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BORROWINGS (Tables)
6 Months Ended
Jun. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Borrowings Outstanding
The Company had the following borrowings outstanding as of June 30, 2025 and December 31, 2024: 
Issuance Date
($ in thousands)
Maturity Date
Interest Rate as of June 30, 2025
June 30, 2025December 31, 2024
Credit Facilities:
Revolving Credit Facility – May 11, 2021
May 11, 20296.118%$331,650 $456,482 
SMBC Credit Facility – March 6, 2023
March 6, 20286.382%248,089 137,875 
Total Credit Facilities$579,739 $594,357 
Debt Securitization:
September 17, 2024 - Class A-1AR Notes
October 15, 20365.886%$110,000 $110,000 
September 17, 2024 - Class A-1A Loans
October 15, 20365.886%115,000 115,000 
September 17, 2024 - Class A-1AS Loans
October 15, 20365.886%50,000 50,000 
September 17, 2024 - Class A-1BR Notes
October 15, 20366.156%35,000 35,000 
September 17, 2024 - Class A-2R Notes
October 15, 20366.256%30,000 30,000 
September 17, 2024 - Class B-R Notes
October 15, 20366.756%40,000 40,000 
September 17, 2024 - Class C-R Notes
October 15, 20368.756%30,000 30,000 
(Less: Deferred financing fees)(3,813)(3,980)
Total Debt Securitization$406,187 $406,020 
Notes:
July 29, 2021 – Series A Notes
July 29, 20263.500%$75,000 $75,000 
September 15, 2021 – Series B Notes
July 29, 20263.500%38,000 38,000 
October 28, 2021 – Series C Notes
July 29, 20263.500%37,000 37,000 
May 10, 2022 – Series D Notes (1)
May 10, 20276.000%98,429 96,822 
July 26, 2022 – Series E Notes (1)
May 10, 20276.000%53,989 53,071 
June 11, 2025 - June 2030 Notes (1)June 11, 20306.150%402,848 — 
(Less: Deferred financing fees)(9,848)(291)
Total Notes$695,418 $299,602 
(1)Inclusive of change in fair market value of effective hedge.
The Company’s summary information of its borrowings were as follows:
Three Months EndedThree Months Ended
Six Months
 Ended
Six Months
 Ended
($ in thousands)June 30, 2025June 30, 2024June 30, 2025June 30, 2024
Combined weighted average interest rate(1)
6.277 %7.385 %6.297 %7.396 %
Combined weighted average debt outstanding$1,572,721 $1,079,418 $1,419,164 $1,165,310 
(1) Excludes unused commitment fees and amortization of financing costs. Inclusive of effective interest rate swaps and hedged items.