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Consolidated Schedule of Investments - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2024
Dec. 31, 2023
Investment, Identifier [Axis]: Cash Equivalents First American Government Obligation Fund, Yield 5.24% Net Assets 6.0%    
Percentage of Investments 6.00%  
Amortized Cost $ 9,073,724  
Fair Value $ 9,073,724  
Shares 9,073,724  
Investment, Identifier [Axis]: Cash Equivalents First American Government Obligation Fund, Yield 5.30% Net Assets 3.8%    
Percentage of Investments   3.80%
Amortized Cost   $ 4,675,555
Fair Value   $ 4,675,555
Shares   4,675,555
Investment, Identifier [Axis]: Debt Investment 101.8%    
Percentage of Investments [1],[2] 101.80%  
Amortized Cost [1],[2] $ 151,875,095  
Fair Value [1],[2] $ 152,746,805  
Investment, Identifier [Axis]: Debt Investment 96.8%    
Percentage of Investments [3],[4]   96.80%
Amortized Cost [3],[4]   $ 117,241,302
Fair Value [3],[4]   $ 118,177,527
Investment, Identifier [Axis]: Debt Investment Automobile Components % of Net Assets - 4.2%    
Percentage of Investments [1] 4.20%  
Amortized Cost [1] $ 6,364,804  
Fair Value [1] $ 6,391,584  
Investment, Identifier [Axis]: Debt Investment Automobile Components Fenix Intermediate LLC Acquisition Date - 03/28/24 Investment Delayed Draw Term Loan B-1 - 11.84%(SOFR + 6.50%, 1.75% Floor) % of Net Assets – 0.2% Maturity Date - 03/28/29    
Acquisition Date [1] Mar. 28, 2024  
Investment Interest Rate [1] 11.84%  
Investment Variable Interest Rate [1] 6.50%  
Investment, Interest Rate, Floor [1] 1.75%  
Percentage of Investments [1] 0.20%  
Par Amount [1] $ 370,130  
Maturity Date [1] Mar. 28, 2029  
Amortized Cost [1] $ 370,130  
Fair Value [1] $ 361,617  
Investment, Identifier [Axis]: Debt Investment Automobile Components Fenix Intermediate LLC Acquisition Date - 03/28/24 Investment Term Loan B - 11.84%(SOFR + 6.50%, 1.75% Floor) % of Net Assets – 4.0% Maturity Date - 03/28/29    
Acquisition Date [1] Mar. 28, 2024  
Investment Interest Rate [1] 11.84%  
Investment Variable Interest Rate [1] 6.50%  
Investment, Interest Rate, Floor [1] 1.75%  
Percentage of Investments [1] 4.00%  
Par Amount [1] $ 6,171,921  
Maturity Date [1] Mar. 28, 2029  
Amortized Cost [1] $ 5,994,674  
Fair Value [1] $ 6,029,967  
Investment, Identifier [Axis]: Debt Investment Commercial Services & Supplies % of Net Assets - 12.7%    
Percentage of Investments [3]   12.70%
Amortized Cost [3]   $ 15,165,988
Fair Value [3]   $ 15,542,353
Investment, Identifier [Axis]: Debt Investment Commercial Services & Supplies % of Net Assets - 16.0%    
Percentage of Investments [1] 16.00%  
Amortized Cost [1] $ 23,569,923  
Fair Value [1] $ 24,077,254  
Investment, Identifier [Axis]: Debt Investment Commercial Services & Supplies CSAT Holdings, LLC Acquisition Date - 06/30/2023 Investment Term Loan - 13.11% (SOFR + 7.50%, 2.00% Floor) % of Net Assets - 6.3% Maturity Date - 06/30/2028    
Acquisition Date [3]   Jun. 30, 2023
Investment Interest Rate [3]   13.11%
Investment Variable Interest Rate [3]   7.50%
Investment, Interest Rate, Floor [3]   2.00%
Percentage of Investments [3]   6.30%
Par Amount [3]   $ 7,839,556
Maturity Date [3]   Jun. 30, 2028
Amortized Cost [3]   $ 7,594,859
Fair Value [3]   $ 7,721,962
Investment, Identifier [Axis]: Debt Investment Commercial Services & Supplies CSAT Holdings, LLC Acquisition Date - 06/30/2023 Investment Term Loan - 13.85% (SOFR + 8.25%, 2.00% Floor) % of Net Assets - 5.1% Maturity Date - 06/30/2028    
Acquisition Date [1] Jun. 30, 2023  
Investment Interest Rate [1] 13.85%  
Investment Variable Interest Rate [1] 8.25%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 5.10%  
Par Amount [1] $ 7,696,061  
Maturity Date [1] Jun. 30, 2028  
Amortized Cost [1] $ 7,482,469  
Fair Value [1] $ 7,611,404  
Investment, Identifier [Axis]: Debt Investment Commercial Services & Supplies Comprehensive Logistics Co., LLC Acquisition Date - 03/26/24 Investment Term Loan - 12.44% (SOFR + 7.00%, 2.00% Floor % of Net Assets – 4.5% Maturity Date - 03/26/26    
Acquisition Date [1] Mar. 26, 2024  
Investment Interest Rate [1] 12.44%  
Investment Variable Interest Rate [1] 7.00%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 4.50%  
Par Amount [1] $ 6,914,582  
Maturity Date [1] Mar. 26, 2026  
Amortized Cost [1] $ 6,779,519  
Fair Value [1] $ 6,803,949  
Investment, Identifier [Axis]: Debt Investment Commercial Services & Supplies Jones Industrial Holdings, Inc. Acquisition Date - 07/31/2023 Investment Delayed Draw Term Loan - 13.94% (SOFR + 8.50%, 2.00% Floor) % of Net Assets – 1.2% Maturity Date - 07/31/2028    
Acquisition Date [1] Jul. 31, 2023  
Investment Interest Rate [1] 13.94%  
Investment Variable Interest Rate [1] 8.50%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 1.20%  
Par Amount [1] $ 1,833,648  
Maturity Date [1] Jul. 31, 2028  
Amortized Cost [1] $ 1,806,709  
Fair Value [1] $ 1,855,652  
Investment, Identifier [Axis]: Debt Investment Commercial Services & Supplies Jones Industrial Holdings, Inc. Acquisition Date - 07/31/2023 Investment Term Loan - 13.94% (SOFR + 8.50%, 2.00% Floor) % of Net Assets - 5.2% Maturity Date - 07/31/2028    
Acquisition Date [1] Jul. 31, 2023  
Investment Interest Rate [1] 13.94%  
Investment Variable Interest Rate [1] 8.50%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 5.20%  
Par Amount [1] $ 7,713,685  
Maturity Date [1] Jul. 31, 2028  
Amortized Cost [1] $ 7,501,226  
Fair Value [1] $ 7,806,249  
Investment, Identifier [Axis]: Debt Investment Commercial Services & Supplies Jones Industrial Holdings, Inc. Acquisition Date - 07/31/2023 Investment Term Loan - 13.96% (SOFR + 8.50%, 2.00% Floor) % of Net Assets - 6.4% Maturity Date - 07/31/2028    
Acquisition Date [3]   Jul. 31, 2023
Investment Interest Rate [3]   13.96%
Investment Variable Interest Rate [3]   8.50%
Investment, Interest Rate, Floor [3]   2.00%
Percentage of Investments [3]   6.40%
Par Amount [3]   $ 7,812,578
Maturity Date [3]   Jul. 31, 2028
Amortized Cost [3]   $ 7,571,129
Fair Value [3]   $ 7,820,391
Investment, Identifier [Axis]: Debt Investment Construction & Engineering Propulsion Acquisition, LLC Acquisition Date - 05/22/2023 Investment Term Loan - 12.08% (SOFR + 6.50%, 1.50% Floor) % of Net Assets - 2.9% Maturity Date - 07/31/2026    
Acquisition Date [1] May 22, 2023  
Investment Interest Rate [1] 12.08%  
Investment Variable Interest Rate [1] 6.50%  
Investment, Interest Rate, Floor [1] 1.50%  
Percentage of Investments [1] 2.90%  
Par Amount [1] $ 4,247,671  
Maturity Date [1] Jul. 31, 2026  
Amortized Cost [1] $ 4,219,985  
Fair Value [1] $ 4,307,139  
Investment, Identifier [Axis]: Debt Investment Construction & Engineering Propulsion Acquisition, LLC Acquisition Date - 05/22/2023 Investment Term Loan - 12.10% (SOFR + 6.50%, 1.50% Floor) % of Net Assets - 3.5% Maturity Date - 07/31/2026    
Acquisition Date [3]   May 22, 2023
Investment Interest Rate [3]   12.10%
Investment Variable Interest Rate [3]   6.50%
Investment, Interest Rate, Floor [3]   1.50%
Percentage of Investments [3]   3.50%
Par Amount [3]   $ 4,269,651
Maturity Date [3]   Jul. 31, 2026
Amortized Cost [3]   $ 4,235,157
Fair Value [3]   $ 4,265,381
Investment, Identifier [Axis]: Debt Investment Construction & Engineering Sunland Asphalt & Construction, LLC Acquisition Date - 06/16/2023 Investment Term Loan B - 11.94% (SOFR + 6.50%, 1.75% Floor) % of Net Assets - 3.4% Maturity Date - 06/16/2028    
Acquisition Date [1] Jun. 16, 2023  
Investment Interest Rate [1] 11.94%  
Investment Variable Interest Rate [1] 6.50%  
Investment, Interest Rate, Floor [1] 1.75%  
Percentage of Investments [1] 3.40%  
Par Amount [1] $ 5,018,231  
Maturity Date [1] Jun. 16, 2028  
Amortized Cost [1] $ 4,870,990  
Fair Value [1] $ 5,088,486  
Investment, Identifier [Axis]: Debt Investment Construction & Engineering Sunland Asphalt & Construction, LLC Acquisition Date - 06/16/2023 Investment Term Loan B - 12.96% inc PIK (SOFR + 7.50%, 1.75% Floor, 0.50% PIK) % of Net Assets - 4.1% Maturity Date - 06/16/2028    
Acquisition Date [3]   Jun. 16, 2023
Investment Interest Rate [3]   12.96%
Investment Variable Interest Rate [3]   7.50%
Investment, Interest Rate, Floor [3]   1.75%
Investment Interest Rate, PIK [3]   0.50%
Percentage of Investments [3]   4.10%
Par Amount [3]   $ 5,010,465
Maturity Date [3]   Jun. 16, 2028
Amortized Cost [3]   $ 4,844,692
Fair Value [3]   $ 4,995,434
Investment, Identifier [Axis]: Debt Investment Construction & Engineering % of Net Assets - 6.3%    
Percentage of Investments [1] 6.30%  
Amortized Cost [1] $ 9,090,975  
Fair Value [1] $ 9,395,625  
Investment, Identifier [Axis]: Debt Investment Construction & Engineering % of Net Assets - 7.6%    
Percentage of Investments [3]   7.60%
Amortized Cost [3]   $ 9,079,849
Fair Value [3]   $ 9,260,815
Investment, Identifier [Axis]: Debt Investment Containers & Packaging % of Net Assets - 14.1%    
Percentage of Investments [1] 14.10%  
Amortized Cost [1] $ 21,353,795  
Fair Value [1] $ 21,186,823  
Investment, Identifier [Axis]: Debt Investment Containers & Packaging Hoffmaster Group, Inc. Acquisition Date - 02/24/2023 Investment Term Loan - 11.58% (SOFR + 6.25%, 2.00% Floor) % of Net Assets - 4.2% Maturity Date - 02/24/2028    
Acquisition Date [1] Feb. 24, 2023  
Investment Interest Rate [1] 11.58%  
Investment Variable Interest Rate [1] 6.25%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 4.20%  
Par Amount [1] $ 6,432,139  
Maturity Date [1] Feb. 24, 2028  
Amortized Cost [1] $ 6,380,736  
Fair Value [1] $ 6,361,386  
Investment, Identifier [Axis]: Debt Investment Containers & Packaging Hoffmaster Group, Inc. Acquisition Date - 02/24/2023 Investment Term Loan - 12.84% (SOFR + 7.50%, 2.00% Floor) % of Net Assets - 5.5% Maturity Date - 02/24/2028    
Acquisition Date [3]   Feb. 24, 2023
Investment Interest Rate [3]   12.84%
Investment Variable Interest Rate [3]   7.50%
Investment, Interest Rate, Floor [3]   2.00%
Percentage of Investments [3]   5.50%
Par Amount [3]   $ 6,531,605
Maturity Date [3]   Feb. 24, 2028
Amortized Cost [3]   $ 6,472,280
Fair Value [3]   $ 6,694,896
Investment, Identifier [Axis]: Debt Investment Containers & Packaging Hoffmaster Group, Inc. Acquisition Date - 03/15/24 Investment Incremental Term Loan - 11.58% (SOFR + 6.25%, 2.00% Floor) % of Net Assets – 0.5% Maturity Date - 02/24/2028    
Acquisition Date [1] Mar. 15, 2024  
Investment Interest Rate [1] 11.58%  
Investment Variable Interest Rate [1] 6.25%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 0.50%  
Par Amount [1] $ 811,723  
Maturity Date [1] Feb. 24, 2028  
Amortized Cost [1] $ 796,706  
Fair Value [1] $ 802,794  
Investment, Identifier [Axis]: Debt Investment Containers & Packaging PaperWorks Industries, Inc. Acquisition Date - 07/26/2023 Investment Term Loan - 13.73% (SOFR + 8.25%, 1.00% Floor) % of Net Assets - 2.1% Maturity Date - 06/30/2027    
Acquisition Date [1] Jul. 26, 2023  
Investment Interest Rate [1] 13.73%  
Investment Variable Interest Rate [1] 8.25%  
Investment, Interest Rate, Floor [1] 1.00%  
Percentage of Investments [1] 2.10%  
Par Amount [1] $ 3,252,101  
Maturity Date [1] Jun. 30, 2027  
Amortized Cost [1] $ 3,202,516  
Fair Value [1] $ 3,161,042  
Investment, Identifier [Axis]: Debt Investment Containers & Packaging PaperWorks Industries, Inc. Acquisition Date - 07/26/2023 Investment Term Loan - 13.78% (SOFR + 8.25%, 1.00% Floor) % of Net Assets - 2.9% Maturity Date - 06/30/2027    
Acquisition Date [3]   Jul. 26, 2023
Investment Interest Rate [3]   13.78%
Investment Variable Interest Rate [3]   8.25%
Investment, Interest Rate, Floor [3]   1.00%
Percentage of Investments [3]   2.90%
Par Amount [3]   $ 3,604,746
Maturity Date [3]   Jun. 30, 2027
Amortized Cost [3]   $ 3,540,640
Fair Value [3]   $ 3,539,861
Investment, Identifier [Axis]: Debt Investment Containers & Packaging The HC Companies, Inc. Acquisition Date - 05/21/2024 Investment Incremental Term Loan - 12.84% (SOFR + 7.50%, 2.00% Floor) % of Net Assets - 1.1% Maturity Date - 08/01/2028    
Acquisition Date [1],[5] May 21, 2024  
Investment Interest Rate [1],[5] 12.84%  
Investment Variable Interest Rate [1],[5] 7.50%  
Investment, Interest Rate, Floor [1],[5] 2.00%  
Percentage of Investments [1],[5] 1.10%  
Par Amount [1],[5] $ 1,634,926  
Maturity Date [1],[5] Aug. 01, 2028  
Amortized Cost [1],[5] $ 1,595,146  
Fair Value [1],[5] $ 1,584,243  
Investment, Identifier [Axis]: Debt Investment Containers & Packaging The HC Companies, Inc. Acquisition Date - 08/01/2023 Investment Term Loan - 12.61% (SOFR + 7.25%, 2.00% Floor) % of Net Assets - 7.8% Maturity Date - 08/01/2028    
Acquisition Date [3]   Aug. 01, 2023
Investment Interest Rate [3]   12.61%
Investment Variable Interest Rate [3]   7.25%
Investment, Interest Rate, Floor [3]   2.00%
Percentage of Investments [3]   7.80%
Par Amount [3]   $ 9,680,963
Maturity Date [3]   Aug. 01, 2028
Amortized Cost [3]   $ 9,459,207
Fair Value [3]   $ 9,506,706
Investment, Identifier [Axis]: Debt Investment Containers & Packaging The HC Companies, Inc. Acquisition Date - 08/01/2023 Investment Term Loan - 12.84% (SOFR + 7.50%, 2.00% Floor) % of Net Assets - 6.2% Maturity Date - 08/01/2028    
Acquisition Date [1] Aug. 01, 2023  
Investment Interest Rate [1] 12.84%  
Investment Variable Interest Rate [1] 7.50%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 6.20%  
Par Amount [1] $ 9,574,157  
Maturity Date [1] Aug. 01, 2028  
Amortized Cost [1] $ 9,378,691  
Fair Value [1] $ 9,277,358  
Investment, Identifier [Axis]: Debt Investment Containers & Packaging % of Net Assets - 16.2%    
Percentage of Investments [3]   16.20%
Amortized Cost [3]   $ 19,472,127
Fair Value [3]   $ 19,741,463
Investment, Identifier [Axis]: Debt Investment Electrical Equipment % of Net Assets - 3.7%    
Percentage of Investments [1] 3.70%  
Amortized Cost [1] $ 5,532,275  
Fair Value [1] $ 5,566,989  
Investment, Identifier [Axis]: Debt Investment Electrical Equipment VoltaGrid, LLC Acquisition Date - 04/09/24 Investment Term Loan - 11.93% (SOFR + 6.50%, 4.00% Floor) % of Net Assets - 3.7% Maturity Date - 02/28/29    
Acquisition Date [1] Apr. 09, 2024  
Investment Interest Rate [1] 11.93%  
Investment Variable Interest Rate [1] 6.50%  
Investment, Interest Rate, Floor [1] 4.00%  
Percentage of Investments [1] 3.70%  
Par Amount [1] $ 5,762,929  
Maturity Date [1] Feb. 28, 2029  
Amortized Cost [1] $ 5,532,275  
Fair Value [1] $ 5,566,989  
Investment, Identifier [Axis]: Debt Investment Energy Equipment & Services % of Net Assets - 3.7%    
Percentage of Investments [1] 3.70%  
Amortized Cost [1] $ 5,438,703  
Fair Value [1] $ 5,599,828  
Investment, Identifier [Axis]: Debt Investment Energy Equipment & Services HydroSource Logistics, LLC Acquisition Date - 04/05/24 Investment Revolver - 14.10% (SOFR + 8.50%, 2.00% Floor) % of Net Assets - 0.1% Maturity Date - 04/24/29    
Acquisition Date [1] Apr. 05, 2024  
Investment Interest Rate [1] 14.10%  
Investment Variable Interest Rate [1] 8.50%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 0.10%  
Par Amount [1] $ 151,347  
Maturity Date [1] Apr. 04, 2029  
Amortized Cost [1] $ 151,347  
Fair Value [1] $ 151,347  
Investment, Identifier [Axis]: Debt Investment Energy Equipment & Services HydroSource Logistics, LLC Acquisition Date - 04/05/24 Investment Term Loan - 14.10% (SOFR + 8.50%, 2.00% Floor) % of Net Assets - 3.6% Maturity Date - 04/24/29    
Acquisition Date [1] Apr. 05, 2024  
Investment Interest Rate [1] 14.10%  
Investment Variable Interest Rate [1] 8.50%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 3.60%  
Par Amount [1] $ 5,448,481  
Maturity Date [1] Apr. 04, 2029  
Amortized Cost [1] $ 5,287,356  
Fair Value [1] $ 5,448,481  
Investment, Identifier [Axis]: Debt Investment Food Products % of Net Assets - 21.8%    
Percentage of Investments [1] 21.80%  
Amortized Cost [1] $ 32,902,343  
Fair Value [1] $ 32,632,888  
Investment, Identifier [Axis]: Debt Investment Food Products % of Net Assets - 19.7%    
Percentage of Investments [3]   19.70%
Amortized Cost [3]   $ 24,196,940
Fair Value [3]   $ 24,105,643
Investment, Identifier [Axis]: Debt Investment Food Products Baxters North America, Inc. Acquisition Date - 05/31/2023 Investment Term Loan - 14.59% inc PIK (SOFR + 9.25%, 1.75% Floor, 2.00% PIK) % of Net Assets - 5.2% Maturity Date - 05/31/2028    
Acquisition Date [1] May 31, 2023  
Investment Interest Rate [1] 14.59%  
Investment Variable Interest Rate [1] 9.25%  
Investment, Interest Rate, Floor [1] 1.75%  
Investment Interest Rate, PIK [1] 2.00%  
Percentage of Investments [1] 5.20%  
Par Amount [1] $ 7,930,908  
Maturity Date [1] May 31, 2028  
Amortized Cost [1] $ 7,767,121  
Fair Value [1] $ 7,804,014  
Investment, Identifier [Axis]: Debt Investment Food Products Baxters North America, Inc. Acquisition Date - 05/31/2023 Investment Term Loan - 14.63% inc PIK (SOFR + 9.25%, 1.75% Floor, 2.00% PIK) % of Net Assets - 7.0% Maturity Date - 05/31/2028    
Acquisition Date [3]   May 31, 2023
Investment Interest Rate [3]   14.63%
Investment Variable Interest Rate [3]   9.25%
Investment, Interest Rate, Floor [3]   1.75%
Investment Interest Rate, PIK [3]   2.00%
Percentage of Investments [3]   7.00%
Par Amount [3]   $ 9,010,904
Maturity Date [3]   May 31, 2028
Amortized Cost [3]   $ 8,798,913
Fair Value [3]   $ 8,551,348
Investment, Identifier [Axis]: Debt Investment Food Products Del Real, LLC Acquisition Date - 03/28/2023 Investment Term Loan - 13.18% inc PIK (SOFR + 7.75%, 2.00% Floor, 1.00% PIK) % of Net Assets - 5.1% Maturity Date - 03/28/2028    
Acquisition Date [1] Mar. 28, 2023  
Investment Interest Rate [1] 13.18%  
Investment Variable Interest Rate [1] 7.75%  
Investment, Interest Rate, Floor [1] 2.00%  
Investment Interest Rate, PIK [1] 1.00%  
Percentage of Investments [1] 5.10%  
Par Amount [1] $ 7,436,863  
Maturity Date [1] Mar. 28, 2028  
Amortized Cost [1] $ 7,248,073  
Fair Value [1] $ 7,585,600  
Investment, Identifier [Axis]: Debt Investment Food Products Del Real, LLC Acquisition Date - 03/28/2023 Investment Term Loan - 13.25% inc PIK (SOFR + 7.75%, 2.00% Floor, 1.00% PIK) % of Net Assets - 6.1% Maturity Date - 03/28/2028    
Acquisition Date [3]   Mar. 28, 2023
Investment Interest Rate [3]   13.25%
Investment Variable Interest Rate [3]   7.75%
Investment, Interest Rate, Floor [3]   2.00%
Investment Interest Rate, PIK [3]   1.00%
Percentage of Investments [3]   6.10%
Par Amount [3]   $ 7,436,417
Maturity Date [3]   Mar. 28, 2028
Amortized Cost [3]   $ 7,221,402
Fair Value [3]   $ 7,473,600
Investment, Identifier [Axis]: Debt Investment Food Products Great Kitchens Food Company, Inc Acquisition Date - 05/31/24 Investment Revolver - 11.34% (SOFR + 6.00%, 1.25% Floor) % of Net Assets - 0.1% Maturity Date - 05/31/29    
Acquisition Date [1] May 31, 2024  
Investment Interest Rate [1] 11.34%  
Investment Variable Interest Rate [1] 6.00%  
Investment, Interest Rate, Floor [1] 1.25%  
Percentage of Investments [1] 0.10%  
Par Amount [1] $ 121,009  
Maturity Date [1] May 31, 2029  
Amortized Cost [1] $ 121,009  
Fair Value [1] $ 118,589  
Investment, Identifier [Axis]: Debt Investment Food Products Great Kitchens Food Company, Inc Acquisition Date - 05/31/24 Investment Term Loan - 11.34% (SOFR + 6.00%, 1.25% Floor) % of Net Assets - 6.0% Maturity Date - 05/31/29    
Acquisition Date [1],[5] May 31, 2024  
Investment Interest Rate [1],[5] 11.34%  
Investment Variable Interest Rate [1],[5] 6.00%  
Investment, Interest Rate, Floor [1],[5] 1.25%  
Percentage of Investments [1],[5] 6.00%  
Par Amount [1],[5] $ 9,196,689  
Maturity Date [1],[5] May 31, 2029  
Amortized Cost [1],[5] $ 8,986,140  
Fair Value [1],[5] $ 9,012,756  
Investment, Identifier [Axis]: Debt Investment Food Products Signature Brands, LLC Acquisition Date - 02/29/24 Investment Delayed Draw Term Loan A - 12.10% (SOFR + 6.50%, 1.75% Floor) % of Net Assets - 0.3% Maturity Date - 05/04/28    
Acquisition Date [1] Feb. 29, 2024  
Investment Interest Rate [1] 12.10%  
Investment Variable Interest Rate [1] 6.50%  
Investment, Interest Rate, Floor [1] 1.75%  
Percentage of Investments [1] 0.30%  
Par Amount [1] $ 481,928  
Maturity Date [1] May 04, 2028  
Amortized Cost [1] $ 481,928  
Fair Value [1] $ 481,928  
Investment, Identifier [Axis]: Debt Investment Food Products Signature Brands, LLC Acquisition Date - 05/05/2023 Investment Term Loan - 14.14% inc PIK (SOFR + 8.50%, 1.75% Floor, 1.25% PIK) % of Net Assets - 6.6% Maturity Date - 05/04/2028    
Acquisition Date [3]   May 05, 2023
Investment Interest Rate [3]   14.14%
Investment Variable Interest Rate [3]   8.50%
Investment, Interest Rate, Floor [3]   1.75%
Investment Interest Rate, PIK [3]   1.25%
Percentage of Investments [3]   6.60%
Par Amount [3]   $ 8,347,825
Maturity Date [3]   May 04, 2028
Amortized Cost [3]   $ 8,176,625
Fair Value [3]   $ 8,080,695
Investment, Identifier [Axis]: Debt Investment Food Products Signature Brands, LLC Acquisition Date - 05/05/2023 Investment Term Loan - 15.11% inc PIK (SOFR + 9.50%, 1.75% Floor, 3.00% PIK) % of Net Assets - 5.1% Maturity Date - 05/04/2028    
Acquisition Date [1] May 05, 2023  
Investment Interest Rate [1] 15.11%  
Investment Variable Interest Rate [1] 9.50%  
Investment, Interest Rate, Floor [1] 1.75%  
Investment Interest Rate, PIK [1] 3.00%  
Percentage of Investments [1] 5.10%  
Par Amount [1] $ 8,449,613  
Maturity Date [1] May 04, 2028  
Amortized Cost [1] $ 8,298,072  
Fair Value [1] $ 7,630,001  
Investment, Identifier [Axis]: Debt Investment Ground Transportation % of Net Assets - 4.9%    
Percentage of Investments [1] 4.90%  
Amortized Cost [1] $ 7,109,426  
Fair Value [1] $ 7,314,801  
Investment, Identifier [Axis]: Debt Investment Ground Transportation % of Net Assets - 5.1%    
Percentage of Investments [3]   5.10%
Amortized Cost [3]   $ 6,218,088
Fair Value [3]   $ 6,303,508
Investment, Identifier [Axis]: Debt Investment Ground Transportation RPM Purchaser, Inc. Acquisition Date - 09/11/2023 Investment Delayed Draw Term Loan B - 11.71% (SOFR + 6.25%, 2.00% Floor) % of Net Assets – 0.6% Maturity Date - 09/11/2028    
Acquisition Date [1] Sep. 11, 2023  
Investment Interest Rate [1] 11.71%  
Investment Variable Interest Rate [1] 6.25%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 0.60%  
Par Amount [1] $ 902,664  
Maturity Date [1] Sep. 11, 2028  
Amortized Cost [1] $ 902,664  
Fair Value [1] $ 902,664  
Investment, Identifier [Axis]: Debt Investment Ground Transportation RPM Purchaser, Inc. Acquisition Date - 09/11/2023 Investment Term Loan B - 11.71% (SOFR + 6.25%, 2.00% Floor) % of Net Assets - 4.3% Maturity Date - 09/11/2028    
Acquisition Date [1] Sep. 11, 2023  
Investment Interest Rate [1] 11.71%  
Investment Variable Interest Rate [1] 6.25%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 4.30%  
Par Amount [1] $ 6,373,893  
Maturity Date [1] Sep. 11, 2028  
Amortized Cost [1] $ 6,206,762  
Fair Value [1] $ 6,412,137  
Investment, Identifier [Axis]: Debt Investment Ground Transportation RPM Purchaser, Inc. Acquisition Date - 09/11/2023 Investment Term Loan B - 11.90% (SOFR + 6.25%, 2.00% Floor) % of Net Assets - 5.1% Maturity Date - 09/11/2028    
Acquisition Date [3]   Sep. 11, 2023
Investment Interest Rate [3]   11.90%
Investment Variable Interest Rate [3]   6.25%
Investment, Interest Rate, Floor [3]   2.00%
Percentage of Investments [3]   5.10%
Par Amount [3]   $ 6,406,004
Maturity Date [3]   Sep. 11, 2028
Amortized Cost [3]   $ 6,218,088
Fair Value [3]   $ 6,303,508
Investment, Identifier [Axis]: Debt Investment Hotels, Restaurants & Leisure % of Net Assets – 4.1%    
Percentage of Investments [1] 4.10%  
Amortized Cost [1] $ 6,204,084  
Fair Value [1] $ 6,179,701  
Investment, Identifier [Axis]: Debt Investment Hotels, Restaurants & Leisure Five Star Buyer, Inc. Acquisition Date - 05/11/2023 Investment Delayed Draw Term Loan - 12.46% (SOFR + 7.00%, 1.50% Floor) % of Net Assets - 0.2% Maturity Date - 02/23/2028    
Acquisition Date [3]   May 11, 2023
Investment Interest Rate [3]   12.46%
Investment Variable Interest Rate [3]   7.00%
Investment, Interest Rate, Floor [3]   1.50%
Percentage of Investments [3]   0.20%
Par Amount [3]   $ 213,054
Maturity Date [3]   Feb. 23, 2028
Amortized Cost [3]   $ 213,054
Fair Value [3]   $ 205,171
Investment, Identifier [Axis]: Debt Investment Hotels, Restaurants & Leisure Five Star Buyer, Inc. Acquisition Date - 05/11/2023 Investment Delayed Draw Term Loan - 12.50% (SOFR + 7.00%, 1.50% Floor) % of Net Assets - 0.1% Maturity Date - 02/23/2028    
Acquisition Date [1] May 11, 2023  
Investment Interest Rate [1] 12.50%  
Investment Variable Interest Rate [1] 7.00%  
Investment, Interest Rate, Floor [1] 1.50%  
Percentage of Investments [1] 0.10%  
Par Amount [1] $ 213,054  
Maturity Date [1] Feb. 23, 2028  
Amortized Cost [1] $ 213,054  
Fair Value [1] $ 206,023  
Investment, Identifier [Axis]: Debt Investment Hotels, Restaurants & Leisure Five Star Buyer, Inc. Acquisition Date - 05/11/2023 Investment Term Loan - 12.46% (SOFR + 7.00%, 1.50% Floor) % of Net Assets - 4.9% Maturity Date - 02/23/2028    
Acquisition Date [3]   May 11, 2023
Investment Interest Rate [3]   12.46%
Investment Variable Interest Rate [3]   7.00%
Investment, Interest Rate, Floor [3]   1.50%
Percentage of Investments [3]   4.90%
Par Amount [3]   $ 6,273,066
Maturity Date [3]   Feb. 23, 2028
Amortized Cost [3]   $ 6,057,797
Fair Value [3]   $ 6,040,962
Investment, Identifier [Axis]: Debt Investment Hotels, Restaurants & Leisure Five Star Buyer, Inc. Acquisition Date - 05/11/2023 Investment Term Loan - 12.50% (SOFR + 7.00%, 1.50% Floor) % of Net Assets - 4.0% Maturity Date - 02/23/2028    
Acquisition Date [1] May 11, 2023  
Investment Interest Rate [1] 12.50%  
Investment Variable Interest Rate [1] 7.00%  
Investment, Interest Rate, Floor [1] 1.50%  
Percentage of Investments [1] 4.00%  
Par Amount [1] $ 6,177,537  
Maturity Date [1] Feb. 23, 2028  
Amortized Cost [1] $ 5,991,030  
Fair Value [1] $ 5,973,678  
Investment, Identifier [Axis]: Debt Investment Hotels, Restaurants & Leisure % of Net Assets - 5.1%    
Percentage of Investments [3]   5.10%
Amortized Cost [3]   $ 6,270,851
Fair Value [3]   $ 6,246,133
Investment, Identifier [Axis]: Debt Investment Machinery % of Net Assets - 4.2%    
Percentage of Investments [1] 4.20%  
Amortized Cost [1] $ 6,764,905  
Fair Value [1] $ 6,287,231  
Investment, Identifier [Axis]: Debt Investment Machinery % of Net Assets - 5.6%    
Percentage of Investments [3]   5.60%
Amortized Cost [3]   $ 6,781,797
Fair Value [3]   $ 6,811,463
Investment, Identifier [Axis]: Debt Investment Machinery Mark Andy, Inc. Acquisition Date - 06/16/2023 Investment Term Loan - 13.23% (SOFR + 7.75%, 1.50% Floor) % of Net Assets - 4.2% Maturity Date - 06/16/2028    
Acquisition Date [1] Jun. 16, 2023  
Investment Interest Rate [1] 13.23%  
Investment Variable Interest Rate [1] 7.75%  
Investment, Interest Rate, Floor [1] 1.50%  
Percentage of Investments [1] 4.20%  
Par Amount [1] $ 6,901,461  
Maturity Date [1] Jun. 16, 2028  
Amortized Cost [1] $ 6,764,905  
Fair Value [1] $ 6,287,231  
Investment, Identifier [Axis]: Debt Investment Machinery Mark Andy, Inc. Acquisition Date - 06/16/2023 Investment Term Loan - 13.25% (SOFR + 7.75%, 1.50% Floor) % of Net Assets - 5.6% Maturity Date - 06/16/2028    
Acquisition Date [3]   Jun. 16, 2023
Investment Interest Rate [3]   13.25%
Investment Variable Interest Rate [3]   7.75%
Investment, Interest Rate, Floor [3]   1.50%
Percentage of Investments [3]   5.60%
Par Amount [3]   $ 6,936,317
Maturity Date [3]   Jun. 16, 2028
Amortized Cost [3]   $ 6,781,797
Fair Value [3]   $ 6,811,463
Investment, Identifier [Axis]: Debt Investment Marine Transportation % of Net Assets - 5.0%    
Percentage of Investments [1] 5.00%  
Amortized Cost [1] $ 7,176,556  
Fair Value [1] $ 7,563,860  
Investment, Identifier [Axis]: Debt Investment Marine Transportation % of Net Assets - 7.5%    
Percentage of Investments [3]   7.50%
Amortized Cost [3]   $ 9,014,571
Fair Value [3]   $ 9,158,997
Investment, Identifier [Axis]: Debt Investment Marine Transportation Florida Marine Transporters, LLC Acquisition Date - 03/17/2023 Investment Term Loan B - 12.96% (SOFR + 7.50%, 2.00% Floor) % of Net Assets - 5.0% Maturity Date - 03/17/2028    
Acquisition Date [1] Mar. 17, 2023  
Investment Interest Rate [1] 12.96%  
Investment Variable Interest Rate [1] 7.50%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 5.00%  
Par Amount [1] $ 7,329,321  
Maturity Date [1] Mar. 17, 2028  
Amortized Cost [1] $ 7,176,556  
Fair Value [1] $ 7,563,860  
Investment, Identifier [Axis]: Debt Investment Marine Transportation Florida Marine Transporters, LLC Acquisition Date - 03/17/2023 Investment Term Loan B - 13.47% (SOFR + 8.00%, 2.00% Floor) % of Net Assets - 7.5% Maturity Date - 03/17/2028    
Acquisition Date [3]   Mar. 17, 2023
Investment Interest Rate [3]   13.47%
Investment Variable Interest Rate [3]   8.00%
Investment, Interest Rate, Floor [3]   2.00%
Percentage of Investments [3]   7.50%
Par Amount [3]   $ 9,232,860
Maturity Date [3]   Mar. 17, 2028
Amortized Cost [3]   $ 9,014,571
Fair Value [3]   $ 9,158,997
Investment, Identifier [Axis]: Debt Investment Professional Services Alorica Inc. Acquisition Date - 12/21/2022 Investment Term Loan - 12.22% (SOFR + 6.88%, 1.50% Floor) % of Net Assets - 6.3% Maturity Date - 12/21/2027    
Acquisition Date [1] Dec. 21, 2022  
Investment Interest Rate [1] 12.22%  
Investment Variable Interest Rate [1] 6.88%  
Investment, Interest Rate, Floor [1] 1.50%  
Percentage of Investments [1] 6.30%  
Par Amount [1] $ 9,585,487  
Maturity Date [1] Dec. 21, 2027  
Amortized Cost [1] $ 9,485,643  
Fair Value [1] $ 9,422,534  
Investment, Identifier [Axis]: Debt Investment Professional Services Alorica Inc. Acquisition Date - 12/21/2022 Investment Term Loan - 12.23% (SOFR + 6.88%, 1.50% Floor) % of Net Assets - 8.1% Maturity Date - 12/21/2027    
Acquisition Date [3]   Dec. 21, 2022
Investment Interest Rate [3]   12.23%
Investment Variable Interest Rate [3]   6.88%
Investment, Interest Rate, Floor [3]   1.50%
Percentage of Investments [3]   8.10%
Par Amount [3]   $ 10,098,739
Maturity Date [3]   Dec. 21, 2027
Amortized Cost [3]   $ 9,978,450
Fair Value [3]   $ 9,906,863
Investment, Identifier [Axis]: Debt Investment Professional Services % of Net Assets - 6.3%    
Percentage of Investments [1] 6.30%  
Amortized Cost [1] $ 9,485,643  
Fair Value [1] $ 9,422,534  
Investment, Identifier [Axis]: Debt Investment Professional Services % of Net Assets - 8.1%    
Percentage of Investments [3]   8.10%
Amortized Cost [3]   $ 9,978,450
Fair Value [3]   $ 9,906,863
Investment, Identifier [Axis]: Debt Investment Specialty Retail % of Net Assets - 3.9%    
Percentage of Investments [1] 3.90%  
Amortized Cost [1] $ 5,745,772  
Fair Value [1] $ 5,913,017  
Investment, Identifier [Axis]: Debt Investment Specialty Retail % of Net Assets - 5.0%    
Percentage of Investments [3]   5.00%
Amortized Cost [3]   $ 5,967,225
Fair Value [3]   $ 6,031,872
Investment, Identifier [Axis]: Debt Investment Specialty Retail D&D Buyer, LLC Acquisition Date - 10/04/23 Investment Revolver - 12.45% (SOFR + 7.00%, 2.00% Floor) % of Net Assets - 0.2% Maturity Date - 10/04/2028    
Acquisition Date [3]   Oct. 04, 2023
Investment Interest Rate [3]   12.45%
Investment Variable Interest Rate [3]   7.00%
Investment, Interest Rate, Floor [3]   2.00%
Percentage of Investments [3]   0.20%
Par Amount [3]   $ 212,240
Maturity Date [3]   Oct. 04, 2028
Amortized Cost [3]   $ 212,240
Fair Value [3]   $ 207,996
Investment, Identifier [Axis]: Debt Investment Specialty Retail D&D Buyer, LLC Acquisition Date - 10/04/23 Investment Term Loan - 12.18% (SOFR + 6.75%, 2.00% Floor) % of Net Assets – 3.9% Maturity Date - 10/04/28    
Acquisition Date [1] Oct. 04, 2023  
Investment Interest Rate [1] 12.18%  
Investment Variable Interest Rate [1] 6.75%  
Investment, Interest Rate, Floor [1] 2.00%  
Percentage of Investments [1] 3.90%  
Par Amount [1] $ 5,913,017  
Maturity Date [1] Oct. 04, 2028  
Amortized Cost [1] $ 5,745,772  
Fair Value [1] $ 5,913,017  
Investment, Identifier [Axis]: Debt Investment Specialty Retail D&D Buyer, LLC Acquisition Date - 10/04/23 Investment Term Loan - 12.45% (SOFR + 7.00%, 2.00% Floor) % of Net Assets - 4.8% Maturity Date - 10/04/2028    
Acquisition Date [3]   Oct. 04, 2023
Investment Interest Rate [3]   12.45%
Investment Variable Interest Rate [3]   7.00%
Investment, Interest Rate, Floor [3]   2.00%
Percentage of Investments [3]   4.80%
Par Amount [3]   $ 5,942,731
Maturity Date [3]   Oct. 04, 2028
Amortized Cost [3]   $ 5,754,985
Fair Value [3]   $ 5,823,876
Investment, Identifier [Axis]: Debt Investment Transportation Infrastructure % of Net Assets -3.5%    
Percentage of Investments 3.50%  
Amortized Cost $ 5,135,891  
Fair Value $ 5,214,670  
Investment, Identifier [Axis]: Debt Investment Transportation Infrastructure % of Net Assets 4.2%    
Percentage of Investments [3]   4.20%
Amortized Cost [3]   $ 5,095,416
Fair Value [3]   $ 5,068,417
Investment, Identifier [Axis]: Debt Investment Transportation Infrastructure CG Buyer, LLC Acquisition Date - 07/19/2023 Investment Term Loan - 11.86% (SOFR + 6.50%, 1.50% Floor) % of Net Assets - 4.2% Maturity Date - 07/19/2028    
Acquisition Date [3]   Jul. 19, 2023
Investment Interest Rate [3]   11.86%
Investment Variable Interest Rate [3]   6.50%
Investment, Interest Rate, Floor [3]   1.50%
Percentage of Investments [3]   4.20%
Par Amount [3]   $ 5,225,173
Maturity Date [3]   Jul. 19, 2028
Amortized Cost [3]   $ 5,095,416
Fair Value [3]   5,068,417
Investment, Identifier [Axis]: Debt Investment Transportation Infrastructure CG Buyer, LLC Acquisition Date - 07/19/2023 Investment Term Loan - 12.34% (SOFR + 7.00%, 1.50% Floor) % of Net Assets - 3.5% Maturity Date - 07/19/2028    
Acquisition Date [1] Jul. 19, 2023  
Investment Interest Rate [1] 12.34%  
Investment Variable Interest Rate [1] 7.00%  
Investment, Interest Rate, Floor [1] 1.50%  
Percentage of Investments [1] 3.50%  
Par Amount [1] $ 5,251,430  
Maturity Date [1] Jul. 19, 2028  
Amortized Cost [1] $ 5,135,891  
Fair Value [1] $ 5,214,670  
Investment, Identifier [Axis]: Equity Investment Energy Equipment & Services % of Net Assets 0.1%    
Percentage of Investments 0.10%  
Fair Value $ 215,199  
Investment, Identifier [Axis]: Equity Investment Energy Equipment & Services HydroSource Logistics, LLC Acquisition Date - 04/05/24 Warrant, expires 4/4/34 % of Net Assets – 0.1%    
Acquisition Date Apr. 05, 2024  
Percentage of Investments 0.10%  
Fair Value $ 215,199  
Shares 73  
Warrants Expiration Date Apr. 04, 2034  
Investment, Identifier [Axis]: Liabilities in Excess of Other Assets (-7.8%)    
Liabilities in Excess of Other Assets $ (11,723,808)  
Investment, Identifier [Axis]: Liabilities in Excess of Other Assets (28.6%)    
Liabilities in Excess of Other Assets   (34,945,502)
Investment, Identifier [Axis]: Net Assets (100.0%)    
Net Assets 150,045,414 122,129,729
Investment, Identifier [Axis]: Net unrealized depreciation on unfunded commitments (-0.2%)    
Net unrealized depreciation on unfunded commitments $ (266,506) $ (215,440)
Investment, Identifier [Axis]: Short-term Investments U.S. Treasury Bill, Yield 5.26% Net Assets 28.2%    
Percentage of Investments   28.20%
Amortized Cost   $ 34,437,589
Fair Value   $ 34,437,589
Shares   35,000,000
Investment, Identifier [Axis]: Total Cash Equivalents Net Assets 3.8%    
Percentage of Investments   3.80%
Amortized Cost   $ 4,675,555
Fair Value   $ 4,675,555
Shares   4,675,555
Investment, Identifier [Axis]: Total Cash Equivalents Net Assets 6.0%    
Percentage of Investments 6.00%  
Amortized Cost $ 9,073,724  
Fair Value $ 9,073,724  
Shares 9,073,724  
Investment, Identifier [Axis]: Total Debt & Equity Investments 101.9%    
Percentage of Investments 101.90%  
Amortized Cost $ 151,875,095  
Fair Value $ 152,962,004  
Investment, Identifier [Axis]: Total Equity Investment 0.1%    
Percentage of Investments 0.10%  
Fair Value $ 215,199  
Investment, Identifier [Axis]: Total Investments (108.0%)    
Percentage of Investments 108.00%  
Amortized Cost $ 160,948,819  
Fair Value $ 162,035,728  
Investment, Identifier [Axis]: Total Investments (128.8%)    
Percentage of Investments   128.80%
Amortized Cost   $ 156,354,446
Fair Value   $ 157,290,671
Investment, Identifier [Axis]: Total Short-term Investments Net Assets 28.2%    
Percentage of Investments   28.20%
Amortized Cost   $ 34,437,589
Fair Value   $ 34,437,589
Shares   35,000,000
[1] Certain debt investments are subject to contractual restrictions on resale, such as approval of the agent or borrower.
[2] The fair value of each debt investment was determined using significant unobservable inputs and such investments are considered to be Level 3 within the Fair Value Hierarchy. See Note 3 “Investment Valuations and Fair Value Measurements.”
[3] Certain debt investments are subject to contractual restrictions on resale, such as approval of the agent or borrower.
[4] The fair value of each debt investment was determined using significant unobservable inputs and such investments are considered to be Level 3 within the Fair Value Hierarchy. See Note 3 “Investment Valuations and Fair Value Measurements.”
[5] A portion of such investment is used as collateral for the Company's secured borrowing. See Note 7.