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Financial Highlights (Tables)
3 Months Ended
Mar. 31, 2020
Investment Company [Abstract]  
Schedule of Financial Highlights
The following are schedules of financial highlights of the Company attributed to each class of shares for the three months ended March 31, 2020 and 2019.    
 
Three Months Ended March 31, 2020
 
Class FA 
Shares
 
Class A
Shares
 
Class T
Shares
 
Class D
Shares
 
Class I
Shares
 
Class S
Shares
OPERATING PERFORMANCE PER SHARE
 
 
 
 
 
 
 
 
 
 
Net Asset Value, Beginning of Period(1)
$
27.64

 
$
26.91

 
$
27.01

 
$
26.61

 
$
27.15

 
$
27.56

Net investment income (loss), before expense support(2)
0.20

 
0.07

 
(0.12
)
 
0.08

 
0.08

 
(0.39
)
Expense support(2)(3)
0.09

 
0.09

 
0.16

 

 
0.10

 
0.39

Net investment income(2)
0.29

 
0.16

 
0.04

 
0.08

 
0.18

 

Net realized and unrealized losses(2)(4)
(0.47
)
 
(0.46
)
 
(0.44
)
 
(0.47
)
 
(0.47
)
 
(0.40
)
Net decrease resulting from investment operations
(0.18
)
 
(0.30
)
 
(0.40
)
 
(0.39
)
 
(0.29
)
 
(0.40
)
Distributions to shareholders(5)
(0.31
)
 
(0.31
)
 
(0.25
)
 
(0.28
)
 
(0.31
)
 

Net decrease resulting from distributions to shareholders
(0.31
)
 
(0.31
)
 
(0.25
)
 
(0.28
)
 
(0.31
)
 

Net Asset Value, End of Period
$
27.15

 
$
26.30

 
$
26.36

 
$
25.94

 
$
26.55

 
$
27.16

 
 
 
 
 
 
 
 
 
 
 
 
Net assets, end of period
$
126,919,282

 
$
20,887,589

 
$
8,813,664

 
$
8,624,930

 
$
29,242,887

 
$
245,270

Average net assets(6)
$
124,272,563

 
$
19,219,301

 
$
6,597,543

 
$
8,292,032

 
$
27,011,432

 
$
245,270

Shares outstanding, end of period
4,674,839

 
794,274

 
334,315

 
332,538

 
1,101,367

 
9,030

Distributions declared
$
1,407,473

 
$
223,612

 
$
60,942

 
$
88,027

 
$
311,297

 
$

Total investment return based on net asset value(7)
(0.69
)%
 
(1.11
)%
 
(1.49
)%
 
(1.47
)%
 
(1.07
)%
 
(1.45
)%
RATIOS/SUPPLEMENTAL DATA (not annualized):
 
 
 
 
 
 
 
 
 
 
Ratios to average net assets:(6)(8)
 
 
 
 
 
 
 
 
 
 
 
Total operating expenses before expense support
0.47
 %
 
1.01
 %
 
1.89
 %
 
0.98
 %
 
0.98
 %
 
1.91
 %
Total operating expenses after expense support
0.15
 %
 
0.67
 %
 
1.28
 %
 
0.98
 %
 
0.60
 %
 
0.46
 %
Net investment income
1.06
 %
 
0.61
 %
 
0.16
 %
 
0.29
 %
 
0.67
 %
 
 %
 
Three Months Ended March 31, 2019
 
Class FA 
Shares
 
Class A
Shares
 
Class T
Shares
 
Class D
Shares
 
Class I
Shares
OPERATING PERFORMANCE PER SHARE
 
 
 
 
 
 
 
 
Net Asset Value, Beginning of Period
$
26.65

 
$
26.44

 
$
26.54

 
$
26.23

 
$
26.55

Net investment income (loss) before expense support(2)
0.27

 
(0.02
)
 
(0.04
)
 
0.15

 
0.05

Expense support(2)(3)
0.04

 
0.19

 
0.17

 

 
0.17

Net investment income(2)
0.31

 
0.17

 
0.13

 
0.15

 
0.22

Net realized and unrealized gains(2)(4)
0.07

 
0.09

 
0.08

 
0.07

 
0.08

Net increase resulting from investment operations
0.38

 
0.26

 
0.21

 
0.22

 
0.30

Distributions to shareholders(5)
(0.31
)
 
(0.31
)
 
(0.25
)
 
(0.28
)
 
(0.31
)
Net decrease resulting from distributions to shareholders
(0.31
)
 
(0.31
)
 
(0.25
)
 
(0.28
)
 
(0.31
)
Net Asset Value, End of Period
$
26.72

 
$
26.39

 
$
26.50

 
$
26.17

 
$
26.54

 
 
 
 
 
 
 
 
 
 
Net assets, end of period
$
89,259,528

 
$
9,799,809

 
$
1,477,301

 
$
3,607,349

 
$
11,535,495

Average net assets(6)
$
87,050,883

 
$
6,468,700

 
$
1,072,524

 
$
3,387,992

 
$
8,027,629

Shares outstanding, end of period
3,266,260

 
371,319

 
55,739

 
137,864

 
434,646

Distributions declared
$
1,020,708

 
$
75,454

 
$
10,024

 
$
36,428

 
$
93,357

Total investment return based on net asset value(7)
1.42
%
 
1.00
%
 
0.79
%
 
0.85
%
 
1.15
%
RATIOS/SUPPLEMENTAL DATA (not annualized):
 
 
 
 
 
 
 
 
Ratios to average net assets:(6)(8)
 
 
 
 
 
 
 
 
 
Total operating expenses before expense support
0.59
%
 
2.17
%
 
2.13
%
 
1.12
%
 
1.80
%
Total operating expenses after expense support
0.46
%
 
1.46
%
 
1.50
%
 
1.12
%
 
1.18
%
Net investment income
1.15
%
 
0.63
%
 
0.48
%
 
0.58
%
 
0.83
%
FOOTNOTES:
(1) 
The net asset value as of the beginning of the period is based on the net asset value as of December 31, 2019 for all share classes except Class S shares. The net asset value as of the beginning of the period for Class S shares is based on the price of shares sold, net of any sales load, to the initial Class S investors. The first investors for Class S shares purchased their shares in March 2020.
(2) 
The per share amounts presented are based on weighted average shares outstanding.
(3) 
Expense support is accrued throughout the year and is subject to a final calculation as of the last business day of the calendar year.
(4) 
The amount shown at this caption is the balancing figure derived from the other figures in the schedule. The amount shown at this caption for a share outstanding throughout the period may not agree with the change in the aggregate gains and losses in portfolio investments for the period because of the timing of sales and repurchases of the Company’s shares in relation to fluctuating fair values for the portfolio investments.
(5) 
The per share data for distributions is the actual amount of distributions paid or payable per common share outstanding during the entire period; distributions per share are rounded to the nearest $0.01.
(6) 
The computation of average net assets during the period is based on net assets measured at each month end, adjusted for capital contributions or withdrawals during the month.
(7) 
Total investment return is calculated for each share class as the change in the net asset value for such share class during the period and assuming all distributions are reinvested. Amounts are not annualized and are not representative of total return as calculated for purposes of the total return incentive fee described in Note 5. “Related Party Transactions.” Total returns before total return incentive fees also exclude related expense support. See footnote (9) below for information regarding the percentage of total incentive fees covered by expense support by share class for all periods presented. Since there is no public market for the Company’s shares, terminal market value per share is assumed to be equal to net asset value per share on the last day of the period presented. The Company’s performance changes over time and currently may be different than that shown above. Past performance is no guarantee of future results. Investment performance is presented without regard to sales load that may be incurred by shareholders in the purchase of the Company’s shares.
(8) 
Actual results may not be indicative of future results. Additionally, an individual investor’s ratios may vary from the ratios presented for a share class as a whole.