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Financial Highlights - Schedule of Financial Highlights (Details) - USD ($)
6 Months Ended
Jul. 26, 2024
Jun. 30, 2024
Jun. 30, 2023
Investment Company, Financial Highlights [Line Items]      
Per share NAV at beginning of period   $ 24.85  
Investment Operations:      
Per share NAV at end of period   $ 24.84  
Ratios to average net assets:      
Ending balance   $ 351,282,177 $ 160,840,538
Institutional Class      
Investment Company, Financial Highlights [Line Items]      
Per share NAV at beginning of period   $ 24.85 $ 23.69
Investment Operations:      
Net investment income [1]   1.35 1.47
Net realized and unrealized gain (loss) [1]   0.02 0.51
Total from investment operations [1]   1.37 1.98
Dividends to common shareholders   (1.38) (1.18)
Per share NAV at end of period   $ 24.84 $ 24.49
Total return based on net asset value [2]   5.51% 8.36%
Ending balance, shares   13,840,544 6,568,807
Ratios to average net assets:      
Net investment income [4]   11.95% [3] 12.52% [5]
Expenses before incentive fee [6]   7.20% [3] 6.50% [5]
Expenses and incentive fee [7]   8.00% [3] 6.50% [5]
Ending balance   $ 343,837,811 $ 160,840,538
Weighted-average number of common shares   11,866,422 5,989,898
Portfolio turnover rate   12.21% 13.46%
Weighted-average debt outstanding   $ 169,373,626 $ 92,447,514
Weighted-average interest rate on debt   7.42% 6.59%
Weighted-average debt per share   $ 14.21 $ 14.07
Class S Shares      
Investment Company, Financial Highlights [Line Items]      
Per share NAV at beginning of period   24.95 [8] 0
Investment Operations:      
Net investment income [1]   0.22 [8] 0
Net realized and unrealized gain (loss) [1]   (0.12) [8] 0
Total from investment operations [1]   0.1 [8] 0
Dividends to common shareholders $ (0.2124) (0.21) [8] 0
Per share NAV at end of period   $ 24.84 [8] $ 0
Total return based on net asset value [2]   0.40% [8] 0.00%
Ending balance, shares   299,659 [8] 0
Ratios to average net assets:      
Net investment income [4]   12.61% [3],[8] 0.00% [5]
Expenses before incentive fee [6]   6.20% [3],[8] 0.00% [5]
Expenses and incentive fee [7]   6.30% [3],[8] 0.00% [5]
Ending balance   $ 7,444,366 [8] $ 0
Weighted-average number of common shares   299,659 [8] 0
[1] Per share changes in net asset value are computed based on the actual number of shares outstanding during the time such activity occurred.
[2] Not annualized for periods less than one year. Total return based on net asset value equals the change in net asset value per share during the period plus declared dividends per share during the period, divided by the beginning net asset value per share at the beginning of the period.
[3] Annualized for periods less than one year except for incentive fees and other certain non-recurring expenses.
[4] Net of incentive fees and excise taxes.
[5] Annualized for periods less than one year except for incentive fees and other certain non-recurring expenses, excluding the effect of management fee and incentive fee waivers by the Adviser which represented 2.18% of average net assets.
[6] Includes interest and other debt costs but excludes excise taxes.
[7] Includes incentive fees and all Fund expenses including interest and other debt costs but excludes excise taxes.
[8] Class S commenced operations on June 1, 2024.