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CREDIT FACILITY (Details)
May 13, 2022
USD ($)
Mar. 31, 2024
USD ($)
Dec. 31, 2023
USD ($)
Oct. 11, 2017
USD ($)
SOFR        
CREDIT FACILITY        
Credit facility, variable interest rate 0.025%      
SOFR | Scenario, Asset Coverage Ratio Equals or Below 1.90 Plus 0.10% one Month SOFR and 0.15% Three Month SOFR With 0.25% SOFR Floor        
CREDIT FACILITY        
Credit facility, variable interest rate 0.0275%      
Asset coverage ratio 1.90      
SOFR Floor        
CREDIT FACILITY        
Credit facility, variable interest rate 0.0025%      
One-month term SOFR        
CREDIT FACILITY        
Credit facility, variable interest rate 0.001%      
Basis spread on variable rate 0.0100      
Three-month term SOFR        
CREDIT FACILITY        
Credit facility, variable interest rate 0.0015%      
Prime rate        
CREDIT FACILITY        
Credit facility, variable interest rate 0.015%      
Basis spread on variable rate 3      
Prime rate | Scenario, Asset Coverage Ratio Equals or Below 1.90 Plus Alternate Base Rate Based Prime Rate Subject 3% Floor, Federal Funds Rate plus 0.50% and One Month SOFR Plus 1.00%        
CREDIT FACILITY        
Credit facility, variable interest rate 0.0175%      
Asset coverage ratio 1.90      
Federal Funds Rate        
CREDIT FACILITY        
Basis spread on variable rate 0.0050      
Senior Secured Revolving Credit Agreement        
CREDIT FACILITY        
Maximum borrowing capacity       $ 260,000,000
Credit facility, variable interest rate 0.005%      
Asset coverage ratio 1.67      
Minimum liquidity test amount $ 10,000,000      
Interest coverage ratio 1.75      
Credit Facility payable   $ 184,650,119 $ 160,085,705  
Deferred financing cost   6,630,390    
Prepaid loan structure fees and administration fees   3,306,190 $ 3,520,929  
Existing Credit Facility        
CREDIT FACILITY        
Maximum borrowing capacity $ 350,000,000      
Deferred financing cost   $ 341,979