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Consolidated Statements of Cash Flows (Unaudited) - USD ($)
6 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Statement of Cash Flows [Abstract]    
Net increase (decrease) in net assets resulting from operations $ 52,028,984 $ (68,762,918)
Adjustments to reconcile net increase (decrease) in net assets resulting from operations to net cash used in operating activities:    
Net realized (gains)/losses on investments 320,015 856,624
Net change in unrealized (gains)/losses on investments (24,556,200) 86,126,397
Net accretion of discount on investments (856,346) (247,902)
Purchases of short-term investments (360,234,199) (234,006,408)
Purchases of portfolio investments (110,130,547) (221,385,705)
Proceeds from sale of short-term investments 313,870,724 286,171,413
Proceeds from sale of portfolio investments 135,954,079 204,224,871
Amortization of deferred financing cost 494,302 490,060
Increase/(decrease) in operating assets and liabilities:    
(Increase)/decrease in receivable for sales of investments 31,014,356 3,640,199
(Increase)/decrease in interest and dividends receivable (1,366,204) (2,515,729)
(Increase)/decrease in due from investment adviser (21,650) 6,011
(Increase)/decrease in receivable for paydowns of investments (475,531) (1,188,404)
(Increase)/decrease in prepaid expenses and other assets (2,603,082) (193,537)
Increase/(decrease) in interest payable on credit facilities 2,586,844 419,535
Increase/(decrease) in payable for investments purchased (17,988,152) (66,063,523)
Increase/(decrease) in management fees payable 173,199 (48,085)
Increase/(decrease) in directors fee payable (669)
Increase/(decrease) in accrued other general and administrative expenses (214,987) (1,540,689)
Net cash provided by (used in) operating activities 17,995,605 (14,018,459)
Cash Flows from Financing Activities:    
Borrowings on the credit facilities 10,500,000 84,500,000
Payments on the credit facilities (27,500,000) (67,000,000)
Payments of debt issuance costs (25,082)
Distributions paid in cash (13,188,961) (9,299,819)
Proceeds from issuance of common shares, net of change in subscriptions receivable of $ - 17,304,225 4,823,801
Net cash provided by (used in) financing activities (12,909,818) 13,023,982
Net increase/(decrease) in cash and cash equivalents 5,085,787 (994,477)
Cash and cash equivalents, beginning of period 1,650,801 1,093,503
Cash and cash equivalents, end of period 6,736,588 99,026
Supplemental and Non-Cash Information:    
Interest paid during the period 18,610,169 7,159,711
Distributions declared during the period 13,183,368 8,439,969
Reinvestment of distributions during the period 6,935,473 5,014,831
Distributions payable