],[19] 223                
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%                  
Fair Value, Beginning balance [1],[2] 8,860                
Fair Value, Ending balance [1],[2]               8,860  
Investment, Identifier [Axis]: Debt Investments Manufacturing Arcwood Environmental, Inc. First-lien loan ($12,160 par, due 1/2031) Initial Acquisition Date 1/31/2024 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.09%                  
Fair Value, Ending balance [3],[4],[9] 12,231                
Investment, Identifier [Axis]: Debt Investments Manufacturing Arcwood Environmental, Inc. First-lien loan ($3,764 par, due 1/2031) Initial Acquisition Date 9/27/2024 Reference Rate and Spread SOFR + 5.00% Interest Rate 8.71%                  
Fair Value, Ending balance [3],[4],[9] 3,764                
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%                  
Fair Value, Beginning balance [1],[2],[7] 38,955                
Fair Value, Ending balance [1],[2],[7]               38,955  
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%                  
Fair Value, Beginning balance [1],[2],[7] 1,329                
Fair Value, Ending balance [1],[2],[7]               1,329  
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%                  
Fair Value, Beginning balance [1],[2],[7] 12,425                
Fair Value, Ending balance [1],[2],[7]               12,425  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 16,503                
Fair Value, Ending balance [1],[2],[7],[13]               16,503  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 5,074 4,900              
Fair Value, Ending balance [1],[2],[7],[13]               5,074  
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 Rate 10.36%                  
Fair Value, Beginning balance [1],[2],[7],[13] 21,117   16,861            
Fair Value, Ending balance [1],[2],[7],[13]               21,117  
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 + 5.50% Interest Rate 7.57%                  
Fair Value, Ending balance [3],[9],[11],[18],[19] 15,097 12,855              
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 Rate 9.42%                  
Fair Value, Beginning balance [1],[2],[7],[13] 13,105 12,656              
Fair Value, Ending balance [1],[2],[7],[13]               13,105  
Investment, Identifier [Axis]: Debt Investments Manufacturing Varinem German BidCo GMBH First-lien loan (EUR 4,392 par, due 7/2031) Initial Acquisition Date 7/11/2024 Reference Rate and Spread E + 4.75% Interest Rate 6.82%                  
Fair Value, Ending balance [3],[4],[9],[11] 5,158 4,392              
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 15,000                
Fair Value, Ending balance [1],[2],[7],[8]               15,000  
Investment, Identifier [Axis]: Debt Investments Office Products USR Parent, Inc. ABL FILO term loan ($9,809 par, due 4/2027) Initial Acquisition Date 4/25/2022 Reference Rate and Spread SOFR + 6.50% Interest Rate 10.37%                  
Fair Value, Ending balance [3],[4],[9],[14] 9,809                
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 10.82%                  
Fair Value, Ending balance [3],[4],[9] 27,590                
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%                  
Fair Value, Beginning balance [1],[2],[7] 27,590                
Fair Value, Ending balance [1],[2],[7]               27,590  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 4,660                
Fair Value, Ending balance [1],[2],[7],[13]               4,660  
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 10.67%                  
Fair Value, Ending balance [3],[4],[9] 55,485                
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%                  
Fair Value, Beginning balance [1],[2],[7] 54,834                
Fair Value, Ending balance [1],[2],[7]               54,834  
Investment, Identifier [Axis]: Debt Investments Other Boréal Bidco First-lien note (EUR 13,605 par, due 3/2032) Initial Acquisition Date 3/24/2025 Reference Rate and Spread E + 7.25% Interest Rate 9.27% (inclu. 5.75% PIK)                  
Fair Value, Ending balance [3],[4],[9],[11] 15,858 13,503              
Investment, Identifier [Axis]: Debt Investments Other Kahua, Inc. First-lien loan ($25,000 par, due 8/2030) Initial Acquisition Date 8/22/2025 Reference Rate and Spread SOFR + 6.00% Interest Rate 9.72%                  
Fair Value, Ending balance [3],[4],[9] 24,700                
Investment, Identifier [Axis]: Debt Investments Other Omnigo Software, LLC First-lien loan ($13,125 par, due 12/2030) Initial Acquisition Date 12/19/2025 Reference Rate and Spread SOFR + 5.00% Interest Rate 8.70%                  
Fair Value, Ending balance [3],[4],[9] 13,049                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 39,533                
Fair Value, Ending balance [1],[2],[7],[8]               39,533  
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 7.77%                  
Fair Value, Ending balance [3],[4],[9],[11] 2,967 2,526              
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 2,584 2,496              
Fair Value, Ending balance [1],[2],[7],[13]               2,584  
Investment, Identifier [Axis]: Debt Investments Other Sediver S.p.A. First-lien note (EUR 14,085 par, due 10/2031) Initial Acquisition Date 10/29/2024 Reference Rate and Spread SOFR + 5.00% Interest Rate 8.67%                  
Fair Value, Ending balance [3],[4],[9],[11] 14,085                
Investment, Identifier [Axis]: Debt Investments Other Sediver S.p.A. First-lien note (EUR 6,368 par, due 10/2031) Initial Acquisition Date 10/29/2024 Reference Rate and Spread E + 5.00% Interest Rate 7.02%                  
Fair Value, Ending balance [3],[4],[9],[11] 7,479 6,368              
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 13,838                
Fair Value, Ending balance [1],[2],[7],[13]               13,838  
Investment, Identifier [Axis]: Debt Investments Other Sky Bidco S.p.A. First-lien note (EUR 6,368 par, due 10/2031) Initial Acquisition Date 10/29/2024 Reference Rate and Spread E + 5.25% Interest Rate 8.20%                  
Fair Value, Beginning balance [1],[2],[7],[13] 6,415 6,195              
Fair Value, Ending balance [1],[2],[7],[13]               6,415  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 19,924                
Fair Value, Ending balance [1],[2],[7],[13]               19,924  
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 9.42%                  
Fair Value, Ending balance [3],[4],[9],[11] 19,786                
Investment, Identifier [Axis]: Debt Investments Pharmaceuticals Arrowhead Pharmaceuticals, Inc. First-lien loan ($26,873 par, due 8/2031) Initial Acquisition Date 8/7/2024 Reference Rate and Spread 15.00% Interest Rate 15.00%                  
Fair Value, Ending balance [3],[4],[11] 30,098                
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%                  
Fair Value, Beginning balance [1],[2],[13] 44,133                
Fair Value, Ending balance [1],[2],[13]               44,133  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 18,204 17,580              
Fair Value, Ending balance [1],[2],[7],[13]               18,204  
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 9.27%                  
Fair Value, Ending balance [3],[4],[9],[11] 20,911 17,805              
Investment, Identifier [Axis]: Debt Investments Pharmaceuticals Elysium BidCo Limited First-lien loan (GBP 9,953 par, due 12/2030) Initial Acquisition Date 12/11/2024 Reference Rate and Spread S + 7.25% Interest Rate 10.98%                  
Fair Value, Ending balance [3],[4],[9],[11] 13,287   9,878            
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 12,129   9,684            
Fair Value, Ending balance [1],[2],[7],[13]               12,129  
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% (incl. 3.00% PIK)                  
Fair Value, Beginning balance [1],[2],[7],[8],[13] 836   667            
Fair Value, Ending balance [1],[2],[7],[8],[13]               836  
Investment, Identifier [Axis]: Debt Investments Real Estate Cirrus (BidCo) Limited First-lien loan (GBP 698 par, due 8/2030) Initial Acquisition Date 8/9/2024 Reference Rate and Spread S + 5.25% Interest Rate 8.98%                  
Fair Value, Ending balance [3],[4],[9],[11],[14] 939   698            
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%                  
Fair Value, Beginning balance [1],[2],[7],[12] 9,925                
Fair Value, Ending balance [1],[2],[7],[12]               9,925  
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Acosta First-lien loan ($13,890 par, due 8/2031) Initial Acquisition Date 8/20/2024 Reference Rate and Spread SOFR + 5.60% Interest Rate 9.22%                  
Fair Value, Ending balance [3],[4],[9],[10] 13,566                
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products American Achievement, Corp. First-lien loan ($1,327 par, due 9/2026) Initial Acquisition Date 6/10/2021 Reference Rate and Spread SOFR + 15.10 Interest Rate 18.97% (incl. 18.47% PIK)                  
Fair Value, Ending balance [3],[4],[9],[20] 100                
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)                  
Fair Value, Beginning balance [1],[2],[7],[15] 101                
Fair Value, Ending balance [1],[2],[7],[15]               101  
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products American Achievement, Corp. First-lien loan ($26,664 par, due 9/2026) Initial Acquisition Date 9/30/2015 Reference Rate and Spread SOFR + 7.35% Interest Rate 11.22% (incl. 10.72% PIK)                  
Fair Value, Ending balance [3],[4],[9],[20] 19,665                
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% (incl. 11.40% PIK)                  
Fair Value, Beginning balance [1],[2],[7],[15] 20,551                
Fair Value, Ending balance [1],[2],[7],[15]               20,551  
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 5.14%                  
Fair Value, Ending balance [3],[4],[9],[20] 59                
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%                  
Fair Value, Beginning balance [1],[2],[7],[15] 59                
Fair Value, Ending balance [1],[2],[7],[15]               59  
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Bed Bath and Beyond Inc. ABL FILO term loan ($5,910 par, due 8/2027) Initial Acquisition Date 9/2/2022 Reference Rate and Spread SOFR + 9.90% Interest Rate 13.62%                  
Fair Value, Ending balance [3],[4],[9],[20],[21] 4,758                
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%                  
Fair Value, Beginning balance [1],[2],[7],[22] 8,229                
Fair Value, Ending balance [1],[2],[7],[22]               8,229  
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                  
Fair Value, Beginning balance [1],[2],[7],[22] 22,806                
Fair Value, Ending balance [1],[2],[7],[22]               22,806  
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Bed Bath and Beyond Inc. Roll Up DIP term loan ($25,255 par) Initial Acquisition Date 4/24/2023 Reference Rate and Spread SOFR + 7.90% Interest Rate 11.62% PIK                  
Fair Value, Ending balance [3],[4],[9],[20],[21] 20,331                
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Bed Bath and Beyond Inc. Super-Priority DIP term loan ($3,575 par) Initial Acquisition Date 4/24/2023 Reference Rate and Spread SOFR + 7.90% Interest Rate 11.62%                  
Fair Value, Ending balance [3],[4],[9],[20],[21] 2,878                
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%                  
Fair Value, Beginning balance [1],[2],[7],[22] 3,649                
Fair Value, Ending balance [1],[2],[7],[22]               3,649  
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Belk, Inc. First-lien loan ($46,875 par, due 7/2029) Initial Acquisition Date 7/22/2024 Reference Rate and Spread SOFR + 7.00% Interest Rate 10.82%                  
Fair Value, Ending balance [3],[4],[9] 46,992                
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%                  
Fair Value, Beginning balance [1],[2],[7] 49,005                
Fair Value, Ending balance [1],[2],[7]               49,005  
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Blazing Star Parent, LLC First-lien loan ($69,563 par, due 8/2030) Initial Acquisition Date 8/28/2025 Reference Rate and Spread SOFR + 7.00% Interest Rate 10.82%                  
Fair Value, Ending balance [3],[4],[9] 68,693                
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%                  
Fair Value, Beginning balance [1],[2],[7] 61,428                
Fair Value, Ending balance [1],[2],[7]               61,428  
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Cordance Operations, LLC First-lien loan ($64,906 par, due 7/2028) Initial Acquisition Date 7/25/2022 Reference Rate and Spread SOFR + 8.65% Interest Rate 12.53%                  
Fair Value, Ending balance [3],[4],[9] 65,748                
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Neuintel, LLC First-lien loan ($53,926 par, due 12/2026) Initial Acquisition Date 12/20/2021 Reference Rate and Spread SOFR + 6.85% Interest Rate 10.57%                  
Fair Value, Ending balance [3],[4],[9],[14] 53,522                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 55,176                
Fair Value, Ending balance [1],[2],[7],[8]               55,176  
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%                  
Fair Value, Beginning balance [1],[2],[7] 18,241                
Fair Value, Ending balance [1],[2],[7]               18,241  
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products PDI TA Holdings, Inc. First-lien loan ($20,284 par, due 2/2031) Initial Acquisition Date 2/1/2024 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.34%                  
Fair Value, Ending balance [3],[4],[9] 20,334                
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products PDI TA Holdings, Inc. First-lien revolving loan ($1,203 par, due 2/2031) Initial Acquisition Date 2/1/2024 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.34%                  
Fair Value, Ending balance [3],[4],[9] 1,207                
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% (incl. 3.00% PIK)                  
Fair Value, Beginning balance [1],[2],[7],[13] 7,685 7,422              
Fair Value, Ending balance [1],[2],[7],[13]               7,685  
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Rapid Data GmbH Unternehmensberatung First-lien loan (EUR 7,546 par, due 7/2029) Initial Acquisition Date 7/11/2023 Reference Rate and Spread E + 6.50% Interest Rate 8.51%                  
Fair Value, Ending balance [3],[4],[9],[11] 8,862 7,546              
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Rapid Data GmbH Unternehmensberatung First-lien revolving loan (EUR 328 par, due 6/2029) Initial Acquisition Date 7/11/2023 Reference Rate and Spread E + 6.50% Interest Rate 8.43%                  
Fair Value, Ending balance [3],[4],[9],[11] 385 328              
Investment, Identifier [Axis]: Debt Investments Retail and Consumer Products Tango Management Consulting, LLC First-lien loan ($49,169 par, due 6/2031) Initial Acquisition Date 6/25/2025 Reference Rate and Spread SOFR + 6.50% Interest Rate 10.50%                  
Fair Value, Ending balance [3],[4],[9],[14] 48,312                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 69,045                
Fair Value, Ending balance [1],[2],[7],[8]               69,045  
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 2,444                
Fair Value, Ending balance [1],[2],[7],[8]               2,444  
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 3,610                
Fair Value, Ending balance [1],[2],[7],[13]               3,610  
Investment, Identifier [Axis]: Debt Investments Transportation Ben Nevis Midco Limited First-lien loan ($5,000 par, due 3/2028) Initial Acquisition Date 3/26/2024 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.33%                  
Fair Value, Ending balance [3],[4],[9],[11] 5,038                
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 34,189                
Fair Value, Ending balance [1],[2],[7],[13]               34,189  
Investment, Identifier [Axis]: Debt Investments Transportation Marcura Equities LTD First-lien loan (GBP 1,107 par, due 8/2029) Initial Acquisition Date 8/11/2023 Reference Rate and Spread S + 8.25% Interest Rate 11.98% (incl. 4.25% PIK)                  
Fair Value, Ending balance [3],[4],[9],[11] 1,500   1,115            
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 + 7.50% Interest Rate 11.17%                  
Fair Value, Ending balance [3],[4],[9],[11] 1,692                
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%                  
Fair Value, Beginning balance [1],[2],[7],[13] 2,358                
Fair Value, Ending balance [1],[2],[7],[13]               2,358  
Investment, Identifier [Axis]: Debt Investments Transportation Marcura Equities LTD First-lien revolving loan ($41,520 par, due 8/2029) Initial Acquisition Date 8/11/2023 Reference Rate and Spread SOFR + 8.25% Interest Rate 11.92% (incl. 4.25% PIK)                  
Fair Value, Ending balance [3],[4],[9],[11] 41,832                
Investment, Identifier [Axis]: Debt Investments Transportation Project44, Inc First-lien loan ($54,549 par, due 11/2027) Initial Acquisition Date 11/12/2021 Reference Rate and Spread SOFR + 6.35% Interest Rate 10.07%                  
Fair Value, Ending balance [3],[4],[9],[14] 54,140                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8] 54,824                
Fair Value, Ending balance [1],[2],[7],[8]               54,824  
Investment, Identifier [Axis]: Debt Investments Transportation Rail Acquisitions LLC First-lien loan ($25,217 par, due 1/2030) Initial Acquisition Date 1/27/2025 Reference Rate and Spread SOFR + 6.00% Interest Rate 9.86%                  
Fair Value, Ending balance [3],[4] 24,946                
Investment, Identifier [Axis]: Debt Investments Transportation Rail Acquisitions LLC Second-lien note ($21,423 par, due 1/2031) Initial Acquisition Date 1/27/2025 Reference Rate and Spread 13.75% Interest Rate 13.75% PIK                  
Fair Value, Ending balance [3],[4] 19,360                
Investment, Identifier [Axis]: Debt Investments Transportation Ranger Intermediate II, LLC First-lien loan ($69,361 par, due 1/2030) Initial Acquisition Date 10/28/2025 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.36%                  
Fair Value, Ending balance [3],[4],[9] 68,667                
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%                  
Fair Value, Beginning balance [1],[2],[7],[8],[13] 32,191 31,088              
Fair Value, Ending balance [1],[2],[7],[8],[13]               32,191  
Investment, Identifier [Axis]: Debt Investments Transportation Shiftmove GMBH First-lien loan (EUR 36,338 par, due 9/2030) Initial Acquisition Date 9/30/2024 Reference Rate and Spread E + 6.00% Interest Rate 8.03%                  
Fair Value, Ending balance [3],[4],[9],[11],[14] 42,809 € 36,450              
Investment, Identifier [Axis]: Equity and Other Investments Automotive Clarience Technologies, LLC Class A Units (333 units) Initial Acquisition Date 2/12/2024                  
Fair Value, Beginning balance [1],[2],[23],[24] 820                
Fair Value, Ending balance [1],[2],[23],[24]               820  
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                  
Fair Value, Beginning balance [1],[2],[24] 1,773                
Fair Value, Ending balance 1,800 [3],[4],[25]             1,773 [1],[2],[24]  
Investment, Identifier [Axis]: Equity and Other Investments Business Services Dye & Durham, Ltd. Common Shares (126,968 shares) Initial Acquisition Date 12/3/2021                  
Fair Value, Beginning balance [1],[2],[13],[26] 1,552         $ 2,232      
Fair Value, Ending balance 282 [3],[4],[11]         $ 386 [3],[4],[11]   1,552 [1],[2],[13],[26]  
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                  
Fair Value, Beginning balance [1],[2],[23],[24] 3,299                
Fair Value, Ending balance 3,835 [3],[4],[25]             3,299 [1],[2],[23],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24] 3,751                
Fair Value, Ending balance 3,176 [3],[4],[25]             3,751 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24] 2,254                
Fair Value, Ending balance 2,399 [3],[4],[25]             2,254 [1],[2],[24]  
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Class A-1 Units (637,713 units) Initial Acquisition Date 11/23/2021                  
Fair Value, Beginning balance [1],[2],[24],[27] 1,658                
Fair Value, Ending balance [1],[2],[24],[27]               1,658  
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Class A-2 Units (10,611 units) Initial Acquisition Date 6/21/2022                  
Fair Value, Beginning balance [1],[2],[23],[24],[27] 35                
Fair Value, Ending balance [1],[2],[23],[24],[27]               35  
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Class A-3 Units (16,957 units) Initial Acquisition Date 11/10/2023                  
Fair Value, Beginning balance [1],[2],[24],[27] 53                
Fair Value, Ending balance [1],[2],[24],[27]               53  
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                  
Fair Value, Beginning balance [1],[2],[7],[27] 1,989                
Fair Value, Ending balance [1],[2],[7],[27]               1,989  
Investment, Identifier [Axis]: Equity and Other Investments Business Services ReliaQuest, LLC Warrants (90,634 warrants) Initial Acquisition Date 12/20/2023                  
Fair Value, Beginning balance [1],[2],[24],[27] 126                
Fair Value, Ending balance [1],[2],[24],[27]               126  
Investment, Identifier [Axis]: Equity and Other Investments Business Services Sprinklr, Inc. Common Shares (283,499 shares) Initial Acquisition Date 6/24/2021                  
Fair Value, Beginning balance [1],[2],[24],[26] 2,395                
Fair Value, Ending balance 2,205 [3],[4],[25],[28]             2,395 [1],[2],[24],[26]  
Investment, Identifier [Axis]: Equity and Other Investments Business Services Warrior TopCo LP Class A Units (423,729 units) Initial Acquisition Date 7/7/2023                  
Fair Value, Beginning balance [1],[2] 604                
Fair Value, Ending balance 661 [3],[4],[25]             604 [1],[2]  
Investment, Identifier [Axis]: Equity and Other Investments Communications Celtra Technologies, Inc. Class A Units (1,250,000 units) Initial Acquisition Date 11/19/2021                  
Fair Value, Beginning balance [1],[2],[24] 1,250                
Fair Value, Ending balance 1,578 [3],[4],[25]             1,250 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24] 1,535                
Fair Value, Ending balance 309 [3],[4],[25]             1,535 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24] 1,653                
Fair Value, Ending balance 329 [3],[4],[25]             1,653 [1],[2],[24]  
Investment, Identifier [Axis]: Equity and Other Investments Education EMS Linq, Inc. Class B Units (5,522,526 units) Initial Acquisition Date 12/22/2021                  
Fair Value, Beginning balance [1],[2],[24] 2,830                
Fair Value, Ending balance 1,602 [3],[4],[25]             2,830 [1],[2],[24]  
Investment, Identifier [Axis]: Equity and Other Investments Education RMCF IV CIV XXXV, LP. Partnership Interest (11.94% ownership) Initial Acquisition Date 6/8/2021                  
Fair Value, Beginning balance [1],[2],[24] 1,625                
Fair Value, Ending balance [1],[2],[24]               1,625  
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                  
Fair Value, Beginning balance [1],[2],[24] 4,684                
Fair Value, Ending balance 5,717 [3],[4],[25]             4,684 [1],[2],[24]  
Investment, Identifier [Axis]: Equity and Other Investments Financial Services CLGF Holdings, L.P. Warrants (334,682 warrants) Initial Acquisition Date 11/7/2023                  
Fair Value, Beginning balance [1],[2],[13],[24] 330                
Fair Value, Ending balance [1],[2],[13],[24]               330  
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                  
Fair Value, Beginning balance [1],[2],[24] 12,802                
Fair Value, Ending balance 9,972 [3],[4],[25]             12,802 [1],[2],[24]  
Investment, Identifier [Axis]: Equity and Other Investments Financial Services Oxford Square Capital Corp. Common Shares (1,620 shares) Initial Acquisition Date 8/5/2015                  
Fair Value, Beginning balance [1],[2],[13],[26] 4                
Fair Value, Ending balance 3 [3],[4],[11],[28]             4 [1],[2],[13],[26]  
Investment, Identifier [Axis]: Equity and Other Investments Financial Services TS Imagine, Inc. Class A Units (600,000 units) Initial Acquisition Date 5/14/2021                  
Fair Value, Ending balance [3],[4],[29] 723                
Investment, Identifier [Axis]: Equity and Other Investments Financial Services TS Imagine, Inc. Class AA Units (19,093 units) Initial Acquisition Date 11/1/2024 Reference Rate and Spread 20.00% Interest Rate 20.00%                  
Fair Value, Ending balance [3],[4],[29] 46                
Investment, Identifier [Axis]: Equity and Other Investments Financial Services TradingScreen, Inc. Class A Units (600,000 units) Initial Acquisition Date 5/14/2021                  
Fair Value, Beginning balance [1],[2],[24],[27] 600                
Fair Value, Ending balance [1],[2],[24],[27]               600  
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%                  
Fair Value, Beginning balance [1],[2],[23],[27] 38                
Fair Value, Ending balance [1],[2],[23],[27]               38  
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Caris Life Sciences, Inc. Common Shares (962,195 shares) Initial Acquisition Date 6/20/2025                  
Fair Value, Ending balance [3],[4],[25],[28] 25,960                
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                  
Fair Value, Beginning balance [1],[2],[24] 8,137                
Fair Value, Ending balance [1],[2],[24]               8,137  
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                  
Fair Value, Beginning balance [1],[2],[24] 9,924                
Fair Value, Ending balance [1],[2],[24]               9,924  
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Caris Life Sciences, Inc. Warrants (569,991 warrants) Initial Acquisition Date 4/2/2020                  
Fair Value, Beginning balance [1],[2],[24] 1,321                
Fair Value, Ending balance [1],[2],[24]               1,321  
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Caris Life Sciences, Inc. Warrants (633,376 warrants) Initial Acquisition Date 9/21/2018                  
Fair Value, Beginning balance [1],[2],[24] 1,672                
Fair Value, Ending balance [1],[2],[24]               1,672  
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Merative Topco L.P. Class A-1 Units (989,691 units) Initial Acquisition Date 6/30/2022                  
Fair Value, Beginning balance [1],[2],[24] 9,600                
Fair Value, Ending balance 14,128 [3],[4],[25]             9,600 [1],[2],[24]  
Investment, Identifier [Axis]: Equity and Other Investments Healthcare Raptor US Buyer II Corp. Ordinary Shares (13,176 shares) Initial Acquisition Date 3/24/2023                  
Fair Value, Beginning balance [1],[2],[24] 1,830                
Fair Value, Ending balance 2,353 [3],[4],[25]             1,830 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[16],[24] 85                
Fair Value, Ending balance [1],[2],[16],[24]               85  
Investment, Identifier [Axis]: Equity and Other Investments Hotel, Gaming and Leisure IRGSE Holding Corp. Class A Units (50,140,171 units) Initial Acquisition Date 12/21/2018                  
Fair Value, Ending balance [3],[4],[17],[25] 125                
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                  
Fair Value, Beginning balance [1],[2],[16],[24] 43                
Fair Value, Ending balance 43 [3],[4],[17],[25]             43 [1],[2],[16],[24]  
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                  
Fair Value, Beginning balance [1],[2],[13],[24],[27] 4,848                
Fair Value, Ending balance 3,497 [3],[4],[11],[25],[29]             4,848 [1],[2],[13],[24],[27]  
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                  
Fair Value, Beginning balance [1],[2],[24] 2,148                
Fair Value, Ending balance 2,259 [3],[4],[25]             2,148 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[13],[24] 2,819           4,552    
Fair Value, Ending balance 4,081 [3],[4],[11],[25]           $ 6,120 [3],[4],[11],[25] 2,819 [1],[2],[13],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24] 5,062                
Fair Value, Ending balance 4,727 [3],[4]             5,062 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24],[27] 4,297                
Fair Value, Ending balance 5,092 [3],[4],[25],[29]             4,297 [1],[2],[24],[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                  
Fair Value, Beginning balance [1],[2],[24],[27] 10,870                
Fair Value, Ending balance 12,880 [3],[4],[25],[29]             10,870 [1],[2],[24],[27]  
Investment, Identifier [Axis]: Equity and Other Investments Internet Services Bigtincan Holdings L.P. Class A Units (2,902,890 Units) Initial Acquisition Date 4/16/2025                  
Fair Value, Ending balance [3],[4],[25],[30] 3,020                
Investment, Identifier [Axis]: Equity and Other Investments Internet Services Khoros, LLC Earnout Interests Initial Acquisition Date 5/23/2025                  
Fair Value, Ending balance [3],[4],[29],[30] 7,233                
Investment, Identifier [Axis]: Equity and Other Investments Internet Services Lucidworks, Inc. Series F Preferred Shares (199,054 shares) Initial Acquisition Date 8/2/2019                  
Fair Value, Beginning balance [1],[2],[24] 776                
Fair Value, Ending balance 530 [3],[4],[25]             776 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24] 2,400                
Fair Value, Ending balance 2,400 [3],[4],[25]             2,400 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24] 317                
Fair Value, Ending balance 316 [3],[4],[25]             317 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[23],[24] 2,297                
Fair Value, Ending balance 2,752 [3],[4],[25]             2,297 [1],[2],[23],[24]  
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                  
Fair Value, Beginning balance [1],[2],[23],[24] 99                
Fair Value, Ending balance 119 [3],[4],[25]             99 [1],[2],[23],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24] 10,752                
Fair Value, Ending balance 9,600 [3],[4],[25]             10,752 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[27] 2,137                
Fair Value, Ending balance [1],[2],[27]               2,137  
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                  
Fair Value, Beginning balance [1],[2],[27] 7,475                
Fair Value, Ending balance 9,496 [3],[4],[25],[29]             7,475 [1],[2],[27]  
Investment, Identifier [Axis]: Equity and Other Investments Pharmaceuticals Elysium BidCo Limited Convertible Preference Shares (4,976,563 Shares) Initial Acquisition Date 12/11/2024                  
Fair Value, Beginning balance [1],[2],[13],[23],[24] 6,341   5,063            
Fair Value, Ending balance 7,581 [3],[4],[11],[25]   £ 5,636 [3],[4],[11],[25]         6,341 [1],[2],[13],[23],[24]  
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                  
Fair Value, Beginning balance [1],[2],[24] 50                
Fair Value, Ending balance 50 [3],[4],[25]             50 [1],[2],[24]  
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                  
Fair Value, Beginning balance [1],[2],[12] 11,963                
Fair Value, Ending balance 11,016 [3],[4],[10]             11,963 [1],[2],[12]  
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                  
Fair Value, Beginning balance [1],[2],[24],[27] 578                
Fair Value, Ending balance 413 [3],[4],[25],[29]             578 [1],[2],[24],[27]  
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%                  
Fair Value, Beginning balance [1],[2],[7],[12],[13] 1,472                
Fair Value, Ending balance [1],[2],[7],[12],[13]               1,472  
Investment, Identifier [Axis]: Equity and Other Investments Transportation RailTrac Holdings Inc. Warrants (3,059 warrants) Initial Acquisition Date 1/27/2025                  
Fair Value, Ending balance [3],[4],[25],[30] 2,717                
Investment, Identifier [Axis]: Equity and Other Investments Transportation Ranger Parent I, Inc. Series A-1 Preferred Shares (5,639 Shares) Initial Acquisition Date 10/28/2025 Reference Rate and Spread 14.50% Interest Rate 14.50%                  
Fair Value, Ending balance [3],[4],[30] 5,245                
Investment, Identifier [Axis]: Equity and Other Investments Transportation Ranger Parent I, Inc. Warrants (3,841 warrants) Initial Acquisition Date 10/28/2025                  
Fair Value, Ending balance [3],[4],[30] 312                
Investment, Identifier [Axis]: IRGSE Holding Corp                  
Fair Value, Beginning balance 65,095             59,913  
Gross Additions 11,630 [5]             10,351  
Gross Reductions [6] (5,310)                
Net Change in Unrealized Gain/(Loss) 3,266             (5,169)  
Realized Gain/(Loss) (16,309)                
Fair Value, Ending balance 58,372             65,095 $ 59,913
Other Income 11                
Other Income               13  
Interest Income 10,347             $ 9,428  
Investment, Identifier [Axis]: Other Investments Apidos CLO, Series 2015-23A Investment Structured Credit ($4,000 par, due 10/2038) Initial Acquisition Date 9/3/2025 Reference Rate and Spread SOFR + 5.20% Interest Rate 9.10%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 4,002                
Investment, Identifier [Axis]: Other Investments Ares CLO Ltd, Series 2022-63A Investment Structured Credit ($2,500 par, due 10/2038) Initial Acquisition Date 8/7/2025 Reference Rate and Spread SOFR + 6.00% Interest Rate 10.28%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 2,501                
Investment, Identifier [Axis]: Other Investments Ares CLO Ltd, Series 2022-64A Investment Structured Credit ($2,000 par, due 10/2039) Initial Acquisition Date 9/4/2025 Reference Rate and Spread SOFR + 6.50% Interest Rate 10.40%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 2,018                
Investment, Identifier [Axis]: Other Investments Ares CLO Ltd, Series 2024-72A Investment Structured Credit ($3,500 par, due 7/2036) Initial Acquisition Date 8/7/2025 Reference Rate and Spread SOFR + 6.00% Interest Rate 9.90%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 3,510                
Investment, Identifier [Axis]: Other Investments Benefit Street Partners CLO Ltd, Series 2025-39A Investment Structured Credit ($1,725 par, due 4/2038) Initial Acquisition Date 7/16/2025 Reference Rate and Spread SOFR + 4.50% Interest Rate 8.40%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 1,711                
Investment, Identifier [Axis]: Other Investments Birch Grove CLO Ltd, Series 2025-14A Investment Structured Credit ($1,250 par, due 7/2037) Initial Acquisition Date 9/2/2025 Reference Rate and Spread SOFR + 6.65% Interest Rate 10.98%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 1,261                
Investment, Identifier [Axis]: Other Investments CIFC Funding Ltd, Series 2020 -4A Structured Credit ($4,000 par, due 1/2040) Initial Acquisition Date 7/29/2025 Reference Rate and Spread SOFR + 4.90% Interest Rate 8.80%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 4,007                
Investment, Identifier [Axis]: Other Investments CIFC Funding Ltd, Series 2021 -7A Structured Credit ($2,800 par, due 1/2035) Initial Acquisition Date 9/8/2025 Reference Rate and Spread SOFR + 4.90% Interest Rate 8.76%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 2,779                
Investment, Identifier [Axis]: Other Investments CIFC Funding Ltd, Series 2022 -4A Structured Credit ($3,000 par, due 7/2035) Initial Acquisition Date 8/27/2025 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.14%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 3,005                
Investment, Identifier [Axis]: Other Investments Canyon CLO Ltd, Series 2025 -1A Structured Credit ($1,125 par, due 4/2038) Initial Acquisition Date 7/28/2025 Reference Rate and Spread SOFR + 4.75% Interest Rate 8.65%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 1,102                
Investment, Identifier [Axis]: Other Investments CarVal CLO Ltd, Series 2021 -2A Investment Structured Credit ($2,000 par, due 10/2034) Initial Acquisition Date 9/9/2025 Reference Rate and Spread SOFR + 7.01% Interest Rate 10.92%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 1,996                
Investment, Identifier [Axis]: Other Investments CarVal CLO Ltd, Series 2023 -1A Structured Credit ($3,000 par, due 7/2037) Initial Acquisition Date 8/13/2025 Reference Rate and Spread SOFR + 6.35% Interest Rate 10.23%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 2,973                
Investment, Identifier [Axis]: Other Investments Carlyle US CLO Ltd, Series 2017 -2A Investment Structured Credit ($2,500 par, due 7/2037) Initial Acquisition Date 9/3/2025 Reference Rate and Spread SOFR + 7.56% Interest Rate 11.44%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 2,528                
Investment, Identifier [Axis]: Other Investments Carlyle US CLO Ltd, Series 2021 -1A Structured Credit ($3,225 par, due 1/2040) Initial Acquisition Date 8/7/2025 Reference Rate and Spread SOFR + 7.30% Interest Rate 11.20%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 3,290                
Investment, Identifier [Axis]: Other Investments Diameter Capital CLO Ltd, Series 2025 -9A Structured Credit ($3,500 par, due 4/2038) Initial Acquisition Date 9/2/2025 Reference Rate and Spread SOFR + 4.70% Interest Rate 8.58%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 3,519                
Investment, Identifier [Axis]: Other Investments Goldentree Loan Management US CLO Ltd, Series 2022 -16A Structured Credit ($5,000 par, due 1/2038) Initial Acquisition Date 9/16/2025 Reference Rate and Spread SOFR + 4.50% Interest Rate 8.38%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 4,956                
Investment, Identifier [Axis]: Other Investments Goldentree Loan Management US CLO Ltd, Series 2023 -17A Structured Credit ($3,000 par, due 1/2039) Initial Acquisition Date 7/16/2025 Reference Rate and Spread SOFR + 5.40% Interest Rate 9.28%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 3,018                
Investment, Identifier [Axis]: Other Investments Lake George Park CLO Ltd, Series 2025 -1A Structured Credit ($4,500 par, due 4/2038) Initial Acquisition Date 8/27/2025 Reference Rate and Spread SOFR + 4.60% Interest Rate 8.50%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 4,507                
Investment, Identifier [Axis]: Other Investments Madison Park Funding Ltd, Series 2025 -65A Structured Credit ($4,400 par, due 7/2038) Initial Acquisition Date 8/19/2025 Reference Rate and Spread SOFR + 5.00% Interest Rate 9.32%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 4,407                
Investment, Identifier [Axis]: Other Investments Madison Park Funding Ltd, Series 2025 -72A Structured Credit ($2,500 par, due 7/2038) Initial Acquisition Date 8/18/2025 Reference Rate and Spread SOFR + 5.25% Interest Rate 9.37%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 4,535                
Investment, Identifier [Axis]: Other Investments Neuberger Berman CLO Ltd, Series 2015 -20A Structured Credit ($1,150 par, due 4/2039) Initial Acquisition Date 7/28/2025 Reference Rate and Spread SOFR + 4.75% Interest Rate 8.65%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 1,144                
Investment, Identifier [Axis]: Other Investments Neuberger Berman CLO Ltd, Series 2017 -16SA Structured Credit ($4,000 par, due 4/2039) Initial Acquisition Date 7/28/2025 Reference Rate and Spread SOFR + 4.90% Interest Rate 8.80%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 3,947                
Investment, Identifier [Axis]: Other Investments Neuberger Berman Loan Advisers CLO Ltd, Series 2017 -24A Structured Credit ($1,000 par, due 10/2038) Initial Acquisition Date 8/25/2025 Reference Rate and Spread SOFR + 7.00% Interest Rate 10.88%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 1,017                
Investment, Identifier [Axis]: Other Investments Neuberger Berman Loan Advisers CLO Ltd, Series 2019 -33A Structured Credit ($2,000 par, due 4/2039) Initial Acquisition Date 9/9/2025 Reference Rate and Spread SOFR + 5.50% Interest Rate 9.39%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 2,013                
Investment, Identifier [Axis]: Other Investments Neuberger Berman Loan Advisers CLO Ltd, Series 2021 -44A Structured Credit ($1,000 par, due 10/2035) Initial Acquisition Date 8/15/2025 Reference Rate and Spread SOFR + 5.15% Interest Rate 9.04%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 1,001                
Investment, Identifier [Axis]: Other Investments Oaktree CLO Ltd, Series 2022 -2A Structured Credit ($3,500 par, due 10/2037) Initial Acquisition Date 7/17/2025 Reference Rate and Spread SOFR + 6.40% Interest Rate 10.30%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 3,516                
Investment, Identifier [Axis]: Other Investments Octagon 67 Ltd, Series 2023 -1A Structured Credit ($3,000 par, due 7/2038) Initial Acquisition Date 9/4/2025 Reference Rate and Spread SOFR + 7.41% Interest Rate 11.27%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 3,057                
Investment, Identifier [Axis]: Other Investments Oha Credit Funding Ltd, Series 2025 -22A Structured Credit ($1,250 par, due 7/2038) Initial Acquisition Date 7/24/2025 Reference Rate and Spread SOFR + 5.55% Interest Rate 9.83%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 1,261                
Investment, Identifier [Axis]: Other Investments Palmer Square CLO Ltd, Series 2021 -4 Structured Credit ($4,000 par, due 7/2038) Initial Acquisition Date 9/16/2025 Reference Rate and Spread SOFR + 5.75% Interest Rate 9.65%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 4,010                
Investment, Identifier [Axis]: Other Investments Palmer Square CLO Ltd, Series 2025 -1A Structured Credit ($2,250 par, due 4/2038) Initial Acquisition Date 8/21/2025 Reference Rate and Spread SOFR + 4.50% Interest Rate 8.38%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 2,250                
Investment, Identifier [Axis]: Other Investments Pikes Peak CLO Ltd, Series 2023 -14A Structured Credit ($3,000 par, due 7/2038) Initial Acquisition Date 7/30/2025 Reference Rate and Spread SOFR + 6.00% Interest Rate 9.88%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 2,992                
Investment, Identifier [Axis]: Other Investments RR Ltd, Series 2021 -19A Structured Credit ($1,000 par, due 4/2040) Initial Acquisition Date 7/17/2025 Reference Rate and Spread SOFR + 4.70% Interest Rate 8.60%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 995                
Investment, Identifier [Axis]: Other Investments Regatta Funding Ltd, Series 2020 -1A Structured Credit ($1,000 par, due 10/2037) Initial Acquisition Date 7/17/2025 Reference Rate and Spread SOFR + 6.50% Interest Rate 10.40%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 1,011                
Investment, Identifier [Axis]: Other Investments Riverbank Park CLO Ltd, Series 2024 -1A Structured Credit ($4,500 par, due 1/2038) Initial Acquisition Date 7/29/2025 Reference Rate and Spread SOFR + 4.80% Interest Rate 8.66%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 4,502                
Investment, Identifier [Axis]: Other Investments Texas Debt Capital CLO Ltd, Series 2023 -1A Structured Credit ($2,000 par, due 7/2038) Initial Acquisition Date 8/12/2025 Reference Rate and Spread SOFR + 4.95% Interest Rate 8.83%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] 2,017                
Investment, Identifier [Axis]: Other Investments Whitebox CLO Ltd, Series 2023 -4A Structured Credit ($1,500 par, due 4/2036) Initial Acquisition Date 8/20/2025 Reference Rate and Spread SOFR + 6.48% Interest Rate 10.36%                  
Fair Value, Ending balance [3],[4],[9],[10],[11] $ 1,514                
[1] Certain portfolio company investments are subject to contractual restrictions on sales.
[2] 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.
[3] Certain portfolio company investments are subject to contractual restrictions on sales.
[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] 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.
[6]
Gross reductions include decreases in the cost basis of investments resulting from principal collections related to investment repayments or sales, and the amortization of any premiums on debt investments, as applicable. When an investment is placed on non-accrual status, any cash flows received by the Company are applied to the outstanding principal balance.
[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”), 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.
[8] 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.
[9] 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, 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, 2025.
[10] 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.
[11] 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 19.9% of total assets as of December 31, 2025.
[12] 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.
[13] 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.
[14] 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.
[15] Investment is on non-accrual status as of December 31, 2024.
[16] 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:

Controlled, Affiliated Investments during the year ended December 31, 2024

Company

 

Fair
Value at
December 31,
2023

 

 

Gross
Additions (a)

 

 

Gross
Reductions
(b)

 

 

Net Change
In Unrealized
Gain/(Loss)

 

 

Realized
Gain/(Loss)

 

 

Transfers

 

 

Fair
Value at
December 31,
2024

 

 

Other
Income

 

 

Interest
Income

 

IRGSE Holding Corp.

 

$

59,913

 

 

$

10,351

 

 

$

 

 

$

(5,169

)

 

$

 

 

$

 

 

$

65,095

 

 

$

13

 

 

$

9,428

 

Total

 

$

59,913

 

 

$

10,351

 

 

$

 

 

$

(5,169

)

 

$

 

 

$

 

 

$

65,095

 

 

$

13

 

 

$

9,428

 

 

(a)
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.
Gross reductions include decreases in the cost basis of investments resulting from principal collections related to investment repayments or sales, and the amortization of any premiums on debt investments, as applicable. When an investment is placed on non-accrual status, any cash flows received by the Company are applied to the outstanding principal balance.
[17] 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, 2025 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, 2025

 

Company

 

Fair
Value at
December 31,
2024

 

 

Gross
Additions (a)

 

 

Gross
Reductions
(b)

 

 

Net Change
In Unrealized
Gain/(Loss)

 

 

Realized
Gain/(Loss)

 

 

Transfers

 

 

Fair
Value at
December 31,
2025

 

 

Other
Income

 

 

Interest
Income

 

IRGSE Holding Corp.

 

$

65,095

 

 

$

11,630

 

 

$

(5,310

)

 

$

3,266

 

 

$

(16,309

)

 

$

 

 

$

58,372

 

 

$

11

 

 

$

10,347

 

Total

 

$

65,095

 

 

$

11,630

 

 

$

(5,310

)

 

$

3,266

 

 

$

(16,309

)

 

$

 

 

$

58,372

 

 

$

11

 

 

$

10,347

 

[18] As of December 31, 2025, the estimated cost basis of investments for U.S. federal tax purposes was $3,332,367 resulting in estimated gross unrealized gains and losses of $219,540 and $231,975, respectively.
[19] 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.
[20] Investment is on non-accrual status as of December 31, 2025.
[21] 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 $15.9 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.
[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 $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.
[23] 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.
[24] This investment is non-income producing.
[25] This investment is non-income producing.
[26] 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.
[27] Ownership of equity investments may occur through a holding company or partnership.
[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] Ownership of equity investments may occur through a holding company or partnership.
[30] 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, 2025, the aggregate fair value of these securities is $18,527, or 1.2% of the Company’s net assets.