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Investments and Fair Value Measurements - Fair Value Hierarchy of Investments (Details) - USD ($)
Mar. 31, 2026
Dec. 31, 2025
Investments [Abstract]    
Fair Value $ 1,096,362,224 [1] $ 1,109,977,047 [2]
First Lien Debt [Member]    
Investments [Abstract]    
Fair Value 1,007,372,250 1,012,512,999
Second Lien Debt [Member]    
Investments [Abstract]    
Fair Value 83,326,811 79,235,481
Equity [Member]    
Investments [Abstract]    
Fair Value 1,077,540 1,259,440
Subtotal [Member]    
Investments [Abstract]    
Fair Value 1,091,776,601 1,093,007,920
Level 1 [Member] | First Lien Debt [Member]    
Investments [Abstract]    
Fair Value 0 0
Level 1 [Member] | Second Lien Debt [Member]    
Investments [Abstract]    
Fair Value 0 0
Level 1 [Member] | Equity [Member]    
Investments [Abstract]    
Fair Value 251,926 338,798
Level 1 [Member] | Subtotal [Member]    
Investments [Abstract]    
Fair Value 251,926 338,798
Level 2 [Member] | First Lien Debt [Member]    
Investments [Abstract]    
Fair Value 40,164,960 63,686,105
Level 2 [Member] | Second Lien Debt [Member]    
Investments [Abstract]    
Fair Value 0 0
Level 2 [Member] | Equity [Member]    
Investments [Abstract]    
Fair Value 0 0
Level 2 [Member] | Subtotal [Member]    
Investments [Abstract]    
Fair Value 40,164,960 63,686,105
Level 3 [Member]    
Investments [Abstract]    
Fair Value 1,051,359,715 1,028,983,017
Level 3 [Member] | First Lien Debt [Member]    
Investments [Abstract]    
Fair Value 967,207,290 948,826,894
Level 3 [Member] | Second Lien Debt [Member]    
Investments [Abstract]    
Fair Value 83,326,811 79,235,481
Level 3 [Member] | Equity [Member]    
Investments [Abstract]    
Fair Value 825,614 920,642
Level 3 [Member] | Subtotal [Member]    
Investments [Abstract]    
Fair Value 1,051,359,715 1,028,983,017
Investment Measured at Net Asset Value [Member]    
Investments [Abstract]    
Fair Value $ 4,585,623 [3] $ 16,969,127 [4]
[1] Unless otherwise indicated, issuers of debt and equity investments held by the Company are domiciled in the United States.
[2] Unless otherwise indicated, issuers of debt and equity investments held by the Company are domiciled in the United States. Unless otherwise indicated, the debt investments are first lien positions.
[3] The Company, as a practical expedient, estimates the fair value of its investment in KKR Tinder TFC Aggregator L.P. using the net asset value of the Company’s members’ interest in the entity. As such, the fair value has not been classified within the fair value hierarchy.
[4] The Company, as a practical expedient, estimates the fair value of its investment in KKR Tinder TFC Aggregator L.P. using the net asset value of the Company’s members’ interest in the entity. As such, the fair value has not been classified within the fair value hierarchy.