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Consolidated Schedule of Investments (Unaudited) - USD ($)
Dec. 31, 2024
Dec. 31, 2023
Schedule Of Investments [Line Items]    
Cost $ 1,035,050,829 $ 398,929,289
Fair Value 1,040,393,586 400,926,373
Investment, Identifier [Axis]: Cash and Cash Equivalents - 6.3% of Net Assets    
Schedule Of Investments [Line Items]    
Fair Value [1] $ 41,078,437  
% of Total Cash and Investment [1] 3.77%  
Percentage of Net Assets [1] 6.30%  
Investment, Identifier [Axis]: Cash and Cash Equivalents - 8.5% of Net Assets    
Schedule Of Investments [Line Items]    
Fair Value [2],[3]   $ 20,393,858
% of Total Cash and Investment [2],[3]   4.84%
Investment, Identifier [Axis]: Cash and Investments - 166.1% of Net Assets    
Schedule Of Investments [Line Items]    
Fair Value [1] $ 1,081,472,023  
% of Total Cash and Investment [1] 100.00%  
Percentage of Net Assets [1] 166.10%  
Investment, Identifier [Axis]: Cash and Investments - 176.4% of Net Assets    
Schedule Of Investments [Line Items]    
Fair Value [2],[3]   $ 421,320,231
% of Total Cash and Investment [2],[3]   100.00%
Investment, Identifier [Axis]: Debt Investments - 159.7% of Net Assets    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 1,034,648,797  
Fair Value [1],[4] $ 1,039,985,833  
% of Total Cash and Investment [1],[4] 96.19%  
Percentage of Net Assets [1] 159.70%  
Investment, Identifier [Axis]: Debt Investments - 167.9% of Net Assets    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 398,929,289
Fair Value [2],[3]   $ 400,926,373
% of Total Cash and Investment [2],[3]   95.16%
Investment, Identifier [Axis]: Debt Investments Aerospace & Defense    
Schedule Of Investments [Line Items]    
Cost $ 52,459,235 [1],[4] $ 10,728,327 [2],[3]
Fair Value $ 52,957,835 [1],[4] $ 10,971,875 [2],[3]
% of Total Cash and Investment 4.90% [1],[4] 2.60% [2],[3]
Investment, Identifier [Axis]: Debt Investments Aerospace & Defense Arcline FM Holdings, LLC (Fairbanks Morse Defense) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.51% Total Coupon 10.88% Maturity 6/23/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.51%
Total Coupon [2],[3],[5]   10.88%
Maturity [2],[3],[5]   Jun. 23, 2028
Principal [2],[3],[5]   $ 9,576,077
Cost [2],[3],[5]   9,388,457
Fair Value [2],[3],[5]   $ 9,600,017
% of Total Cash and Investment [2],[3],[5]   2.27%
Investment, Identifier [Axis]: Debt Investments Aerospace & Defense Arcline FM Holdings, LLC (Fairbanks Morse, LLC) Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.50% Total Coupon 9.05% Maturity 6/28/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 4.50%  
Total Coupon [1],[4] 9.05%  
Maturity [1],[4] Jun. 28, 2028  
Principal [1],[4] $ 19,830,256  
Cost [1],[4] 19,684,547  
Fair Value [1],[4] $ 19,974,819  
% of Total Cash and Investment [1],[4] 1.85%  
Investment, Identifier [Axis]: Debt Investments Aerospace & Defense Engineering Research Holding LLC (Astrion, Inc.) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.51% Maturity 8/29/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.51%  
Maturity [1],[4],[6] Aug. 29, 2031  
Principal [1],[4],[6] $ 23,037,731  
Cost [1],[4],[6] 22,705,627  
Fair Value [1],[4],[6] $ 22,980,137  
% of Total Cash and Investment [1],[4],[6] 2.11%  
Investment, Identifier [Axis]: Debt Investments Aerospace & Defense Peraton Corp. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 3.85% Total Coupon 9.21% Maturity 2/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   3.85%
Total Coupon [2],[3]   9.21%
Maturity [2],[3]   Feb. 01, 2028
Principal [2],[3]   $ 1,366,733
Cost [2],[3]   1,339,870
Fair Value [2],[3]   $ 1,371,858
% of Total Cash and Investment [2],[3]   0.33%
Investment, Identifier [Axis]: Debt Investments Aerospace & Defense Peraton Corp.Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 3.75% Total Coupon 8.21% Maturity 2/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 3.75%  
Total Coupon [1],[4] 8.21%  
Maturity [1],[4] Feb. 01, 2028  
Principal [1],[4] $ 1,352,374  
Cost [1],[4] 1,332,242  
Fair Value [1],[4] $ 1,261,792  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Aerospace & Defense Skydio, Inc Instrument First Lien Delayed Draw Term Loan A Ref SOFR(M) Spread 2.75% Cash + 2.75% PIK Total Coupon 10.2% Maturity 12/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 2.50%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[7] 2.75%  
Interest Rate, Cash [1],[4],[6],[7] 2.75%  
Total Coupon [1],[4],[6],[7] 10.02%  
Maturity [1],[4],[6],[7] Dec. 04, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (36,925)  
Fair Value [1],[4],[6],[7] $ (37,500)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Aerospace & Defense Skydio, Inc Instrument First Lien Delayed Draw Term Loan B Ref SOFR(M) Spread 2.75% Cash + 2.75% PIK Total Coupon 10.2% Maturity 12/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 2.50%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[7] 2.75%  
Interest Rate, Cash [1],[4],[6],[7] 2.75%  
Total Coupon [1],[4],[6],[7] 10.02%  
Maturity [1],[4],[6],[7] Dec. 04, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (36,925)  
Fair Value [1],[4],[6],[7] $ (37,500)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Aerospace & Defense Skydio, Inc Instrument First Lien Term Loan Ref SOFR(M) Spread 2.75% Cash + 2.75% PIK Total Coupon 10.2% Maturity 12/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 2.50%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 2.75%  
Interest Rate, Cash [1],[4],[6] 2.75%  
Total Coupon [1],[4],[6] 10.02%  
Maturity [1],[4],[6] Dec. 04, 2029  
Principal [1],[4],[6] $ 7,500,000  
Cost [1],[4],[6] 7,426,150  
Fair Value [1],[4],[6] $ 7,425,000  
% of Total Cash and Investment [1],[4],[6] 0.69%  
Investment, Identifier [Axis]: Debt Investments Aerospace and Defense Signia Aerospace LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.50% Spread 3.00% Total Coupon 7.40% Maturity 11/21/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[7] 0.50%  
Spread [1],[4],[7] 3.00%  
Total Coupon [1],[4],[7] 7.40%  
Maturity [1],[4],[7] Nov. 21, 2031  
Principal [1],[4],[7] $ 0  
Cost [1],[4],[7] (288)  
Fair Value [1],[4],[7] $ 217  
% of Total Cash and Investment [1],[4],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Aerospace and Defense Signia Aerospace LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 3.00% Total Coupon 7.40% Maturity 11/21/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.40%  
Maturity [1],[4] Nov. 21, 2031  
Principal [1],[4] $ 1,388,260  
Cost [1],[4] 1,384,807  
Fair Value [1],[4] $ 1,390,870  
% of Total Cash and Investment [1],[4] 0.13%  
Investment, Identifier [Axis]: Debt Investments Automobiles Wand Newco 3, Inc. (aka Caliber Collision) Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 3.25% Total Coupon 7.61% Maturity 1/30/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 1.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Jan. 30, 2031  
Principal [1],[4] $ 1,380,008  
Cost [1],[4] 1,377,872  
Fair Value [1],[4] $ 1,387,377  
% of Total Cash and Investment [1],[4] 0.13%  
Investment, Identifier [Axis]: Debt Investments Beverages Triton Water Holdings Inc Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.51% Total Coupon 7.84% Maturity 3/31/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.51%  
Total Coupon [1],[4] 7.84%  
Maturity [1],[4] Mar. 31, 2028  
Principal [1],[4] $ 827,856  
Cost [1],[4] 827,701  
Fair Value [1],[4] $ 835,414  
% of Total Cash and Investment [1],[4] 0.08%  
Investment, Identifier [Axis]: Debt Investments Building Products    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 22,870,393  
Fair Value [1],[4] $ 23,147,983  
% of Total Cash and Investment [1],[4] 2.14%  
Investment, Identifier [Axis]: Debt Investments Building Products Air Distribution Technologies Inc Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 6.00% Total Coupon 10.55% Maturity 8/1/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.00%  
Total Coupon [1],[4],[6] 10.55%  
Maturity [1],[4],[6] Aug. 01, 2030  
Principal [1],[4],[6] $ 9,721,886  
Cost [1],[4],[6] 9,541,026  
Fair Value [1],[4],[6] $ 9,605,223  
% of Total Cash and Investment [1],[4],[6] 0.89%  
Investment, Identifier [Axis]: Debt Investments Building Products Trulite Holding Corp. Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.59% Maturity 2/22/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.00%  
Total Coupon [1],[4],[6] 10.59%  
Maturity [1],[4],[6] Feb. 22, 2030  
Principal [1],[4],[6] $ 10,235,988  
Cost [1],[4],[6] 10,059,052  
Fair Value [1],[4],[6] $ 10,223,193  
% of Total Cash and Investment [1],[4],[6] 0.94%  
Investment, Identifier [Axis]: Debt Investments Building Products Wilsonart LLC Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.25% Total Coupon 8.58% Maturity 7/25/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 4.25%  
Total Coupon [1],[4] 8.58%  
Maturity [1],[4] Jul. 25, 2031  
Principal [1],[4] $ 3,307,363  
Cost [1],[4] 3,270,315  
Fair Value [1],[4] $ 3,319,567  
% of Total Cash and Investment [1],[4] 0.31%  
Investment, Identifier [Axis]: Debt Investments Capital Markets    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 13,011,607  
Fair Value [1],[4] $ 13,239,173  
% of Total Cash and Investment [1],[4] 1.22%  
Investment, Identifier [Axis]: Debt Investments Capital Markets BCPE Pequod Buyer Inc. (Envestnet Inc.) Instrument First Lien Term Loan Ref SOFR(M) Spread 3.50% Total Coupon 7.86% Maturity 9/19/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.86%  
Maturity [1],[4] Sep. 19, 2031  
Principal [1],[4] $ 453,000  
Cost [1],[4] 450,735  
Fair Value [1],[4] $ 457,288  
% of Total Cash and Investment [1],[4] 0.04%  
Investment, Identifier [Axis]: Debt Investments Capital Markets Focus Financial Partners, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 7.61% Maturity 9/10/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Sep. 10, 2031  
Principal [1],[4] $ 0  
Cost [1],[4] 313  
Fair Value [1],[4] $ 2,491  
% of Total Cash and Investment [1],[4] 0.00%  
Investment, Identifier [Axis]: Debt Investments Capital Markets Focus Financial Partners, LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 61% Maturity 9/10/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Sep. 10, 2031  
Principal [1],[4] $ 2,222,733  
Cost [1],[4] 2,222,554  
Fair Value [1],[4] $ 2,245,927  
% of Total Cash and Investment [1],[4] 0.21%  
Investment, Identifier [Axis]: Debt Investments Capital Markets Grant Thornton Advisors LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 7.61% Maturity 6/2/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Jun. 02, 2031  
Principal [1],[4] $ 827,925  
Cost [1],[4] 831,160  
Fair Value [1],[4] $ 829,142  
% of Total Cash and Investment [1],[4] 0.08%  
Investment, Identifier [Axis]: Debt Investments Capital Markets Grant Thornton Advisors LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 7.61% Maturity 6/2/2031 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Jun. 02, 2031  
Principal [1],[4] $ 286,474  
Cost [1],[4] 286,474  
Fair Value [1],[4] $ 286,895  
% of Total Cash and Investment [1],[4] 0.03%  
Investment, Identifier [Axis]: Debt Investments Capital Markets Grant Thornton Advisors LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 7.61% Maturity 6/2/2031 Two    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Jun. 02, 2031  
Principal [1],[4] $ 0  
Cost [1],[4] 0  
Fair Value [1],[4] $ 51  
% of Total Cash and Investment [1],[4] 0.00%  
Investment, Identifier [Axis]: Debt Investments Capital Markets Learning Care Group (US) No. 2 Inc. Instrument First Lien Initial Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.00% Total Coupon 8.33% Maturity 8/11/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.00%  
Total Coupon [1],[4] 8.33%  
Maturity [1],[4] Aug. 11, 2028  
Principal [1],[4] $ 29,626  
Cost [1],[4] 29,303  
Fair Value [1],[4] $ 29,959  
% of Total Cash and Investment [1],[4] 0.00%  
Investment, Identifier [Axis]: Debt Investments Capital Markets Learning Care Group (US) No. 2 Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.75% Total Coupon 10.11% Maturity 8/11/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.75%
Total Coupon [2],[3]   10.11%
Maturity [2],[3]   Aug. 11, 2028
Principal [2],[3]   $ 29,925
Cost [2],[3]   29,509
Fair Value [2],[3]   $ 30,149
% of Total Cash and Investment [2],[3]   0.01%
Investment, Identifier [Axis]: Debt Investments Capital Markets OVG Business Services LLC (Oak View) Instrument First Lien Term Loan Ref SOFR(M) Spread 3.00% Total Coupon 7.36% Maturity 6/15/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.36%  
Maturity [1],[4] Jun. 15, 2031  
Principal [1],[4] $ 498,750  
Cost [1],[4] 498,145  
Fair Value [1],[4] $ 500,620  
% of Total Cash and Investment [1],[4] 0.05%  
Investment, Identifier [Axis]: Debt Investments Capital Markets PMA Parent Holdings, LLC Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.58% Maturity 1/31/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.58%  
Maturity [1],[4],[6],[7] Jan. 31, 2031  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (22,066)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Capital Markets PMA Parent Holdings, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.58% Maturity 1/31/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.58%  
Maturity [1],[4],[6] Jan. 31, 2031  
Principal [1],[4],[6] $ 8,869,062  
Cost [1],[4],[6] 8,714,989  
Fair Value [1],[4],[6] $ 8,886,800  
% of Total Cash and Investment [1],[4],[6] 0.81%  
Investment, Identifier [Axis]: Debt Investments Chemicals    
Schedule Of Investments [Line Items]    
Cost $ 9,909,716 [1],[4] $ 2,587,625 [2],[3]
Fair Value $ 10,056,202 [1],[4] $ 2,659,021 [2],[3]
% of Total Cash and Investment 0.93% [1],[4] 0.63% [2],[3]
Investment, Identifier [Axis]: Debt Investments Chemicals Advancion (f/k/a Aruba Investments Holdings, LLC) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.10% Total Coupon 8.46% Maturity 11/24/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.10%  
Total Coupon [1],[4] 8.46%  
Maturity [1],[4] Nov. 24, 2027  
Principal [1],[4] $ 1,243,573  
Cost [1],[4] 1,238,142  
Fair Value [1],[4] $ 1,249,791  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Chemicals CP Iris Holdco I, Inc Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.50% Total Coupon 7.86% Maturity 9/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.86%  
Maturity [1],[4] Sep. 21, 2028  
Principal [1],[4] $ 1,243,606  
Cost [1],[4] 1,244,991  
Fair Value [1],[4] $ 1,252,355  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Chemicals Discovery Purchaser Corporation Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.38% Total Coupon 8.95% Maturity 10/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.38%  
Total Coupon [1],[4] 8.95%  
Maturity [1],[4] Oct. 04, 2029  
Principal [1],[4] $ 1,494,518  
Cost [1],[4] 1,446,957  
Fair Value [1],[4] $ 1,505,450  
% of Total Cash and Investment [1],[4] 0.14%  
Investment, Identifier [Axis]: Debt Investments Chemicals Discovery Purchaser Corporation Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.38% Total Coupon 9.77% Maturity 10/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.38%
Total Coupon [2],[3]   9.77%
Maturity [2],[3]   Oct. 04, 2029
Principal [2],[3]   $ 782,115
Cost [2],[3]   729,370
Fair Value [2],[3]   $ 773,598
% of Total Cash and Investment [2],[3]   0.18%
Investment, Identifier [Axis]: Debt Investments Chemicals LSF11 A5 Holdco LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.61% Total Coupon 7.97% Maturity 10/15/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.61%  
Total Coupon [1],[4] 7.97%  
Maturity [1],[4] Oct. 15, 2028  
Principal [1],[4] $ 997,436  
Cost [1],[4] 998,635  
Fair Value [1],[4] $ 1,004,827  
% of Total Cash and Investment [1],[4] 0.09%  
Investment, Identifier [Axis]: Debt Investments Chemicals Momentive Performance Materials, Inc. Instrument First Lien Term Loan Ref SOFR(M) Spread 4.00% Total Coupon 8.36% Maturity 3/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.00%  
Spread [1],[4],[6] 4.00%  
Total Coupon [1],[4],[6] 8.36%  
Maturity [1],[4],[6] Mar. 22, 2028  
Principal [1],[4],[6] $ 1,232,056  
Cost [1],[4],[6] 1,213,886  
Fair Value [1],[4],[6] $ 1,247,457  
% of Total Cash and Investment [1],[4],[6] 0.12%  
Investment, Identifier [Axis]: Debt Investments Chemicals Momentive Performance Materials, Inc. Instrument First Lien Term Loan Ref SOFR(M) Spread 4.50% Total Coupon 9.86% Maturity 3/22/2028    
Schedule Of Investments [Line Items]    
Spread [2],[3]   4.50%
Total Coupon [2],[3]   9.86%
Maturity [2],[3]   Mar. 22, 2028
Principal [2],[3]   $ 798,963
Cost [2],[3]   771,669
Fair Value [2],[3]   $ 775,497
% of Total Cash and Investment [2],[3]   0.18%
Investment, Identifier [Axis]: Debt Investments Chemicals Olympus Water US Holding Corporation (Solenis) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.00% Total Coupon 7.34% Maturity 6/9/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.34%  
Maturity [1],[4] Jun. 09, 2031  
Principal [1],[4] $ 1,700,241  
Cost [1],[4] 1,706,017  
Fair Value [1],[4] $ 1,707,680  
% of Total Cash and Investment [1],[4] 0.16%  
Investment, Identifier [Axis]: Debt Investments Chemicals W. R. Grace Holdings LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 3.75% Total Coupon 7.58% Maturity 9/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.75%  
Total Coupon [1],[4] 7.58%  
Maturity [1],[4] Sep. 22, 2028  
Principal [1],[4] $ 2,068,474  
Cost [1],[4] 2,061,088  
Fair Value [1],[4] $ 2,088,642  
% of Total Cash and Investment [1],[4] 0.18%  
Investment, Identifier [Axis]: Debt Investments Chemicals W. R. Grace Holdings LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.01% Total Coupon 9.36% Maturity 9/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.01%
Total Coupon [2],[3]   9.36%
Maturity [2],[3]   Sep. 22, 2028
Principal [2],[3]   $ 1,104,695
Cost [2],[3]   1,086,586
Fair Value [2],[3]   $ 1,109,926
% of Total Cash and Investment [2],[3]   0.27%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 23,048,298
Fair Value [2],[3]   $ 23,217,331
% of Total Cash and Investment [2],[3]   5.51%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Allied Universal Holdco LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.85% Total Coupon 8.21% Maturity 5/12/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.85%  
Total Coupon [1],[4] 8.21%  
Maturity [1],[4] May 12, 2028  
Principal [1],[4] $ 1,004,807  
Cost [1],[4] 996,104  
Fair Value [1],[4] $ 1,009,339  
% of Total Cash and Investment [1],[4] 0.09%  
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Apollo Group Holdco, LLC (Topsail) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.33% Maturity 12/26/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.00%  
Total Coupon [1],[4],[6] 10.33%  
Maturity [1],[4],[6] Dec. 26, 2030  
Principal [1],[4],[6] $ 16,292,109  
Cost [1],[4],[6] 15,967,158  
Fair Value [1],[4],[6] $ 15,966,267  
% of Total Cash and Investment [1],[4],[6] 1.48%  
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Creative Artists Agency, LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 3.50% Total Coupon 8.86% Maturity 11/27/2026    
Schedule Of Investments [Line Items]    
Spread [2],[3]   3.50%
Total Coupon [2],[3]   8.86%
Maturity [2],[3]   Nov. 27, 2026
Principal [2],[3]   $ 1,290,254
Cost [2],[3]   1,281,980
Fair Value [2],[3]   $ 1,297,196
% of Total Cash and Investment [2],[3]   0.31%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Dealer Tire, LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 4.50% Total Coupon 9.86% Maturity 12/12/2025    
Schedule Of Investments [Line Items]    
Spread [2],[3]   4.50%
Total Coupon [2],[3]   9.86%
Maturity [2],[3]   Dec. 12, 2025
Principal [2],[3]   $ 1,252,512
Cost [2],[3]   1,223,249
Fair Value [2],[3]   $ 1,258,386
% of Total Cash and Investment [2],[3]   0.30%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Ensemble RCM, LLC Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.85% Total Coupon 9.23% Maturity 8/3/2026    
Schedule Of Investments [Line Items]    
Spread [2],[3]   3.85%
Total Coupon [2],[3]   9.23%
Maturity [2],[3]   Aug. 03, 2026
Principal [2],[3]   $ 1,121,620
Cost [2],[3]   1,112,772
Fair Value [2],[3]   $ 1,125,024
% of Total Cash and Investment [2],[3]   0.27%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Modigent, LLC (fka Pueblo Mechanical and Controls, LLC) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 11.60% Maturity 8/23/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.25%
Total Coupon [2],[3],[5]   11.60%
Maturity [2],[3],[5]   Aug. 23, 2028
Principal [2],[3],[5]   $ 1,002,215
Cost [2],[3],[5]   982,105
Fair Value [2],[3],[5]   $ 986,480
% of Total Cash and Investment [2],[3],[5]   0.23%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Modigent, LLC (fka Pueblo Mechanical and Controls, LLC) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 11.60% Maturity 9/19/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.25%
Total Coupon [2],[3],[5]   11.60%
Maturity [2],[3],[5]   Sep. 19, 2028
Principal [2],[3],[5]   $ 2,490,277
Cost [2],[3],[5]   2,368,570
Fair Value [2],[3],[5]   $ 2,367,136
% of Total Cash and Investment [2],[3],[5]   0.56%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Modigent, LLC (fka Pueblo Mechanical and Controls, LLC) Instrument First Lien Revolver PRIME Floor 0.75% Spread 5.25% Total Coupon 13.75% Maturity 8/23/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.25%
Total Coupon [2],[3],[5]   13.75%
Maturity [2],[3],[5]   Aug. 23, 2027
Principal [2],[3],[5]   $ 340,497
Cost [2],[3],[5]   317,954
Fair Value [2],[3],[5]   $ 324,868
% of Total Cash and Investment [2],[3],[5]   0.08%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Modigent, LLC (fka Pueblo Mechanical and Controls, LLC) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 11.63% Maturity 8/23/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.25%
Total Coupon [2],[3],[5]   11.63%
Maturity [2],[3],[5]   Aug. 23, 2028
Principal [2],[3],[5]   $ 1,444,982
Cost [2],[3],[5]   1,417,028
Fair Value [2],[3],[5]   $ 1,422,296
% of Total Cash and Investment [2],[3],[5]   0.34%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies TA TT Buyer, LLC (TouchTunes, Octave Music) Instrument First Lien Term Loan SOFR(Q) Floor 0.50% Spread 5.25% Total Coupon 10.35% Maturity 3/25/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   5.25%
Total Coupon [2],[3]   10.35%
Maturity [2],[3]   Mar. 25, 2029
Principal [2],[3]   $ 12,093,753
Cost [2],[3]   11,972,815
Fair Value [2],[3]   $ 12,033,285
% of Total Cash and Investment [2],[3]   2.85%
Investment, Identifier [Axis]: Debt Investments Commercial Services & Supplies Verscend Holding Corp. Instrument First Lien Term Loan Ref SOFR(M) Spread 4.11% Total Coupon 9.47% Maturity 8/27/2025    
Schedule Of Investments [Line Items]    
Spread [2],[3]   4.11%
Total Coupon [2],[3]   9.47%
Maturity [2],[3]   Aug. 27, 2025
Principal [2],[3]   $ 2,391,706
Cost [2],[3]   2,371,825
Fair Value [2],[3]   $ 2,402,660
% of Total Cash and Investment [2],[3]   0.57%
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 46,105,187  
Fair Value [1],[4] $ 46,256,931  
% of Total Cash and Investment [1],[4] 4.28%  
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies Creative Artists Agency, LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 2.75% Total Coupon 7.11% Maturity 10/1/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.11%  
Maturity [1],[4] Oct. 01, 2031  
Principal [1],[4] $ 1,490,577  
Cost [1],[4] 1,484,293  
Fair Value [1],[4] $ 1,499,580  
% of Total Cash and Investment [1],[4] 0.14%  
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies Dealer Tire Financial, LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 3.50% Total Coupon 7.86% Maturity 7/2/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.86%  
Maturity [1],[4] Jul. 02, 2031  
Principal [1],[4] $ 2,490,008  
Cost [1],[4] 2,469,138  
Fair Value [1],[4] $ 2,498,574  
% of Total Cash and Investment [1],[4] 0.23%  
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies Ensemble RCM, LLC Instrument First Lien Term Loan B Ref SOFR(Q) Spread 3.00% Total Coupon 7.59% Maturity 8/3/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.59%  
Maturity [1],[4] Aug. 03, 2029  
Principal [1],[4] $ 2,236,608  
Cost [1],[4] 2,239,831  
Fair Value [1],[4] $ 2,255,765  
% of Total Cash and Investment [1],[4] 0.21%  
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies Madison Safety & Flow LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 7.61% Maturity 9/26/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Sep. 26, 2031  
Principal [1],[4] $ 460,845  
Cost [1],[4] 459,730  
Fair Value [1],[4] $ 464,806  
% of Total Cash and Investment [1],[4] 0.04%  
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies Modigent, LLC (Pueblo) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.50% Total Coupon 10.83% Maturity 8/23/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 6.50%  
Total Coupon [1],[4],[6] 10.83%  
Maturity [1],[4],[6] Aug. 23, 2028  
Principal [1],[4],[6] $ 2,465,375  
Cost [1],[4],[6] 2,370,235  
Fair Value [1],[4],[6] $ 2,364,438  
% of Total Cash and Investment [1],[4],[6] 0.22%  
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies Modigent, LLC (Pueblo) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.50% Total Coupon 10.83% Maturity 8/23/2028 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 6.50%  
Total Coupon [1],[4],[6] 10.83%  
Maturity [1],[4],[6] Aug. 23, 2028  
Principal [1],[4],[6] $ 992,123  
Cost [1],[4],[6] 976,512  
Fair Value [1],[4],[6] $ 979,315  
% of Total Cash and Investment [1],[4],[6] 0.09%  
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies Modigent, LLC (Pueblo) Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 6.50% Total Coupon 10.83% Maturity 8/23/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 6.50%  
Total Coupon [1],[4],[6] 10.83%  
Maturity [1],[4],[6] Aug. 23, 2027  
Principal [1],[4],[6] $ 859,755  
Cost [1],[4],[6] 843,415  
Fair Value [1],[4],[6] $ 847,906  
% of Total Cash and Investment [1],[4],[6] 0.08%  
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies Modigent, LLC (Pueblo) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.50% Total Coupon 10.83% Maturity 8/23/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 6.50%  
Total Coupon [1],[4],[6] 10.83%  
Maturity [1],[4],[6] Aug. 23, 2028  
Principal [1],[4],[6] $ 1,430,349  
Cost [1],[4],[6] 1,408,653  
Fair Value [1],[4],[6] $ 1,411,883  
% of Total Cash and Investment [1],[4],[6] 0.13%  
Investment, Identifier [Axis]: Debt Investments Commercial Services and Supplies TA TT Buyer, LLC (TouchTunes, Octave Music) Instrument First Lien Tranche B-1 Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.75% Total Coupon 9.08% Maturity 4/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.75%  
Total Coupon [1],[4] 9.08%  
Maturity [1],[4] Apr. 01, 2029  
Principal [1],[4] $ 16,887,287  
Cost [1],[4] 16,890,118  
Fair Value [1],[4] $ 16,959,058  
% of Total Cash and Investment [1],[4] 1.57%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering    
Schedule Of Investments [Line Items]    
Cost $ 58,753,125 [1],[4] $ 22,157,640 [2],[3],[5]
Fair Value $ 59,105,457 [1],[4] $ 22,365,800 [2],[3],[5]
% of Total Cash and Investment 5.47% [1],[4] 5.31% [2],[3],[5]
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Brand safway (Brand Industrial Services) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.50% Total Coupon 9.07% Maturity 8/1/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.50%  
Total Coupon [1],[4] 9.07%  
Maturity [1],[4] Aug. 01, 2030  
Principal [1],[4] $ 3,391,195  
Cost [1],[4] 3,384,435  
Fair Value [1],[4] $ 3,306,737  
% of Total Cash and Investment [1],[4] 0.31%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Compsych Holdings Corp Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 075% Spread 4.75% Total Coupon 9.38% Maturity 7/22/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 4.75%  
Total Coupon [1],[4],[6],[7] 9.38%  
Maturity [1],[4],[6],[7] Jul. 22, 2031  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (8,748)  
Fair Value [1],[4],[6],[7] $ (11,213)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Compsych Holdings Corp Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.75% Total Coupon 9.38% Maturity 7/22/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 4.75%  
Total Coupon [1],[4],[6] 9.38%  
Maturity [1],[4],[6] Jul. 22, 2031  
Principal [1],[4],[6] $ 13,056,670  
Cost [1],[4],[6] 12,995,550  
Fair Value [1],[4],[6] $ 13,017,500  
% of Total Cash and Investment [1],[4],[6] 1.19%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Geo Parent Corporation Instrument First Lien Term Loan Ref SOFR(S) Spread 5.35% Total Coupon 10.80% Maturity 12/19/2025    
Schedule Of Investments [Line Items]    
Spread [2],[3]   5.35%
Total Coupon [2],[3]   10.80%
Maturity [2],[3]   Dec. 19, 2025
Principal [2],[3]   $ 6,921,741
Cost [2],[3]   6,855,307
Fair Value [2],[3]   $ 6,904,437
% of Total Cash and Investment [2],[3]   1.63%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Groupe Solmax Inc. (Canada), Solmax U.S. LP Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 4.86% Total Coupon 9.22% Maturity 6/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 1.00%  
Spread [1],[4] 4.86%  
Total Coupon [1],[4] 9.22%  
Maturity [1],[4] Jun. 27, 2028  
Principal [1],[4] $ 2,395,034  
Cost [1],[4] 2,308,018  
Fair Value [1],[4] $ 2,212,029  
% of Total Cash and Investment [1],[4] 0.20%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Groupe Solmax Inc. (Canada), Solmax U.S. LP Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.01% Total Coupon 10.36% Maturity 5/29/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[8]   1.00%
Spread [2],[3],[8]   5.01%
Total Coupon [2],[3],[8]   10.36%
Maturity [2],[3],[8]   May 29, 2028
Principal [2],[3],[8]   $ 2,455,919
Cost [2],[3],[8]   2,340,440
Fair Value [2],[3],[8]   $ 2,365,357
% of Total Cash and Investment [2],[3],[8]   0.56%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering LJ Avalon Holdings, LLC (Ardurra) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.51% Maturity 2/1/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.51%  
Maturity [1],[4],[6] Feb. 01, 2030  
Principal [1],[4],[6] $ 305,228  
Cost [1],[4],[6] 298,567  
Fair Value [1],[4],[6] $ 306,449  
% of Total Cash and Investment [1],[4],[6] 0.03%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering LJ Avalon Holdings, LLC (Ardurra) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.51% Maturity 2/1/2030 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.51%  
Maturity [1],[4],[6],[7] Feb. 01, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (10,569)  
Fair Value [1],[4],[6],[7] $ 9,198  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering LJ Avalon Holdings, LLC (Ardurra) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.65% Total Coupon 12.03% Maturity 2/1/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.65%
Total Coupon [2],[3],[5]   12.03%
Maturity [2],[3],[5]   Feb. 01, 2030
Principal [2],[3],[5]   $ 119,916
Cost [2],[3],[5]   114,341
Fair Value [2],[3],[5]   $ 115,305
% of Total Cash and Investment [2],[3],[5]   0.03%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering LJ Avalon Holdings, LLC (Ardurra) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.53% Maturity 2/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.53%  
Maturity [1],[4],[6],[7] Feb. 01, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (2,513)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering LJ Avalon Holdings, LLC (Ardurra) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 6.65% Total Coupon 12.04% Maturity 2/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   6.65%
Total Coupon [2],[3],[5],[9]   12.04%
Maturity [2],[3],[5],[9]   Feb. 01, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (3,129)
Fair Value [2],[3],[5],[9]   $ (1,846)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering LJ Avalon Holdings, LLC (Ardurra) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.53% Maturity 2/1/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.53%  
Maturity [1],[4],[6] Feb. 01, 2030  
Principal [1],[4],[6] $ 745,634  
Cost [1],[4],[6] 729,388  
Fair Value [1],[4],[6] $ 748,617  
% of Total Cash and Investment [1],[4],[6] 0.07%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering LJ Avalon Holdings, LLC (Ardurra) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.65% Total Coupon 12.04% Maturity 2/1/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.65%
Total Coupon [2],[3],[5]   12.04%
Maturity [2],[3],[5]   Feb. 01, 2030
Principal [2],[3],[5]   $ 753,223
Cost [2],[3],[5]   733,576
Fair Value [2],[3],[5]   $ 741,925
% of Total Cash and Investment [2],[3],[5]   0.18%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Legence Holdings LLC (Refficiency) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 3.50% Total Coupon 8.96% Maturity 12/16/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   3.50%
Total Coupon [2],[3]   8.96%
Maturity [2],[3]   Dec. 16, 2027
Principal [2],[3]   $ 250,718
Cost [2],[3]   249,011
Fair Value [2],[3]   $ 251,371
% of Total Cash and Investment [2],[3]   0.06%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Legence Holdings LLC (Refficiency) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 3.60% Total Coupon 7.96% Maturity 12/16/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 3.60%  
Total Coupon [1],[4] 7.96%  
Maturity [1],[4] Dec. 16, 2027  
Principal [1],[4] $ 931,387  
Cost [1],[4] 930,135  
Fair Value [1],[4] $ 936,510  
% of Total Cash and Investment [1],[4] 0.09%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Northstar Group Services, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.61% Total Coupon 10.97% Maturity 11/12/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   5.61%
Total Coupon [2],[3]   10.97%
Maturity [2],[3]   Nov. 12, 2026
Principal [2],[3]   $ 2,385,620
Cost [2],[3]   2,357,894
Fair Value [2],[3]   $ 2,384,129
% of Total Cash and Investment [2],[3]   0.57%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Northstar Group Services, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.61% Total Coupon 10.97% Maturity 11/9/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   5.61%
Total Coupon [2],[3]   10.97%
Maturity [2],[3]   Nov. 09, 2026
Principal [2],[3]   $ 5,410,295
Cost [2],[3]   5,327,025
Fair Value [2],[3]   $ 5,406,914
% of Total Cash and Investment [2],[3]   1.28%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering PlayPower, Inc Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.58% Maturity 8/28/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.58%  
Maturity [1],[4],[6],[7] Aug. 28, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (29,270)  
Fair Value [1],[4],[6],[7] $ (27,329)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering PlayPower, Inc Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.58% Maturity 8/28/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.58%  
Maturity [1],[4],[6] Aug. 28, 2030  
Principal [1],[4],[6] $ 13,662,118  
Cost [1],[4],[6] 13,468,972  
Fair Value [1],[4],[6] $ 13,593,807  
% of Total Cash and Investment [1],[4],[6] 1.25%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Titan Home Improvement, LLC (Renuity) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.75% Total Coupon 10.26% Maturity 5/31/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.75%  
Total Coupon [1],[4],[6],[7] 10.26%  
Maturity [1],[4],[6],[7] May 31, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (16,325)  
Fair Value [1],[4],[6],[7] $ 1,810  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Titan Home Improvement, LLC (Renuity) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 5.75% Total Coupon 10.26% Maturity 5/31/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.75%  
Total Coupon [1],[4],[6],[7] 10.26%  
Maturity [1],[4],[6],[7] May 31, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (27,196)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Titan Home Improvement, LLC (Renuity) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.75% Total Coupon 11.26% Maturity 5/31/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.75%  
Total Coupon [1],[4],[6] 10.26%  
Maturity [1],[4],[6] May 31, 2030  
Principal [1],[4],[6] $ 9,629,727  
Cost [1],[4],[6] 9,456,031  
Fair Value [1],[4],[6] $ 9,639,357  
% of Total Cash and Investment [1],[4],[6] 0.89%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 12.50% Maturity 9/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 12.50%  
Maturity [1],[4],[6] Sep. 04, 2029  
Principal [1],[4],[6] $ 3,527,190  
Cost [1],[4],[6] 3,361,890  
Fair Value [1],[4],[6] $ 3,415,570  
% of Total Cash and Investment [1],[4],[6] 0.32%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 9.36% Maturity 9/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.36%  
Maturity [1],[4],[6] Sep. 04, 2029  
Principal [1],[4],[6] $ 2,613,625  
Cost [1],[4],[6] 2,567,493  
Fair Value [1],[4],[6] $ 2,587,489  
% of Total Cash and Investment [1],[4],[6] 0.24%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 9.36% Maturity 9/4/2029 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.36%  
Maturity [1],[4],[6] Sep. 04, 2029  
Principal [1],[4],[6] $ 617,867  
Cost [1],[4],[6] 606,474  
Fair Value [1],[4],[6] $ 611,688  
% of Total Cash and Investment [1],[4],[6] 0.06%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 6.00% Total Coupon 11.36% 9/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.36%
Maturity [2],[3],[5]   Sep. 04, 2029
Principal [2],[3],[5]   $ 624,114
Cost [2],[3],[5]   553,957
Fair Value [2],[3],[5]   $ 611,633
% of Total Cash and Investment [2],[3],[5]   0.15%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 6.00% Total Coupon 11.36% Maturity 9/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.36%
Maturity [2],[3],[5]   Sep. 04, 2029
Fair Value [2],[3],[5]   $ (52,433)
% of Total Cash and Investment [2],[3],[5]   (0.01%)
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 9.36% Maturity 9/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.36%  
Maturity [1],[4],[6] Sep. 04, 2029  
Principal [1],[4],[6] $ 187,537  
Cost [1],[4],[6] 157,278  
Fair Value [1],[4],[6] $ 168,522  
% of Total Cash and Investment [1],[4],[6] 0.02%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 6.00% Total Coupon 11.36%, Maturity 9/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.36%
Maturity [2],[3],[5]   Sep. 04, 2029
Principal [2],[3],[5]   $ 27,849
Cost [2],[3],[5]   21,212
Fair Value [2],[3],[5]   $ 23,306
% of Total Cash and Investment [2],[3],[5]   0.01%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 9.36% Maturity 9/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.36%  
Maturity [1],[4],[6] Sep. 04, 2029  
Principal [1],[4],[6] $ 5,022,897  
Cost [1],[4],[6] 4,948,512  
Fair Value [1],[4],[6] $ 4,972,668  
% of Total Cash and Investment [1],[4],[6] 0.46%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 9.36% Maturity 9/4/2029 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.36%  
Maturity [1],[4],[6] Sep. 04, 2029  
Principal [1],[4],[6] $ 2,699,234  
Cost [1],[4],[6] 2,699,234  
Fair Value [1],[4],[6] $ 2,672,242  
% of Total Cash and Investment [1],[4],[6] 0.25%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 9.36% Maturity 9/4/2029 Two    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.36%  
Maturity [1],[4],[6] Sep. 04, 2029  
Principal [1],[4],[6] $ 953,339  
Cost [1],[4],[6] 935,769  
Fair Value [1],[4],[6] $ 943,806  
% of Total Cash and Investment [1],[4],[6] 0.09%  
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 6.00% Total Coupon 11.36% Maturity 9/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.36%
Maturity [2],[3],[5]   Sep. 04, 2029
Principal [2],[3],[5]   $ 2,726,499
Cost [2],[3],[5]   2,666,282
Fair Value [2],[3],[5]   $ 2,671,969
% of Total Cash and Investment [2],[3],[5]   0.63%
Investment, Identifier [Axis]: Debt Investments Construction & Engineering Vortex Companies, LLC1 Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 6.00% Total Coupon 11.36% Maturity 9/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.36%
Maturity [2],[3],[5]   Sep. 04, 2029
Principal [2],[3],[5]   $ 962,993
Cost [2],[3],[5]   941,724
Fair Value [2],[3],[5]   $ 943,733
% of Total Cash and Investment [2],[3],[5]   0.22%
Investment, Identifier [Axis]: Debt Investments Consumer Finance    
Schedule Of Investments [Line Items]    
Cost $ 6,751,276 [1],[4] $ 6,588,944 [2],[3]
Fair Value $ 6,718,911 [1],[4] $ 6,561,083 [2],[3]
% of Total Cash and Investment 0.62% [1],[4] 1.56% [2],[3]
Investment, Identifier [Axis]: Debt Investments Consumer Finance Freedom Financial Network Funding, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(S) Floor 1.00% Spread 9.00% Total Coupon 14.64% Maturity 9/21/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   9.00%
Total Coupon [2],[3],[5]   14.64%
Maturity [2],[3],[5]   Sep. 21, 2027
Principal [2],[3],[5]   $ 891,790
Cost [2],[3],[5]   875,151
Fair Value [2],[3],[5]   $ 860,577
% of Total Cash and Investment [2],[3],[5]   0.20%
Investment, Identifier [Axis]: Debt Investments Consumer Finance Freedom Financial Network Funding, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(S) Floor 1.00% Spread 9.25% Total Coupon 13.66% Maturity 9/21/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 9.25%  
Total Coupon [1],[4],[6] 13.66%  
Maturity [1],[4],[6] Sep. 21, 2027  
Principal [1],[4],[6] $ 869,495  
Cost [1],[4],[6] 857,642  
Fair Value [1],[4],[6] $ 847,758  
% of Total Cash and Investment [1],[4],[6] 0.08%  
Investment, Identifier [Axis]: Debt Investments Consumer Finance Freedom Financial Network Funding, LLC Instrument First Lien Term Loan Ref SOFR(S) Floor 1.00% Spread 9.00% Total Coupon 14.50% Maturity 9/21/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   9.00%
Total Coupon [2],[3],[5]   14.50%
Maturity [2],[3],[5]   Sep. 21, 2027
Principal [2],[3],[5]   $ 2,675,369
Cost [2],[3],[5]   2,625,454
Fair Value [2],[3],[5]   $ 2,581,731
% of Total Cash and Investment [2],[3],[5]   0.61%
Investment, Identifier [Axis]: Debt Investments Consumer Finance Freedom Financial Network Funding, LLC Instrument First Lien Term Loan Ref SOFR(S) Floor 1.00% Spread 9.25% Total Coupon 13.53% Maturity 9/21/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 9.25%  
Total Coupon [1],[4],[6] 13.53%  
Maturity [1],[4],[6] Sep. 21, 2027  
Principal [1],[4],[6] $ 2,608,485  
Cost [1],[4],[6] 2,572,925  
Fair Value [1],[4],[6] $ 2,543,273  
% of Total Cash and Investment [1],[4],[6] 0.24%  
Investment, Identifier [Axis]: Debt Investments Consumer Finance Lucky US BuyerCo, LLC (Global Payments) Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 7.50% Total Coupon 12.85% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   7.50%
Total Coupon [2],[3],[5],[9]   12.85%
Maturity [2],[3],[5],[9]   Mar. 30, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (10,789)
Fair Value [2],[3],[5],[9]   $ (7,290)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Consumer Finance Lucky US BuyerCo, LLC (Global Payments) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 7.50% Total Coupon 11.83% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 7.50%  
Total Coupon [1],[4],[6] 11.83%  
Maturity [1],[4],[6] Mar. 30, 2029  
Principal [1],[4],[6] $ 245,729  
Cost [1],[4],[6] 237,000  
Fair Value [1],[4],[6] $ 237,849  
% of Total Cash and Investment [1],[4],[6] 0.02%  
Investment, Identifier [Axis]: Debt Investments Consumer Finance Lucky US BuyerCo, LLC (Global Payments) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.50% Total Coupon 11.83% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 7.50%  
Total Coupon [1],[4],[6] 11.83%  
Maturity [1],[4],[6] Mar. 30, 2029  
Principal [1],[4],[6] $ 3,150,649  
Cost [1],[4],[6] 3,083,709  
Fair Value [1],[4],[6] $ 3,090,031  
% of Total Cash and Investment [1],[4],[6] 0.28%  
Investment, Identifier [Axis]: Debt Investments Consumer Finance Lucky US BuyerCo, LLC (Global Payments) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.50% Total Coupon 12.85% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.50%
Total Coupon [2],[3],[5]   12.85%
Maturity [2],[3],[5]   Mar. 30, 2029
Principal [2],[3],[5]   $ 3,182,717
Cost [2],[3],[5]   3,099,128
Fair Value [2],[3],[5]   $ 3,126,065
% of Total Cash and Investment [2],[3],[5]   0.75%
Investment, Identifier [Axis]: Debt Investments Containers & Packaging Charter Next Generation, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 3.75% Total Coupon 9.22% Maturity 12/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   3.75%
Total Coupon [2],[3]   9.22%
Maturity [2],[3]   Dec. 01, 2027
Principal [2],[3]   $ 1,760,674
Cost [2],[3]   1,719,640
Fair Value [2],[3]   $ 1,770,859
% of Total Cash and Investment [2],[3]   0.42%
Investment, Identifier [Axis]: Debt Investments Containers and Packaging Charter Next Generation, Inc. (fka Charter NEX US, Inc.) Instrument First Lien Term Loan Ref SOFR(M) Spread 3.00% Total Coupon 7.53% Maturity 12/1/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.53%  
Maturity [1],[4] Dec. 01, 2030  
Principal [1],[4] $ 5,396,046  
Cost [1],[4] 5,378,790  
Fair Value [1],[4] $ 5,431,903  
% of Total Cash and Investment [1],[4] 0.50%  
Investment, Identifier [Axis]: Debt Investments Diversified Consumer Services    
Schedule Of Investments [Line Items]    
Cost $ 5,763,595 [1],[4] $ 7,339,829 [2],[3]
Fair Value $ 5,796,288 [1],[4] $ 7,429,583 [2],[3]
% of Total Cash and Investment 0.54% [1],[4] 1.76% [2],[3]
Investment, Identifier [Axis]: Debt Investments Diversified Consumer Services Amentum Government Services Holdings LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 4.11% Total Coupon 9.47% Maturity 1/31/2027    
Schedule Of Investments [Line Items]    
Spread [2],[3]   4.11%
Total Coupon [2],[3]   9.47%
Maturity [2],[3]   Jan. 31, 2027
Principal [2],[3]   $ 982,862
Cost [2],[3]   966,087
Fair Value [2],[3]   $ 985,624
% of Total Cash and Investment [2],[3]   0.23%
Investment, Identifier [Axis]: Debt Investments Diversified Consumer Services Ascend Learning, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.60% Total Coupon 7.96% Maturity 12/11/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.60%  
Total Coupon [1],[4] 7.96%  
Maturity [1],[4] Dec. 11, 2028  
Principal [1],[4] $ 1,412,404  
Cost [1],[4] 1,379,990  
Fair Value [1],[4] $ 1,421,789  
% of Total Cash and Investment [1],[4] 0.13%  
Investment, Identifier [Axis]: Debt Investments Diversified Consumer Services Ascend Learning, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.60% Total Coupon 8.96% Maturity 12/10/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.60%
Total Coupon [2],[3]   8.96%
Maturity [2],[3]   Dec. 10, 2028
Principal [2],[3]   $ 1,105,323
Cost [2],[3]   1,065,905
Fair Value [2],[3]   $ 1,088,130
% of Total Cash and Investment [2],[3]   0.26%
Investment, Identifier [Axis]: Debt Investments Diversified Consumer Services Fusion Holding Corp. (Finalsite) Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 10.58% Maturity 9/15/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 6.25%  
Total Coupon [1],[4],[6],[7] 10.58%  
Maturity [1],[4],[6],[7] Sep. 15, 2027  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (4,514)  
Fair Value [1],[4],[6],[7] $ (5,085)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Consumer Services Fusion Holding Corp. (Finalsite) Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 11.72% Maturity 9/15/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   6.25%
Total Coupon [2],[3],[5],[9]   11.72%
Maturity [2],[3],[5],[9]   Sep. 15, 2027
Cost [2],[3],[5],[9]   $ (6,187)
Fair Value [2],[3],[5],[9]   $ (3,786)
Investment, Identifier [Axis]: Debt Investments Diversified Consumer Services Fusion Holding Corp. (Finalsite) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 6.25% Total Coupon 11.72% Maturity 9/14/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.25%
Total Coupon [2],[3],[5]   11.72%
Maturity [2],[3],[5]   Sep. 14, 2029
Principal [2],[3],[5]   $ 4,500,924
Cost [2],[3],[5]   4,418,385
Fair Value [2],[3],[5]   $ 4,459,966
% of Total Cash and Investment [2],[3],[5]   1.06%
Investment, Identifier [Axis]: Debt Investments Diversified Consumer Services Fusion Holding Corp. (Finalsite) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 10.58% Maturity 9/14/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 6.25%  
Total Coupon [1],[4],[6] 10.58%  
Maturity [1],[4],[6] Sep. 14, 2029  
Principal [1],[4],[6] $ 4,455,460  
Cost [1],[4],[6] 4,388,119  
Fair Value [1],[4],[6] $ 4,379,584  
% of Total Cash and Investment [1],[4],[6] 0.41%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services    
Schedule Of Investments [Line Items]    
Cost $ 127,383,671 [1],[4] $ 23,259,486 [2],[3],[5]
Fair Value $ 127,902,395 [1],[4] $ 24,175,667 [2],[3],[5]
% of Total Cash and Investment 11.83% [1],[4] 5.74% [2],[3],[5]
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accordion Partners LLC Instrument First Lien Delayed Draw Term Loan A Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 11.60% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.25%
Total Coupon [2],[3],[5]   11.60%
Maturity [2],[3],[5]   Aug. 29, 2029
Principal [2],[3],[5]   $ 185,198
Cost [2],[3],[5]   173,358
Fair Value [2],[3],[5]   $ 187,050
% of Total Cash and Investment [2],[3],[5]   0.04%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accordion Partners LLC Instrument First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 0.75% Spread 6.00% Total Coupon 11.38% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.38%
Maturity [2],[3],[5]   Aug. 29, 2029
Principal [2],[3],[5]   $ 346,048
Cost [2],[3],[5]   323,925
Fair Value [2],[3],[5]   $ 349,508
% of Total Cash and Investment [2],[3],[5]   0.08%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accordion Partners LLC Instrument First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 11.63% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.25%
Total Coupon [2],[3],[5]   11.63%
Maturity [2],[3],[5]   Aug. 29, 2029
Principal [2],[3],[5]   $ 1,394,863
Cost [2],[3],[5]   1,305,688
Fair Value [2],[3],[5]   $ 1,438,452
% of Total Cash and Investment [2],[3],[5]   0.34%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accordion Partners LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.58% Maturity 11/15/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.58%  
Maturity [1],[4],[6],[7] Nov. 15, 2031  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (31,197)  
Fair Value [1],[4],[6],[7] $ (15,897)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accordion Partners LLC Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.58% Maturity 11/15/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.58%  
Maturity [1],[4],[6],[7] Nov. 15, 2031  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (10,399)  
Fair Value [1],[4],[6],[7] $ (10,598)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accordion Partners LLC Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 6.00% Total Coupon 11.35% Maturity 8/31/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   6.00%
Total Coupon [2],[3],[5],[9]   11.35%
Maturity [2],[3],[5],[9]   Aug. 31, 2028
Principal [2],[3],[5],[9]   $ 1
Cost [2],[3],[5],[9]   (4,077)
Fair Value [2],[3],[5],[9]   $ 1
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accordion Partners LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.58% Maturity 11/15/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.58%  
Maturity [1],[4],[6] Nov. 15, 2031  
Principal [1],[4],[6] $ 19,076,087  
Cost [1],[4],[6] 18,982,496  
Fair Value [1],[4],[6] $ 18,980,707  
% of Total Cash and Investment [1],[4],[6] 1.76%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accordion Partners LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.00% Total Coupon 11.35% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.35%
Maturity [2],[3],[5]   Aug. 29, 2029
Principal [2],[3],[5]   $ 2,567,486
Cost [2],[3],[5]   2,508,415
Fair Value [2],[3],[5]   $ 2,593,161
% of Total Cash and Investment [2],[3],[5]   0.62%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accordion Partners LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.50% Total Coupon 11.88% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.50%
Total Coupon [2],[3],[5]   11.88%
Maturity [2],[3],[5]   Aug. 29, 2029
Principal [2],[3],[5]   $ 3,198,468
Cost [2],[3],[5]   3,124,880
Fair Value [2],[3],[5]   $ 3,230,453
% of Total Cash and Investment [2],[3],[5]   0.77%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accuserve Solutions, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 10.03% Maturity 3/15/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 10.03%  
Maturity [1],[4],[6],[7] Mar. 15, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (2,101)  
Fair Value [1],[4],[6],[7] $ 3,885  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Accuserve Solutions, Inc. Instrument First Lien Term Loan Ref SOFR(S) Floor 1.00% Spread 5.25% Total Coupon 10.03% Maturity 3/15/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 10.03%  
Maturity [1],[4],[6] Mar. 15, 2030  
Principal [1],[4],[6] $ 436,231  
Cost [1],[4],[6] 436,231  
Fair Value [1],[4],[6] $ 439,721  
% of Total Cash and Investment [1],[4],[6] 0.04%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Acuris Finance US, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.15% Total Coupon 9.50% Maturity 2/16/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.50%
Spread [2],[3],[5]   4.15%
Total Coupon [2],[3],[5]   9.50%
Maturity [2],[3],[5]   Feb. 16, 2028
Principal [2],[3],[5]   $ 973,010
Cost [2],[3],[5]   952,115
Fair Value [2],[3],[5]   $ 974,075
% of Total Cash and Investment [2],[3],[5]   0.23%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Acuris Finance US, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.75% Total Coupon 8.08% Maturity 2/16/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.00%  
Spread [1],[4],[6] 3.75%  
Total Coupon [1],[4],[6] 8.08%  
Maturity [1],[4],[6] Feb. 16, 2028  
Principal [1],[4],[6] $ 602,673  
Cost [1],[4],[6] 585,494  
Fair Value [1],[4],[6] $ 607,401  
% of Total Cash and Investment [1],[4],[6] 0.06%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services EdgeCo Buyer, Inc. Instrument First Lien Delayed Draw Term Loan A Ref SOFR(Q) Floor 1.00% Spread 4.50% Total Coupon 8.83% Maturity 6/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.50%  
Total Coupon [1],[4],[6] 8.83%  
Maturity [1],[4],[6] Jun. 01, 2028  
Principal [1],[4],[6] $ 216,724  
Cost [1],[4],[6] 214,571  
Fair Value [1],[4],[6] $ 214,565  
% of Total Cash and Investment [1],[4],[6] 0.02%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services EdgeCo Buyer, Inc. Instrument First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 1.00% Spread 4.50% Total Coupon 8.83% Maturity 6/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.50%  
Total Coupon [1],[4],[6] 8.83%  
Maturity [1],[4],[6] Jun. 01, 2028  
Principal [1],[4],[6] $ 188,196  
Cost [1],[4],[6] 186,326  
Fair Value [1],[4],[6] $ 186,322  
% of Total Cash and Investment [1],[4],[6] 0.02%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services EdgeCo Buyer, Inc. Instrument First Lien Delayed Draw Term Loan C Ref SOFR(Q) Floor 1.00% Spread 4.50% Total Coupon 8.83% Maturity 6/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.50%  
Total Coupon [1],[4],[6] 8.83%  
Maturity [1],[4],[6] Jun. 01, 2028  
Principal [1],[4],[6] $ 62,571  
Cost [1],[4],[6] 61,949  
Fair Value [1],[4],[6] $ 61,948  
% of Total Cash and Investment [1],[4],[6] 0.01%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services EdgeCo Buyer, Inc. Instrument First Lien Delayed Draw Term Loan E Ref SOFR(Q) Floor 1.00% Spread 4.60% Total Coupon 8.93% Maturity 6/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 4.60%  
Total Coupon [1],[4],[6],[7] 8.93%  
Maturity [1],[4],[6],[7] Jun. 01, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (58,148)  
Fair Value [1],[4],[6],[7] $ (58,334)  
% of Total Cash and Investment [1],[4],[6],[7] (0.01%)  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services EdgeCo Buyer, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 4.60% Total Coupon 8.93% Maturity 6/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 4.60%  
Total Coupon [1],[4],[6],[7] 8.93%  
Maturity [1],[4],[6],[7] Jun. 01, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (5,819)  
Fair Value [1],[4],[6],[7] $ (5,833)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services EdgeCo Buyer, Inc. Instrument First Lien Term Loan B Ref SOFR(Q) Floor 1.00% Spread 4.50% Total Coupon 8.83% Maturity 6/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.50%  
Total Coupon [1],[4],[6] 8.83%  
Maturity [1],[4],[6] Jun. 01, 2028  
Principal [1],[4],[6] $ 2,554,499  
Cost [1],[4],[6] 2,529,116  
Fair Value [1],[4],[6] $ 2,529,056  
% of Total Cash and Investment [1],[4],[6] 0.23%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services EdgeCo Buyer, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 4.60% Total Coupon 8.93% Maturity 6/1/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.60%  
Total Coupon [1],[4],[6] 8.93%  
Maturity [1],[4],[6] Jun. 01, 2026  
Principal [1],[4],[6] $ 1,113,943  
Cost [1],[4],[6] 1,102,973  
Fair Value [1],[4],[6] $ 1,102,848  
% of Total Cash and Investment [1],[4],[6] 0.10%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Champion Acquisition LLC (Numerix) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.87% Maturity 8/19/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.87%  
Maturity [1],[4],[6] Aug. 19, 2028  
Principal [1],[4],[6] $ 7,806,611  
Cost [1],[4],[6] 7,650,171  
Fair Value [1],[4],[6] $ 7,647,941  
% of Total Cash and Investment [1],[4],[6] 0.71%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Champion Acquisition LLC (Numerix) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.87% Maturity 8/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.87%  
Maturity [1],[4],[6] Aug. 21, 2028  
Principal [1],[4],[6] $ 646,386  
Cost [1],[4],[6] 638,561  
Fair Value [1],[4],[6] $ 637,459  
% of Total Cash and Investment [1],[4],[6] 0.06%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Champion Acquisition LLC (Numerix) Instrument First Lien Delayed Draw Term Loan Ref SOFR(S) Floor 1.00% Spread 6.25% Total Coupon 11.71% Maturity 8/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.25%
Total Coupon [2],[3],[5]   11.71%
Maturity [2],[3],[5]   Aug. 21, 2028
Principal [2],[3],[5]   $ 652,932
Cost [2],[3],[5]   642,849
Fair Value [2],[3],[5]   $ 640,200
% of Total Cash and Investment [2],[3],[5]   0.15%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Champion Acquisition LLC (Numerix) Instrument First Lien Incremental Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.87% Maturity 8/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.87%  
Maturity [1],[4],[6] Aug. 21, 2028  
Principal [1],[4],[6] $ 8,876,623  
Cost [1],[4],[6] 8,685,234  
Fair Value [1],[4],[6] $ 8,754,037  
% of Total Cash and Investment [1],[4],[6] 0.81%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Champion Acquisition LLC (Numerix) Instrument First Lien Incremental Term Loan Ref SOFR(S) Floor 1.00% Spread 6.50% Total Coupon 11.96% Maturity 8/19/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.50%
Total Coupon [2],[3],[5]   11.96%
Maturity [2],[3],[5]   Aug. 19, 2028
Principal [2],[3],[5]   $ 8,966,513
Cost [2],[3],[5]   8,719,824
Fair Value [2],[3],[5]   $ 8,872,365
% of Total Cash and Investment [2],[3],[5]   2.11%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Champion Acquisition LLC (Numerix) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.87% Maturity 8/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.87%  
Maturity [1],[4],[6] Aug. 21, 2028  
Principal [1],[4],[6] $ 2,326,991  
Cost [1],[4],[6] 2,298,821  
Fair Value [1],[4],[6] $ 2,294,855  
% of Total Cash and Investment [1],[4],[6] 0.21%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Champion Acquisition LLC (Numerix) Instrument First Lien Term Loan Ref SOFR(S) Floor 1.00% Spread 6.25% Total Coupon 11.71% Maturity 8/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.25%
Total Coupon [2],[3],[5]   11.71%
Maturity [2],[3],[5]   Aug. 21, 2028
Principal [2],[3],[5]   $ 2,350,555
Cost [2],[3],[5]   2,314,258
Fair Value [2],[3],[5]   $ 2,304,719
% of Total Cash and Investment [2],[3],[5]   0.55%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Waves Holdings, Inc. (Mercer) Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.75% Spread 6.10% Total Coupon 11.46% Maturity 8/11/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.10%
Total Coupon [2],[3],[5]   11.46%
Maturity [2],[3],[5]   Aug. 11, 2028
Principal [2],[3],[5]   $ 1,185,824
Cost [2],[3],[5]   890,011
Fair Value [2],[3],[5]   $ 1,185,824
% of Total Cash and Investment [2],[3],[5]   0.28%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Waves Holdings, Inc. (Mercer) Instrument First Lien Revolver Ref SOFR(M) Floor 0.75% Spread 4.85% Total Coupon 9.21% Maturity 8/10/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 4.85%  
Total Coupon [1],[4],[6] 9.21%  
Maturity [1],[4],[6] Aug. 10, 2029  
Principal [1],[4],[6] $ 0  
Cost [1],[4],[6] 0  
Fair Value [1],[4],[6] $ 0  
% of Total Cash and Investment [1],[4],[6] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services GC Waves Holdings, Inc. (Mercer) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.85% Total Coupon 9.21% Maturity 9/30/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 4.85%  
Total Coupon [1],[4],[6] 9.21%  
Maturity [1],[4],[6] Sep. 30, 2030  
Principal [1],[4],[6] $ 19,120,659  
Cost [1],[4],[6] 19,120,659  
Fair Value [1],[4],[6] $ 19,311,866  
% of Total Cash and Investment [1],[4],[6] 1.78%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Payroc, LLC Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 4.75% Total Coupon 9.11% Maturity 11/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 4.75%  
Total Coupon [1],[4],[6],[7] 9.11%  
Maturity [1],[4],[6],[7] Nov. 01, 2027  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (1,903)  
Fair Value [1],[4],[6],[7] $ (1,332)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Payroc, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 4.75% Total Coupon 9.11% Maturity 11/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.75%  
Total Coupon [1],[4],[6] 9.11%  
Maturity [1],[4],[6] Nov. 01, 2027  
Principal [1],[4],[6] $ 7,591,707  
Cost [1],[4],[6] 7,505,408  
Fair Value [1],[4],[6] $ 7,530,973  
% of Total Cash and Investment [1],[4],[6] 0.70%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Rialto Management Group, LLC Instrument First Lien Revolver Ref SOFR(M) Floor 0.75% Spread 5.00% Total Coupon 9.53% Maturity 12/5/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7],[10] 0.75%  
Spread [1],[4],[6],[7],[10] 5.00%  
Total Coupon [1],[4],[6],[7],[10] 9.53%  
Maturity [1],[4],[6],[7],[10] Dec. 05, 2030  
Principal [1],[4],[6],[7],[10] $ 0  
Cost [1],[4],[6],[7],[10] (3,907)  
Fair Value [1],[4],[6],[7],[10] $ (3,956)  
% of Total Cash and Investment [1],[4],[6],[7],[10] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Rialto Management Group, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 5.00% Total Coupon 9.53% Maturity 12/5/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[10] 0.75%  
Spread [1],[4],[6],[10] 5.00%  
Total Coupon [1],[4],[6],[10] 9.53%  
Maturity [1],[4],[6],[10] Dec. 05, 2030  
Principal [1],[4],[6],[10] $ 11,472,352  
Cost [1],[4],[6],[10] 11,359,042  
Fair Value [1],[4],[6],[10] $ 11,357,628  
% of Total Cash and Investment [1],[4],[6],[10] 1.05%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services SitusAMC Holdings Corporation Instrument First Lien Term Loan B Ref SOFR(Q) Floor 0.75% Spread 5.60% Total Coupon 9.93% Maturity 6/28/2025    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.60%  
Total Coupon [1],[4],[6] 9.93%  
Maturity [1],[4],[6] Jun. 28, 2025  
Principal [1],[4],[6] $ 7,963,710  
Cost [1],[4],[6] 7,928,268  
Fair Value [1],[4],[6] $ 8,027,420  
% of Total Cash and Investment [1],[4],[6] 0.74%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services SitusAMC Holdings Corporation Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.60% Total Coupon 9.93% Maturity 11/30/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.60%  
Total Coupon [1],[4],[6] 9.93%  
Maturity [1],[4],[6] Nov. 30, 2027  
Principal [1],[4],[6] $ 16,871,817  
Cost [1],[4],[6] 16,798,112  
Fair Value [1],[4],[6] $ 17,006,792  
% of Total Cash and Investment [1],[4],[6] 1.57%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services TransNetwork, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 5.50% Total Coupon 10.87% Maturity 11/20/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.50%
Spread [2],[3],[5]   5.50%
Total Coupon [2],[3],[5]   10.87%
Maturity [2],[3],[5]   Nov. 20, 2030
Principal [2],[3],[5]   $ 1,573,581
Cost [2],[3],[5]   1,510,638
Fair Value [2],[3],[5]   $ 1,569,647
% of Total Cash and Investment [2],[3],[5]   0.37%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Wealth Enhancement Group, LLC Instrument First Lien Delayed Draw Term Loan Loan Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.50% Maturity 10/4/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.50%  
Maturity [1],[4],[6] Oct. 04, 2028  
Principal [1],[4],[6] $ 14,104,849  
Cost [1],[4],[6] 14,104,849  
Fair Value [1],[4],[6] $ 13,996,524  
% of Total Cash and Investment [1],[4],[6] 1.29%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Wealth Enhancement Group, LLC Instrument First Lien Delayed Draw Term Loan Loan Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.50% Maturity 10/4/2028 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.50%  
Maturity [1],[4],[6] Oct. 04, 2028  
Principal [1],[4],[6] $ 1,094,115  
Cost [1],[4],[6] 1,094,115  
Fair Value [1],[4],[6] $ 1,085,712  
% of Total Cash and Investment [1],[4],[6] 0.10%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Wealth Enhancement Group, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.41% Maturity 10/2/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.41%  
Maturity [1],[4],[6],[7] Oct. 02, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (32,793)  
Fair Value [1],[4],[6],[7] $ (50,115)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Wealth Enhancement Group, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.41% Maturity 10/4/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.41%  
Maturity [1],[4],[6] Oct. 04, 2028  
Principal [1],[4],[6] $ 2,625,146  
Cost [1],[4],[6] 2,598,281  
Fair Value [1],[4],[6] $ 2,597,245  
% of Total Cash and Investment [1],[4],[6] 0.24%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services Wealth Enhancement Group, LLC Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 5.00% Total Coupon 9.50% Maturity 10/4/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.50%  
Maturity [1],[4],[6],[7] Oct. 04, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (1,928)  
Fair Value [1],[4],[6],[7] $ (10,309)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services White Cap Supply Holdings, LLC (Numerix) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.75% Total Coupon 9.11% Maturity 10/19/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.50%
Spread [2],[3],[5]   3.75%
Total Coupon [2],[3],[5]   9.11%
Maturity [2],[3],[5]   Oct. 19, 2027
Principal [2],[3],[5]   $ 827,452
Cost [2],[3],[5]   797,602
Fair Value [2],[3],[5]   $ 830,212
% of Total Cash and Investment [2],[3],[5]   0.20%
Investment, Identifier [Axis]: Debt Investments Diversified Financial Services White Cap Supply Holdings, LLC Instrument First Lien Tranche B Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 7.61% Maturity 10/19/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Oct. 19, 2029  
Principal [1],[4] $ 3,672,241  
Cost [1],[4] 3,651,189  
Fair Value [1],[4] $ 3,683,864  
% of Total Cash and Investment [1],[4] 0.34%  
Investment, Identifier [Axis]: Debt Investments Electrical Equipment    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 11,480,520  
Fair Value [1],[4] $ 11,528,331  
% of Total Cash and Investment [1],[4] 1.07%  
Investment, Identifier [Axis]: Debt Investments Electrical Equipment Spark Buyer, LLC (Sparkstone) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.77% Maturity 10/15/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.77%  
Maturity [1],[4],[6],[7] Oct. 15, 2031  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (68,372)  
Fair Value [1],[4],[6],[7] $ (56,419)  
% of Total Cash and Investment [1],[4],[6],[7] (0.01%)  
Investment, Identifier [Axis]: Debt Investments Electrical Equipment Spark Buyer, LLC (Sparkstone) Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.77% Maturity 10/15/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.77%  
Maturity [1],[4],[6],[7] Oct. 15, 2031  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (34,186)  
Fair Value [1],[4],[6],[7] $ (28,210)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Electrical Equipment Spark Buyer, LLC (Sparkstone) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 9.77% Maturity 10/15/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.77%  
Maturity [1],[4],[6] Oct. 15, 2031  
Principal [1],[4],[6] $ 11,754,008  
Cost [1],[4],[6] 11,583,078  
Fair Value [1],[4],[6] $ 11,612,960  
% of Total Cash and Investment [1],[4],[6] 1.08%  
Investment, Identifier [Axis]: Debt Investments Energy Equipment & Services Liquid Tech Solutions Holdings, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.75% Total Coupon 10.22% Maturity 3/20/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   4.75%
Total Coupon [2],[3],[5]   10.22%
Maturity [2],[3],[5]   Mar. 20, 2028
Principal [2],[3],[5]   $ 6,467,500
Cost [2],[3],[5]   6,347,651
Fair Value [2],[3],[5]   $ 6,370,488
% of Total Cash and Investment [2],[3],[5]   1.51%
Investment, Identifier [Axis]: Debt Investments Energy Equipment and Services    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 19,909,341  
Fair Value [1],[4] $ 20,050,000  
% of Total Cash and Investment [1],[4] 1.85%  
Investment, Identifier [Axis]: Debt Investments Energy Equipment and Services Liquid Tech Solutions Holdings, LLC (Diesel Direct) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.75% Total Coupon 9.44% Maturity 3/20/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 4.75%  
Total Coupon [1],[4],[6] 9.44%  
Maturity [1],[4],[6] Mar. 20, 2028  
Principal [1],[4],[6] $ 6,418,750  
Cost [1],[4],[6] 6,328,091  
Fair Value [1],[4],[6] $ 6,434,797  
% of Total Cash and Investment [1],[4],[6] 0.60%  
Investment, Identifier [Axis]: Debt Investments Energy Equipment and Services Liquid Tech Solutions Holdings, LLC (Diesel Direct) Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.75% Total Coupon 8.12% Maturity 3/18/2028    
Schedule Of Investments [Line Items]    
Spread [1],[4],[6] 3.75%  
Total Coupon [1],[4],[6] 8.12%  
Maturity [1],[4],[6] Mar. 18, 2028  
Principal [1],[4],[6] $ 13,581,250  
Cost [1],[4],[6] 13,581,250  
Fair Value [1],[4],[6] $ 13,615,203  
% of Total Cash and Investment [1],[4],[6] 1.25%  
Investment, Identifier [Axis]: Debt Investments Environmental, Maintenance & Security Service TruGreen Limited Partnership Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.10% Total Coupon 9.46% Maturity 11/2/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.10%
Total Coupon [2],[3]   9.46%
Maturity [2],[3]   Nov. 02, 2027
Principal [2],[3]   $ 480,406
Cost [2],[3]   470,106
Fair Value [2],[3]   $ 464,913
% of Total Cash and Investment [2],[3]   0.11%
Investment, Identifier [Axis]: Debt Investments Environmental, Maintenance and Security Services TruGreen Limited Partnership Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.10% Total Coupon 8.46% Maturity 11/2/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.10%  
Total Coupon [1],[4] 8.46%  
Maturity [1],[4] Nov. 02, 2027  
Principal [1],[4] $ 475,454  
Cost [1],[4] 467,898  
Fair Value [1],[4] $ 464,162  
% of Total Cash and Investment [1],[4] 0.04%  
Investment, Identifier [Axis]: Debt Investments Food Products    
Schedule Of Investments [Line Items]    
Cost $ 843,410 [1],[4] $ 1,337,658 [2],[3]
Fair Value $ 871,531 [1],[4] $ 1,378,575 [2],[3]
% of Total Cash and Investment 0.08% [1],[4] 0.33% [2],[3]
Investment, Identifier [Axis]: Debt Investments Food Products Chobani, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 3.36% Total Coupon 7.72% Maturity 10/25/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 1.00%  
Spread [1],[4] 3.36%  
Total Coupon [1],[4] 7.72%  
Maturity [1],[4] Oct. 25, 2027  
Principal [1],[4] $ 572,518  
Cost [1],[4] 553,418  
Fair Value [1],[4] $ 577,742  
% of Total Cash and Investment [1],[4] 0.05%  
Investment, Identifier [Axis]: Debt Investments Food Products Chobani, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 3.61% Total Coupon 8.97% Maturity 10/23/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   3.61%
Total Coupon [2],[3]   8.97%
Maturity [2],[3]   Oct. 23, 2027
Principal [2],[3]   $ 578,497
Cost [2],[3]   552,323
Fair Value [2],[3]   $ 580,232
% of Total Cash and Investment [2],[3]   0.14%
Investment, Identifier [Axis]: Debt Investments Food Products Chobani, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 3.61% Total Coupon 8.97% Maturity 10/25/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   3.61%
Total Coupon [2],[3]   8.97%
Maturity [2],[3]   Oct. 25, 2027
Principal [2],[3]   $ 294,000
Cost [2],[3]   292,536
Fair Value [2],[3]   $ 294,857
% of Total Cash and Investment [2],[3]   0.07%
Investment, Identifier [Axis]: Debt Investments Food Products Chobani, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 3.75% Total Coupon 8.11% Maturity 10/25/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 1.00%  
Spread [1],[4] 3.75%  
Total Coupon [1],[4] 8.11%  
Maturity [1],[4] Oct. 25, 2027  
Principal [1],[4] $ 291,060  
Cost [1],[4] 289,992  
Fair Value [1],[4] $ 293,789  
% of Total Cash and Investment [1],[4] 0.03%  
Investment, Identifier [Axis]: Debt Investments Food Products Sovos Brands Intermediate, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 3.50% Total Coupon 9.14% Maturity 6/8/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   3.50%
Total Coupon [2],[3]   9.14%
Maturity [2],[3]   Jun. 08, 2028
Principal [2],[3]   $ 500,971
Cost [2],[3]   492,799
Fair Value [2],[3]   $ 503,486
% of Total Cash and Investment [2],[3]   0.12%
Investment, Identifier [Axis]: Debt Investments Health Care Equipment & Supplies    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 1,755,127
Fair Value [2],[3]   $ 1,823,795
% of Total Cash and Investment [2],[3]   0.43%
Investment, Identifier [Axis]: Debt Investments Health Care Equipment & Supplies Chariot Buyer, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.25% Total Coupon 8.71% Maturity 11/3/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.25%
Total Coupon [2],[3]   8.71%
Maturity [2],[3]   Nov. 03, 2028
Principal [2],[3]   $ 904,850
Cost [2],[3]   864,485
Fair Value [2],[3]   $ 903,882
% of Total Cash and Investment [2],[3]   0.21%
Investment, Identifier [Axis]: Debt Investments Health Care Equipment & Supplies Medline Borrower, LP Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.11% Total Coupon 8.47% Maturity 10/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.11%
Total Coupon [2],[3]   8.47%
Maturity [2],[3]   Oct. 21, 2028
Principal [2],[3]   $ 914,272
Cost [2],[3]   890,642
Fair Value [2],[3]   $ 919,913
% of Total Cash and Investment [2],[3]   0.22%
Investment, Identifier [Axis]: Debt Investments Health Care Equipment and Supplies Chariot Buyer, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.25% Total Coupon 7.71% Maturity 11/3/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.71%  
Maturity [1],[4] Nov. 03, 2028  
Principal [1],[4] $ 1,747,101  
Cost [1],[4] 1,714,193  
Fair Value [1],[4] $ 1,759,663  
% of Total Cash and Investment [1],[4] 0.16%  
Investment, Identifier [Axis]: Debt Investments Health Care Providers & Services    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 15,864,403
Fair Value [2],[3]   $ 15,942,694
% of Total Cash and Investment [2],[3]   3.78%
Investment, Identifier [Axis]: Debt Investments Health Care Providers & Services AHP Health Partners, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.61% Total Coupon 8.97% Maturity 8/24/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.61%
Total Coupon [2],[3]   8.97%
Maturity [2],[3]   Aug. 24, 2028
Principal [2],[3]   $ 914,189
Cost [2],[3]   896,947
Fair Value [2],[3]   $ 918,618
% of Total Cash and Investment [2],[3]   0.22%
Investment, Identifier [Axis]: Debt Investments Health Care Providers & Services CHG Healthcare Services, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.36% Total Coupon 8.72% Maturity 9/29/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.36%
Total Coupon [2],[3]   8.72%
Maturity [2],[3]   Sep. 29, 2028
Principal [2],[3]   $ 1,417,501
Cost [2],[3]   1,385,924
Fair Value [2],[3]   $ 1,421,364
% of Total Cash and Investment [2],[3]   0.34%
Investment, Identifier [Axis]: Debt Investments Health Care Providers & Services ImageFirst Holdings, LLC Instrument First Lien 2023 Delayed Draw Term Loan Ref SOFR(S) Floor 0.75% Spread 5.25% Total Coupon 10.72% Maturity 4/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[9]   0.75%
Spread [2],[3],[9]   5.25%
Total Coupon [2],[3],[9]   10.72%
Maturity [2],[3],[9]   Apr. 27, 2028
Cost [2],[3],[9]   $ (4,949)
Fair Value [2],[3],[9]   $ 0
Investment, Identifier [Axis]: Debt Investments Health Care Providers & Services ImageFirst Holdings, LLC Instrument First Lien 2023 Incremental Term Loan Ref SOFR(S) Floor 0.75% Spread 5.25% Total Coupon 10.72% Maturity 4/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   5.25%
Total Coupon [2],[3]   10.72%
Maturity [2],[3]   Apr. 27, 2028
Principal [2],[3]   $ 1,135,838
Cost [2],[3]   1,111,214
Fair Value [2],[3]   $ 1,135,838
% of Total Cash and Investment [2],[3]   0.27%
Investment, Identifier [Axis]: Debt Investments Health Care Providers & Services ImageFirst Holdings, LLC Instrument First Lien Term Loan Ref SOFR(S) Floor 0.75% Spread 5.00% Total Coupon 10.47% Maturity 4/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   5.00%
Total Coupon [2],[3]   10.47%
Maturity [2],[3]   Apr. 27, 2028
Principal [2],[3]   $ 4,679,401
Cost [2],[3]   4,560,193
Fair Value [2],[3]   $ 4,679,401
% of Total Cash and Investment [2],[3]   1.11%
Investment, Identifier [Axis]: Debt Investments Health Care Providers & Services Ingenovis Health, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 3.75% Total Coupon 9.22% Maturity 3/5/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   3.75%
Total Coupon [2],[3]   9.22%
Maturity [2],[3]   Mar. 05, 2028
Principal [2],[3]   $ 659,171
Cost [2],[3]   649,105
Fair Value [2],[3]   $ 641,868
% of Total Cash and Investment [2],[3]   0.15%
Investment, Identifier [Axis]: Debt Investments Health Care Providers & Services Premise Health Holding Corp. Instrument First Lien Term Loan Ref SOFR(S) Floor 0.50% Spread 4.90% Total Coupon 10.25% Maturity 7/10/2025    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.50%
Spread [2],[3],[5]   4.90%
Total Coupon [2],[3],[5]   10.25%
Maturity [2],[3],[5]   Jul. 10, 2025
Principal [2],[3],[5]   $ 4,925,000
Cost [2],[3],[5]   4,875,794
Fair Value [2],[3],[5]   $ 4,891,510
% of Total Cash and Investment [2],[3],[5]   1.15%
Investment, Identifier [Axis]: Debt Investments Health Care Providers & Services U.S. Anesthesia Partners, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.36% Total Coupon 9.71% Maturity 10/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.36%
Total Coupon [2],[3]   9.71%
Maturity [2],[3]   Oct. 01, 2028
Principal [2],[3]   $ 2,456,030
Cost [2],[3]   2,390,175
Fair Value [2],[3]   $ 2,254,095
% of Total Cash and Investment [2],[3]   0.54%
Investment, Identifier [Axis]: Debt Investments Health Care Technology    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 7,004,244
Fair Value [2],[3]   $ 6,997,327
% of Total Cash and Investment [2],[3]   1.66%
Investment, Identifier [Axis]: Debt Investments Health Care Technology Athenahealth Group Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.25% Total Coupon 8.61% Maturity 2/15/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.25%
Total Coupon [2],[3]   8.61%
Maturity [2],[3]   Feb. 15, 2029
Principal [2],[3]   $ 886,895
Cost [2],[3]   871,914
Fair Value [2],[3]   $ 884,234
% of Total Cash and Investment [2],[3]   0.21%
Investment, Identifier [Axis]: Debt Investments Health Care Technology Gainwell Acquisition Corp. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.10% Total Coupon 9.45% Maturity 10/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.10%
Total Coupon [2],[3]   9.45%
Maturity [2],[3]   Oct. 01, 2027
Principal [2],[3]   $ 3,895,616
Cost [2],[3]   3,844,162
Fair Value [2],[3]   $ 3,798,226
% of Total Cash and Investment [2],[3]   0.90%
Investment, Identifier [Axis]: Debt Investments Health Care Technology PointClickCare Technologies Inc. (Canada) B Ref SOFR(Q) Floor 0.75% Spread 4.00% Total Coupon 9.35% Maturity 12/29/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[8]   0.75%
Spread [2],[3],[5],[8]   4.00%
Total Coupon [2],[3],[5],[8]   9.35%
Maturity [2],[3],[5],[8]   Dec. 29, 2027
Principal [2],[3],[5],[8]   $ 957,814
Cost [2],[3],[5],[8]   955,868
Fair Value [2],[3],[5],[8]   $ 960,209
% of Total Cash and Investment [2],[3],[5],[8]   0.23%
Investment, Identifier [Axis]: Debt Investments Health Care Technology Polaris Newco, LLC B Ref SOFR(M) Floor 0.50% Spread 4.11% Total Coupon 9.47% Maturity 6/4/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.11%
Total Coupon [2],[3]   9.47%
Maturity [2],[3]   Jun. 04, 2028
Principal [2],[3]   $ 1,371,285
Cost [2],[3]   1,332,300
Fair Value [2],[3]   $ 1,354,658
% of Total Cash and Investment [2],[3]   0.32%
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 24,904,354  
Fair Value [1],[4] $ 25,157,389  
% of Total Cash and Investment [1],[4] 2.33%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services CHG Healthcare Services, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.00% Total Coupon 7.40% Maturity 9/29/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.40%  
Maturity [1],[4] Sep. 29, 2028  
Principal [1],[4] $ 1,990,121  
Cost [1],[4] 1,966,525  
Fair Value [1],[4] $ 1,999,793  
% of Total Cash and Investment [1],[4] 0.18%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services CHG Healthcare Services, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.76% Total Coupon 8.28% Maturity 9/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.76%  
Total Coupon [1],[4] 8.28%  
Maturity [1],[4] Sep. 30, 2028  
Principal [1],[4] $ 388,040  
Cost [1],[4] 388,040  
Fair Value [1],[4] $ 391,757  
% of Total Cash and Investment [1],[4] 0.04%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services CNT Holdings I Corp. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 3.50% Total Coupon 8.09% Maturity 11/8/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 8.09%  
Maturity [1],[4] Nov. 08, 2027  
Principal [1],[4] $ 806,850  
Cost [1],[4] 803,755  
Fair Value [1],[4] $ 813,131  
% of Total Cash and Investment [1],[4] 0.08%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services ImageFirst Holdings, LLC Instrument First Lien Term Loan Ref Prime Spread 4.25% Total Coupon 8.58% Maturity 4/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.00%  
Spread [1],[4],[6] 4.25%  
Total Coupon [1],[4],[6] 8.58%  
Maturity [1],[4],[6] Apr. 27, 2028  
Principal [1],[4],[6] $ 8,246,732  
Cost [1],[4],[6] 8,130,888  
Fair Value [1],[4],[6] $ 8,267,349  
% of Total Cash and Investment [1],[4],[6] 0.77%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services Ingenovis Health, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.25% Total Coupon 9.03% Maturity 3/5/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.25%  
Total Coupon [1],[4] 9.03%  
Maturity [1],[4] Mar. 05, 2028  
Principal [1],[4] $ 240,591  
Cost [1],[4] 237,767  
Fair Value [1],[4] $ 142,951  
% of Total Cash and Investment [1],[4] 0.01%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services IvyRehab Intermediate II, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.35% Total Coupon 9.68% Maturity 4/23/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.35%  
Total Coupon [1],[4],[6] 9.68%  
Maturity [1],[4],[6] Apr. 23, 2029  
Principal [1],[4],[6] $ 5,425,261  
Cost [1],[4],[6] 5,226,361  
Fair Value [1],[4],[6] $ 5,288,217  
% of Total Cash and Investment [1],[4],[6] 0.49%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services Raven Acquisition Holdings LLC (R1 RCM) Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 7.61% Maturity 11/19/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Nov. 19, 2031  
Principal [1],[4] $ 0  
Cost [1],[4] 195  
Fair Value [1],[4] $ 370  
% of Total Cash and Investment [1],[4] 0.00%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services Raven Acquisition Holdings LLC (R1 RCM) Instrument First Lien Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 7.61% Maturity 11/19/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Nov. 19, 2031  
Principal [1],[4] $ 1,475,731  
Cost [1],[4] 1,478,485  
Fair Value [1],[4] $ 1,480,903  
% of Total Cash and Investment [1],[4] 0.14%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services RecordXTechnologies, LLC (Ontellus) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.58% Maturity 5/20/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.58%  
Maturity [1],[4],[6] May 20, 2030  
Principal [1],[4],[6] $ 4,328,938  
Cost [1],[4],[6] 4,292,858  
Fair Value [1],[4],[6] $ 4,350,583  
% of Total Cash and Investment [1],[4],[6] 0.40%  
Investment, Identifier [Axis]: Debt Investments Healthcare Providers and Services U.S. Anesthesia Partners, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.25% Total Coupon 8.92% Maturity 9/23/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.25%  
Total Coupon [1],[4] 8.92%  
Maturity [1],[4] Sep. 23, 2028  
Principal [1],[4] $ 2,430,904  
Cost [1],[4] 2,379,480  
Fair Value [1],[4] $ 2,422,335  
% of Total Cash and Investment [1],[4] 0.22%  
Investment, Identifier [Axis]: Debt Investments Healthcare Technology    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 13,894,633  
Fair Value [1],[4] $ 13,999,118  
% of Total Cash and Investment [1],[4] 1.29%  
Investment, Identifier [Axis]: Debt Investments Healthcare Technology Athenahealth Group Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.25% Total Coupon 7.61% Maturity 2/15/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Feb. 15, 2029  
Principal [1],[4] $ 4,935,187  
Cost [1],[4] 4,922,934  
Fair Value [1],[4] $ 4,957,223  
% of Total Cash and Investment [1],[4] 0.45%  
Investment, Identifier [Axis]: Debt Investments Healthcare Technology Cotiviti Holdings, Inc Instrument First Lien Term Loan Ref SOFR(M) Spread 2.75% Total Coupon 7.30% Maturity 2/24/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.30%  
Maturity [1],[4] Feb. 24, 2031  
Principal [1],[4] $ 3,456,152  
Cost [1],[4] 3,465,785  
Fair Value [1],[4] $ 3,479,930  
% of Total Cash and Investment [1],[4] 0.32%  
Investment, Identifier [Axis]: Debt Investments Healthcare Technology PointClickCare Technologies Inc. (Canada) Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.25% Total Coupon 7.58% Maturity 10/16/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[11] 0.00%  
Spread [1],[4],[11] 3.25%  
Total Coupon [1],[4],[11] 7.58%  
Maturity [1],[4],[11] Oct. 16, 2031  
Principal [1],[4],[11] $ 1,588,777  
Cost [1],[4],[11] 1,589,002  
Fair Value [1],[4],[11] $ 1,600,693  
% of Total Cash and Investment [1],[4],[11] 0.15%  
Investment, Identifier [Axis]: Debt Investments Healthcare Technology Polaris Newco, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.00% Total Coupon 8.85% Maturity 6/2/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.00%  
Total Coupon [1],[4] 8.85%  
Maturity [1],[4] Jun. 02, 2028  
Principal [1],[4] $ 3,449,921  
Cost [1],[4] 3,417,855  
Fair Value [1],[4] $ 3,460,495  
% of Total Cash and Investment [1],[4] 0.32%  
Investment, Identifier [Axis]: Debt Investments Healthcare Technology Press Ganey Holdings Inc Instrument First Lien Term Loan Ref SOFR(M) Spread 3.25% Total Coupon 7.61% Maturity 4/24/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Apr. 24, 2031  
Principal [1],[4] $ 498,750  
Cost [1],[4] 499,057  
Fair Value [1],[4] $ 500,777  
% of Total Cash and Investment [1],[4] 0.05%  
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants & Leisure    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 15,499,329
Fair Value [2],[3]   $ 15,591,152
% of Total Cash and Investment [2],[3]   3.70%
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants & Leisure Fertitta Entertainment, LLC First Lien Term Loan B Ref SOFR(M) Floor 0.50% Spread 4.00% Total Coupon 9.36% Maturity 1/17/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.00%
Total Coupon [2],[3]   9.36%
Maturity [2],[3]   Jan. 27, 2029
Principal [2],[3]   $ 1,171,387
Cost [2],[3]   1,133,099
Fair Value [2],[3]   $ 1,173,402
% of Total Cash and Investment [2],[3]   0.28%
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants & Leisure Mesquite Bidco, LLC First Lien Revolver B Ref SOFR(Q) Floor 1.00% Spread 7.00% Total Coupon 12.48% Maturity 11/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   7.00%
Total Coupon [2],[3],[5],[9]   12.48%
Maturity [2],[3],[5],[9]   Nov. 30, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (19,775)
Fair Value [2],[3],[5],[9]   $ (20,058)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants & Leisure Mesquite Bidco, LLC First Lien Term Loan B Ref SOFR(Q) Floor 1.00% Spread 7.10% Total Coupon 12.48% Maturity 11/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.10%
Total Coupon [2],[3],[5]   12.48%
Maturity [2],[3],[5]   Nov. 30, 2029
Principal [2],[3],[5]   $ 11,032,131
Cost [2],[3],[5]   10,705,844
Fair Value [2],[3],[5]   $ 10,701,168
% of Total Cash and Investment [2],[3],[5]   2.53%
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants & Leisure Showtime Acquisition, L.L.C. (World Choice) First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 1.00% Spread 7.60% Total Coupon 12.97% Maturity 8/7/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   7.60%
Total Coupon [2],[3],[5],[9]   12.97%
Maturity [2],[3],[5],[9]   Aug. 07, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (1,986)
Fair Value [2],[3],[5],[9]   $ (2,850)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants & Leisure Showtime Acquisition, L.L.C. (World Choice) First Lien Revolver B Ref SOFR(S) Floor 1.00% Spread 7.50% Total Coupon 13.40% Maturity 8/7/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   7.50%
Total Coupon [2],[3],[5],[9]   13.40%
Maturity [2],[3],[5],[9]   Aug. 07, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (4,965)
Fair Value [2],[3],[5],[9]   $ (3,562)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants & Leisure Showtime Acquisition, L.L.C. (World Choice) First Lien Term Loan B Ref SOFR(Q) Floor 1.00% Spread 7.60% Total Coupon 12.98% Maturity 8/7/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.60%
Total Coupon [2],[3],[5]   12.98%
Maturity [2],[3],[5]   Aug. 07, 2028
Principal [2],[3],[5]   $ 2,756,946
Cost [2],[3],[5]   2,687,773
Fair Value [2],[3],[5]   $ 2,707,321
% of Total Cash and Investment [2],[3],[5]   0.64%
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants & Leisure Whatabrands, LLC First Lien Term Loan B Ref SOFR(M) Floor 0.50% Spread 3.11% Total Coupon 8.47% Maturity 8/3/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.11%
Total Coupon [2],[3]   8.47%
Maturity [2],[3]   Aug. 03, 2028
Principal [2],[3]   $ 1,032,685
Cost [2],[3]   999,339
Fair Value [2],[3]   $ 1,035,731
% of Total Cash and Investment [2],[3]   0.25%
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants and Leisure    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 36,361,117  
Fair Value [1],[4] $ 36,476,356  
% of Total Cash and Investment [1],[4] 3.37%  
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants and Leisure Fertitta Entertainment, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.50% Total Coupon 7.86% Maturity 1/27/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.86%  
Maturity [1],[4] Jan. 27, 2029  
Principal [1],[4] $ 3,840,518  
Cost [1],[4] 3,816,646  
Fair Value [1],[4] $ 3,859,529  
% of Total Cash and Investment [1],[4] 0.36%  
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants and Leisure Great Canadian Gaming Corp. (Canada) Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.75% Total Coupon 9.09% Maturity 11/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[11] 0.00%  
Spread [1],[4],[11] 4.75%  
Total Coupon [1],[4],[11] 9.09%  
Maturity [1],[4],[11] Nov. 01, 2029  
Principal [1],[4],[11] $ 695,760  
Cost [1],[4],[11] 693,899  
Fair Value [1],[4],[11] $ 696,195  
% of Total Cash and Investment [1],[4],[11] 0.06%  
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants and Leisure Motion Acquisition (Merlin Finco) Instrument First Lien Term Loan B Ref SOFR(Q) Spread 3.50% Total Coupon 7.83% Maturity 11/12/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.83%  
Maturity [1],[4] Nov. 12, 2029  
Principal [1],[4] $ 845,755  
Cost [1],[4] 849,671  
Fair Value [1],[4] $ 838,177  
% of Total Cash and Investment [1],[4] 0.08%  
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants and Leisure Scientific Games Lottery Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 3.00% Total Coupon 7.59% Maturity 4/4/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.59%  
Maturity [1],[4] Apr. 04, 2029  
Principal [1],[4] $ 2,068,815  
Cost [1],[4] 2,067,722  
Fair Value [1],[4] $ 2,076,314  
% of Total Cash and Investment [1],[4] 0.19%  
Investment, Identifier [Axis]: Debt Investments Hotels, Restaurants and Leisure Showtime Acquisition LLC (World Choice) Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.75% Total Coupon 9.24% Maturity 8/13/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.00%  
Spread [1],[4],[6] 4.75%  
Total Coupon [1],[4],[6] 9.24%  
Maturity [1],[4],[6] Aug. 13, 2031  
Principal [1],[4],[6] $ 29,281,978  
Cost [1],[4],[6] 28,933,179  
Fair Value [1],[4],[6] $ 29,006,141  
% of Total Cash and Investment [1],[4],[6] 2.68%  
Investment, Identifier [Axis]: Debt Investments Household Durables Bad Boy Mowers JV Acquisition, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 6.00% Total Coupon 10.45% Maturity 11/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.00%  
Total Coupon [1],[4],[6] 10.45%  
Maturity [1],[4],[6] Nov. 09, 2029  
Principal [1],[4],[6] $ 7,434,959  
Cost [1],[4],[6] 7,283,856  
Fair Value [1],[4],[6] $ 7,472,134  
% of Total Cash and Investment [1],[4],[6] 0.69%  
Investment, Identifier [Axis]: Debt Investments Household Durables First Lien Term Loan B Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 11.37% Maturity 11/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.37%
Maturity [2],[3],[5]   Nov. 09, 2029
Principal [2],[3],[5]   $ 7,510,059
Cost [2],[3],[5]   7,325,923
Fair Value [2],[3],[5]   $ 7,209,657
% of Total Cash and Investment [2],[3],[5]   1.71%
Investment, Identifier [Axis]: Debt Investments IT Services    
Schedule Of Investments [Line Items]    
Cost $ 33,160,393 [1],[4] $ 22,797,819 [2],[3]
Fair Value $ 33,712,279 [1],[4] $ 22,612,014 [2],[3]
% of Total Cash and Investment 3.12% [1],[4] 5.37% [2],[3]
Investment, Identifier [Axis]: Debt Investments IT Services Avalara, Inc. First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 7.25% Total Coupon 12.60% Maturity 10/19/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   7.25%
Total Coupon [2],[3],[5]   12.60%
Maturity [2],[3],[5]   Oct. 19, 2028
Principal [2],[3],[5]   $ 3,776,510
Cost [2],[3],[5]   3,701,040
Fair Value [2],[3],[5]   $ 3,833,158
% of Total Cash and Investment [2],[3],[5]   0.91%
Investment, Identifier [Axis]: Debt Investments IT Services Avalara, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 10.58% Maturity 10/19/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 6.25%  
Total Coupon [1],[4],[6],[7] 10.58%  
Maturity [1],[4],[6],[7] Oct. 19, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (5,971)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments IT Services Avalara, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 7.25% Total Coupon 12.60% Maturity 10/19/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   7.25%
Total Coupon [2],[3],[5],[9]   12.60%
Maturity [2],[3],[5],[9]   Oct. 19, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (7,547)
Fair Value [2],[3],[5],[9]   $ 0
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments IT Services Avalara, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 10.58% Maturity 10/19/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 6.25%  
Total Coupon [1],[4],[6] 10.58%  
Maturity [1],[4],[6] Oct. 19, 2028  
Principal [1],[4],[6] $ 3,776,510  
Cost [1],[4],[6] 3,716,797  
Fair Value [1],[4],[6] $ 3,804,834  
% of Total Cash and Investment [1],[4],[6] 0.35%  
Investment, Identifier [Axis]: Debt Investments IT Services CrewLine Buyer, Inc. (New Relic) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 6.75% Total Coupon 11.35% Maturity 11/8/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 6.75%  
Total Coupon [1],[4],[6],[7] 11.35%  
Maturity [1],[4],[6],[7] Nov. 08, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (20,805)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments IT Services CrewLine Buyer, Inc. (New Relic) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 6.75% Total Coupon 12.10% Maturity 11/8/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   6.75%
Total Coupon [2],[3],[5],[9]   12.10%
Maturity [2],[3],[5],[9]   Nov. 08, 2030
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (24,368)
Fair Value [2],[3],[5],[9]   $ (9,957)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments IT Services CrewLine Buyer, Inc. (New Relic) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.75% Total Coupon 11.35% Maturity 11/8/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.75%  
Total Coupon [1],[4],[6] 11.35%  
Maturity [1],[4],[6] Nov. 08, 2030  
Principal [1],[4],[6] $ 9,559,143  
Cost [1],[4],[6] 9,359,418  
Fair Value [1],[4],[6] $ 9,683,412  
% of Total Cash and Investment [1],[4],[6] 0.90%  
Investment, Identifier [Axis]: Debt Investments IT Services CrewLine Buyer, Inc. (New Relic) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.75% Total Coupon 12.10% Maturity 11/8/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.75%
Total Coupon [2],[3],[5]   12.10%
Maturity [2],[3],[5]   Nov. 08, 2030
Principal [2],[3],[5]   $ 9,559,143
Cost [2],[3],[5]   9,325,212
Fair Value [2],[3],[5]   $ 9,463,553
% of Total Cash and Investment [2],[3],[5]   2.24%
Investment, Identifier [Axis]: Debt Investments IT Services Fortress Intermediate 3, Inc Instrument First Lien Term Loan Ref SOFR(M) Floor —% Spread 3.50% Total Coupon 7.86% Maturity 6/9/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.86%  
Maturity [1],[4] Jun. 09, 2031  
Principal [1],[4] $ 1,246,875  
Cost [1],[4] 1,249,794  
Fair Value [1],[4] $ 1,252,336  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments IT Services Intercept Bidco, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.47% Maturity 6/3/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 6.00%  
Total Coupon [1],[4],[6],[7] 10.47%  
Maturity [1],[4],[6],[7] Jun. 03, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (23,406)  
Fair Value [1],[4],[6],[7] $ (54,418)  
% of Total Cash and Investment [1],[4],[6],[7] (0.01%)  
Investment, Identifier [Axis]: Debt Investments IT Services Intercept Bidco, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.47% Maturity 6/3/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 6.00%  
Total Coupon [1],[4],[6],[7] 10.47%  
Maturity [1],[4],[6],[7] Jun. 03, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (31,208)  
Fair Value [1],[4],[6],[7] $ (36,279)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments IT Services Intercept Bidco, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.47% Maturity 6/3/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.00%  
Total Coupon [1],[4],[6] 10.47%  
Maturity [1],[4],[6] Jun. 03, 2030  
Principal [1],[4],[6] $ 11,229,177  
Cost [1],[4],[6] 11,026,324  
Fair Value [1],[4],[6] $ 10,993,364  
% of Total Cash and Investment [1],[4],[6] 1.02%  
Investment, Identifier [Axis]: Debt Investments IT Services Madison Logic Holdings, Inc. Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 7.50% Total Coupon 11.84% Maturity 12/30/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 7.50%  
Total Coupon [1],[4],[6],[7] 11.84%  
Maturity [1],[4],[6],[7] Dec. 30, 2027  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (1,541)  
Fair Value [1],[4],[6],[7] $ (3,346)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments IT Services Madison Logic Holdings, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 7.00%Total Coupon 12.35% Maturity 12/30/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.00%
Total Coupon [2],[3],[5]   12.35%
Maturity [2],[3],[5]   Dec. 30, 2027
Principal [2],[3],[5]   $ 0
Cost [2],[3],[5]   (3,908)
Fair Value [2],[3],[5]   $ (4,565)
% of Total Cash and Investment [2],[3],[5]   0.00%
Investment, Identifier [Axis]: Debt Investments IT Services Madison Logic Holdings, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.59% Cash + 1.51% PIK Total Coupon 11.84% Maturity 12/29/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 1.51%  
Interest Rate, Cash [1],[4],[6] 5.59%  
Total Coupon [1],[4],[6] 11.84%  
Maturity [1],[4],[6] Dec. 29, 2028  
Principal [1],[4],[6] $ 2,243,977  
Cost [1],[4],[6] 2,199,411  
Fair Value [1],[4],[6] $ 2,156,462  
% of Total Cash and Investment [1],[4],[6] 0.20%  
Investment, Identifier [Axis]: Debt Investments IT Services Madison Logic Holdings, Inc. Instument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.00% Total Coupon 12.35% Maturity 12/29/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.00%
Total Coupon [2],[3],[5]   12.35%
Maturity [2],[3],[5]   Dec. 29, 2028
Principal [2],[3],[5]   $ 2,254,609
Cost [2],[3],[5]   2,198,288
Fair Value [2],[3],[5]   $ 2,191,480
% of Total Cash and Investment [2],[3],[5]   0.52%
Investment, Identifier [Axis]: Debt Investments IT Services Research Now Group, LLC (Dynata) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.76% Total Coupon 10.29% Maturity 10/15/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 1.00%  
Spread [1],[4] 5.76%  
Total Coupon [1],[4] 10.29%  
Maturity [1],[4] Oct. 15, 2028  
Principal [1],[4] $ 1,666,310  
Cost [1],[4] 1,463,189  
Fair Value [1],[4] $ 1,559,566  
% of Total Cash and Investment [1],[4] 0.14%  
Investment, Identifier [Axis]: Debt Investments IT Services Research Now Group, LLC (Dynata) Instrument First Lien Term Loan Ref SOFR(Q) Spread 5.26% Total Coupon 9.79% Maturity 5/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 5.26%  
Total Coupon [1],[4] 9.79%  
Maturity [1],[4] May 22, 2028  
Principal [1],[4] $ 235,262  
Cost [1],[4] 215,461  
Fair Value [1],[4] $ 236,635  
% of Total Cash and Investment [1],[4] 0.02%  
Investment, Identifier [Axis]: Debt Investments IT Services Research Now Group, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.76% Total Coupon 11.14% Maturity 12/20/2024    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   5.76%
Total Coupon [2],[3]   11.14%
Maturity [2],[3]   Dec. 20, 2024
Principal [2],[3]   $ 2,454,308
Cost [2],[3]   2,399,345
Fair Value [2],[3]   $ 1,832,889
% of Total Cash and Investment [2],[3]   0.44%
Investment, Identifier [Axis]: Debt Investments IT Services Serrano Parent, LLC (Sumo Logic) Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 4.26% Total Coupon 9.64% Maturity 5/13/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   4.26%
Total Coupon [2],[3],[5]   9.64%
Maturity [2],[3],[5]   May 13, 2030
Principal [2],[3],[5]   $ 0
Cost [2],[3],[5]   (9,311)
Fair Value [2],[3],[5]   $ (2,460)
% of Total Cash and Investment [2],[3],[5]   0.00%
Investment, Identifier [Axis]: Debt Investments IT Services Serrano Parent, LLC (Sumo Logic) Instrument First Lien Revolver Ref SOFR(S) Floor 1.00% Spread 6.50% Total Coupon 10.92% Maturity 5/13/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 6.50%  
Total Coupon [1],[4],[6],[7] 10.92%  
Maturity [1],[4],[6],[7] May 13, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (7,844)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments IT Services Serrano Parent, LLC (Sumo Logic) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.50% Total Coupon 11.88% Maturity 5/13/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.50%
Total Coupon [2],[3],[5]   11.88%
Maturity [2],[3],[5]   May 13, 2030
Principal [2],[3],[5]   $ 4,099,217
Cost [2],[3],[5]   4,006,111
Fair Value [2],[3],[5]   $ 4,074,622
% of Total Cash and Investment [2],[3],[5]   0.97%
Investment, Identifier [Axis]: Debt Investments IT Services Serrano Parent, LLC (Sumo Logic) Instrument First Lien Term Loan Ref SOFR(S) Floor 1.00% Spread 6.50% Total Coupon 10.92% Maturity 5/13/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.50%  
Total Coupon [1],[4],[6] 10.92%  
Maturity [1],[4],[6] May 13, 2030  
Principal [1],[4],[6] $ 4,099,217  
Cost [1],[4],[6] 4,020,774  
Fair Value [1],[4],[6] $ 4,119,713  
% of Total Cash and Investment [1],[4],[6] 0.38%  
Investment, Identifier [Axis]: Debt Investments IT Services Zelis Cost Management Buyer, Inc. Instrument First Lien Term Loan Ref SOFR(M) Spread 3.61% Total Coupon 8.97% Maturity 9/30/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   3.61%
Total Coupon [2],[3]   8.97%
Maturity [2],[3]   Sep. 30, 2026
Principal [2],[3]   $ 1,229,342
Cost [2],[3]   1,212,957
Fair Value [2],[3]   $ 1,233,294
% of Total Cash and Investment [2],[3]   0.29%
Investment, Identifier [Axis]: Debt Investments Industrial Conglomerates    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 928,832  
Fair Value [1],[4] $ 931,631  
% of Total Cash and Investment [1],[4] 0.09%  
Investment, Identifier [Axis]: Debt Investments Industrial Conglomerates Cube Industrials Buyer Inc. (Circor) Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.50% Total Coupon 8.13% Maturity 10/09/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 8.13%  
Maturity [1],[4] Oct. 09, 2031  
Principal [1],[4] $ 332,000  
Cost [1],[4] 331,191  
Fair Value [1],[4] $ 334,628  
% of Total Cash and Investment [1],[4] 0.03%  
Investment, Identifier [Axis]: Debt Investments Industrial Conglomerates LSF12 Crown US Commercial Bidco LLC Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.25% Total Coupon 8.80% Maturity 12/2/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 4.25%  
Total Coupon [1],[4] 8.80%  
Maturity [1],[4] Dec. 02, 2031  
Principal [1],[4] $ 597,000  
Cost [1],[4] 597,641  
Fair Value [1],[4] $ 597,003  
% of Total Cash and Investment [1],[4] 0.06%  
Investment, Identifier [Axis]: Debt Investments Insurance    
Schedule Of Investments [Line Items]    
Cost $ 91,012,520 [1],[4] $ 38,338,551 [2],[3]
Fair Value $ 92,070,105 [1],[4] $ 39,063,297 [2],[3]
% of Total Cash and Investment 8.51% [1],[4] 9.27% [2],[3]
Investment, Identifier [Axis]: Debt Investments Insurance Alera Group, Inc. First Lien Delayed Draw Term Loan B Ref SOFR(M) Floor 0.75% Spread 6.60% Total Coupon 11.96% Maturity 10/2/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.60%
Total Coupon [2],[3],[5]   11.96%
Maturity [2],[3],[5]   Oct. 02, 2028
Principal [2],[3],[5]   $ 479,506
Cost [2],[3],[5]   470,914
Fair Value [2],[3],[5]   $ 485,010
% of Total Cash and Investment [2],[3],[5]   0.12%
Investment, Identifier [Axis]: Debt Investments Insurance Alera Group, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 9.61% Maturity 9/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.61%  
Maturity [1],[4],[6] Sep. 30, 2028  
Principal [1],[4],[6] $ 544,797  
Cost [1],[4],[6] 538,085  
Fair Value [1],[4],[6] $ 544,797  
% of Total Cash and Investment [1],[4],[6] 0.05%  
Investment, Identifier [Axis]: Debt Investments Insurance Alera Group, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.75% Spread 5.75% Total Coupon 10.09% Maturity 11/17/2025    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.75%  
Total Coupon [1],[4],[6] 10.09%  
Maturity [1],[4],[6] Nov. 17, 2025  
Principal [1],[4],[6] $ 8,498,033  
Cost [1],[4],[6] 8,428,966  
Fair Value [1],[4],[6] $ 8,587,819  
% of Total Cash and Investment [1],[4],[6] 0.79%  
Investment, Identifier [Axis]: Debt Investments Insurance Alera Group, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 9.61% Maturity 9/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.61%  
Maturity [1],[4],[6] Sep. 30, 2028  
Principal [1],[4],[6] $ 271,583  
Cost [1],[4],[6] 268,237  
Fair Value [1],[4],[6] $ 271,583  
% of Total Cash and Investment [1],[4],[6] 0.03%  
Investment, Identifier [Axis]: Debt Investments Insurance Alera Group, Inc.First Lien Delayed Draw Term Loan B Ref SOFR(M) Floor 0.75% Spread 6.60% Total Coupon 11.96% Maturity 11/17/2025    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   6.60%
Total Coupon [2],[3],[5],[9]   11.96%
Maturity [2],[3],[5],[9]   Nov. 17, 2025
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (87,828)
Fair Value [2],[3],[5],[9]   $ 0
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Insurance Alera Group, Inc.First Lien Term Loan B Ref SOFR(M) Floor 0.75% Spread 6.60% Total Coupon 11.96% Maturity 10/2/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.60%
Total Coupon [2],[3],[5]   11.96%
Maturity [2],[3],[5]   Oct. 02, 2028
Principal [2],[3],[5]   $ 274,361
Cost [2],[3],[5]   270,077
Fair Value [2],[3],[5]   $ 277,105
% of Total Cash and Investment [2],[3],[5]   0.07%
Investment, Identifier [Axis]: Debt Investments Insurance Alliant Holdings Intermediate, LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 2.75% Total Coupon 7.11% Maturity 9/19/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.11%  
Maturity [1],[4] Sep. 19, 2031  
Principal [1],[4] $ 2,954,012  
Cost [1],[4] 2,934,863  
Fair Value [1],[4] $ 2,965,267  
% of Total Cash and Investment [1],[4] 0.27%  
Investment, Identifier [Axis]: Debt Investments Insurance Alliant Holdings Intermediate, LLC.First Lien Term Loan B Ref SOFR(M) Floor 1.00% Spread 3.50% Total Coupon 8.86% Maturity 10/31/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   3.50%
Total Coupon [2],[3]   8.86%
Maturity [2],[3]   Oct. 31, 2030
Principal [2],[3]   $ 1,735,112
Cost [2],[3]   1,702,640
Fair Value [2],[3]   $ 1,744,985
% of Total Cash and Investment [2],[3]   0.41%
Investment, Identifier [Axis]: Debt Investments Insurance AmeriLife Holdings, LLC First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 0.75% Spread 5.75% Total Coupon 11.14% Maturity 8/31/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.75%
Total Coupon [2],[3],[5]   11.14%
Maturity [2],[3],[5]   Aug. 31, 2029
Principal [2],[3],[5]   $ 623,057
Cost [2],[3],[5]   611,937
Fair Value [2],[3],[5]   $ 615,561
% of Total Cash and Investment [2],[3],[5]   0.15%
Investment, Identifier [Axis]: Debt Investments Insurance AmeriLife Holdings, LLC First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 0.75% Spread 5.75% Total Coupon 11.14% Maturity 8/31/2029 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   5.75%
Total Coupon [2],[3],[5],[9]   11.14%
Maturity [2],[3],[5],[9]   Aug. 31, 2029
Principal [2],[3],[5],[9]   $ 1
Cost [2],[3],[5],[9]   (230,566)
Fair Value [2],[3],[5],[9]   $ (119,352)
% of Total Cash and Investment [2],[3],[5],[9]   (0.03%)
Investment, Identifier [Axis]: Debt Investments Insurance AmeriLife Holdings, LLC First Lien Revolver B Ref SOFR(Q) Floor 0.75% Spread 5.75% Total Coupon 11.14% Maturity 8/31/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   5.75%
Total Coupon [2],[3],[5],[9]   11.14%
Maturity [2],[3],[5],[9]   Aug. 31, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (5,869)
Fair Value [2],[3],[5],[9]   $ (3,775)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Insurance AmeriLife Holdings, LLC First Lien Term Loan B Ref SOFR(Q) Floor 0.75% Spread 5.75% Total Coupon 11.14% Maturity 8/31/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.75%
Total Coupon [2],[3],[5]   11.14%
Maturity [2],[3],[5]   Aug. 31, 2029
Principal [2],[3],[5]   $ 2,989,756
Cost [2],[3],[5]   2,941,368
Fair Value [2],[3],[5]   $ 2,959,858
% of Total Cash and Investment [2],[3],[5]   0.70%
Investment, Identifier [Axis]: Debt Investments Insurance AmeriLife Holdings, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(S) Floor 0.75% Spread 5.00% Total Coupon 9.70% Maturity 8/31/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.70%  
Maturity [1],[4],[6] Aug. 31, 2029  
Principal [1],[4],[6] $ 931,031  
Cost [1],[4],[6] 916,227  
Fair Value [1],[4],[6] $ 931,031  
% of Total Cash and Investment [1],[4],[6] 0.09%  
Investment, Identifier [Axis]: Debt Investments Insurance AmeriLife Holdings, LLC Instrument First Lien Revolver Ref SOFR(S) Floor 0.75% Spread 5.00% Total Coupon 9.70% Maturity 8/31/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.70%  
Maturity [1],[4],[6],[7] Aug. 31, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (4,614)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Insurance AmeriLife Holdings, LLC Instrument First Lien Term Loan Ref SOFR(S) Floor 0.75% Spread 5.00% Total Coupon 9.70% Maturity 8/31/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.70%  
Maturity [1],[4],[6] Aug. 31, 2029  
Principal [1],[4],[6] $ 14,615,944  
Cost [1],[4],[6] 14,392,901  
Fair Value [1],[4],[6] $ 14,615,944  
% of Total Cash and Investment [1],[4],[6] 1.35%  
Investment, Identifier [Axis]: Debt Investments Insurance Amynta Agency Borrower Inc. (Mayfield) Instrument First Lien Term Loan Ref SOFR(M) Spread 3.00% Total Coupon 7.34% Maturity 12/16/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.34%  
Maturity [1],[4] Dec. 16, 2031  
Principal [1],[4] $ 2,985,067  
Cost [1],[4] 2,990,709  
Fair Value [1],[4] $ 2,988,798  
% of Total Cash and Investment [1],[4] 0.28%  
Investment, Identifier [Axis]: Debt Investments Insurance AssuredPartners, Inc. First Lien Term Loan B Ref SOFR(M) Floor 0.50% Spread 3.61% Total Coupon 8.97% Maturity 2/12/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.50%
Spread [2],[3],[5]   3.61%
Total Coupon [2],[3],[5]   8.97%
Maturity [2],[3],[5]   Feb. 12, 2027
Principal [2],[3],[5]   $ 983,232
Cost [2],[3],[5]   958,013
Fair Value [2],[3],[5]   $ 986,919
% of Total Cash and Investment [2],[3],[5]   0.23%
Investment, Identifier [Axis]: Debt Investments Insurance AssuredPartners, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.50% Total Coupon 7.86% Maturity 12/27/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.86%  
Maturity [1],[4] Dec. 27, 2031  
Principal [1],[4] $ 5,310,819  
Cost [1],[4] 5,328,231  
Fair Value [1],[4] $ 5,328,238  
% of Total Cash and Investment [1],[4] 0.49%  
Investment, Identifier [Axis]: Debt Investments Insurance Galway Borrower LLC First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 1.00% Spread 5.75% Total Coupon 11.10% Maturity 9/29/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   5.75%
Total Coupon [2],[3],[5],[9]   11.10%
Maturity [2],[3],[5],[9]   Sep. 29, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (47,359)
Fair Value [2],[3],[5],[9]   $ (135,000)
% of Total Cash and Investment [2],[3],[5],[9]   (0.03%)
Investment, Identifier [Axis]: Debt Investments Insurance Galway Borrower LLC First Lien Term Loan B Ref SOFR(Q) Floor 1.00% Spread 5.75% Total Coupon 11.10% Maturity 9/29/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   5.75%
Total Coupon [2],[3],[5]   11.10%
Maturity [2],[3],[5]   Sep. 29, 2028
Principal [2],[3],[5]   $ 3,582,000
Cost [2],[3],[5]   3,519,170
Fair Value [2],[3],[5]   $ 3,492,450
% of Total Cash and Investment [2],[3],[5]   0.83%
Investment, Identifier [Axis]: Debt Investments Insurance Galway Borrower LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 4.50% Total Coupon 8.82% Maturity 9/29/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.50%  
Total Coupon [1],[4],[6] 8.82%  
Maturity [1],[4],[6] Sep. 29, 2028  
Principal [1],[4],[6] $ 5,281,629  
Cost [1],[4],[6] 5,214,254  
Fair Value [1],[4],[6] $ 5,294,833  
% of Total Cash and Investment [1],[4],[6] 0.49%  
Investment, Identifier [Axis]: Debt Investments Insurance Galway Borrower LLC Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.50% Total Coupon 8.83% Maturity 9/29/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.00%  
Spread [1],[4],[6] 4.50%  
Total Coupon [1],[4],[6] 8.83%  
Maturity [1],[4],[6] Sep. 29, 2028  
Principal [1],[4],[6] $ 3,189,674  
Cost [1],[4],[6] 3,145,541  
Fair Value [1],[4],[6] $ 3,197,648  
% of Total Cash and Investment [1],[4],[6] 0.30%  
Investment, Identifier [Axis]: Debt Investments Insurance HUB International Limited First Lien Incremental Term Loan B Ref SOFR(Q) Floor 0.75% Spread 4.00% Total Coupon 9.37% Maturity 11/10/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.00%
Total Coupon [2],[3]   9.37%
Maturity [2],[3]   Nov. 10, 2029
Principal [2],[3]   $ 208,486
Cost [2],[3]   201,639
Fair Value [2],[3]   $ 209,528
% of Total Cash and Investment [2],[3]   0.05%
Investment, Identifier [Axis]: Debt Investments Insurance HUB International Limited First Lien Term Loan B Ref SOFR(Q) Floor 0.75% Spread 4.25% Total Coupon 9.66% Maturity 6/20/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.25%
Total Coupon [2],[3]   9.66%
Maturity [2],[3]   Jun. 20, 2030
Principal [2],[3]   $ 1,459,787
Cost [2],[3]   1,459,787
Fair Value [2],[3]   $ 1,467,896
% of Total Cash and Investment [2],[3]   0.35%
Investment, Identifier [Axis]: Debt Investments Insurance HUB International Limited Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 2.75% Total Coupon 7.37% Maturity 6/20/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 2.75%  
Total Coupon [1],[4],[6] 7.37%  
Maturity [1],[4],[6] Jun. 20, 2030  
Principal [1],[4],[6] $ 4,478,631  
Cost [1],[4],[6] 4,485,177  
Fair Value [1],[4],[6] $ 4,511,415  
% of Total Cash and Investment [1],[4],[6] 0.42%  
Investment, Identifier [Axis]: Debt Investments Insurance Higginbotham Insurance Agency, Inc. First Lien Delayed Draw Term Loan B Ref SOFR(M) Floor 1.00% Spread 5.60% Total Coupon 10.96% Maturity 11/25/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   5.60%
Total Coupon [2],[3],[5]   10.96%
Maturity [2],[3],[5]   Nov. 25, 2026
Principal [2],[3],[5]   $ 840,186
Cost [2],[3],[5]   840,186
Fair Value [2],[3],[5]   $ 835,145
% of Total Cash and Investment [2],[3],[5]   0.20%
Investment, Identifier [Axis]: Debt Investments Insurance Higginbotham Insurance Agency, Inc. First Lien Delayed Draw Term Loan B Ref SOFR(M) Floor 1.00% Spread 5.60% Total Coupon 10.96% Maturity 11/25/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   5.60%
Total Coupon [2],[3],[5]   10.96%
Maturity [2],[3],[5]   Nov. 25, 2028
Principal [2],[3],[5]   $ 7,310,232
Cost [2],[3],[5]   7,224,877
Fair Value [2],[3],[5]   $ 7,244,319
% of Total Cash and Investment [2],[3],[5]   1.72%
Investment, Identifier [Axis]: Debt Investments Insurance Higginbotham Insurance Agency, Inc. First Lien Term Loan B Ref SOFR(M) Floor 1.00% Spread 5.60% Total Coupon 10.96% Maturity 11/25/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   5.60%
Total Coupon [2],[3],[5]   10.96%
Maturity [2],[3],[5]   Nov. 25, 2026
Principal [2],[3],[5]   $ 2,881,760
Cost [2],[3],[5]   2,881,760
Fair Value [2],[3],[5]   $ 2,864,469
% of Total Cash and Investment [2],[3],[5]   0.68%
Investment, Identifier [Axis]: Debt Investments Insurance Higginbotham Insurance Agency, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 4.75% Total Coupon 9.11% Maturity 11/25/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.75%  
Total Coupon [1],[4],[6] 9.11%  
Maturity [1],[4],[6] Nov. 25, 2026  
Principal [1],[4],[6] $ 373,653  
Cost [1],[4],[6] 362,869  
Fair Value [1],[4],[6] $ 373,653  
% of Total Cash and Investment [1],[4],[6] 0.03%  
Investment, Identifier [Axis]: Debt Investments Insurance Higginbotham Insurance Agency, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 4.50% Total Coupon 8.86% Maturity 11/25/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.50%  
Total Coupon [1],[4],[6] 8.86%  
Maturity [1],[4],[6] Nov. 25, 2028  
Principal [1],[4],[6] $ 14,560,321  
Cost [1],[4],[6] 14,479,586  
Fair Value [1],[4],[6] $ 14,472,959  
% of Total Cash and Investment [1],[4],[6] 1.33%  
Investment, Identifier [Axis]: Debt Investments Insurance Integrity Marketing Acquisition, LLC First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 0.75% Spread 6.00% Total Coupon 11.39% Maturity 8/27/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.39%
Maturity [2],[3],[5]   Aug. 27, 2026
Principal [2],[3],[5]   $ 1,334,926
Cost [2],[3],[5]   1,313,204
Fair Value [2],[3],[5]   $ 1,324,247
% of Total Cash and Investment [2],[3],[5]   0.31%
Investment, Identifier [Axis]: Debt Investments Insurance Integrity Marketing Acquisition, LLC First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 0.75% Spread 6.00% Total Coupon 11.39% Maturity 8/27/2026 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.39%
Maturity [2],[3],[5]   Aug. 27, 2026
Principal [2],[3],[5]   $ 203,761
Cost [2],[3],[5]   189,910
Fair Value [2],[3],[5]   $ 180,420
% of Total Cash and Investment [2],[3],[5]   0.04%
Investment, Identifier [Axis]: Debt Investments Insurance Integrity Marketing Acquisition, LLC First Lien Revolver B Ref SOFR(Q) Floor 0.75% Spread 6.00% Total Coupon 11.39% Maturity 8/27/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   6.00%
Total Coupon [2],[3],[5],[9]   11.39%
Maturity [2],[3],[5],[9]   Aug. 27, 2026
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (164,703)
Fair Value [2],[3],[5],[9]   $ 0
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Insurance Integrity Marketing Acquisition, LLC First Lien Term Loan B Ref SOFR(Q) Floor 0.75% Spread 6.00% Total Coupon 11.39% Maturity 8/27/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.00%
Total Coupon [2],[3],[5]   11.39%
Maturity [2],[3],[5]   Aug. 27, 2026
Principal [2],[3],[5]   $ 1,999,270
Cost [2],[3],[5]   1,966,765
Fair Value [2],[3],[5]   $ 1,983,276
% of Total Cash and Investment [2],[3],[5]   0.47%
Investment, Identifier [Axis]: Debt Investments Insurance Integrity Marketing Acquisition, LLC First Lien Term Loan B Ref SOFR(Q) Floor 0.75% Spread 6.50% Total Coupon 11.89% Maturity 8/27/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.50%
Total Coupon [2],[3],[5]   11.89%
Maturity [2],[3],[5]   Aug. 27, 2026
Principal [2],[3],[5]   $ 2,959,939
Cost [2],[3],[5]   2,925,841
Fair Value [2],[3],[5]   $ 2,959,939
% of Total Cash and Investment [2],[3],[5]   0.70%
Investment, Identifier [Axis]: Debt Investments Insurance Integrity Marketing Acquisition, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.51% Maturity 8/25/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.51%  
Maturity [1],[4],[6],[7] Aug. 25, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (29,687)  
Fair Value [1],[4],[6],[7] $ 30,747  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Insurance Integrity Marketing Acquisition, LLC Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.51% Maturity 8/25/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.51%  
Maturity [1],[4],[6],[7] Aug. 25, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (121,196)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Insurance Integrity Marketing Acquisition, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.51% Maturity 8/25/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.51%  
Maturity [1],[4],[6] Aug. 25, 2028  
Principal [1],[4],[6] $ 7,973,881  
Cost [1],[4],[6] 7,928,417  
Fair Value [1],[4],[6] $ 8,005,777  
% of Total Cash and Investment [1],[4],[6] 0.74%  
Investment, Identifier [Axis]: Debt Investments Insurance NFP Corp. First Lien Term Loan Ref SOFR(Q) Spread 3.36% Total Coupon 8.72% Maturity 2/13/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   3.36%
Total Coupon [2],[3]   8.72%
Maturity [2],[3]   Feb. 13, 2027
Principal [2],[3]   $ 983,024
Cost [2],[3]   951,550
Fair Value [2],[3]   $ 989,247
% of Total Cash and Investment [2],[3]   0.23%
Investment, Identifier [Axis]: Debt Investments Insurance Peter C. Foy & Associates Insurance Services, LLC (PCF Insurance First Lien Delayed B Ref SOFR(M) Floor 0.75% Spread 6.11% Total Coupon 11.47% Maturity 7/19/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   6.11%
Total Coupon [2],[3],[5],[9]   11.47%
Maturity [2],[3],[5],[9]   Jul. 19, 2030
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (31,367)
Fair Value [2],[3],[5],[9]   $ 34,315
% of Total Cash and Investment [2],[3],[5],[9]   0.01%
Investment, Identifier [Axis]: Debt Investments Insurance Peter C. Foy & Associates Insurance Services, LLC (PCF Insurance) First Lien Term Loan B Ref SOFR(Q) Floor 0.75% Spread 6.50% Total Coupon 11.86% Maturity 7/19/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.50%
Total Coupon [2],[3],[5]   11.86%
Maturity [2],[3],[5]   Jul. 19, 2030
Principal [2],[3],[5]   $ 3,422,931
Cost [2],[3],[5]   3,360,354
Fair Value [2],[3],[5]   $ 3,457,160
% of Total Cash and Investment [2],[3],[5]   0.82%
Investment, Identifier [Axis]: Debt Investments Insurance Peter C. Foy & Associates Insurance Services, LLC (PCF Insurance) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.50% Total Coupon 9.83% Maturity 11/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 9.83%  
Maturity [1],[4],[6] Nov. 01, 2028  
Principal [1],[4],[6] $ 6,262,360  
Cost [1],[4],[6] 6,196,232  
Fair Value [1],[4],[6] $ 6,246,744  
% of Total Cash and Investment [1],[4],[6] 0.58%  
Investment, Identifier [Axis]: Debt Investments Insurance Peter C. Foy & Associates Insurance Services, LLC (PCF Insurance) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 6.50% Total Coupon 10.86% Maturity 7/19/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 6.50%  
Total Coupon [1],[4],[6] 10.86%  
Maturity [1],[4],[6] Jul. 19, 2030  
Principal [1],[4],[6] $ 3,388,616  
Cost [1],[4],[6] 3,339,505  
Fair Value [1],[4],[6] $ 3,422,502  
% of Total Cash and Investment [1],[4],[6] 0.32%  
Investment, Identifier [Axis]: Debt Investments Insurance RSC Acquisition, Inc. (Risk Strategies) First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 1.00% Spread 6.02% Total Coupon 11.39% Maturity 10/30/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.02%
Total Coupon [2],[3],[5]   11.39%
Maturity [2],[3],[5]   Oct. 30, 2026
Principal [2],[3],[5]   $ 546,041
Cost [2],[3],[5]   546,041
Fair Value [2],[3],[5]   $ 540,581
% of Total Cash and Investment [2],[3],[5]   0.13%
Investment, Identifier [Axis]: Debt Investments Insurance RSC Acquisition, Inc. (Risk Strategies) First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 1.00% Spread 6.02% Total Coupon 11.39% Maturity 10/30/2026 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.02%
Total Coupon [2],[3],[5]   11.39%
Maturity [2],[3],[5]   Oct. 30, 2026
Principal [2],[3],[5]   $ 243,378
Cost [2],[3],[5]   189,578
Fair Value [2],[3],[5]   $ 228,089
% of Total Cash and Investment [2],[3],[5]   0.05%
Investment, Identifier [Axis]: Debt Investments Insurance RSC Acquisition, Inc. (Risk Strategies) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.75% Total Coupon 9.08% Maturity 11/1/2029 Three    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.75%  
Total Coupon [1],[4] 9.08%  
Maturity [1],[4] Nov. 01, 2029  
Principal [1],[4] $ 182,652  
Cost [1],[4] 182,652  
Fair Value [1],[4] $ 182,880  
% of Total Cash and Investment [1],[4] 0.02%  
Investment, Identifier [Axis]: Debt Investments Insurance RSC Acquisition, Inc. (Risk Strategies) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.75% Total Coupon 9.08% Maturity 11/1/2029 Two    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 4.75%  
Total Coupon [1],[4],[6] 9.08%  
Maturity [1],[4],[6] Nov. 01, 2029  
Principal [1],[4],[6] $ 656,214  
Cost [1],[4],[6] 656,214  
Fair Value [1],[4],[6] $ 656,214  
% of Total Cash and Investment [1],[4],[6] 0.06%  
Investment, Identifier [Axis]: Debt Investments Insurance RSC Acquisition, Inc. (Risk Strategies) Instrument First Lien Initial Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.75% Total Coupon 9.08% Maturity 11/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.75%  
Total Coupon [1],[4] 9.08%  
Maturity [1],[4] Nov. 01, 2029  
Principal [1],[4] $ 1,626,202  
Cost [1],[4] 1,626,202  
Fair Value [1],[4] $ 1,628,235  
% of Total Cash and Investment [1],[4] 0.15%  
Investment, Identifier [Axis]: Debt Investments Insurance RSC Acquisition, Inc. (Risk Strategies) Instrument First Lien Initial Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.75% Total Coupon 9.08% Maturity 11/1/2029 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.75%  
Total Coupon [1],[4] 9.08%  
Maturity [1],[4] Nov. 01, 2029  
Principal [1],[4] $ 764,696  
Cost [1],[4] 764,696  
Fair Value [1],[4] $ 765,652  
% of Total Cash and Investment [1],[4] 0.07%  
Investment, Identifier [Axis]: Debt Investments Insurance RSC Acquisition, Inc. (Risk Strategies) Instrument First Lien Initial Term Loan Ref SOFR(Q) Floor 1.00% Spread 4.75% Total Coupon 9.08% Maturity 11/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 1.00%  
Spread [1],[4] 4.75%  
Total Coupon [1],[4] 9.08%  
Maturity [1],[4] Nov. 01, 2029  
Principal [1],[4] $ 1,100,172  
Cost [1],[4] 1,100,172  
Fair Value [1],[4] $ 1,101,547  
% of Total Cash and Investment [1],[4] 0.10%  
Investment, Identifier [Axis]: Debt Investments Insurance Sedgwick Claims Management Services, Inc. (Lightning Cayman Merger Sub, Ltd.) First Lien Term Loan B Ref SOFR(M) Spread 3.75% Total Coupon 9.11% Maturity 9/3/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   3.75%
Total Coupon [2],[3]   9.11%
Maturity [2],[3]   Sep. 03, 2026
Principal [2],[3]   $ 1,922,008
Cost [2],[3]   1,888,391
Fair Value [2],[3]   $ 1,930,282
% of Total Cash and Investment [2],[3]   0.46%
Investment, Identifier [Axis]: Debt Investments Insurance Sedgwick Claims Management Services, Inc. (Lightning Cayman Merger Sub, Ltd.) Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.00% Total Coupon 7.59% Maturity 7/13/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.59%  
Maturity [1],[4] Jul. 13, 2031  
Principal [1],[4] $ 4,423,240  
Cost [1],[4] 4,399,976  
Fair Value [1],[4] $ 4,455,375  
% of Total Cash and Investment [1],[4] 0.41%  
Investment, Identifier [Axis]: Debt Investments Insurance Truist Insurance Holdings, LLC Instrument First Lien Term Loan Ref SOFR(Q) Spread 2.75% Total Coupon 7.08% Maturity 5/6/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.08%  
Maturity [1],[4] May 06, 2031  
Principal [1],[4] $ 1,483,726  
Cost [1],[4] 1,488,305  
Fair Value [1],[4] $ 1,490,447  
% of Total Cash and Investment [1],[4] 0.14%  
Investment, Identifier [Axis]: Debt Investments Insurance USI, Inc. First Lien Term Loan B Ref SOFR(Q) Spread 3.00% Total Coupon 8.36% Maturity 11/22/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   3.00%
Total Coupon [2],[3]   8.36%
Maturity [2],[3]   Nov. 22, 2029
Principal [2],[3]   $ 2,502,602
Cost [2],[3]   2,492,241
Fair Value [2],[3]   $ 2,510,623
% of Total Cash and Investment [2],[3]   0.60%
Investment, Identifier [Axis]: Debt Investments Internet & Catalog Retail    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 3,400,116
Fair Value [2],[3]   $ 3,374,743
% of Total Cash and Investment [2],[3]   0.80%
Investment, Identifier [Axis]: Debt Investments Internet & Catalog Retail CommerceHub, Inc. First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.40% Total Coupon 11.79% Maturity 12/29/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   6.40%
Total Coupon [2],[3],[5]   11.79%
Maturity [2],[3],[5]   Dec. 29, 2027
Principal [2],[3],[5]   $ 2,299,629
Cost [2],[3],[5]   2,174,189
Fair Value [2],[3],[5]   $ 2,139,805
% of Total Cash and Investment [2],[3],[5]   0.51%
Investment, Identifier [Axis]: Debt Investments Internet & Catalog Retail Syndigo, LLC First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.50% Total Coupon 9.97% Maturity 12/14/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.50%
Total Coupon [2],[3]   9.97%
Maturity [2],[3]   Dec. 14, 2027
Principal [2],[3]   $ 1,259,338
Cost [2],[3]   1,225,927
Fair Value [2],[3]   $ 1,234,938
% of Total Cash and Investment [2],[3]   0.29%
Investment, Identifier [Axis]: Debt Investments Internet & Direct Marketing Retail Pug LLC First Lien Term Loan Ref SOFR(M) Spread 3.61% Total Coupon 8.97% Maturity 2/12/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   3.61%
Total Coupon [2],[3]   8.97%
Maturity [2],[3]   Feb. 12, 2027
Principal [2],[3]   $ 736,195
Cost [2],[3]   713,646
Fair Value [2],[3]   $ 726,223
% of Total Cash and Investment [2],[3]   0.17%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services    
Schedule Of Investments [Line Items]    
Cost $ 52,667,030 [1],[4] $ 23,534,274 [2],[3]
Fair Value $ 52,796,966 [1],[4] $ 22,872,457 [2],[3]
% of Total Cash and Investment 4.88% [1],[4] 5.43% [2],[3]
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Anaconda, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 7.50% Total Coupon 12.85% Maturity 8/22/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.50%
Total Coupon [2],[3],[5]   12.85%
Maturity [2],[3],[5]   Aug. 22, 2027
Principal [2],[3],[5]   $ 700,040
Cost [2],[3],[5]   693,996
Fair Value [2],[3],[5]   $ 686,739
% of Total Cash and Investment [2],[3],[5]   0.16%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Anaconda, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 7.50% Total Coupon 12.87% Maturity 8/22/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.50%
Total Coupon [2],[3],[5]   12.87%
Maturity [2],[3],[5]   Aug. 22, 2027
Principal [2],[3],[5]   $ 841,208
Cost [2],[3],[5]   834,920
Fair Value [2],[3],[5]   $ 825,225
% of Total Cash and Investment [2],[3],[5]   0.20%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Bynder Bidco B.V. (Netherlands) Instrument First Lien Revolver B Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.62% Maturity 1/26/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7],[11] 1.00%  
Spread [1],[4],[6],[7],[11] 6.00%  
Total Coupon [1],[4],[6],[7],[11] 10.62%  
Maturity [1],[4],[6],[7],[11] Jan. 26, 2029  
Principal [1],[4],[6],[7],[11] $ 0  
Cost [1],[4],[6],[7],[11] (958)  
Fair Value [1],[4],[6],[7],[11] $ 0  
% of Total Cash and Investment [1],[4],[6],[7],[11] 0.00%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Bynder Bidco B.V. (Netherlands) Instrument First Lien Revolver B Ref SOFR(Q) Floor 1.00% Spread 7.25% Total Coupon 12.63% Maturity 1/26/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[8]   1.00%
Spread [2],[3],[5],[8]   7.25%
Total Coupon [2],[3],[5],[8]   12.63%
Maturity [2],[3],[5],[8]   Jan. 26, 2029
Principal [2],[3],[5],[8]   $ 0
Cost [2],[3],[5],[8]   (1,194)
Fair Value [2],[3],[5],[8]   $ (2,944)
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Bynder Bidco B.V. (Netherlands) Instrument First Lien Term Loan B Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.62% Maturity 1/26/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[11] 1.00%  
Spread [1],[4],[6],[11] 6.00%  
Total Coupon [1],[4],[6],[11] 10.62%  
Maturity [1],[4],[6],[11] Jan. 26, 2029  
Principal [1],[4],[6],[11] $ 2,110,569  
Cost [1],[4],[6],[11] 2,067,684  
Fair Value [1],[4],[6],[11] $ 2,113,693  
% of Total Cash and Investment [1],[4],[6],[11] 0.20%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Bynder Bidco B.V. (Netherlands) Instrument First Lien Term Loan B Ref SOFR(Q) Floor 1.00% Spread 7.25% Total Coupon 12.63% Maturity 1/26/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[8]   1.00%
Spread [2],[3],[5],[8]   7.25%
Total Coupon [2],[3],[5],[8]   12.63%
Maturity [2],[3],[5],[8]   Jan. 26, 2029
Principal [2],[3],[5],[8]   $ 2,110,569
Cost [2],[3],[5],[8]   2,057,121
Fair Value [2],[3],[5],[8]   $ 2,074,267
% of Total Cash and Investment [2],[3],[5],[8]   0.49%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Bynder Bidco, Inc. (Netherlands) Instrument First Lien Revolver A Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.62% Maturity 1/26/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7],[11] 1.00%  
Spread [1],[4],[6],[7],[11] 6.00%  
Total Coupon [1],[4],[6],[7],[11] 10.62%  
Maturity [1],[4],[6],[7],[11] Jan. 26, 2029  
Principal [1],[4],[6],[7],[11] $ 0  
Cost [1],[4],[6],[7],[11] (3,478)  
Fair Value [1],[4],[6],[7],[11] $ 0  
% of Total Cash and Investment [1],[4],[6],[7],[11] 0.00%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Bynder Bidco, Inc. (Netherlands) Instrument First Lien Revolver A Ref SOFR(Q) Floor 1.00% Spread 7.25% Total Coupon 12.63% Maturity 1/26/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[8],[9]   1.00%
Spread [2],[3],[5],[8],[9]   7.25%
Total Coupon [2],[3],[5],[8],[9]   12.63%
Maturity [2],[3],[5],[8],[9]   Jan. 26, 2029
Principal [2],[3],[5],[8],[9]   $ 0
Cost [2],[3],[5],[8],[9]   (4,335)
Fair Value [2],[3],[5],[8],[9]   $ (811)
% of Total Cash and Investment [2],[3],[5],[8],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Bynder Bidco, Inc. (Netherlands) Instrument First Lien Term Loan A Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.62% Maturity 1/26/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[11] 1.00%  
Spread [1],[4],[6],[11] 6.00%  
Total Coupon [1],[4],[6],[11] 10.62%  
Maturity [1],[4],[6],[11] Jan. 26, 2029  
Principal [1],[4],[6],[11] $ 582,226  
Cost [1],[4],[6],[11] 570,396  
Fair Value [1],[4],[6],[11] $ 583,088  
% of Total Cash and Investment [1],[4],[6],[11] 0.05%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Bynder Bidco, Inc. (Netherlands) Instrument First Lien Term Loan A Ref SOFR(Q) Floor 1.00% Spread 7.25% Total Coupon 12.63% Maturity 1/26/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[8]   1.00%
Spread [2],[3],[5],[8]   7.25%
Total Coupon [2],[3],[5],[8]   12.63%
Maturity [2],[3],[5],[8]   Jan. 26, 2029
Principal [2],[3],[5],[8]   $ 582,226
Cost [2],[3],[5],[8]   567,482
Fair Value [2],[3],[5],[8]   $ 572,212
% of Total Cash and Investment [2],[3],[5],[8]   0.14%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Gympass US, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 3.25% Cash + 3.25% PIK Total Coupon 10.97% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 3.25%  
Interest Rate, Cash [1],[4],[6] 3.25%  
Total Coupon [1],[4],[6] 10.97%  
Maturity [1],[4],[6] Aug. 29, 2029  
Principal [1],[4],[6] $ 12,376,482  
Cost [1],[4],[6] 12,271,865  
Fair Value [1],[4],[6] $ 12,401,235  
% of Total Cash and Investment [1],[4],[6] 1.14%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Gympass US, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 4.00% Cash + 400% PIK Total Coupon 13.47% Maturity 7/8/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Investment, Interest Rate, Paid in Kind [2],[3],[5]   4.00%
Interest Rate, Cash [2],[3],[5]   4.00%
Total Coupon [2],[3],[5]   13.47%
Maturity [2],[3],[5]   Jul. 08, 2027
Principal [2],[3],[5]   $ 2,651,286
Cost [2],[3],[5]   2,633,764
Fair Value [2],[3],[5]   $ 2,651,286
% of Total Cash and Investment [2],[3],[5]   0.63%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Gympass US, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 3.25% Cash + 3.25% PIK Total Coupon 10.97% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 3.25%  
Interest Rate, Cash [1],[4],[6] 3.25%  
Total Coupon [1],[4],[6] 10.97%  
Maturity [1],[4],[6] Aug. 29, 2029  
Principal [1],[4],[6] $ 2,757,392  
Cost [1],[4],[6] 2,744,842  
Fair Value [1],[4],[6] $ 2,762,907  
% of Total Cash and Investment [1],[4],[6] 0.26%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Magenta Buyer, LLC (McAfee) Instrument First Lien Incremental Term Loan Ref Fixed Spread 12.00% Total Coupon 12.00% Maturity 7/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.00%
Spread [2],[3],[5]   12.00%
Total Coupon [2],[3],[5]   12.00%
Maturity [2],[3],[5]   Jul. 27, 2028
Principal [2],[3],[5]   $ 841,504
Cost [2],[3],[5]   776,449
Fair Value [2],[3],[5]   $ 652,166
% of Total Cash and Investment [2],[3],[5]   0.15%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Magenta Buyer, LLC (McAfee) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.85% Total Coupon 9.19% Maturity 3/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.85%
Total Coupon [2],[3]   9.19%
Maturity [2],[3]   Mar. 01, 2029
Principal [2],[3]   $ 709,200
Cost [2],[3]   691,301
Fair Value [2],[3]   $ 708,168
% of Total Cash and Investment [2],[3]   0.17%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Magenta Buyer, LLC (McAfee) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.26% Total Coupon 10.64% Maturity 7/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   5.26%
Total Coupon [2],[3]   10.64%
Maturity [2],[3]   Jul. 27, 2028
Principal [2],[3]   $ 2,462,312
Cost [2],[3]   2,392,230
Fair Value [2],[3]   $ 1,762,092
% of Total Cash and Investment [2],[3]   0.42%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Magenta Buyer, LLC (McAfee) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 10.84% Maturity 7/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 6.25%  
Total Coupon [1],[4] 10.84%  
Maturity [1],[4] Jul. 27, 2028  
Principal [1],[4] $ 405,750  
Cost [1],[4] 401,156  
Fair Value [1],[4] $ 413,993  
% of Total Cash and Investment [1],[4] 0.04%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Magenta Buyer, LLC (McAfee) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 7.01% Total Coupon 11.60% Maturity 7/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 7.01%  
Total Coupon [1],[4] 11.60%  
Maturity [1],[4] Jul. 27, 2028  
Principal [1],[4] $ 1,393,410  
Cost [1],[4] 1,349,154  
Fair Value [1],[4] $ 1,288,904  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Magenta Buyer, LLC (McAfee) Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.00% Total Coupon 7.37% Maturity 3/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.37%  
Maturity [1],[4] Mar. 01, 2029  
Principal [1],[4] $ 4,643,769  
Cost [1],[4] 4,628,527  
Fair Value [1],[4] $ 4,653,637  
% of Total Cash and Investment [1],[4] 0.43%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Magenta Buyer, LLC (McAfee) Instrument Second Lien Second Out Term Loan Ref SOFR(Q) Floor 0.75% Spread 1.76% Cash + 6.25% PIK Total Coupon 12.60% Maturity 7/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Investment, Interest Rate, Paid in Kind [1],[4] 6.25%  
Interest Rate, Cash [1],[4] 1.76%  
Total Coupon [1],[4] 12.60%  
Maturity [1],[4] Jul. 27, 2028  
Principal [1],[4] $ 1,073,332  
Cost [1],[4] 1,039,698  
Fair Value [1],[4] $ 645,786  
% of Total Cash and Investment [1],[4] 0.06%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Magenta Buyer, LLC (McAfee) Instrument Second Lien Third Out Term Loan Ref SOFR(Q) Floor 0.75% Spread 1.76% Cash + 5.50% PIK Total Coupon 11.85% Maturity 7/27/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[12] 0.75%  
Investment, Interest Rate, Paid in Kind [1],[4],[12] 5.50%  
Interest Rate, Cash [1],[4],[12] 1.76%  
Total Coupon [1],[4],[12] 11.85%  
Maturity [1],[4],[12] Jul. 27, 2028  
Principal [1],[4],[12] $ 338,404  
Cost [1],[4],[12] 317,820  
Fair Value [1],[4],[12] $ 119,045  
% of Total Cash and Investment [1],[4],[12] 0.01%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Oranje Holdco, Inc. (KnowBe4) Instrument First Lien Incremental Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.25% Total Coupon 11.82% Maturity 2/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 7.25%  
Total Coupon [1],[4],[6] 11.82%  
Maturity [1],[4],[6] Feb. 01, 2029  
Principal [1],[4],[6] $ 1,116,745  
Cost [1],[4],[6] 1,096,909  
Fair Value [1],[4],[6] $ 1,102,227  
% of Total Cash and Investment [1],[4],[6] 0.10%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Oranje Holdco, Inc. (KnowBe4) Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 7.75% Total Coupon 12.32% Maturity 2/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 7.75%  
Total Coupon [1],[4],[6],[7] 12.32%  
Maturity [1],[4],[6],[7] Feb. 01, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (3,075)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Oranje Holdco, Inc. (KnowBe4) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 7.75% Total Coupon 13.13% Maturity 2/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   7.75%
Total Coupon [2],[3],[5],[9]   13.13%
Maturity [2],[3],[5],[9]   Feb. 01, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (3,829)
Fair Value [2],[3],[5],[9]   $ 0
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Oranje Holdco, Inc. (KnowBe4) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.50% Total Coupon 12.88% Maturity 2/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.50%
Total Coupon [2],[3],[5]   12.88%
Maturity [2],[3],[5]   Feb. 01, 2029
Principal [2],[3],[5]   $ 1,445,490
Cost [2],[3],[5]   1,414,859
Fair Value [2],[3],[5]   $ 1,461,390
% of Total Cash and Investment [2],[3],[5]   0.35%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Oranje Holdco, Inc. (KnowBe4) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.75% Total Coupon 12.32% Maturity 2/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 7.75%  
Total Coupon [1],[4],[6] 12.32%  
Maturity [1],[4],[6] Feb. 01, 2029  
Principal [1],[4],[6] $ 1,445,490  
Cost [1],[4],[6] 1,420,893  
Fair Value [1],[4],[6] $ 1,451,272  
% of Total Cash and Investment [1],[4],[6] 0.13%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Spartan Bidco Pty Ltd (StarRez) (Australia) Instrument First Lien Incremental Term Loan Ref SOFR(Q) Floor 0.75% Spread 0.90% Cash + 6.25% PIK Total Coupon 11.78% Maturity 1/24/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[11] 0.75%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[11] 6.25%  
Interest Rate, Cash [1],[4],[6],[11] 0.90%  
Total Coupon [1],[4],[6],[11] 11.78%  
Maturity [1],[4],[6],[11] Jan. 24, 2028  
Principal [1],[4],[6],[11] $ 9,951,664  
Cost [1],[4],[6],[11] 9,798,741  
Fair Value [1],[4],[6],[11] $ 9,899,074  
% of Total Cash and Investment [1],[4],[6],[11] 0.92%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Spartan Bidco Pty Ltd (StarRez) (Australia) Instrument First Lien Revolver Ref SOFR(M) Floor 0.75% Spread 6.90% Total Coupon 11.25% Maturity 1/24/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7],[11] 0.75%  
Spread [1],[4],[6],[7],[11] 6.90%  
Total Coupon [1],[4],[6],[7],[11] 11.25%  
Maturity [1],[4],[6],[7],[11] Jan. 24, 2028  
Principal [1],[4],[6],[7],[11] $ 0  
Cost [1],[4],[6],[7],[11] (10,042)  
Fair Value [1],[4],[6],[7],[11] $ (1,393)  
% of Total Cash and Investment [1],[4],[6],[7],[11] 0.00%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services Spartan Bidco Pty Ltd (StarRez) (Australia) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 0.90% Cash + 6.25% PIK Total Coupon 12.53% Maturity 1/24/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[8]   0.75%
Investment, Interest Rate, Paid in Kind [2],[3],[5],[8]   6.25%
Interest Rate, Cash [2],[3],[5],[8]   0.90%
Total Coupon [2],[3],[5],[8]   12.53%
Maturity [2],[3],[5],[8]   Jan. 24, 2028
Principal [2],[3],[5],[8]   $ 3,165,951
Cost [2],[3],[5],[8]   3,122,916
Fair Value [2],[3],[5],[8]   $ 3,134,608
% of Total Cash and Investment [2],[3],[5],[8]   0.74%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services e-Discovery Acquireco, LLC (Reveal) Instrument First Lien Initial Term Loan Ref SOFR(M) Floor 1.00% Spread 5.50% Total Coupon 10.01% Maturity 9/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 10.01%  
Maturity [1],[4],[6] Sep. 01, 2028  
Principal [1],[4],[6] $ 6,640,840  
Cost [1],[4],[6] 6,585,752  
Fair Value [1],[4],[6] $ 6,612,683  
% of Total Cash and Investment [1],[4],[6] 0.61%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services e-Discovery Acquireco, LLC (Reveal) Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 6.25% Total Coupon 10.76% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 6.25%  
Total Coupon [1],[4],[6],[7] 10.76%  
Maturity [1],[4],[6],[7] Aug. 29, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (21,646)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services e-Discovery Acquireco, LLC (Reveal) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 6.50% Total Coupon 11.89% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   6.50%
Total Coupon [2],[3],[5],[9]   11.89%
Maturity [2],[3],[5],[9]   Aug. 29, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (18,386)
Fair Value [2],[3],[5],[9]   $ (19,264)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Internet Software and Services e-Discovery Acquireco, LLC (Reveal) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.25% Total Coupon 10.76% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.25%  
Total Coupon [1],[4],[6] 10.76%  
Maturity [1],[4],[6] Aug. 29, 2029  
Principal [1],[4],[6] $ 8,579,230  
Cost [1],[4],[6] 8,412,792  
Fair Value [1],[4],[6] $ 8,750,815  
% of Total Cash and Investment [1],[4],[6] 0.81%  
Investment, Identifier [Axis]: Debt Investments Internet Software and Services e-Discovery Acquireco, LLC (Reveal) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.50% Total Coupon 11.89% Maturity 8/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.50%
Total Coupon [2],[3],[5]   11.89%
Maturity [2],[3],[5]   Aug. 29, 2029
Principal [2],[3],[5]   $ 8,579,230
Cost [2],[3],[5]   8,376,980
Fair Value [2],[3],[5]   $ 8,367,323
% of Total Cash and Investment [2],[3],[5]   1.98%
Investment, Identifier [Axis]: Debt Investments Internet and Catalog Retail Syndigo, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.76% Total Coupon 9.28% Maturity 12/14/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 4.76%  
Total Coupon [1],[4],[6] 9.28%  
Maturity [1],[4],[6] Dec. 14, 2027  
Principal [1],[4],[6] $ 6,233,436  
Cost [1],[4],[6] 6,227,516  
Fair Value [1],[4],[6] $ 6,252,915  
% of Total Cash and Investment [1],[4],[6] 0.58%  
Investment, Identifier [Axis]: Debt Investments Internet and Direct Marketing Retail Pug LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 4.75% Total Coupon 9.11% Maturity 3/15/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 4.75%  
Total Coupon [1],[4] 9.11%  
Maturity [1],[4] Mar. 15, 2030  
Principal [1],[4] $ 2,747,463  
Cost [1],[4] 2,735,065  
Fair Value [1],[4] $ 2,757,766  
% of Total Cash and Investment [1],[4] 0.26%  
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools & Services    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 2,540,613
Fair Value [2],[3]   $ 2,495,321
% of Total Cash and Investment [2],[3]   0.59%
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools & Services Alcami Corporation Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 7.10% Total Coupon 12.46% Maturity 12/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   7.10%
Total Coupon [2],[3],[5],[9]   12.46%
Maturity [2],[3],[5],[9]   Dec. 21, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (2,414)
Fair Value [2],[3],[5],[9]   $ 1,665
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools & Services Alcami Corporation Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 7.10% Total Coupon 12.46% Maturity 12/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   7.10%
Total Coupon [2],[3],[5],[9]   12.46%
Maturity [2],[3],[5],[9]   Dec. 21, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (3,862)
Fair Value [2],[3],[5],[9]   $ 0
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools & Services Alcami Corporation Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 7.10% Total Coupon 12.46% Maturity 12/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.10%
Total Coupon [2],[3],[5]   12.46%
Maturity [2],[3],[5]   Dec. 21, 2028
Principal [2],[3],[5]   $ 988,833
Cost [2],[3],[5]   960,144
Fair Value [2],[3],[5]   $ 1,008,610
% of Total Cash and Investment [2],[3],[5]   0.24%
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools & Services Curia Global, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 3.85% Total Coupon 9.23% Maturity 8/30/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   3.85%
Total Coupon [2],[3]   9.23%
Maturity [2],[3]   Aug. 30, 2026
Principal [2],[3]   $ 1,460,932
Cost [2],[3]   1,429,243
Fair Value [2],[3]   $ 1,318,951
% of Total Cash and Investment [2],[3]   0.31%
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools & Services Parexel International, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.36% Total Coupon 8.72% Maturity 11/15/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.36%
Total Coupon [2],[3]   8.72%
Maturity [2],[3]   Nov. 15, 2028
Principal [2],[3]   $ 164,920
Cost [2],[3]   157,502
Fair Value [2],[3]   $ 166,095
% of Total Cash and Investment [2],[3]   0.04%
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools and Services    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 10,209,560  
Fair Value [1],[4] $ 10,232,558  
% of Total Cash and Investment [1],[4] 0.95%  
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools and Services Alcami Corporation Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 7.10% Total Coupon 11.55% Maturity 12/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[3],[4],[6] 1.00%  
Spread [1],[3],[4],[6] 7.10%  
Total Coupon [1],[3],[4],[6] 11.55%  
Maturity [1],[3],[4],[6] Dec. 21, 2028  
Principal [1],[3],[4],[6] $ 72,037  
Cost [1],[3],[4],[6] 70,369  
Fair Value [1],[3],[4],[6] $ 72,541  
% of Total Cash and Investment [1],[3],[4],[6] 0.01%  
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools and Services Alcami Corporation Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 7.10% Total Coupon 11.44% Maturity 12/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[3],[4],[6] 1.00%  
Spread [1],[3],[4],[6] 7.10%  
Total Coupon [1],[3],[4],[6] 11.44%  
Maturity [1],[3],[4],[6] Dec. 21, 2028  
Principal [1],[3],[4],[6] $ 9,988  
Cost [1],[3],[4],[6] 6,905  
Fair Value [1],[3],[4],[6] $ 9,988  
% of Total Cash and Investment [1],[3],[4],[6] 0.00%  
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools and Services Alcami Corporation Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.15% Total Coupon 11.66% Maturity 12/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[3],[4],[6] 1.00%  
Spread [1],[3],[4],[6] 7.15%  
Total Coupon [1],[3],[4],[6] 11.66%  
Maturity [1],[3],[4],[6] Dec. 21, 2028  
Principal [1],[3],[4],[6] $ 978,845  
Cost [1],[3],[4],[6] 956,172  
Fair Value [1],[3],[4],[6] $ 985,697  
% of Total Cash and Investment [1],[3],[4],[6] 0.09%  
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools and Services Curia Global, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 3.75% Total Coupon 8.44% Maturity 8/30/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[3],[4] 0.75%  
Spread [1],[3],[4] 3.75%  
Total Coupon [1],[3],[4] 8.44%  
Maturity [1],[3],[4] Aug. 30, 2026  
Principal [1],[3],[4] $ 997,111  
Cost [1],[3],[4] 982,002  
Fair Value [1],[3],[4] $ 956,085  
% of Total Cash and Investment [1],[3],[4] 0.09%  
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools and Services DNAnexus, Inc Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 3.00% Spread 5.25% Total Coupon 9.62% Maturity 12/20/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 3.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.62%  
Maturity [1],[4],[6] Dec. 20, 2029  
Principal [1],[4],[6] $ 1,199,513  
Cost [1],[4],[6] 1,019,586  
Fair Value [1],[4],[6] $ 1,019,586  
% of Total Cash and Investment [1],[4],[6] 0.09%  
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools and Services DNAnexus, Inc Instrument First Lien Term Loan Ref SOFR(M) Floor 3.00% Spread 5.25% Total Coupon 9.62% Maturity 12/20/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 3.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.62%  
Maturity [1],[4],[6] Dec. 20, 2029  
Principal [1],[4],[6] $ 5,997,566  
Cost [1],[4],[6] 5,937,590  
Fair Value [1],[4],[6] $ 5,937,590  
% of Total Cash and Investment [1],[4],[6] 0.55%  
Investment, Identifier [Axis]: Debt Investments Life Sciences Tools and Services Parexel International, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.00% Total Coupon 7.36% Maturity 11/15/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.36%  
Maturity [1],[4] Nov. 15, 2028  
Principal [1],[4] $ 1,240,988  
Cost [1],[4] 1,236,936  
Fair Value [1],[4] $ 1,251,071  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Machinery    
Schedule Of Investments [Line Items]    
Cost $ 13,090,410 [1],[4] $ 8,310,034 [2],[3]
Fair Value $ 13,213,335 [1],[4] $ 8,498,539 [2],[3]
% of Total Cash and Investment 1.22% [1],[4] 2.02% [2],[3]
Investment, Identifier [Axis]: Debt Investments Machinery AI Aqua Merger Sub, Inc. (Osmosis Buyer) (United Kingdom) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.50% Total Coupon 8.05% Maturity 7/31/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[11] 0.50%  
Spread [1],[4],[11] 3.50%  
Total Coupon [1],[4],[11] 8.05%  
Maturity [1],[4],[11] Jul. 31, 2028  
Principal [1],[4],[11] $ 2,158,837  
Cost [1],[4],[11] 2,126,591  
Fair Value [1],[4],[11] $ 2,163,349  
% of Total Cash and Investment [1],[4],[11] 0.20%  
Investment, Identifier [Axis]: Debt Investments Machinery AI Aqua Merger Sub, Inc. (Osmosis Buyer) (United Kingdom) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.75% Total Coupon 9.09% Maturity 7/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[8]   0.50%
Spread [2],[3],[8]   3.75%
Total Coupon [2],[3],[8]   9.09%
Maturity [2],[3],[8]   Jul. 30, 2028
Principal [2],[3],[8]   $ 1,413,671
Cost [2],[3],[8]   1,365,855
Fair Value [2],[3],[8]   $ 1,416,512
% of Total Cash and Investment [2],[3],[8]   0.34%
Investment, Identifier [Axis]: Debt Investments Machinery Alliance Laundry Systems, LLC Instrument First Lien Term Loan B Ref SOFR(M) Spread 3.50% Total Coupon 7.84% Maturity 8/19/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.84%  
Maturity [1],[4] Aug. 19, 2031  
Principal [1],[4] $ 129,000  
Cost [1],[4] 128,388  
Fair Value [1],[4] $ 130,026  
% of Total Cash and Investment [1],[4] 0.01%  
Investment, Identifier [Axis]: Debt Investments Machinery Blackbird Purchaser, Inc. Instrument First Lien Delayed Draw Term Loan Ref Prime Floor 0.75% Spread 5.50% Total Coupon 9.83% Maturity 12/19/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 9.83%  
Maturity [1],[4],[6] Dec. 19, 2030  
Principal [1],[4],[6] $ 161,348  
Cost [1],[4],[6] 153,418  
Fair Value [1],[4],[6] $ 152,970  
% of Total Cash and Investment [1],[4],[6] 0.01%  
Investment, Identifier [Axis]: Debt Investments Machinery Blackbird Purchaser, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.50% Total Coupon 10.86% Maturity 12/19/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   5.50%
Total Coupon [2],[3],[5],[9]   10.86%
Maturity [2],[3],[5],[9]   Dec. 19, 2030
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (9,405)
Fair Value [2],[3],[5],[9]   $ (9,453)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Machinery Blackbird Purchaser, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.50% Total Coupon 10.86% Maturity 12/19/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   5.50%
Total Coupon [2],[3],[5],[9]   10.86%
Maturity [2],[3],[5],[9]   Dec. 19, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (6,265)
Fair Value [2],[3],[5],[9]   $ (6,302)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Machinery Blackbird Purchaser, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.50% Total Coupon 9.83% Maturity 12/19/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 9.83%  
Maturity [1],[4],[6] Dec. 19, 2030  
Principal [1],[4],[6] $ 78,777  
Cost [1],[4],[6] 73,560  
Fair Value [1],[4],[6] $ 73,105  
% of Total Cash and Investment [1],[4],[6] 0.01%  
Investment, Identifier [Axis]: Debt Investments Machinery Blackbird Purchaser, Inc. Instrument First Lien Term Loan Ref Prime Floor 0.75% Spread 5.50% Total Coupon 9.83% Maturity 12/19/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 9.83%  
Maturity [1],[4],[6] Dec. 19, 2030  
Principal [1],[4],[6] $ 2,370,874  
Cost [1],[4],[6] 2,330,485  
Fair Value [1],[4],[6] $ 2,328,198  
% of Total Cash and Investment [1],[4],[6] 0.22%  
Investment, Identifier [Axis]: Debt Investments Machinery Blackbird Purchaser, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.50% Total Coupon 10.86% Maturity 12/19/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.50%
Total Coupon [2],[3],[5]   10.86%
Maturity [2],[3],[5]   Dec. 19, 2030
Principal [2],[3],[5]   $ 2,394,823
Cost [2],[3],[5]   2,347,170
Fair Value [2],[3],[5]   $ 2,346,927
% of Total Cash and Investment [2],[3],[5]   0.56%
Investment, Identifier [Axis]: Debt Investments Machinery CPM Holdings Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 4.50% Total Coupon 9.84% Maturity 9/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   4.50%
Total Coupon [2],[3]   9.84%
Maturity [2],[3]   Sep. 22, 2028
Principal [2],[3]   $ 388,000
Cost [2],[3]   382,443
Fair Value [2],[3]   $ 389,779
% of Total Cash and Investment [2],[3]   0.09%
Investment, Identifier [Axis]: Debt Investments Machinery Distributed Power Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 4.25% Total Coupon 6.00% Maturity 10/31/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   4.25%
Total Coupon [2],[3]   6.00%
Maturity [2],[3]   Oct. 31, 2028
Principal [2],[3]   $ 378,993
Cost [2],[3]   377,098
Fair Value [2],[3]   $ 379,783
% of Total Cash and Investment [2],[3]   0.09%
Investment, Identifier [Axis]: Debt Investments Machinery Filtration group corporation Instrument First Lien Term Loan Ref SOFR(M) Spread 3.50% Total Coupon 7.97% Maturity 10/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.97%  
Maturity [1],[4] Oct. 21, 2028  
Principal [1],[4] $ 1,236,804  
Cost [1],[4] 1,239,550  
Fair Value [1],[4] $ 1,248,090  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Machinery Husky Injection Molding Systems Ltd. (Canada) Instrument First Lien Term Loan Ref SOFR(S) Spread 4.50% Total Coupon 8.78% Maturity 2/15/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 4.50%  
Total Coupon [1],[4] 8.78%  
Maturity [1],[4] Feb. 15, 2029  
Principal [1],[4] $ 4,329,734  
Cost [1],[4] 4,345,337  
Fair Value [1],[4] $ 4,371,689  
% of Total Cash and Investment [1],[4] 0.40%  
Investment, Identifier [Axis]: Debt Investments Machinery INNIO North American Holding Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.25% Total Coupon 7.90% Maturity 11/2/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.90%  
Maturity [1],[4] Nov. 02, 2028  
Principal [1],[4] $ 1,221,889  
Cost [1],[4] 1,226,038  
Fair Value [1],[4] $ 1,230,296  
% of Total Cash and Investment [1],[4] 0.11%  
Investment, Identifier [Axis]: Debt Investments Machinery Indicor, LLC (Roper Industrial Pro) Instrument First Lien Term Loan Ref SOFR(Q) Spread 2.75% Total Coupon 7.08% Maturity 11/22/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.08%  
Maturity [1],[4] Nov. 22, 2029  
Principal [1],[4] $ 492,537  
Cost [1],[4] 490,209  
Fair Value [1],[4] $ 494,384  
% of Total Cash and Investment [1],[4] 0.05%  
Investment, Identifier [Axis]: Debt Investments Machinery Indicor, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 4.00% Total Coupon 9.35% Maturity 11/22/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   4.00%
Total Coupon [2],[3]   9.35%
Maturity [2],[3]   Nov. 22, 2029
Principal [2],[3]   $ 496,256
Cost [2],[3]   493,460
Fair Value [2],[3]   $ 497,963
% of Total Cash and Investment [2],[3]   0.12%
Investment, Identifier [Axis]: Debt Investments Machinery Madison IAQ LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.36% Total Coupon 8.72% Maturity 6/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.36%
Total Coupon [2],[3]   8.72%
Maturity [2],[3]   Jun. 21, 2028
Principal [2],[3]   $ 1,026,835
Cost [2],[3]   975,430
Fair Value [2],[3]   $ 1,025,084
% of Total Cash and Investment [2],[3]   0.24%
Investment, Identifier [Axis]: Debt Investments Machinery Madison IAQ LLC Instrument First Lien Term Loan Ref SOFR(S) Floor 0.50% Spread 2.75% Total Coupon 7.89% Maturity 6/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.89%  
Maturity [1],[4] Jun. 21, 2028  
Principal [1],[4] $ 1,016,304  
Cost [1],[4] 976,834  
Fair Value [1],[4] $ 1,021,228  
% of Total Cash and Investment [1],[4] 0.09%  
Investment, Identifier [Axis]: Debt Investments Machinery Service Logic Acquisition Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.26% Total Coupon 9.64% Maturity 10/29/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.26%
Total Coupon [2],[3]   9.64%
Maturity [2],[3]   Oct. 29, 2027
Principal [2],[3]   $ 2,456,207
Cost [2],[3]   2,384,248
Fair Value [2],[3]   $ 2,458,246
% of Total Cash and Investment [2],[3]   0.58%
Investment, Identifier [Axis]: Debt Investments Media    
Schedule Of Investments [Line Items]    
Cost $ 27,965,606 [1],[4] $ 9,583,599 [2],[3]
Fair Value $ 26,396,728 [1],[4] $ 9,276,724 [2],[3]
% of Total Cash and Investment 2.44% [1],[4] 2.20% [2],[3]
Investment, Identifier [Axis]: Debt Investments Media Kid Distro Holdings, LLC Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 4.90% Total Coupon 9.49% Maturity 10/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.90%  
Total Coupon [1],[4],[6] 9.49%  
Maturity [1],[4],[6] Oct. 01, 2029  
Principal [1],[4],[6] $ 0  
Cost [1],[4],[6] 0  
Fair Value [1],[4],[6] $ 0  
% of Total Cash and Investment [1],[4],[6] 0.00%  
Investment, Identifier [Axis]: Debt Investments Media Kid Distro Holdings, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 4.90% Total Coupon 9.49% Maturity 10/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.90%  
Total Coupon [1],[4],[6] 9.49%  
Maturity [1],[4],[6] Oct. 01, 2029  
Principal [1],[4],[6] $ 6,374,983  
Cost [1],[4],[6] 6,374,983  
Fair Value [1],[4],[6] $ 6,374,983  
% of Total Cash and Investment [1],[4],[6] 0.59%  
Investment, Identifier [Axis]: Debt Investments Media Kid Distro Holdings, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 4.90% Total Coupon 9.49% Maturity 10/1/2029 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 4.90%  
Total Coupon [1],[4],[6] 9.49%  
Maturity [1],[4],[6] Oct. 01, 2029  
Principal [1],[4],[6] $ 1,132,492  
Cost [1],[4],[6] 1,132,492  
Fair Value [1],[4],[6] $ 1,132,934  
% of Total Cash and Investment [1],[4],[6] 0.10%  
Investment, Identifier [Axis]: Debt Investments Media NEP Group, Inc. et al Instrument First Lien Revolver Ref SOFR(M) Spread 3.36% Total Coupon 8.72% Maturity 8/19/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   3.36%
Total Coupon [2],[3]   8.72%
Maturity [2],[3]   Aug. 19, 2026
Principal [2],[3]   $ 4,409,263
Cost [2],[3]   4,044,679
Fair Value [2],[3]   $ 4,221,869
% of Total Cash and Investment [2],[3]   1.00%
Investment, Identifier [Axis]: Debt Investments Media NEP Group, Inc. et al Instrument First Lien Term Loan (2.0% Exit Fee) Ref SOFR(M) Floor 1.00% Spread 3.36% Cash + 1.50% PIK Total Coupon 9.22% Maturity 8/19/2026    
Schedule Of Investments [Line Items]    
Exit Fee, Percentage [13] 2.00%  
Interest Rate, Floor [1],[4],[13] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[13] 1.50%  
Interest Rate, Cash [1],[4],[13] 3.36%  
Total Coupon [1],[4],[13] 9.22%  
Maturity [1],[4],[13] Aug. 19, 2026  
Principal [1],[4],[13] $ 4,431,352  
Cost [1],[4],[13] 4,206,444  
Fair Value [1],[4],[13] $ 4,061,334  
% of Total Cash and Investment [1],[4],[13] 0.38%  
Investment, Identifier [Axis]: Debt Investments Media Radiate Holdco, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 3.25% Total Coupon 8.72% Maturity 9/25/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   3.25%
Total Coupon [2],[3]   8.72%
Maturity [2],[3]   Sep. 25, 2026
Principal [2],[3]   $ 1,371,346
Cost [2],[3]   1,337,884
Fair Value [2],[3]   $ 1,104,578
% of Total Cash and Investment [2],[3]   0.26%
Investment, Identifier [Axis]: Debt Investments Media Streamland Media Midco LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 9.76% PIK Total Coupon 14.09% Maturity 3/31/2025 Three    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 9.76%  
Total Coupon [1],[4],[6] 14.09%  
Maturity [1],[4],[6] Mar. 31, 2025  
Principal [1],[4],[6] $ 134,867  
Cost [1],[4],[6] 134,838  
Fair Value [1],[4],[6] $ 134,867  
% of Total Cash and Investment [1],[4],[6] 0.01%  
Investment, Identifier [Axis]: Debt Investments Media Streamland Media Midco LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.01% Cash + 0.5% PIK Total Coupon 12.89% Maturity 12/31/2024    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Investment, Interest Rate, Paid in Kind [2],[3],[5]   0.50%
Interest Rate, Cash [2],[3],[5]   7.01%
Total Coupon [2],[3],[5]   12.89%
Maturity [2],[3],[5]   Dec. 31, 2024
Principal [2],[3],[5]   $ 3,525,813
Cost [2],[3],[5]   3,496,551
Fair Value [2],[3],[5]   $ 3,331,893
% of Total Cash and Investment [2],[3],[5]   0.79%
Investment, Identifier [Axis]: Debt Investments Media Streamland Media Midco LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 9.76% PIK Total Coupon 14.09% Maturity 3/31/2025    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 9.76%  
Total Coupon [1],[4],[6] 14.09%  
Maturity [1],[4],[6] Mar. 31, 2025  
Principal [1],[4],[6] $ 3,487,343  
Cost [1],[4],[6] 3,487,374  
Fair Value [1],[4],[6] $ 2,095,893  
% of Total Cash and Investment [1],[4],[6] 0.19%  
Investment, Identifier [Axis]: Debt Investments Media Streamland Media Midco LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 9.76% PIK Total Coupon 14.09% Maturity 3/31/2025 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 9.76%  
Total Coupon [1],[4],[6] 14.09%  
Maturity [1],[4],[6] Mar. 31, 2025  
Principal [1],[4],[6] $ 204,289  
Cost [1],[4],[6] 204,289  
Fair Value [1],[4],[6] $ 204,289  
% of Total Cash and Investment [1],[4],[6] 0.02%  
Investment, Identifier [Axis]: Debt Investments Media Streamland Media Midco LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 9.76% PIK Total Coupon 14.09% Maturity 3/31/2025 Two    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 9.76%  
Total Coupon [1],[4],[6] 14.09%  
Maturity [1],[4],[6] Mar. 31, 2025  
Principal [1],[4],[6] $ 204,289  
Cost [1],[4],[6] 204,289  
Fair Value [1],[4],[6] $ 204,289  
% of Total Cash and Investment [1],[4],[6] 0.02%  
Investment, Identifier [Axis]: Debt Investments Media TL Voltron Purchaser, LLC (GES) Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.25% Total Coupon 9.61% Maturity 12/31/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.61%  
Maturity [1],[4],[6] Dec. 31, 2030  
Principal [1],[4],[6] $ 11,754,613  
Cost [1],[4],[6] 11,519,612  
Fair Value [1],[4],[6] $ 11,519,521  
% of Total Cash and Investment [1],[4],[6] 1.07%  
Investment, Identifier [Axis]: Debt Investments Media Zayo Group Holdings, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.25% Total Coupon 8.61% Maturity 3/9/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.25%  
Total Coupon [1],[4] 8.61%  
Maturity [1],[4] Mar. 09, 2027  
Principal [1],[4] $ 709,925  
Cost [1],[4] 701,285  
Fair Value [1],[4] $ 668,618  
% of Total Cash and Investment [1],[4] 0.06%  
Investment, Identifier [Axis]: Debt Investments Media Zayo Group Holdings, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.33% Total Coupon 9.68% Maturity 3/9/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.33%
Total Coupon [2],[3]   9.68%
Maturity [2],[3]   Mar. 09, 2027
Principal [2],[3]   $ 717,225
Cost [2],[3]   704,485
Fair Value [2],[3]   $ 618,384
% of Total Cash and Investment [2],[3]   0.15%
Investment, Identifier [Axis]: Debt Investments Metals and Mining Grinding Media Inc. (Molycop LTD) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 3.50% Total Coupon 8.02% Maturity 10/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 8.02%  
Maturity [1],[4] Oct. 21, 2028  
Principal [1],[4] $ 498,750  
Cost [1],[4] 499,989  
Fair Value [1],[4] $ 501,867  
% of Total Cash and Investment [1],[4] 0.05%  
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels Palmdale Oil Company, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 6.75% Total Coupon 11.23% Maturity 10/2/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.75%  
Total Coupon [1],[4],[6] 11.23%  
Maturity [1],[4],[6] Oct. 02, 2029  
Principal [1],[4],[6] $ 1,264,178  
Cost [1],[4],[6] 1,233,616  
Fair Value [1],[4],[6] $ 1,259,121  
% of Total Cash and Investment [1],[4],[6] 0.12%  
Investment, Identifier [Axis]: Debt Investments Oil, Gas and Consumable Fuels Palmdale Oil Company, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.75% Total Coupon 12.06% Maturity 10/2/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.75%
Total Coupon [2],[3],[5]   12.06%
Maturity [2],[3],[5]   Oct. 02, 2029
Principal [2],[3],[5]   $ 1,276,947
Cost [2],[3],[5]   1,239,564
Fair Value [2],[3],[5]   $ 1,245,023
% of Total Cash and Investment [2],[3],[5]   0.30%
Investment, Identifier [Axis]: Debt Investments Paper and Forest Products    
Schedule Of Investments [Line Items]    
Cost $ 7,715,182 [1],[4] $ 6,313,240 [2],[3]
Fair Value $ 7,216,133 [1],[4] $ 6,258,362 [2],[3]
% of Total Cash and Investment 0.67% [1],[4] 1.49% [2],[3]
Investment, Identifier [Axis]: Debt Investments Paper and Forest Products Alpine Acquisition Corp II (48Forty) Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 1.00 Cash + 5.33% PIK Total Coupon 10.65% Maturity 11/30/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 5.33%  
Interest Rate, Cash [1],[4],[6] 1.00%  
Total Coupon [1],[4],[6] 10.65%  
Maturity [1],[4],[6] Nov. 30, 2026  
Principal [1],[4],[6] $ 4,841,951  
Cost [1],[4],[6] 4,713,974  
Fair Value [1],[4],[6] $ 4,211,529  
% of Total Cash and Investment [1],[4],[6] 0.38%  
Investment, Identifier [Axis]: Debt Investments Paper and Forest Products Alpine Acquisition Corp II (48Forty) Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 1.00 Cash + 5.33% PIK Total Coupon 10.65% Maturity 11/30/2026 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 5.33%  
Interest Rate, Cash [1],[4],[6] 1.00%  
Total Coupon [1],[4],[6] 10.65%  
Maturity [1],[4],[6] Nov. 30, 2026  
Principal [1],[4],[6] $ 203,569  
Cost [1],[4],[6] 198,453  
Fair Value [1],[4],[6] $ 177,064  
% of Total Cash and Investment [1],[4],[6] 0.02%  
Investment, Identifier [Axis]: Debt Investments Paper and Forest Products Alpine Acquisition Corp II (48Forty) Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 6.10% Total Coupon 11.44% Maturity 11/30/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.10%
Total Coupon [2],[3],[5]   11.44%
Maturity [2],[3],[5]   Nov. 30, 2026
Principal [2],[3],[5]   $ 4,896,719
Cost [2],[3],[5]   4,762,351
Fair Value [2],[3],[5]   $ 4,728,762
% of Total Cash and Investment [2],[3],[5]   1.13%
Investment, Identifier [Axis]: Debt Investments Paper and Forest Products FSK Pallet Holding Corp. (Kamps) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.15% Total Coupon 10.48% Maturity 12/19/2025    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.15%  
Total Coupon [1],[4],[6] 10.48%  
Maturity [1],[4],[6] Dec. 19, 2025  
Principal [1],[4],[6] $ 1,255,570  
Cost [1],[4],[6] 1,255,570  
Fair Value [1],[4],[6] $ 1,255,570  
% of Total Cash and Investment [1],[4],[6] 0.12%  
Investment, Identifier [Axis]: Debt Investments Paper and Forest Products FSK Pallet Holding Corp. (Kamps) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.25% Spread 6.15% Total Coupon 11.56% Maturity 12/23/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.25%
Spread [2],[3],[5]   6.15%
Total Coupon [2],[3],[5]   11.56%
Maturity [2],[3],[5]   Dec. 23, 2026
Principal [2],[3],[5]   $ 1,586,722
Cost [2],[3],[5]   1,550,889
Fair Value [2],[3],[5]   $ 1,529,600
% of Total Cash and Investment [2],[3],[5]   0.36%
Investment, Identifier [Axis]: Debt Investments Paper and Forest Products FSK Pallet Holding Corp. (Kamps) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.25% Spread 6.65% Total Coupon 11.33% Maturity 12/23/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.25%  
Spread [1],[4],[6] 6.65%  
Total Coupon [1],[4],[6] 11.33%  
Maturity [1],[4],[6] Dec. 23, 2026  
Principal [1],[4],[6] $ 1,570,713  
Cost [1],[4],[6] 1,547,185  
Fair Value [1],[4],[6] $ 1,571,970  
% of Total Cash and Investment [1],[4],[6] 0.15%  
Investment, Identifier [Axis]: Debt Investments Pharmaceuticals Nephron Pharmaceuticals Corp. et al Instrument First Lien Term Loan B Ref SOFR(Q) Floor 1.50% Spread 9.00% Total Coupon 14.57% Maturity 9/11/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.50%
Spread [2],[3],[5]   9.00%
Total Coupon [2],[3],[5]   14.57%
Maturity [2],[3],[5]   Sep. 11, 2026
Principal [2],[3],[5]   $ 9,079,279
Cost [2],[3],[5]   8,753,220
Fair Value [2],[3],[5]   $ 7,853,576
% of Total Cash and Investment [2],[3],[5]   1.86%
Investment, Identifier [Axis]: Debt Investments Professional Services    
Schedule Of Investments [Line Items]    
Cost $ 125,597,342 [1],[4] $ 43,679,641 [2],[3]
Fair Value $ 126,433,479 [1],[4] $ 43,972,436 [2],[3]
% of Total Cash and Investment 11.69% [1],[4] 10.44% [2],[3]
Investment, Identifier [Axis]: Debt Investments Professional Services Allied Benefit Systems Intermediate, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.50% Spread 5.25% Total Coupon 9.73% Maturity 10/31/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.50%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.73%  
Maturity [1],[4],[6] Oct. 31, 2030  
Principal [1],[4],[6] $ 1,453,512  
Cost [1],[4],[6] 1,435,359  
Fair Value [1],[4],[6] $ 1,468,047  
% of Total Cash and Investment [1],[4],[6] 0.14%  
Investment, Identifier [Axis]: Debt Investments Professional Services Allied Benefit Systems Intermediate, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 10.63% Maturity 10/31/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   5.25%
Total Coupon [2],[3],[5],[9]   10.63%
Maturity [2],[3],[5],[9]   Oct. 31, 2030
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (21,381)
Fair Value [2],[3],[5],[9]   $ (10,226)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Professional Services Allied Benefit Systems Intermediate, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 9.61% Maturity 10/31/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.61%  
Maturity [1],[4],[6] Oct. 31, 2030  
Principal [1],[4],[6] $ 7,925,903  
Cost [1],[4],[6] 7,826,914  
Fair Value [1],[4],[6] $ 8,005,162  
% of Total Cash and Investment [1],[4],[6] 0.74%  
Investment, Identifier [Axis]: Debt Investments Professional Services Allied Benefit Systems Intermediate, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 10.63% Maturity 10/31/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   5.25%
Total Coupon [2],[3],[5]   10.63%
Maturity [2],[3],[5]   Oct. 31, 2030
Principal [2],[3],[5]   $ 7,985,796
Cost [2],[3],[5]   7,868,914
Fair Value [2],[3],[5]   $ 7,929,895
% of Total Cash and Investment [2],[3],[5]   1.88%
Investment, Identifier [Axis]: Debt Investments Professional Services Applause App Quality, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 1.50% Spread 6.00% Total Coupon 10.33% Maturity 10/24/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.50%  
Spread [1],[4],[6],[7] 6.00%  
Total Coupon [1],[4],[6],[7] 10.33%  
Maturity [1],[4],[6],[7] Oct. 24, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (28,062)  
Fair Value [1],[4],[6],[7] $ (28,513)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Professional Services Applause App Quality, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.50% Spread 6.00% Total Coupon 10.33% Maturity 10/24/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.50%  
Spread [1],[4],[6] 6.00%  
Total Coupon [1],[4],[6] 10.33%  
Maturity [1],[4],[6] Oct. 24, 2029  
Principal [1],[4],[6] $ 15,007,034  
Cost [1],[4],[6] 14,718,235  
Fair Value [1],[4],[6] $ 14,721,900  
% of Total Cash and Investment [1],[4],[6] 1.35%  
Investment, Identifier [Axis]: Debt Investments Professional Services Bullhorn, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 9.36% Maturity 9/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.36%  
Maturity [1],[4],[6] Sep. 30, 2029  
Principal [1],[4],[6] $ 414,474  
Cost [1],[4],[6] 411,440  
Fair Value [1],[4],[6] $ 414,474  
% of Total Cash and Investment [1],[4],[6] 0.04%  
Investment, Identifier [Axis]: Debt Investments Professional Services Bullhorn, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Spread 5.00% Total Coupon 9.36% Maturity 9/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.36%  
Maturity [1],[4],[6] Sep. 30, 2029  
Principal [1],[4],[6] $ 11,721,795  
Cost [1],[4],[6] 11,717,757  
Fair Value [1],[4],[6] $ 11,721,795  
% of Total Cash and Investment [1],[4],[6] 1.08%  
Investment, Identifier [Axis]: Debt Investments Professional Services Bullhorn, Inc. Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 9.36% Maturity 10/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.36%  
Maturity [1],[4],[6],[7] Oct. 01, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (2,442)  
Fair Value [1],[4],[6],[7] $ (29,571)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Professional Services Bullhorn, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.00% Total Coupon 9.36% Maturity 10/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.36%  
Maturity [1],[4],[6] Oct. 01, 2029  
Principal [1],[4],[6] $ 10,262,184  
Cost [1],[4],[6] 10,239,522  
Fair Value [1],[4],[6] $ 10,262,184  
% of Total Cash and Investment [1],[4],[6] 0.95%  
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 10.61% Maturity 6/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   5.25%
Total Coupon [2],[3],[5],[9]   10.61%
Maturity [2],[3],[5],[9]   Jun. 30, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (18,486)
Fair Value [2],[3],[5],[9]   $ (19,021)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 10.61% Maturity 6/30/2028-One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.25%
Total Coupon [2],[3],[5]   10.61%
Maturity [2],[3],[5]   Jun. 30, 2028
Principal [2],[3],[5]   $ 889,307
Cost [2],[3],[5]   875,975
Fair Value [2],[3],[5]   $ 856,136
% of Total Cash and Investment [2],[3],[5]   0.20%
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 9.61% Maturity 6/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.61%  
Maturity [1],[4],[6] Jun. 30, 2028  
Principal [1],[4],[6] $ 880,362  
Cost [1],[4],[6] 870,106  
Fair Value [1],[4],[6] $ 869,366  
% of Total Cash and Investment [1],[4],[6] 0.08%  
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 9.61% Maturity 6/30/2028 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.61%  
Maturity [1],[4],[6] Jun. 30, 2028  
Principal [1],[4],[6] $ 859,867  
Cost [1],[4],[6] 845,510  
Fair Value [1],[4],[6] $ 847,754  
% of Total Cash and Investment [1],[4],[6] 0.08%  
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Revolver Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 10.61% Maturity 6/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   5.25%
Total Coupon [2],[3],[5],[9]   10.61%
Maturity [2],[3],[5],[9]   Jun. 30, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (6,701)
Fair Value [2],[3],[5],[9]   $ (16,683)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Revolver Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 9.61% Maturity 6/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.61%  
Maturity [1],[4],[6],[7] Jun. 30, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (5,207)  
Fair Value [1],[4],[6],[7] $ (5,586)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 10.61% Maturity 6/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.25%
Total Coupon [2],[3],[5]   10.61%
Maturity [2],[3],[5]   Jun. 30, 2028
Principal [2],[3],[5]   $ 2,158,673
Cost [2],[3],[5]   2,126,328
Fair Value [2],[3],[5]   $ 2,078,154
% of Total Cash and Investment [2],[3],[5]   0.49%
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 11.11% Maturity 6/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.25%
Total Coupon [2],[3],[5]   11.11%
Maturity [2],[3],[5]   Jun. 30, 2028
Principal [2],[3],[5]   $ 752,921
Cost [2],[3],[5]   738,579
Fair Value [2],[3],[5]   $ 738,164
% of Total Cash and Investment [2],[3],[5]   0.18%
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 9.61% Maturity 6/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.61%  
Maturity [1],[4],[6] Jun. 30, 2028  
Principal [1],[4],[6] $ 2,136,757  
Cost [1],[4],[6] 2,111,880  
Fair Value [1],[4],[6] $ 2,110,069  
% of Total Cash and Investment [1],[4],[6] 0.20%  
Investment, Identifier [Axis]: Debt Investments Professional Services Cherry Bekaert Advisory, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 5.25% Total Coupon 9.61% Maturity 6/30/2028 One    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.61%  
Maturity [1],[4],[6] Jun. 30, 2028  
Principal [1],[4],[6] $ 745,373  
Cost [1],[4],[6] 734,340  
Fair Value [1],[4],[6] $ 736,063  
% of Total Cash and Investment [1],[4],[6] 0.07%  
Investment, Identifier [Axis]: Debt Investments Professional Services CoreLogic, Inc. (fka First American Corporation) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.61% Total Coupon 7.97% Maturity 6/2/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.61%  
Total Coupon [1],[4] 7.97%  
Maturity [1],[4] Jun. 02, 2028  
Principal [1],[4] $ 2,481,838  
Cost [1],[4] 2,467,179  
Fair Value [1],[4] $ 2,455,022  
% of Total Cash and Investment [1],[4] 0.23%  
Investment, Identifier [Axis]: Debt Investments Professional Services DTI Holdco, Inc. (Epiq) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.75% Total Coupon 9.11% Maturity 4/26/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.75%  
Total Coupon [1],[4] 9.11%  
Maturity [1],[4] Apr. 26, 2029  
Principal [1],[4] $ 16,577,937  
Cost [1],[4] 16,490,822  
Fair Value [1],[4] $ 16,733,355  
% of Total Cash and Investment [1],[4] 1.54%  
Investment, Identifier [Axis]: Debt Investments Professional Services DTI Holdco, Inc. (Epiq) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.75% Total Coupon 10.13% Maturity 4/21/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.75%
Total Coupon [2],[3]   10.13%
Maturity [2],[3]   Apr. 21, 2029
Principal [2],[3]   $ 2,468,750
Cost [2],[3]   2,371,727
Fair Value [2],[3]   $ 2,446,272
% of Total Cash and Investment [2],[3]   0.58%
Investment, Identifier [Axis]: Debt Investments Professional Services Deerfield Dakota Holding, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 3.75% Total Coupon 8.08% Maturity 4/9/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 1.00%  
Spread [1],[4] 3.75%  
Total Coupon [1],[4] 8.08%  
Maturity [1],[4] Apr. 09, 2027  
Principal [1],[4] $ 2,646,803  
Cost [1],[4] 2,595,083  
Fair Value [1],[4] $ 2,594,701  
% of Total Cash and Investment [1],[4] 0.24%  
Investment, Identifier [Axis]: Debt Investments Professional Services Deerfield Dakota Holding, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 3.75% Total Coupon 9.10% Maturity 4/9/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   3.75%
Total Coupon [2],[3]   9.10%
Maturity [2],[3]   Apr. 09, 2027
Principal [2],[3]   $ 942,148
Cost [2],[3]   914,860
Fair Value [2],[3]   $ 935,082
% of Total Cash and Investment [2],[3]   0.22%
Investment, Identifier [Axis]: Debt Investments Professional Services Element Materials Technology Group US Holdings Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.35% Total Coupon 9.70% Maturity 6/22/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.35%
Total Coupon [2],[3]   9.70%
Maturity [2],[3]   Jun. 24, 2029
Principal [2],[3]   $ 223,514
Cost [2],[3]   221,242
Fair Value [2],[3]   $ 222,117
% of Total Cash and Investment [2],[3]   0.05%
Investment, Identifier [Axis]: Debt Investments Professional Services Element Materials Technology Group US Holdings Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 3.75% Total Coupon 8.08% Maturity 6/24/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.75%  
Total Coupon [1],[4] 8.08%  
Maturity [1],[4] Jun. 24, 2029  
Principal [1],[4] $ 686,681  
Cost [1],[4] 682,812  
Fair Value [1],[4] $ 692,047  
% of Total Cash and Investment [1],[4] 0.06%  
Investment, Identifier [Axis]: Debt Investments Professional Services Element Materials Technology Group US Holdings Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.35% Total Coupon 9.70% Maturity 6/22/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.35%
Total Coupon [2],[3]   9.70%
Maturity [2],[3]   Jun. 22, 2029
Principal [2],[3]   $ 470,174
Cost [2],[3]   465,373
Fair Value [2],[3]   $ 467,235
% of Total Cash and Investment [2],[3]   0.11%
Investment, Identifier [Axis]: Debt Investments Professional Services GI Consilio Parent LLC (Skopima Consilio Parent LLC) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.75% Total Coupon 8.12% Maturity 5/15/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.75%  
Total Coupon [1],[4] 8.12%  
Maturity [1],[4] May 15, 2028  
Principal [1],[4] $ 9,082,500  
Cost [1],[4] 9,059,794  
Fair Value [1],[4] $ 9,127,913  
% of Total Cash and Investment [1],[4] 0.84%  
Investment, Identifier [Axis]: Debt Investments Professional Services GI Consilio Parent LLC (Skopima Consilio Parent LLC) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.61% Total Coupon 9.19% Maturity 5/14/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.61%  
Total Coupon [1],[4] 9.19%  
Maturity [1],[4] May 14, 2029  
Principal [1],[4] $ 10,917,500  
Cost [1],[4] 10,760,180  
Fair Value [1],[4] $ 10,972,088  
% of Total Cash and Investment [1],[4] 1.01%  
Investment, Identifier [Axis]: Debt Investments Professional Services GI Consilio Parent, LLC. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.50% Total Coupon 9.97% Maturity 5/12/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.50%
Spread [2],[3],[5]   4.50%
Total Coupon [2],[3],[5]   9.97%
Maturity [2],[3],[5]   May 12, 2028
Principal [2],[3],[5]   $ 11,000,000
Cost [2],[3],[5]   10,794,210
Fair Value [2],[3],[5]   $ 11,000,000
% of Total Cash and Investment [2],[3],[5]   2.62%
Investment, Identifier [Axis]: Debt Investments Professional Services HSI Halo Acquisitions, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.64% Maturity 6/28/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.64%  
Maturity [1],[4],[6] Jun. 28, 2031  
Principal [1],[4],[6] $ 191,314  
Cost [1],[4],[6] 191,314  
Fair Value [1],[4],[6] $ 196,833  
% of Total Cash and Investment [1],[4],[6] 0.02%  
Investment, Identifier [Axis]: Debt Investments Professional Services HSI Halo Acquisitions, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.59% Maturity 6/28/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.59%  
Maturity [1],[4],[6] Jun. 28, 2031  
Principal [1],[4],[6] $ 0  
Cost [1],[4],[6] 0  
Fair Value [1],[4],[6] $ 0  
% of Total Cash and Investment [1],[4],[6] 0.00%  
Investment, Identifier [Axis]: Debt Investments Professional Services HSI Halo Acquisitions, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.59% Maturity 6/28/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.59%  
Maturity [1],[4],[6] Jun. 28, 2031  
Principal [1],[4],[6] $ 6,180,927  
Cost [1],[4],[6] 6,133,675  
Fair Value [1],[4],[6] $ 6,211,832  
% of Total Cash and Investment [1],[4],[6] 0.57%  
Investment, Identifier [Axis]: Debt Investments Professional Services Huckabee Acquisition, LLC (MOREgroup) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.58% Maturity 1/16/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.58%  
Maturity [1],[4],[6],[7] Jan. 16, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (17,140)  
Fair Value [1],[4],[6],[7] $ (4,082)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Professional Services Huckabee Acquisition, LLC (MOREgroup) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.58% Maturity 1/16/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.58%  
Maturity [1],[4],[6],[7] Jan. 16, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (10,284)  
Fair Value [1],[4],[6],[7] $ (2,449)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Professional Services Huckabee Acquisition, LLC (MOREgroup) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.58% Maturity 1/16/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.58%  
Maturity [1],[4],[6] Jan. 16, 2030  
Principal [1],[4],[6] $ 4,658,714  
Cost [1],[4],[6] 4,580,459  
Fair Value [1],[4],[6] $ 4,640,079  
% of Total Cash and Investment [1],[4],[6] 0.43%  
Investment, Identifier [Axis]: Debt Investments Professional Services ICIMS, Inc. Instrument First Lien Incremental Term Loan Ref SOFR(Q) Floor 0.75% Spread 6.25% Total Coupon 10.88% Maturity 8/18/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 6.25%  
Total Coupon [1],[4],[6] 10.88%  
Maturity [1],[4],[6] Aug. 18, 2028  
Principal [1],[4],[6] $ 1,152,092  
Cost [1],[4],[6] 1,139,521  
Fair Value [1],[4],[6] $ 1,137,576  
% of Total Cash and Investment [1],[4],[6] 0.11%  
Investment, Identifier [Axis]: Debt Investments Professional Services ICIMS, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 7.25% Total Coupon 12.62% Maturity 8/18/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   7.25%
Total Coupon [2],[3],[5]   12.62%
Maturity [2],[3],[5]   Aug. 18, 2028
Principal [2],[3],[5]   $ 1,152,092
Cost [2],[3],[5]   1,136,049
Fair Value [2],[3],[5]   $ 1,145,179
% of Total Cash and Investment [2],[3],[5]   0.27%
Investment, Identifier [Axis]: Debt Investments Professional Services Lighthouse Parent Holdings, Inc (Aperture) Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.75% Spread 5.00% Total Coupon 9.37% Maturity 12/20/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.37%  
Maturity [1],[4],[6],[7] Dec. 20, 2031  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (16,923)  
Fair Value [1],[4],[6],[7] $ (33,913)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Professional Services Lighthouse Parent Holdings, Inc (Aperture) Instrument First Lien Revolver Ref SOFR(M) Floor 0.75% Spread 5.00% Total Coupon 9.37% Maturity 12/20/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.37%  
Maturity [1],[4],[6],[7] Dec. 20, 2031  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (13,539)  
Fair Value [1],[4],[6],[7] $ (13,565)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Professional Services Lighthouse Parent Holdings, Inc (Aperture) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 5.00% Total Coupon 9.37% Maturity 12/20/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.37%  
Maturity [1],[4],[6] Dec. 20, 2031  
Principal [1],[4],[6] $ 5,606,915  
Cost [1],[4],[6] 5,537,076  
Fair Value [1],[4],[6] $ 5,536,829  
% of Total Cash and Investment [1],[4],[6] 0.51%  
Investment, Identifier [Axis]: Debt Investments Professional Services Monotype Imaging Holdings, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 10.45% Maturity 10/9/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   5.00%
Total Coupon [2],[3]   10.45%
Maturity [2],[3]   Oct. 09, 2026
Principal [2],[3]   $ 2,456,030
Cost [2],[3]   2,405,418
Fair Value [2],[3]   $ 2,470,349
% of Total Cash and Investment [2],[3]   0.59%
Investment, Identifier [Axis]: Debt Investments Professional Services OMNIA Partners, LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 4.25% Total Coupon 9.63% Maturity 7/18/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[9]   1.00%
Spread [2],[3],[9]   4.25%
Total Coupon [2],[3],[9]   9.63%
Maturity [2],[3],[9]   Jul. 18, 2030
Principal [2],[3],[9]   $ 0
Cost [2],[3],[9]   (119)
Fair Value [2],[3],[9]   $ 188
% of Total Cash and Investment [2],[3],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Professional Services OMNIA Partners, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 2.75% Total Coupon 7.37% Maturity 7/25/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 1.00%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.37%  
Maturity [1],[4] Jul. 25, 2030  
Principal [1],[4] $ 484,560  
Cost [1],[4] 482,416  
Fair Value [1],[4] $ 487,545  
% of Total Cash and Investment [1],[4] 0.05%  
Investment, Identifier [Axis]: Debt Investments Professional Services OMNIA Partners, LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 4.25% Total Coupon 9.63% Maturity 7/18/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   4.25%
Total Coupon [2],[3]   9.63%
Maturity [2],[3]   Jul. 18, 2030
Principal [2],[3]   $ 265,996
Cost [2],[3]   263,465
Fair Value [2],[3]   $ 267,992
% of Total Cash and Investment [2],[3]   0.06%
Investment, Identifier [Axis]: Debt Investments Professional Services Secretariat Advisors LLC Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 0.75% Spread 4.86% Total Coupon 9.22% Maturity 12/16/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.86%  
Total Coupon [1],[4] 9.22%  
Maturity [1],[4] Dec. 16, 2028  
Principal [1],[4] $ 205,834  
Cost [1],[4] 206,346  
Fair Value [1],[4] $ 205,577  
% of Total Cash and Investment [1],[4] 0.02%  
Investment, Identifier [Axis]: Debt Investments Professional Services Secretariat Advisors LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.86% Total Coupon 9.22% Maturity 12/16/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.86%  
Total Coupon [1],[4] 9.22%  
Maturity [1],[4] Dec. 16, 2028  
Principal [1],[4] $ 1,290,315  
Cost [1],[4] 1,293,521  
Fair Value [1],[4] $ 1,288,702  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Professional Services Syntellis Performance Solutions, LLC (Axiom Global, Inc.) Instrument First Lien Incremental Term Loan Ref SOFR(M) Floor 0.75% Spread 4.85% Total Coupon 10.21% Maturity 7/31/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   4.85%
Total Coupon [2],[3],[5]   10.21%
Maturity [2],[3],[5]   Jul. 31, 2027
Principal [2],[3],[5]   $ 2,984,456
Cost [2],[3],[5]   2,931,410
Fair Value [2],[3],[5]   $ 2,909,845
% of Total Cash and Investment [2],[3],[5]   0.69%
Investment, Identifier [Axis]: Debt Investments Professional Services VT TopCo, Inc. (Veritext) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.25% Total Coupon 9.61% Maturity 8/3/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.25%
Total Coupon [2],[3]   9.61%
Maturity [2],[3]   Aug. 03, 2030
Principal [2],[3]   $ 5,000,000
Cost [2],[3]   4,952,669
Fair Value [2],[3]   $ 5,031,250
% of Total Cash and Investment [2],[3]   1.19%
Investment, Identifier [Axis]: Debt Investments Professional Services Vensure Employer Services, Inc. Instrument First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 0.75% Spread 5.25% Total Coupon 10.63% Maturity 2/26/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.25%
Total Coupon [2],[3],[5]   10.63%
Maturity [2],[3],[5]   Feb. 26, 2027
Principal [2],[3],[5]   $ 816,139
Cost [2],[3],[5]   715,756
Fair Value [2],[3],[5]   $ 717,095
% of Total Cash and Investment [2],[3],[5]   0.17%
Investment, Identifier [Axis]: Debt Investments Professional Services Vensure Employer Services, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.75% Total Coupon 10.12% Maturity 2/28/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Spread [2],[3],[5],[9]   4.75%
Total Coupon [2],[3],[5],[9]   10.12%
Maturity [2],[3],[5],[9]   Feb. 28, 2027
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (22)
Fair Value [2],[3],[5],[9]   $ (47)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Professional Services Vensure Employer Services, Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.33% Maturity 9/19/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[7] 0.75%  
Spread [1],[4],[7] 5.00%  
Total Coupon [1],[4],[7] 9.33%  
Maturity [1],[4],[7] Sep. 19, 2031  
Principal [1],[4],[7] $ 0  
Cost [1],[4],[7] 13,333  
Fair Value [1],[4],[7] $ (26,170)  
% of Total Cash and Investment [1],[4],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Professional Services Vensure Employer Services, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.75% Total Coupon 10.12% Maturity 2/28/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   4.75%
Total Coupon [2],[3],[5]   10.12%
Maturity [2],[3],[5]   Feb. 28, 2027
Principal [2],[3],[5]   $ 4,944,375
Cost [2],[3],[5]   4,944,375
Fair Value [2],[3],[5]   $ 4,803,460
% of Total Cash and Investment [2],[3],[5]   1.14%
Investment, Identifier [Axis]: Debt Investments Professional Services Vensure Employer Services, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.33% Maturity 9/27/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 5.00%  
Total Coupon [1],[4] 9.33%  
Maturity [1],[4] Sep. 27, 2031  
Principal [1],[4] $ 13,266,446  
Cost [1],[4] 13,146,345  
Fair Value [1],[4] $ 13,140,415  
% of Total Cash and Investment [1],[4] 1.21%  
Investment, Identifier [Axis]: Debt Investments Real Estate Management & Development Forest City Enterprises, L.P. Instrument First Lien Term Loan Ref SOFR(M) Spread 3.61% Total Coupon 8.97% Maturity 12/8/2025    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   3.61%
Total Coupon [2],[3]   8.97%
Maturity [2],[3]   Dec. 08, 2025
Principal [2],[3]   $ 902,764
Cost [2],[3]   891,545
Fair Value [2],[3]   $ 859,318
% of Total Cash and Investment [2],[3]   0.20%
Investment, Identifier [Axis]: Debt Investments Real Estate Management and Development    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 8,065,677  
Fair Value [1],[4] $ 8,070,533  
% of Total Cash and Investment [1],[4] 0.75%  
Investment, Identifier [Axis]: Debt Investments Real Estate Management and Development Community Merger Sub Debt LLC (CINC Systems) Instrument First Lien Revolver Ref SOFR(M) Floor 0.75% Spread 5.75% Total Coupon 10.11% Maturity 1/18/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.75%  
Total Coupon [1],[4],[6],[7] 10.11%  
Maturity [1],[4],[6],[7] Jan. 18, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (33,608)  
Fair Value [1],[4],[6],[7] $ (30,305)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Real Estate Management and Development Community Merger Sub Debt LLC (CINC Systems) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 5.75% Total Coupon 10.11% Maturity 1/18/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.75%  
Total Coupon [1],[4],[6] 10.11%  
Maturity [1],[4],[6] Jan. 18, 2030  
Principal [1],[4],[6] $ 7,324,992  
Cost [1],[4],[6] 7,201,932  
Fair Value [1],[4],[6] $ 7,213,872  
% of Total Cash and Investment [1],[4],[6] 0.67%  
Investment, Identifier [Axis]: Debt Investments Real Estate Management and Development Forest City Enterprises, L.P. Instrument First Lien Term Loan Ref SOFR(M) Floor —% Spread 3.61% Total Coupon 7.96% Maturity 08/12/2025    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.61%  
Total Coupon [1],[4] 7.96%  
Maturity [1],[4] Dec. 08, 2025  
Principal [1],[4] $ 902,764  
Cost [1],[4] 897,353  
Fair Value [1],[4] $ 886,966  
% of Total Cash and Investment [1],[4] 0.08%  
Investment, Identifier [Axis]: Debt Investments Software    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 65,935,598
Fair Value [2],[3]   $ 66,985,334
% of Total Cash and Investment [2],[3]   15.90%
Investment, Identifier [Axis]: Debt Investments Software    
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 160,902,569  
Fair Value [1],[4] $ 162,036,192  
% of Total Cash and Investment [1],[4] 14.98%  
Investment, Identifier [Axis]: Debt Investments Software Applied Systems, Inc Instrument First Lien Incremental Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.50% Total Coupon 9.85% Maturity 9/19/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.50%
Total Coupon [2],[3]   9.85%
Maturity [2],[3]   Sep. 19, 2026
Principal [2],[3]   $ 510,145
Cost [2],[3]   508,851
Fair Value [2],[3]   $ 513,101
% of Total Cash and Investment [2],[3]   0.12%
Investment, Identifier [Axis]: Debt Investments Software Applied Systems, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 3.00% Total Coupon 7.33% Maturity 9/19/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.33%  
Maturity [1],[4] Sep. 19, 2026  
Principal [1],[4] $ 1,243,894  
Cost [1],[4] 1,244,605  
Fair Value [1],[4] $ 1,257,396  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Software Barracuda Parent LLC Instrument First Lien Term Loan Ref SOFR(Q) Floor —% Spread 4.50% Total Coupon 9.09% Maturity 8/15/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 4.50%  
Total Coupon [1],[4] 9.09%  
Maturity [1],[4] Aug. 15, 2029  
Principal [1],[4] $ 678,120  
Cost [1],[4] 665,149  
Fair Value [1],[4] $ 629,085  
% of Total Cash and Investment [1],[4] 0.06%  
Investment, Identifier [Axis]: Debt Investments Software Barracuda Parent LLC. Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.50% Total Coupon 9.88% Maturity 8/15/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   4.50%
Total Coupon [2],[3]   9.88%
Maturity [2],[3]   Aug. 15, 2029
Principal [2],[3]   $ 574,200
Cost [2],[3]   561,664
Fair Value [2],[3]   $ 562,179
% of Total Cash and Investment [2],[3]   0.13%
Investment, Identifier [Axis]: Debt Investments Software Bluefin Holding, LLC (Allvue) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 6.25% Total Coupon 10.64% Maturity 9/12/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 6.25%  
Total Coupon [1],[4],[6],[7] 10.64%  
Maturity [1],[4],[6],[7] Sep. 12, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (23,289)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Bluefin Holding, LLC (Allvue) Instrument First Lien Revolver Ref SOFR(S) Floor 1.00% Spread 7.25% Total Coupon 12.72% Maturity 9/12/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   7.25%
Total Coupon [2],[3],[5],[9]   12.72%
Maturity [2],[3],[5],[9]   Sep. 12, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (28,259)
Fair Value [2],[3],[5],[9]   $ (20,241)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Software Bluefin Holding, LLC (Allvue) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.25% Total Coupon 10.64% Maturity 9/12/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.25%  
Total Coupon [1],[4],[6] 10.64%  
Maturity [1],[4],[6] Sep. 12, 2029  
Principal [1],[4],[6] $ 17,648,902  
Cost [1],[4],[6] 17,329,874  
Fair Value [1],[4],[6] $ 17,666,551  
% of Total Cash and Investment [1],[4],[6] 1.62%  
Investment, Identifier [Axis]: Debt Investments Software Bluefin Holding, LLC (Allvue) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.25% Total Coupon 12.72% Maturity 9/12/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.25%
Total Coupon [2],[3],[5]   12.72%
Maturity [2],[3],[5]   Sep. 12, 2029
Principal [2],[3],[5]   $ 12,076,774
Cost [2],[3],[5]   11,790,144
Fair Value [2],[3],[5]   $ 11,871,470
% of Total Cash and Investment [2],[3],[5]   2.83%
Investment, Identifier [Axis]: Debt Investments Software Boxer Parent Company, Inc. Instrument First Lien Term Loan Ref SOFR(M) Spread 4.25% Total Coupon 9.61% Maturity 12/29/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   4.25%
Total Coupon [2],[3]   9.61%
Maturity [2],[3]   Dec. 29, 2029
Principal [2],[3]   $ 1,302,660
Cost [2],[3]   1,263,621
Fair Value [2],[3]   $ 1,313,895
% of Total Cash and Investment [2],[3]   0.31%
Investment, Identifier [Axis]: Debt Investments Software Boxer Parent Company, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.75% Total Coupon 8.34% Maturity 7/30/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.75%  
Total Coupon [1],[4] 8.34%  
Maturity [1],[4] Jul. 30, 2031  
Principal [1],[4] $ 2,465,147  
Cost [1],[4] 2,469,162  
Fair Value [1],[4] $ 2,488,541  
% of Total Cash and Investment [1],[4] 0.23%  
Investment, Identifier [Axis]: Debt Investments Software Capstone Borrower, Inc. (Cvent, Inc.). Instrument First Lien Term Loan B Ref SOFR(Q) Spread 3.75% Total Coupon 9.10% Maturiy 5/17/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   3.75%
Total Coupon [2],[3]   9.10%
Maturity [2],[3]   May 17, 2030
Principal [2],[3]   $ 4,990,385
Cost [2],[3]   4,921,163
Fair Value [2],[3]   $ 5,002,861
% of Total Cash and Investment [2],[3]   1.19%
Investment, Identifier [Axis]: Debt Investments Software Cart.Com, Inc. Instrument First Lien Term Loan (2.5% Exit Fee) Ref SOFR(M) Floor 1.50% Spread 7.75% Total Coupon 12.11% Maturity 5/22/2029    
Schedule Of Investments [Line Items]    
Exit Fee, Percentage [6],[13] 2.50%  
Interest Rate, Floor [1],[4],[6],[13] 1.50%  
Spread [1],[4],[6],[13] 7.75%  
Total Coupon [1],[4],[6],[13] 12.11%  
Maturity [1],[4],[6],[13] May 22, 2029  
Principal [1],[4],[6],[13] $ 12,000,000  
Cost [1],[4],[6],[13] 11,894,137  
Fair Value [1],[4],[6],[13] $ 11,856,000  
% of Total Cash and Investment [1],[4],[6],[13] 1.10%  
Investment, Identifier [Axis]: Debt Investments Software Central Parent Inc.. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.00% Total Coupon 9.35% Maturity 7/6/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.00%
Total Coupon [2],[3]   9.35%
Maturity [2],[3]   Jul. 06, 2029
Principal [2],[3]   $ 992,500
Cost [2],[3]   974,748
Fair Value [2],[3]   $ 999,269
% of Total Cash and Investment [2],[3]   0.24%
Investment, Identifier [Axis]: Debt Investments Software Central Parent, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.25% Total Coupon 7.58% Maturity 7/6/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.58%  
Maturity [1],[4] Jul. 06, 2029  
Principal [1],[4] $ 990,019  
Cost [1],[4] 975,531  
Fair Value [1],[4] $ 978,203  
% of Total Cash and Investment [1],[4] 0.09%  
Investment, Identifier [Axis]: Debt Investments Software Clever Devices Ltd. Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 6.00% Total Coupon 10.36% Maturity 6/12/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.00%  
Total Coupon [1],[4],[6] 10.36%  
Maturity [1],[4],[6] Jun. 12, 2030  
Principal [1],[4],[6] $ 371,050  
Cost [1],[4],[6] 350,008  
Fair Value [1],[4],[6] $ 371,050  
% of Total Cash and Investment [1],[4],[6] 0.03%  
Investment, Identifier [Axis]: Debt Investments Software Clever Devices Ltd. Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.00% Total Coupon 10.66% Maturity 6/12/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 6.00%  
Total Coupon [1],[4],[6] 10.66%  
Maturity [1],[4],[6] Jun. 12, 2030  
Principal [1],[4],[6] $ 2,215,165  
Cost [1],[4],[6] 2,164,917  
Fair Value [1],[4],[6] $ 2,237,317  
% of Total Cash and Investment [1],[4],[6] 0.21%  
Investment, Identifier [Axis]: Debt Investments Software Cloudera, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.85% Total Coupon 8.21% Maturity 10/8/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.85%  
Total Coupon [1],[4] 8.21%  
Maturity [1],[4] Oct. 08, 2028  
Principal [1],[4] $ 3,527,723  
Cost [1],[4] 3,480,306  
Fair Value [1],[4] $ 3,524,971  
% of Total Cash and Investment [1],[4] 0.33%  
Investment, Identifier [Axis]: Debt Investments Software Cloudera, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.85% Total Coupon 9.21% Maturity 10/8/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.85%
Total Coupon [2],[3]   9.21%
Maturity [2],[3]   Oct. 08, 2028
Principal [2],[3]   $ 162,737
Cost [2],[3]   152,443
Fair Value [2],[3]   $ 161,618
% of Total Cash and Investment [2],[3]   0.04%
Investment, Identifier [Axis]: Debt Investments Software Clover Holding 2, LLC (COHESITY) Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.00% Total Coupon 8.43% Maturity 10/31/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.00%  
Spread [1],[4],[6] 4.00%  
Total Coupon [1],[4],[6] 8.43%  
Maturity [1],[4],[6] Oct. 31, 2031  
Principal [1],[4],[6] $ 4,954,000  
Cost [1],[4],[6] 4,941,618  
Fair Value [1],[4],[6] $ 5,015,925  
% of Total Cash and Investment [1],[4],[6] 0.46%  
Investment, Identifier [Axis]: Debt Investments Software Connectwise Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.76% Total Coupon 8.09% Maturity 9/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.76%  
Total Coupon [1],[4] 8.09%  
Maturity [1],[4] Sep. 30, 2028  
Principal [1],[4] $ 1,477,796  
Cost [1],[4] 1,482,874  
Fair Value [1],[4] $ 1,489,345  
% of Total Cash and Investment [1],[4] 0.14%  
Investment, Identifier [Axis]: Debt Investments Software Cornerstone OnDemand, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.86% Total Coupon 9.22% Maturity 10/15/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.86%
Total Coupon [2],[3]   9.22%
Maturity [2],[3]   Oct. 15, 2028
Principal [2],[3]   $ 736,914
Cost [2],[3]   704,284
Fair Value [2],[3]   $ 714,807
% of Total Cash and Investment [2],[3]   0.17%
Investment, Identifier [Axis]: Debt Investments Software Delta Topco, Inc Instrument First Lien Term Loan Ref SOFR(S) Spread 3.50% Total Coupon 8.20% Maturity 12/24/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 8.20%  
Maturity [1],[4] Dec. 24, 2029  
Principal [1],[4] $ 3,450,899  
Cost [1],[4] 3,464,158  
Fair Value [1],[4] $ 3,482,181  
% of Total Cash and Investment [1],[4] 0.32%  
Investment, Identifier [Axis]: Debt Investments Software Disco Parent, Inc. (Duck Creek Technologies) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 7.50% Total Coupon 12.01% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 7.50%  
Total Coupon [1],[4],[6],[7] 12.01%  
Maturity [1],[4],[6],[7] Mar. 30, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (4,111)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Disco Parent, Inc. (Duck Creek Technologies) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 7.50% Total Coupon 12.89% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Spread [2],[3],[5],[9]   7.50%
Total Coupon [2],[3],[5],[9]   12.89%
Maturity [2],[3],[5],[9]   Mar. 30, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (5,083)
Fair Value [2],[3],[5],[9]   $ 0
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Software Disco Parent, Inc. (Duck Creek Technologies) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.50% Total Coupon 12.01% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 7.50%  
Total Coupon [1],[4],[6] 12.01%  
Maturity [1],[4],[6] Mar. 30, 2029  
Principal [1],[4],[6] $ 2,780,810  
Cost [1],[4],[6] 2,731,101  
Fair Value [1],[4],[6] $ 2,791,933  
% of Total Cash and Investment [1],[4],[6] 0.26%  
Investment, Identifier [Axis]: Debt Investments Software Disco Parent, Inc. (Duck Creek Technologies) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 7.50% Total Coupon 12.89% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   7.50%
Total Coupon [2],[3],[5]   12.89%
Maturity [2],[3],[5]   Mar. 30, 2029
Principal [2],[3],[5]   $ 2,327,225
Cost [2],[3],[5]   2,276,397
Fair Value [2],[3],[5]   $ 2,331,879
% of Total Cash and Investment [2],[3],[5]   0.55%
Investment, Identifier [Axis]: Debt Investments Software Douglas Holdings, Inc (Docupace) Instrument First Lien Delayed Draw Term Loan A Ref SOFR(Q) Floor 1.00% Spread 5.75% Cash + 0.38% PIK Total Coupon 10.45% Maturity 8/27/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[7] 0.38%  
Interest Rate, Cash [1],[4],[6],[7] 5.75%  
Total Coupon [1],[4],[6],[7] 10.45%  
Maturity [1],[4],[6],[7] Aug. 27, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (14,447)  
Fair Value [1],[4],[6],[7] $ (28,626)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Douglas Holdings, Inc (Docupace) Instrument First Lien Delayed Draw Term Loan B Ref SOFR(Q) Floor 1.00% Spread 5.75% Cash + 0.38% PIK Total Coupon 10.45% Maturity 8/27/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[7] 0.38%  
Interest Rate, Cash [1],[4],[6],[7] 5.75%  
Total Coupon [1],[4],[6],[7] 10.45%  
Maturity [1],[4],[6],[7] Aug. 27, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (13,133)  
Fair Value [1],[4],[6],[7] $ (26,024)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Douglas Holdings, Inc (Docupace) Instrument First Lien PIK Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.75% Cash + 0.38% PIK Total Coupon 10.45% Maturity 8/27/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 0.38%  
Interest Rate, Cash [1],[4],[6] 5.75%  
Total Coupon [1],[4],[6] 10.45%  
Maturity [1],[4],[6] Aug. 27, 2030  
Principal [1],[4],[6] $ 165,063  
Cost [1],[4],[6] 165,064  
Fair Value [1],[4],[6] $ 150,281  
% of Total Cash and Investment [1],[4],[6] 0.01%  
Investment, Identifier [Axis]: Debt Investments Software Douglas Holdings, Inc (Docupace) Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 5.75% Cash + 0.38% PIK Total Coupon 10.45% Maturity 8/27/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[7] 0.38%  
Interest Rate, Cash [1],[4],[6],[7] 5.75%  
Total Coupon [1],[4],[6],[7] 10.45%  
Maturity [1],[4],[6],[7] Aug. 27, 2030  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (10,507)  
Fair Value [1],[4],[6],[7] $ (10,410)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Douglas Holdings, Inc (Docupace) Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.75% Cash + 0.38% PIK Total Coupon 10.45% Maturity 8/27/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 0.38%  
Interest Rate, Cash [1],[4],[6] 5.75%  
Total Coupon [1],[4],[6] 10.45%  
Maturity [1],[4],[6] Aug. 27, 2030  
Principal [1],[4],[6] $ 8,550,747  
Cost [1],[4],[6] 8,429,920  
Fair Value [1],[4],[6] $ 8,431,037  
% of Total Cash and Investment [1],[4],[6] 0.78%  
Investment, Identifier [Axis]: Debt Investments Software Epicor Software Corp. LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 3.36% Total Coupon 8.72% Maturity 7/31/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   3.36%
Total Coupon [2],[3]   8.72%
Maturity [2],[3]   Jul. 31, 2027
Principal [2],[3]   $ 2,125,335
Cost [2],[3]   2,082,403
Fair Value [2],[3]   $ 2,135,398
% of Total Cash and Investment [2],[3]   0.51%
Investment, Identifier [Axis]: Debt Investments Software Epicor Software Corporation (fka Eagle Parent Inc.) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 2.75% Total Coupon 7.11% Maturity 5/30/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.11%  
Maturity [1],[4] May 30, 2031  
Principal [1],[4] $ 3,769,936  
Cost [1],[4] 3,742,530  
Fair Value [1],[4] $ 3,801,547  
% of Total Cash and Investment [1],[4] 0.35%  
Investment, Identifier [Axis]: Debt Investments Software Flexera Software, LLC Instrument First LienTerm Loan Ref SOFR(M) Floor 0.75% Spread 3.75% Total Coupon 9.22% Maturity 3/3/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   3.75%
Total Coupon [2],[3]   9.22%
Maturity [2],[3]   Mar. 03, 2028
Principal [2],[3]   $ 733,651
Cost [2],[3]   716,948
Fair Value [2],[3]   $ 734,168
% of Total Cash and Investment [2],[3]   0.17%
Investment, Identifier [Axis]: Debt Investments Software Fusion Risk Management, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 3.00% Cash + 3.25% PIK Total Coupon 11.08% Maturity 5/22/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[7] 3.25%  
Interest Rate, Cash [1],[4],[6],[7] 3.00%  
Total Coupon [1],[4],[6],[7] 11.08%  
Maturity [1],[4],[6],[7] May 22, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (9,889)  
Fair Value [1],[4],[6],[7] $ (6,864)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Fusion Risk Management, Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 3.50% Cash + 3.75% PIK Total Coupon 12.62% Maturity 5/22/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Investment, Interest Rate, Paid in Kind [2],[3],[5],[9]   3.75%
Interest Rate, Cash [2],[3],[5],[9]   3.50%
Total Coupon [2],[3],[5],[9]   12.62%
Maturity [2],[3],[5],[9]   May 22, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (12,596)
Fair Value [2],[3],[5],[9]   $ (9,610)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Software Fusion Risk Management, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 3.00% Cash + 3.25% PIK Total Coupon 11.08% Maturity 5/22/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 3.25%  
Interest Rate, Cash [1],[4],[6] 3.00%  
Total Coupon [1],[4],[6] 11.08%  
Maturity [1],[4],[6] May 22, 2029  
Principal [1],[4],[6] $ 4,036,148  
Cost [1],[4],[6] 3,983,233  
Fair Value [1],[4],[6] $ 3,975,606  
% of Total Cash and Investment [1],[4],[6] 0.37%  
Investment, Identifier [Axis]: Debt Investments Software Fusion Risk Management, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 3.50% Cash + 3.75% PIK Total Coupon 12.62% Maturity 5/22/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Investment, Interest Rate, Paid in Kind [2],[3],[5]   3.75%
Interest Rate, Cash [2],[3],[5]   3.50%
Total Coupon [2],[3],[5]   12.62%
Maturity [2],[3],[5]   May 22, 2029
Principal [2],[3],[5]   $ 3,886,777
Cost [2],[3],[5]   3,819,376
Fair Value [2],[3],[5]   $ 3,805,155
% of Total Cash and Investment [2],[3],[5]   0.90%
Investment, Identifier [Axis]: Debt Investments Software GTY Technology Holdings Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 2.58% Cash + 4.30% PIK Total Coupon 12.22% Maturity 7/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Investment, Interest Rate, Paid in Kind [2],[3],[5]   4.30%
Interest Rate, Cash [2],[3],[5]   2.58%
Total Coupon [2],[3],[5]   12.22%
Maturity [2],[3],[5]   Jul. 09, 2029
Principal [2],[3],[5]   $ 1,197,985
Cost [2],[3],[5]   1,179,932
Fair Value [2],[3],[5]   $ 1,197,146
% of Total Cash and Investment [2],[3],[5]   0.28%
Investment, Identifier [Axis]: Debt Investments Software GTY Technology Holdings Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 2.67% Cash + 4.55% PIK Total Coupon 11.68% Maturity 7/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 4.55%  
Interest Rate, Cash [1],[4],[6] 2.67%  
Total Coupon [1],[4],[6] 11.68%  
Maturity [1],[4],[6] Jul. 09, 2029  
Principal [1],[4],[6] $ 325,564  
Cost [1],[4],[6] 308,014  
Fair Value [1],[4],[6] $ 306,895  
% of Total Cash and Investment [1],[4],[6] 0.03%  
Investment, Identifier [Axis]: Debt Investments Software GTY Technology Holdings Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 2.58% Cash + 4.30% PIK Total Coupon 11.21% Maturity 7/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 4.30%  
Interest Rate, Cash [1],[4],[6] 2.58%  
Total Coupon [1],[4],[6] 11.21%  
Maturity [1],[4],[6] Jul. 09, 2029  
Principal [1],[4],[6] $ 1,252,635  
Cost [1],[4],[6] 1,237,862  
Fair Value [1],[4],[6] $ 1,219,866  
% of Total Cash and Investment [1],[4],[6] 0.11%  
Investment, Identifier [Axis]: Debt Investments Software GTY Technology Holdings Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 2.58% Cash + 4.30% PIK Total Coupon 12.22% Maturity 7/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   1.00%
Investment, Interest Rate, Paid in Kind [2],[3],[5],[9]   4.30%
Interest Rate, Cash [2],[3],[5],[9]   2.58%
Total Coupon [2],[3],[5],[9]   12.22%
Maturity [2],[3],[5],[9]   Jul. 09, 2029
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (21,443)
Fair Value [2],[3],[5],[9]   $ (760)
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Software GTY Technology Holdings Inc. Instrument First Lien Revolver Ref PRIME Floor 0.75% Spread 5.25% Total Coupon 13.75% Maturity 7/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   5.25%
Total Coupon [2],[3],[5]   13.75%
Maturity [2],[3],[5]   Jul. 09, 2029
Principal [2],[3],[5]   $ 26,438
Cost [2],[3],[5]   22,260
Fair Value [2],[3],[5]   $ 26,253
% of Total Cash and Investment [2],[3],[5]   0.01%
Investment, Identifier [Axis]: Debt Investments Software GTY Technology Holdings Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 1.00% Spread 2.58% Cash + 4.30% PIK Total Coupon 11.21% Maturity 7/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[7] 4.30%  
Interest Rate, Cash [1],[4],[6],[7] 2.58%  
Total Coupon [1],[4],[6],[7] 11.21%  
Maturity [1],[4],[6],[7] Jul. 09, 2029  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (3,419)  
Fair Value [1],[4],[6],[7] $ (6,916)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software GTY Technology Holdings Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 2.58% Cash + 4.30% PIK Total Coupon 12.22% Maturity 7/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Investment, Interest Rate, Paid in Kind [2],[3],[5]   4.30%
Interest Rate, Cash [2],[3],[5]   2.58%
Total Coupon [2],[3],[5]   12.22%
Maturity [2],[3],[5]   Jul. 09, 2029
Principal [2],[3],[5]   $ 1,550,326
Cost [2],[3],[5]   1,527,349
Fair Value [2],[3],[5]   $ 1,549,240
% of Total Cash and Investment [2],[3],[5]   0.37%
Investment, Identifier [Axis]: Debt Investments Software GTY Technology Holdings Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 1.00% Spread 2.58% Cash + 4.30% PIK Total Coupon 11.21% Maturity 7/9/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 4.30%  
Interest Rate, Cash [1],[4],[6] 2.58%  
Total Coupon [1],[4],[6] 11.21%  
Maturity [1],[4],[6] Jul. 09, 2029  
Principal [1],[4],[6] $ 1,619,552  
Cost [1],[4],[6] 1,600,751  
Fair Value [1],[4],[6] $ 1,577,185  
% of Total Cash and Investment [1],[4],[6] 0.15%  
Investment, Identifier [Axis]: Debt Investments Software Greeneden U.S. Holdings II, LLC (Genesys Telecommunications Laboratories Inc) Instrument First Lien Term Loan Ref SOFR(M) Spread 3.00% Total Coupon 7.36% Maturity 12/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.36%  
Maturity [1],[4] Dec. 01, 2027  
Principal [1],[4] $ 3,130,662  
Cost [1],[4] 3,101,596  
Fair Value [1],[4] $ 3,160,857  
% of Total Cash and Investment [1],[4] 0.29%  
Investment, Identifier [Axis]: Debt Investments Software Greeneden U.S. Holdings II, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.11% Total Coupon 9.47% Maturity 12/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.11%
Total Coupon [2],[3]   9.47%
Maturity [2],[3]   Dec. 01, 2027
Principal [2],[3]   $ 2,709,633
Cost [2],[3]   2,667,976
Fair Value [2],[3]   $ 2,723,411
% of Total Cash and Investment [2],[3]   0.65%
Investment, Identifier [Axis]: Debt Investments Software Honey Intermediate, Inc. (iLobby) (Canada) Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 2.88% Cash + 3.38% PIK Total Coupon 10.61% Maturity 9/26/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7],[11] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[7],[11] 3.38%  
Interest Rate, Cash [1],[4],[6],[7],[11] 2.88%  
Total Coupon [1],[4],[6],[7],[11] 10.61%  
Maturity [1],[4],[6],[7],[11] Sep. 26, 2030  
Principal [1],[4],[6],[7],[11] $ 0  
Cost [1],[4],[6],[7],[11] (26,612)  
Fair Value [1],[4],[6],[7],[11] $ (24,341)  
% of Total Cash and Investment [1],[4],[6],[7],[11] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Honey Intermediate, Inc. (iLobby) (Canada) Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 2.88% Cash + 3.38% PIK Total Coupon 10.61% Maturity 9/26/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[11] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6],[11] 3.38%  
Interest Rate, Cash [1],[4],[6],[11] 2.88%  
Total Coupon [1],[4],[6],[11] 10.61%  
Maturity [1],[4],[6],[11] Sep. 26, 2030  
Principal [1],[4],[6],[11] $ 14,164,479  
Cost [1],[4],[6],[11] 13,961,736  
Fair Value [1],[4],[6],[11] $ 13,980,341  
% of Total Cash and Investment [1],[4],[6],[11] 1.28%  
Investment, Identifier [Axis]: Debt Investments Software JOBVITE, Inc. (Employ, Inc.) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 7.50% Total Coupon 12.02% Maturity 8/5/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 7.50%  
Total Coupon [1],[4],[6] 12.02%  
Maturity [1],[4],[6] Aug. 05, 2028  
Principal [1],[4],[6] $ 2,321,515  
Cost [1],[4],[6] 2,286,062  
Fair Value [1],[4],[6] $ 2,284,881  
% of Total Cash and Investment [1],[4],[6] 0.21%  
Investment, Identifier [Axis]: Debt Investments Software JOBVITE, Inc. (Employ, Inc.) Instrument First Lien Term Loan Ref SOFR(S) Floor 0.75% Spread 8.00% Total Coupon 13.43% Maturity 8/7/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Spread [2],[3],[5]   8.00%
Total Coupon [2],[3],[5]   13.43%
Maturity [2],[3],[5]   Aug. 07, 2028
Principal [2],[3],[5]   $ 2,321,514
Cost [2],[3],[5]   2,275,240
Fair Value [2],[3],[5]   $ 2,286,924
% of Total Cash and Investment [2],[3],[5]   0.54%
Investment, Identifier [Axis]: Debt Investments Software Kong Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(M) Floor 1.00% Spread 5.50% Cash + 3.25% PIK Total Coupon 13.42% Maturity 11/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 3.25%  
Interest Rate, Cash [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 13.42%  
Maturity [1],[4],[6] Nov. 01, 2027  
Principal [1],[4],[6] $ 515,193  
Cost [1],[4],[6] 506,867  
Fair Value [1],[4],[6] $ 514,935  
% of Total Cash and Investment [1],[4],[6] 0.05%  
Investment, Identifier [Axis]: Debt Investments Software Kong Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.50% Cash + 3.25% PIK Total Coupon 13.42% Maturity 11/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Investment, Interest Rate, Paid in Kind [1],[4],[6] 3.25%  
Interest Rate, Cash [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 13.42%  
Maturity [1],[4],[6] Nov. 01, 2027  
Principal [1],[4],[6] $ 970,973  
Cost [1],[4],[6] 958,382  
Fair Value [1],[4],[6] $ 970,488  
% of Total Cash and Investment [1],[4],[6] 0.09%  
Investment, Identifier [Axis]: Debt Investments Software Kong Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.50% Cash + 3.25% PIK Total Coupon 14.21% Maturity 11/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Investment, Interest Rate, Paid in Kind [2],[3],[5]   3.25%
Interest Rate, Cash [2],[3],[5]   5.50%
Total Coupon [2],[3],[5]   14.21%
Maturity [2],[3],[5]   Nov. 01, 2027
Principal [2],[3],[5]   $ 939,965
Cost [2],[3],[5]   924,763
Fair Value [2],[3],[5]   $ 939,119
% of Total Cash and Investment [2],[3],[5]   0.22%
Investment, Identifier [Axis]: Debt Investments Software Logicmonitor, Inc Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.50% Total Coupon 9.99% Maturity 11/19/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.50%  
Total Coupon [1],[4],[6],[7] 9.99%  
Maturity [1],[4],[6],[7] Nov. 19, 2031  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (18,266)  
Fair Value [1],[4],[6],[7] $ (22,835)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Logicmonitor, Inc Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.50% Total Coupon 9.99% Maturity 11/19/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 9.99%  
Maturity [1],[4],[6] Nov. 19, 2031  
Principal [1],[4],[6] $ 14,852,100  
Cost [1],[4],[6] 14,705,970  
Fair Value [1],[4],[6] $ 14,669,419  
% of Total Cash and Investment [1],[4],[6] 1.35%  
Investment, Identifier [Axis]: Debt Investments Software MH Sub I, LLC (Micro Holding Corp.) Instrument First Lien 2023 Incremental Term Loan Ref SOFR(M) Floor 1.00% Spread 4.25% Total Coupon 8.82% Maturity 5/3/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 1.00%  
Spread [1],[4] 4.25%  
Total Coupon [1],[4] 8.82%  
Maturity [1],[4] May 03, 2028  
Principal [1],[4] $ 2,750,375  
Cost [1],[4] 2,729,707  
Fair Value [1],[4] $ 2,754,913  
% of Total Cash and Investment [1],[4] 0.25%  
Investment, Identifier [Axis]: Debt Investments Software MH Sub I, LLC (Micro Holding Corp.) Instrument First Lien 2023 Incremental Term Loan Ref SOFR(M) Floor 1.00% Spread 4.25% Total Coupon 9.61% Maturity 4/25/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   4.25%
Total Coupon [2],[3]   9.61%
Maturity [2],[3]   Apr. 25, 2028
Principal [2],[3]   $ 1,452,700
Cost [2],[3]   1,420,930
Fair Value [2],[3]   $ 1,430,910
% of Total Cash and Investment [2],[3]   0.34%
Investment, Identifier [Axis]: Debt Investments Software MH Sub I, LLC (Micro Holding Corp.) Instrument First Lien Term Loan Ref SOFR(M) Spread 4.25% Total Coupon 8.82% Maturity 12/11/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[7] 0.00%  
Spread [1],[4],[7] 4.25%  
Total Coupon [1],[4],[7] 8.82%  
Maturity [1],[4],[7] Dec. 11, 2031  
Principal [1],[4],[7] $ 0  
Cost [1],[4],[7] (1,417)  
Fair Value [1],[4],[7] $ (1,887)  
% of Total Cash and Investment [1],[4],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Maverick Bidco, Inc. (Mitratech) Instrument First Lien No. 2 Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.51% Total Coupon 9.10% Maturity 5/18/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.51%  
Total Coupon [1],[4] 9.10%  
Maturity [1],[4] May 18, 2028  
Principal [1],[4] $ 12,312,500  
Cost [1],[4] 12,112,627  
Fair Value [1],[4] $ 12,327,891  
% of Total Cash and Investment [1],[4] 1.14%  
Investment, Identifier [Axis]: Debt Investments Software Maverick Bidco, Inc. (Mitratech) Instrument First Lien No. 2 Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.51% Total Coupon 9.89% Maturity 5/18/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.51%
Total Coupon [2],[3]   9.89%
Maturity [2],[3]   May 18, 2028
Principal [2],[3]   $ 6,965,000
Cost [2],[3]   6,687,228
Fair Value [2],[3]   $ 6,904,056
% of Total Cash and Investment [2],[3]   1.64%
Investment, Identifier [Axis]: Debt Investments Software Mitchell International Inc Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.25% Total Coupon 7.61% Maturity 6/17/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.61%  
Maturity [1],[4] Jun. 17, 2031  
Principal [1],[4] $ 1,678,793  
Cost [1],[4] 1,674,123  
Fair Value [1],[4] $ 1,681,781  
% of Total Cash and Investment [1],[4] 0.16%  
Investment, Identifier [Axis]: Debt Investments Software Planview Parent, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.26% Total Coupon 9.61% Maturity 12/17/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.26%
Total Coupon [2],[3]   9.61%
Maturity [2],[3]   Dec. 17, 2027
Principal [2],[3]   $ 825,671
Cost [2],[3]   804,073
Fair Value [2],[3]   $ 820,457
% of Total Cash and Investment [2],[3]   0.19%
Investment, Identifier [Axis]: Debt Investments Software Planview Parent, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.50% Total Coupon 7.83% Maturity 12/17/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.83%  
Maturity [1],[4] Dec. 17, 2027  
Principal [1],[4] $ 2,255,857  
Cost [1],[4] 2,244,641  
Fair Value [1],[4] $ 2,274,772  
% of Total Cash and Investment [1],[4] 0.21%  
Investment, Identifier [Axis]: Debt Investments Software Project Boost Purchaser, LLC (JD Power, AutoData Inc) Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.50% Total Coupon 8.15% Maturity 7/2/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 8.15%  
Maturity [1],[4] Jul. 02, 2031  
Principal [1],[4] $ 1,361,559  
Cost [1],[4] 1,362,612  
Fair Value [1],[4] $ 1,372,935  
% of Total Cash and Investment [1],[4] 0.13%  
Investment, Identifier [Axis]: Debt Investments Software Proofpoint, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.00% Total Coupon 7.36% Maturity 8/21/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.36%  
Maturity [1],[4] Aug. 21, 2028  
Principal [1],[4] $ 4,824,141  
Cost [1],[4] 4,804,348  
Fair Value [1],[4] $ 4,853,110  
% of Total Cash and Investment [1],[4] 0.45%  
Investment, Identifier [Axis]: Debt Investments Software Proofpoint, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.36% Total Coupon 8.72% Maturity 8/31/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.36%
Total Coupon [2],[3]   8.72%
Maturity [2],[3]   Aug. 31, 2028
Principal [2],[3]   $ 1,618,470
Cost [2],[3]   1,575,776
Fair Value [2],[3]   $ 1,621,221
% of Total Cash and Investment [2],[3]   0.38%
Investment, Identifier [Axis]: Debt Investments Software Qlik Technologies Inc. (Project Alpha) Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.25% Total Coupon 7.58% Maturity 10/26/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.58%  
Maturity [1],[4] Oct. 26, 2030  
Principal [1],[4] $ 353,000  
Cost [1],[4] 352,118  
Fair Value [1],[4] $ 355,702  
% of Total Cash and Investment [1],[4] 0.03%  
Investment, Identifier [Axis]: Debt Investments Software Qlik Technologies Inc. (Project Alpha) Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.25% Total Coupon 7.58% Maturity 10/28/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.25%  
Total Coupon [1],[4] 7.58%  
Maturity [1],[4] Oct. 28, 2030  
Principal [1],[4] $ 1,243,750  
Cost [1],[4] 1,249,042  
Fair Value [1],[4] $ 1,253,271  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Software RealPage, Inc Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.75% Total Coupon 8.08% Maturity 4/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.75%  
Total Coupon [1],[4] 8.08%  
Maturity [1],[4] Apr. 22, 2028  
Principal [1],[4] $ 648,000  
Cost [1],[4] 644,781  
Fair Value [1],[4] $ 651,849  
% of Total Cash and Investment [1],[4] 0.06%  
Investment, Identifier [Axis]: Debt Investments Software Sophia, L.P. (Ellucian) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.00% Total Coupon 7.36% Maturity 10/7/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.36%  
Maturity [1],[4] Oct. 07, 2029  
Principal [1],[4] $ 2,003,526  
Cost [1],[4] 2,008,353  
Fair Value [1],[4] $ 2,019,554  
% of Total Cash and Investment [1],[4] 0.19%  
Investment, Identifier [Axis]: Debt Investments Software Sophia, L.P. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.60% Total Coupon 8.96% Maturity 10/7/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.60%
Total Coupon [2],[3]   8.96%
Maturity [2],[3]   Oct. 07, 2027
Principal [2],[3]   $ 1,943,914
Cost [2],[3]   1,897,729
Fair Value [2],[3]   $ 1,950,446
% of Total Cash and Investment [2],[3]   0.46%
Investment, Identifier [Axis]: Debt Investments Software Sovos Compliance, LLC (fka Taxware, LLC) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.50% Total Coupon 9.97% Maturity 8/11/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.50%
Total Coupon [2],[3]   9.97%
Maturity [2],[3]   Aug. 11, 2028
Principal [2],[3]   $ 309,539
Cost [2],[3]   303,683
Fair Value [2],[3]   $ 306,444
% of Total Cash and Investment [2],[3]   0.07%
Investment, Identifier [Axis]: Debt Investments Software Sovos Compliance, LLC (fka Taxware, LLC) Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.61% Total Coupon 8.97% Maturity 8/11/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.61%  
Total Coupon [1],[4] 8.97%  
Maturity [1],[4] Aug. 11, 2028  
Principal [1],[4] $ 306,383  
Cost [1],[4] 301,738  
Fair Value [1],[4] $ 309,012  
% of Total Cash and Investment [1],[4] 0.03%  
Investment, Identifier [Axis]: Debt Investments Software TIBCO Software Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 4.60% Total Coupon 9.95% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.60%
Total Coupon [2],[3]   9.95%
Maturity [2],[3]   Mar. 30, 2029
Principal [2],[3]   $ 1,290,250
Cost [2],[3]   1,191,481
Fair Value [2],[3]   $ 1,263,561
% of Total Cash and Investment [2],[3]   0.30%
Investment, Identifier [Axis]: Debt Investments Software TIBCO Software Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.50% Total Coupon 7.83% Maturity 3/30/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.83%  
Maturity [1],[4] Mar. 30, 2029  
Principal [1],[4] $ 3,289,752  
Cost [1],[4] 3,289,752  
Fair Value [1],[4] $ 3,303,585  
% of Total Cash and Investment [1],[4] 0.31%  
Investment, Identifier [Axis]: Debt Investments Software TIBCO Software Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.75% Total Coupon 8.08% Maturity 3/21/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.75%  
Total Coupon [1],[4] 8.08%  
Maturity [1],[4] Mar. 21, 2031  
Principal [1],[4] $ 870,400  
Cost [1],[4] 870,400  
Fair Value [1],[4] $ 874,286  
% of Total Cash and Investment [1],[4] 0.08%  
Investment, Identifier [Axis]: Debt Investments Software Thunder Purchaser, Inc. (Vector Solutions) Instrument First Lien Incremental Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.58% Maturity 6/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 1.00%  
Spread [1],[4],[6],[7] 5.25%  
Total Coupon [1],[4],[6],[7] 9.58%  
Maturity [1],[4],[6],[7] Jun. 30, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (13,054)  
Fair Value [1],[4],[6],[7] $ (23,543)  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Thunder Purchaser, Inc. (Vector Solutions) Instrument First Lien Incremental Term Loan Ref SOFR(Q) Floor 1.00% Spread 5.25% Total Coupon 9.58% Maturity 6/30/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.25%  
Total Coupon [1],[4],[6] 9.58%  
Maturity [1],[4],[6] Jun. 30, 2028  
Principal [1],[4],[6] $ 574,886  
Cost [1],[4],[6] 569,404  
Fair Value [1],[4],[6] $ 564,998  
% of Total Cash and Investment [1],[4],[6] 0.05%  
Investment, Identifier [Axis]: Debt Investments Software Trintech, Inc. Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 5.50% Total Coupon 9.86% Maturity 7/25/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 9.86%  
Maturity [1],[4],[6] Jul. 25, 2029  
Principal [1],[4],[6] $ 206,737  
Cost [1],[4],[6] 190,238  
Fair Value [1],[4],[6] $ 188,430  
% of Total Cash and Investment [1],[4],[6] 0.02%  
Investment, Identifier [Axis]: Debt Investments Software Trintech, Inc. Instrument First Lien Revolver Ref SOFR(M) Floor 1.00% Spread 6.50% Total Coupon 11.86% Maturity 7/25/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.50%
Total Coupon [2],[3],[5]   11.86%
Maturity [2],[3],[5]   Jul. 25, 2029
Principal [2],[3],[5]   $ 206,737
Cost [2],[3],[5]   186,614
Fair Value [2],[3],[5]   $ 185,898
% of Total Cash and Investment [2],[3],[5]   0.04%
Investment, Identifier [Axis]: Debt Investments Software Trintech, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 5.50% Total Coupon 9.86% Maturity 7/25/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 1.00%  
Spread [1],[4],[6] 5.50%  
Total Coupon [1],[4],[6] 9.86%  
Maturity [1],[4],[6] Jul. 25, 2029  
Principal [1],[4],[6] $ 9,312,458  
Cost [1],[4],[6] 9,100,124  
Fair Value [1],[4],[6] $ 9,076,853  
% of Total Cash and Investment [1],[4],[6] 0.84%  
Investment, Identifier [Axis]: Debt Investments Software Trintech, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 1.00% Spread 6.50% Total Coupon 11.86% Maturity 7/25/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   1.00%
Spread [2],[3],[5]   6.50%
Total Coupon [2],[3],[5]   11.86%
Maturity [2],[3],[5]   Jul. 25, 2029
Principal [2],[3],[5]   $ 9,406,523
Cost [2],[3],[5]   9,144,926
Fair Value [2],[3],[5]   $ 9,135,616
% of Total Cash and Investment [2],[3],[5]   2.17%
Investment, Identifier [Axis]: Debt Investments Software UKG Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.00% Total Coupon 7.62% Maturity 1/30/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.62%  
Maturity [1],[4] Jan. 30, 2031  
Principal [1],[4] $ 5,406,199  
Cost [1],[4] 5,389,588  
Fair Value [1],[4] $ 5,451,097  
% of Total Cash and Investment [1],[4] 0.50%  
Investment, Identifier [Axis]: Debt Investments Software UKG Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 3.75% Total Coupon 9.23% Maturity 5/3/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   3.75%
Total Coupon [2],[3]   9.23%
Maturity [2],[3]   May 03, 2026
Principal [2],[3]   $ 1,999,205
Cost [2],[3]   1,962,409
Fair Value [2],[3]   $ 2,006,442
% of Total Cash and Investment [2],[3]   0.48%
Investment, Identifier [Axis]: Debt Investments Software VS Buyer, LLC Instrument First Lien Term Loan Ref SOFR(M) Spread 2.75% Total Coupon 7.12% Maturity 4/12/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.12%  
Maturity [1],[4] Apr. 12, 2031  
Principal [1],[4] $ 1,496,250  
Cost [1],[4] 1,503,220  
Fair Value [1],[4] $ 1,509,342  
% of Total Cash and Investment [1],[4] 0.14%  
Investment, Identifier [Axis]: Debt Investments Software Zendesk Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 3.00% Cash + 3.25% PIK Total Coupon 11.61% Maturity 11/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Investment, Interest Rate, Paid in Kind [2],[3],[5],[9]   3.25%
Interest Rate, Cash [2],[3],[5],[9]   3.00%
Total Coupon [2],[3],[5],[9]   11.61%
Maturity [2],[3],[5],[9]   Nov. 22, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (4,981)
Fair Value [2],[3],[5],[9]   $ 3,055
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Software Zendesk Inc. Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.33% Maturity 11/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.33%  
Maturity [1],[4],[6],[7] Nov. 22, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (3,961)  
Fair Value [1],[4],[6],[7] $ 6,109  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Zendesk Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 3.00% Cash + 3.25% PIK Total Coupon 11.61% Maturity 11/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5],[9]   0.75%
Investment, Interest Rate, Paid in Kind [2],[3],[5],[9]   3.25%
Interest Rate, Cash [2],[3],[5],[9]   3.00%
Total Coupon [2],[3],[5],[9]   11.61%
Maturity [2],[3],[5],[9]   Nov. 22, 2028
Principal [2],[3],[5],[9]   $ 0
Cost [2],[3],[5],[9]   (4,094)
Fair Value [2],[3],[5],[9]   $ 0
% of Total Cash and Investment [2],[3],[5],[9]   0.00%
Investment, Identifier [Axis]: Debt Investments Software Zendesk Inc. Instrument First Lien Revolver Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.33% Maturity 11/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.75%  
Spread [1],[4],[6],[7] 5.00%  
Total Coupon [1],[4],[6],[7] 9.33%  
Maturity [1],[4],[6],[7] Nov. 22, 2028  
Principal [1],[4],[6],[7] $ 0  
Cost [1],[4],[6],[7] (3,262)  
Fair Value [1],[4],[6],[7] $ 0  
% of Total Cash and Investment [1],[4],[6],[7] 0.00%  
Investment, Identifier [Axis]: Debt Investments Software Zendesk Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 3.00% Cash + 3.25% PIK Total Coupon 11.61% Maturity 11/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.75%
Investment, Interest Rate, Paid in Kind [2],[3],[5]   3.25%
Interest Rate, Cash [2],[3],[5]   3.00%
Total Coupon [2],[3],[5]   11.61%
Maturity [2],[3],[5]   Nov. 22, 2028
Principal [2],[3],[5]   $ 2,507,409
Cost [2],[3],[5]   2,467,643
Fair Value [2],[3],[5]   $ 2,519,946
% of Total Cash and Investment [2],[3],[5]   0.60%
Investment, Identifier [Axis]: Debt Investments Software Zendesk Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 5.00% Total Coupon 9.33% Maturity 11/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6] 0.75%  
Spread [1],[4],[6] 5.00%  
Total Coupon [1],[4],[6] 9.33%  
Maturity [1],[4],[6] Nov. 22, 2028  
Principal [1],[4],[6] $ 2,501,299  
Cost [1],[4],[6] 2,469,693  
Fair Value [1],[4],[6] $ 2,526,312  
% of Total Cash and Investment [1],[4],[6] 0.23%  
Investment, Identifier [Axis]: Debt Investments Specialty Retail    
Schedule Of Investments [Line Items]    
Cost $ 5,006,221 [1],[4] $ 4,606,190 [2],[3]
Fair Value $ 4,723,266 [1],[4] $ 4,551,426 [2],[3]
% of Total Cash and Investment 0.44% [1],[4] 1.08% [2],[3]
Investment, Identifier [Axis]: Debt Investments Specialty Retail Fender Musical Instruments Corp. Instrument First Lien Term Loan B Ref SOFR(M) Floor 0.50% Spread 4.10% Total Coupon 8.46% Maturity 12/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 4.10%  
Total Coupon [1],[4] 8.46%  
Maturity [1],[4] Dec. 01, 2028  
Principal [1],[4] $ 1,657,878  
Cost [1],[4] 1,609,359  
Fair Value [1],[4] $ 1,628,873  
% of Total Cash and Investment [1],[4] 0.15%  
Investment, Identifier [Axis]: Debt Investments Specialty Retail Fender Musical Instruments Corp. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 4.10% Total Coupon 9.46% Maturity 12/1/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3],[5]   0.50%
Spread [2],[3],[5]   4.10%
Total Coupon [2],[3],[5]   9.46%
Maturity [2],[3],[5]   Dec. 01, 2028
Principal [2],[3],[5]   $ 2,464,678
Cost [2],[3],[5]   2,374,087
Fair Value [2],[3],[5]   $ 2,421,546
% of Total Cash and Investment [2],[3],[5]   0.58%
Investment, Identifier [Axis]: Debt Investments Specialty Retail Les Schwab Tire Centers (LS Group) Instrument First Lien Term Loan Ref SOFR(M) Spread 3.00% Total Coupon 7.36% Maturity 4/17/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.00%  
Total Coupon [1],[4] 7.36%  
Maturity [1],[4] Apr. 17, 2031  
Principal [1],[4] $ 1,243,750  
Cost [1],[4] 1,248,106  
Fair Value [1],[4] $ 1,251,523  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Specialty Retail MED ParentCo, LP Instrument First Lien Term Loan Ref SOFR(M) Spread 4.25% Total Coupon 9.72% Maturity 8/31/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   4.25%
Total Coupon [2],[3]   9.72%
Maturity [2],[3]   Aug. 31, 2026
Principal [2],[3]   $ 356,571
Cost [2],[3]   341,358
Fair Value [2],[3]   $ 354,054
% of Total Cash and Investment [2],[3]   0.08%
Investment, Identifier [Axis]: Debt Investments Specialty Retail Mavis Discount Tire Inc Instrument First Lien Term Loan Ref SOFR(M) Spread 3.50% Total Coupon 7.86% Maturity 5/4/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.86%  
Maturity [1],[4] May 04, 2028  
Principal [1],[4] $ 1,231,790  
Cost [1],[4] 1,231,790  
Fair Value [1],[4] $ 1,241,607  
% of Total Cash and Investment [1],[4] 0.11%  
Investment, Identifier [Axis]: Debt Investments Specialty Retail Mavis Tire Express Services Topco Corp. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.75% Spread 4.00% Total Coupon 9.47% Maturity 5/4/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.00%
Total Coupon [2],[3]   9.47%
Maturity [2],[3]   May 04, 2028
Principal [2],[3]   $ 1,002,995
Cost [2],[3]   970,300
Fair Value [2],[3]   $ 1,006,129
% of Total Cash and Investment [2],[3]   0.24%
Investment, Identifier [Axis]: Debt Investments Specialty Retail Woof Holdings, Inc. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.01% Total Coupon 8.34% Maturity 12/21/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.75%  
Spread [1],[4] 4.01%  
Total Coupon [1],[4] 8.34%  
Maturity [1],[4] Dec. 21, 2027  
Principal [1],[4] $ 934,908  
Cost [1],[4] 916,966  
Fair Value [1],[4] $ 601,263  
% of Total Cash and Investment [1],[4] 0.06%  
Investment, Identifier [Axis]: Debt Investments Specialty Retail Woof Holdings, Inc.. Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.75% Spread 4.01% Total Coupon 9.36% Maturity 12/21/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.75%
Spread [2],[3]   4.01%
Total Coupon [2],[3]   9.36%
Maturity [2],[3]   Dec. 21, 2027
Principal [2],[3]   $ 944,622
Cost [2],[3]   920,445
Fair Value [2],[3]   $ 769,697
% of Total Cash and Investment [2],[3]   0.18%
Investment, Identifier [Axis]: Debt Investments Technology Hardware, Storage and Peripherals SumUp Holdings Luxembourg S.A.R.L. (Luxembourg) Instrument First Lien Delayed Draw Term Loan Ref SOFR(Q) Floor 1.00% Spread 6.50% Total Coupon 11.01% Maturity 4/25/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[11] 1.00%  
Spread [1],[4],[6],[11] 6.50%  
Total Coupon [1],[4],[6],[11] 11.01%  
Maturity [1],[4],[6],[11] Apr. 25, 2031  
Principal [1],[4],[6],[11] $ 12,800,000  
Cost [1],[4],[6],[11] 12,688,337  
Fair Value [1],[4],[6],[11] $ 12,976,000  
% of Total Cash and Investment [1],[4],[6],[11] 1.20%  
Investment, Identifier [Axis]: Debt Investments Textiles, Apparel and Luxury Goods WH Borrower, LLC (WHP) Instrument First Lien Term Loan Ref SOFR(Q) Floor 0.50% Spread 5.50% Total Coupon 10.15% Maturity 2/15/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4],[6],[7] 0.50%  
Spread [1],[4],[6],[7] 5.50%  
Total Coupon [1],[4],[6],[7] 10.15%  
Maturity [1],[4],[6],[7] Feb. 15, 2027  
Principal [1],[4],[6],[7] $ 99,494  
Cost [1],[4],[6],[7] (150,506)  
Fair Value [1],[4],[6],[7] $ 100,986  
% of Total Cash and Investment [1],[4],[6],[7] 0.01%  
Investment, Identifier [Axis]: Debt Investments Trading Companies & Distributors    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 1,869,067
Fair Value [2],[3]   $ 1,925,044
% of Total Cash and Investment [2],[3]   0.46%
Investment, Identifier [Axis]: Debt Investments Trading Companies & Distributors BCPE Empire Holdings, Inc. Instrument First Lien 2023 Extended Term Loan Ref SOFR(M) Floor 1.00% Spread 4.75% Total Coupon 10.11% Maturity 12/11/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   1.00%
Spread [2],[3]   4.75%
Total Coupon [2],[3]   10.11%
Maturity [2],[3]   Dec. 11, 2028
Principal [2],[3]   $ 675,587
Cost [2],[3]   669,543
Fair Value [2],[3]   $ 678,249
% of Total Cash and Investment [2],[3]   0.16%
Investment, Identifier [Axis]: Debt Investments Trading Companies & Distributors SRS Distribution, Inc. Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.61% Total Coupon 8.97% Maturity 6/2/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.61%
Total Coupon [2],[3]   8.97%
Maturity [2],[3]   Jun. 02, 2028
Principal [2],[3]   $ 1,243,165
Cost [2],[3]   1,199,524
Fair Value [2],[3]   $ 1,246,795
% of Total Cash and Investment [2],[3]   0.30%
Investment, Identifier [Axis]: Debt Investments Trading Companies and Distributors BCPE Empire Holdings, Inc. Instrument First Lien Term Loan Ref SOFR(M) Spread 3.50% Total Coupon 7.86% Maturity 2/1/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.86%  
Maturity [1],[4] Feb. 01, 2027  
Principal [1],[4] $ 1,240,780  
Cost [1],[4] 1,237,324  
Fair Value [1],[4] $ 1,249,186  
% of Total Cash and Investment [1],[4] 0.12%  
Investment, Identifier [Axis]: Debt Investments Trading Companies and Distributors Foundation Building Materials, Inc Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.00% Total Coupon 8.59% Maturity 1/29/2031    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 4.00%  
Total Coupon [1],[4] 8.59%  
Maturity [1],[4] Jan. 29, 2031  
Principal [1],[4] $ 1,996,317  
Cost [1],[4] 1,979,128  
Fair Value [1],[4] $ 1,970,125  
% of Total Cash and Investment [1],[4] 0.17%  
Investment, Identifier [Axis]: Debt Investments Trading Companies and Distributors Veritiv Corp. Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.50% Total Coupon 8.83% Maturity 11/17/2030    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 4.50%  
Total Coupon [1],[4] 8.83%  
Maturity [1],[4] Nov. 17, 2030  
Principal [1],[4] $ 490,767  
Cost [1],[4] 488,327  
Fair Value [1],[4] $ 492,914  
% of Total Cash and Investment [1],[4] 0.05%  
Investment, Identifier [Axis]: Debt Investments Trading Companies and Distributors     
Schedule Of Investments [Line Items]    
Cost [1],[4] $ 3,704,779  
Fair Value [1],[4] $ 3,712,225  
% of Total Cash and Investment [1],[4] 0.34%  
Investment, Identifier [Axis]: Debt Investments Transportation Infrastructure    
Schedule Of Investments [Line Items]    
Cost $ 3,937,169 [1],[4] $ 3,358,833 [2],[3]
Fair Value $ 3,977,195 [1],[4] $ 3,396,567 [2],[3]
% of Total Cash and Investment 0.37% [1],[4] 0.81% [2],[3]
Investment, Identifier [Axis]: Debt Investments Transportation Infrastructure Apple Bidco, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.50% Total Coupon 7.86% Maturity 9/22/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 3.50%  
Total Coupon [1],[4] 7.86%  
Maturity [1],[4] Sep. 22, 2028  
Principal [1],[4] $ 440,425  
Cost [1],[4] 439,563  
Fair Value [1],[4] $ 443,490  
% of Total Cash and Investment [1],[4] 0.04%  
Investment, Identifier [Axis]: Debt Investments Transportation Infrastructure Apple Bidco, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.50% Total Coupon 8.86% Maturity 9/23/2028    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.50%
Total Coupon [2],[3]   8.86%
Maturity [2],[3]   Sep. 23, 2028
Principal [2],[3]   $ 444,885
Cost [2],[3]   443,780
Fair Value [2],[3]   $ 445,025
% of Total Cash and Investment [2],[3]   0.11%
Investment, Identifier [Axis]: Debt Investments Transportation Infrastructure Bleriot US Bidco Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 2.75% Total Coupon 7.08% Maturity 10/30/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.00%  
Spread [1],[4] 2.75%  
Total Coupon [1],[4] 7.08%  
Maturity [1],[4] Oct. 30, 2026  
Principal [1],[4] $ 1,657,849  
Cost [1],[4] 1,651,141  
Fair Value [1],[4] $ 1,668,600  
% of Total Cash and Investment [1],[4] 0.15%  
Investment, Identifier [Axis]: Debt Investments Transportation Infrastructure Bleriot US Bidco Inc. Instrument First Lien Term Loan Ref SOFR(Q) Spread 4.26% Total Coupon 9.61% Maturity 10/30/2026    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.00%
Spread [2],[3]   4.26%
Total Coupon [2],[3]   9.61%
Maturity [2],[3]   Oct. 30, 2026
Principal [2],[3]   $ 1,071,555
Cost [2],[3]   1,060,421
Fair Value [2],[3]   $ 1,077,197
% of Total Cash and Investment [2],[3]   0.26%
Investment, Identifier [Axis]: Debt Investments Transportation Infrastructure Brown Group Holding, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 2.50% Total Coupon 6.86% Maturity 7/2/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [1],[4] 0.50%  
Spread [1],[4] 2.50%  
Total Coupon [1],[4] 6.86%  
Maturity [1],[4] Jul. 02, 2029  
Principal [1],[4] $ 1,857,499  
Cost [1],[4] 1,846,465  
Fair Value [1],[4] $ 1,865,105  
% of Total Cash and Investment [1],[4] 0.18%  
Investment, Identifier [Axis]: Debt Investments Transportation Infrastructure Brown Group Holding, LLC Instrument First Lien Term Loan Ref SOFR(M) Floor 0.50% Spread 3.75% Total Coupon 9.11% Maturity 7/1/2029    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   3.75%
Total Coupon [2],[3]   9.11%
Maturity [2],[3]   Jul. 01, 2029
Principal [2],[3]   $ 1,866,822
Cost [2],[3]   1,854,632
Fair Value [2],[3]   $ 1,874,345
% of Total Cash and Investment [2],[3]   0.44%
Investment, Identifier [Axis]: Debt Investments, Diversified Consumer Services, Sotheby's Instrument First Lien Term Loan, Ref SOFR(Q), Floor 0.50%, Spread 4.76%, Total Coupon 10.16%, Maturity 01/15/2027    
Schedule Of Investments [Line Items]    
Interest Rate, Floor [2],[3]   0.50%
Spread [2],[3]   4.76%
Total Coupon [2],[3]   10.16%
Maturity [2],[3]   Jan. 15, 2027
Principal [2],[3]   $ 907,971
Cost [2],[3]   895,639
Fair Value [2],[3]   $ 899,649
% of Total Cash and Investment [2],[3]   0.21%
Investment, Identifier [Axis]: Equity Securities - 0.1% of Net Assets    
Schedule Of Investments [Line Items]    
Cost [1] $ 402,032  
Fair Value [1] $ 407,753  
% of Total Cash and Investment [1] 0.04%  
Percentage of Net Assets [1] 0.10%  
Investment, Identifier [Axis]: Equity Securities IT Services New Insight Holdings, Inc. (Dyanata) Instrument Common Stock    
Schedule Of Investments [Line Items]    
Principal [1],[6],[14],[15] $ 22,972  
Cost [1],[6],[14],[15] 402,032  
Fair Value [1],[6],[14],[15] $ 407,753  
% of Total Cash and Investment [1],[6],[14],[15] 0.04%  
Investment, Identifier [Axis]: Investments - 159.8% of Net Assets    
Schedule Of Investments [Line Items]    
Cost [1] $ 1,035,050,829  
Fair Value [1] $ 1,040,393,586  
% of Total Cash and Investment [1] 96.23%  
Percentage of Net Assets [1] 159.80%  
Investment, Identifier [Axis]: Investments - 167.9% of Net Assets    
Schedule Of Investments [Line Items]    
Cost [2],[3]   $ 398,929,289
Fair Value [2],[3]   $ 400,926,373
% of Total Cash and Investment [2],[3]   95.16%
Investment, Identifier [Axis]: Paper and Forest Products 48forty Intermediate Holdings, Inc. Instrument Common Stock    
Schedule Of Investments [Line Items]    
Principal [1],[6],[14],[15] $ 362  
Cost [1],[6],[14],[15] 0  
Fair Value [1],[6],[14],[15] $ 0  
% of Total Cash and Investment [1],[6],[14],[15] 0.00%  
Investment, Identifier [Axis]: Total Debt Investments - 167.9% of Net Assets    
Schedule Of Investments [Line Items]    
Percentage of Net Assets [2],[3]   167.90%
Investment, Identifier [Axis]: Total Investments - 167.9% of Net Assets    
Schedule Of Investments [Line Items]    
Percentage of Net Assets [2],[3]   167.90%
[1] As of December 31, 2024, the Fund generally uses GICS codes to identify the industry groupings.
[2] As of December 31, 2023, the Fund generally uses GICS codes to identify the industry groupings.
[3] Debt investments include investments in bank debt that generally are bought and sold among institutional investors in transactions not subject to registration under the Securities Act of 1933 (the “Securities Act”). Such transactions are generally subject to contractual restrictions, such as approval of the agent or borrower.
[4] Debt investments include investments in bank debt that generally are bought and sold among institutional investors in transactions not subject to registration under the Securities Act of 1933 (the “Securities Act”). Such transactions are generally subject to contractual restrictions, such as approval of the agent or borrower.
[5] Investments are considered Level 3 in accordance with ASC Topic 820 (see Note 2).
[6] Investments are considered Level 3 in accordance with ASC Topic 820 (see Note 2).
[7] Negative balances represent unfunded commitments that were acquired and/or valued at a discount.
[8] Non-U.S. company or principal place of business outside the U.S. and as a result the investment is not a qualifying asset under Section 55(a) of the Investment Company Act of 1940 (the “1940 Act”). Under the 1940 Act, the Fund may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of the Fund's total assets.
[9] Negative balances represent unfunded commitments that were acquired and/or valued at a discount.
[10] Deemed an investment company under Section 3(c) of the 1940 Act and as a result the investment is not a qualifying asset under Section 55(a) of the 1940 Act. Under the 1940 Act, the Fund may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of the Fund's total assets
[11] Non-U.S. company or principal place of business outside the U.S. and as a result the investment is not a qualifying asset under Section 55(a) of the Investment Company Act of 1940 (the “1940 Act”). Under the 1940 Act, the Fund may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of the Fund's total assets.
[12] Non-accruing debt investment.
[13] In addition to the stated coupon, investment has an exit fee payable upon repayment of the loan in an amount equal to the percentage of the original principal amount shown.
[14] Non-income producing investment.
[15] Restricted security (See Note 12).