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Financial Highlights - Schedule of Financial Highlights (Details) - USD ($)
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Dec. 31, 2022
Dec. 31, 2021
Investment Company, Financial Highlights [Line Items]        
Per share NAV at beginning of period $ 10.03 $ 10.34    
Net investment income 0.32 0.17    
Net realized and unrealized gain (loss) (0.05) (0.03)    
Consolidated Investment Operations, Total 0.27 0.14    
Per share NAV at end of period $ 10.30 $ 10.48    
Total return based on net asset value 2.69% 1.35%    
Balance (Shares) 19,409,851 8,371,979    
Net investment income 12.00% 7.25%    
Expenses before incentive fee 3.43% 4.17%    
Expenses and incentive fee 3.43% 4.41%    
Ending net asset value $ 199,851,537 $ 87,730,418 $ 175,109,476 $ 86,602,358
Portfolio turnover rate 0.50% 0.20%    
Weighted-average debt outstanding $ 46,987,778 $ 36,937,778    
Weighted-average interest rate on debt 6.70% 2.50%    
Weighted-average number of common shares 17,481,246 8,371,979    
Weighted-average debt per share $ 2.69 $ 4.41