Quarterly report pursuant to Section 13 or 15(d)

Consolidated Schedule of Investments

v3.23.1
Consolidated Schedule of Investments
€ in Thousands, £ in Thousands, $ in Thousands, $ in Thousands, $ in Thousands
Mar. 31, 2023
USD ($)
Mar. 31, 2023
AUD ($)
Mar. 31, 2023
CAD ($)
Mar. 31, 2023
EUR (€)
Mar. 31, 2023
GBP (£)
Dec. 31, 2022
USD ($)
Dec. 31, 2022
AUD ($)
Dec. 31, 2022
CAD ($)
Dec. 31, 2022
EUR (€)
Dec. 31, 2022
GBP (£)
Total Investment Portfolio, Amortized Cost $ 6,719,271         $ 5,860,186        
Total Investment Portfolio, Fair Value $ 6,653,479         $ 5,716,521        
Total Investment Portfolio, Percentage of Net Assets 180.02% 180.02% 180.02% 180.02% 180.02% 165.44% 165.44% 165.44% 165.44% 165.44%
J.P. Morgan U.S. Government Fund, Institutional Shares $ 92,622         $ 53,347        
Cash $ 27,522         $ 20,894        
Total Cash and Cash Equivalents, Percentage of Net Assets 3.25% 3.25% 3.25% 3.25% 3.25% 2.15% 2.15% 2.15% 2.15% 2.15%
Total Cash and Cash Equivalents $ 120,144         $ 74,241        
Total Investment Portfolio, Cash and Cash Equivalents, Amortized Cost 6,839,415 [1],[2]         5,934,427 [3],[4]        
Total Investment Portfolio, Cash and Cash Equivalents, Fair Value $ 6,773,623 [2]         $ 5,790,762 [4]        
Total Investment Portfolio, Cash and Cash Equivalents, Percentage of Net Assets 183.27% [2] 183.27% [2] 183.27% [2] 183.27% [2] 183.27% [2] 167.59% [4] 167.59% [4] 167.59% [4] 167.59% [4] 167.59% [4]
First lien debt                    
Total Investment Portfolio, Amortized Cost $ 6,623,067         $ 5,755,124        
Total Investment Portfolio, Fair Value $ 6,558,981         $ 5,614,718        
Total Investment Portfolio, Percentage of Net Assets 177.47% 177.47% 177.47% 177.47% 177.47% 162.50% 162.50% 162.50% 162.50% 162.50%
Second lien debt                    
Total Investment Portfolio, Amortized Cost $ 47,852         $ 47,764        
Total Investment Portfolio, Fair Value $ 46,315         $ 45,248        
Total Investment Portfolio, Percentage of Net Assets 1.25% 1.25% 1.25% 1.25% 1.25% 1.31% 1.31% 1.31% 1.31% 1.31%
Unsecured debt                    
Total Investment Portfolio, Amortized Cost $ 17,099         $ 26,302        
Total Investment Portfolio, Fair Value $ 16,890         $ 25,512        
Total Investment Portfolio, Percentage of Net Assets 0.46% 0.46% 0.46% 0.46% 0.46% 0.74% 0.74% 0.74% 0.74% 0.74%
Structured Finance                    
Total Investment Portfolio, Amortized Cost $ 29,011         $ 28,929        
Total Investment Portfolio, Fair Value $ 28,824         $ 28,737        
Total Investment Portfolio, Percentage of Net Assets 0.78% 0.78% 0.78% 0.78% 0.78% 0.83% 0.83% 0.83% 0.83% 0.83%
Equity investments                    
Total Investment Portfolio, Amortized Cost $ 2,242         $ 2,067        
Total Investment Portfolio, Fair Value $ 2,469         $ 2,306        
Total Investment Portfolio, Percentage of Net Assets 0.07% 0.07% 0.07% 0.07% 0.07% 0.07% 0.07% 0.07% 0.07% 0.07%
Aerospace and Defense                    
Total Investment Portfolio, Fair Value $ 208,585         $ 169,856        
Aerospace and Defense | First lien debt                    
Total Investment Portfolio, Amortized Cost 207,616         171,196        
Total Investment Portfolio, Fair Value $ 208,585         $ 169,856        
Total Investment Portfolio, Percentage of Net Assets 5.64% 5.64% 5.64% 5.64% 5.64% 4.92% 4.92% 4.92% 4.92% 4.92%
Automobiles and Parts                    
Total Investment Portfolio, Fair Value $ 107,268         $ 118,440        
Automobiles and Parts | First lien debt                    
Total Investment Portfolio, Amortized Cost 108,024         127,180        
Total Investment Portfolio, Fair Value $ 104,928         $ 118,440        
Total Investment Portfolio, Percentage of Net Assets 2.84% 2.84% 2.84% 2.84% 2.84% 3.43% 3.43% 3.43% 3.43% 3.43%
Automobiles and Parts | Unsecured debt                    
Total Investment Portfolio, Amortized Cost $ 2,297                  
Total Investment Portfolio, Fair Value $ 2,340                  
Total Investment Portfolio, Percentage of Net Assets 0.06% 0.06% 0.06% 0.06% 0.06%          
Chemicals                    
Total Investment Portfolio, Fair Value $ 12,029         $ 6,960        
Chemicals | First lien debt                    
Total Investment Portfolio, Amortized Cost 12,062         7,226        
Total Investment Portfolio, Fair Value $ 12,029         $ 6,960        
Total Investment Portfolio, Percentage of Net Assets 0.33% 0.33% 0.33% 0.33% 0.33% 0.20% 0.20% 0.20% 0.20% 0.20%
Construction and Materials                    
Total Investment Portfolio, Fair Value $ 1,073         $ 1,162        
Construction and Materials | First lien debt                    
Total Investment Portfolio, Amortized Cost 1,054         1,155        
Total Investment Portfolio, Fair Value $ 1,073         $ 1,162        
Total Investment Portfolio, Percentage of Net Assets 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03%
Consumer Services                    
Total Investment Portfolio, Fair Value $ 458,931         $ 458,248        
Consumer Services | First lien debt                    
Total Investment Portfolio, Amortized Cost 467,708         472,722        
Total Investment Portfolio, Fair Value $ 454,609         $ 454,189        
Total Investment Portfolio, Percentage of Net Assets 12.30% 12.30% 12.30% 12.30% 12.30% 13.14% 13.14% 13.14% 13.14% 13.14%
Consumer Services | Second lien debt                    
Total Investment Portfolio, Amortized Cost $ 5,144         $ 5,104        
Total Investment Portfolio, Fair Value $ 4,322         $ 4,059        
Total Investment Portfolio, Percentage of Net Assets 0.12% 0.12% 0.12% 0.12% 0.12% 0.12% 0.12% 0.12% 0.12% 0.12%
Electricity                    
Total Investment Portfolio, Fair Value $ 12,582         $ 8,639        
Electricity | First lien debt                    
Total Investment Portfolio, Amortized Cost 12,539         8,670        
Total Investment Portfolio, Fair Value $ 12,398         $ 8,441        
Total Investment Portfolio, Percentage of Net Assets 0.34% 0.34% 0.34% 0.34% 0.34% 0.24% 0.24% 0.24% 0.24% 0.24%
Electricity | Equity investments                    
Total Investment Portfolio, Amortized Cost $ 67         $ 67        
Total Investment Portfolio, Fair Value $ 184         $ 198        
Total Investment Portfolio, Percentage of Net Assets 0.00% 0.00% 0.00% 0.00% 0.00% 0.01% 0.01% 0.01% 0.01% 0.01%
Electronic and Electrical Equipment                    
Total Investment Portfolio, Fair Value $ 910         $ 922        
Electronic and Electrical Equipment | First lien debt                    
Total Investment Portfolio, Amortized Cost 985         983        
Total Investment Portfolio, Fair Value $ 910         $ 922        
Total Investment Portfolio, Percentage of Net Assets 0.02% 0.02% 0.02% 0.02% 0.02% 0.03% 0.03% 0.03% 0.03% 0.03%
Finance and Credit Services                    
Total Investment Portfolio, Fair Value $ 49,000         $ 48,448        
Finance and Credit Services | First lien debt                    
Total Investment Portfolio, Amortized Cost 49,507         49,448        
Total Investment Portfolio, Fair Value $ 49,000         $ 48,448        
Total Investment Portfolio, Percentage of Net Assets 1.33% 1.33% 1.33% 1.33% 1.33% 1.40% 1.40% 1.40% 1.40% 1.40%
Food Producers                    
Total Investment Portfolio, Fair Value $ 88,938         $ 86,977        
Food Producers | First lien debt                    
Total Investment Portfolio, Amortized Cost 91,718         88,752        
Total Investment Portfolio, Fair Value $ 88,938         $ 86,977        
Total Investment Portfolio, Percentage of Net Assets 2.41% 2.41% 2.41% 2.41% 2.41% 2.52% 2.52% 2.52% 2.52% 2.52%
Gas, Water and Multi-utilities                    
Total Investment Portfolio, Fair Value $ 43,990         $ 43,242        
Gas, Water and Multi-utilities | First lien debt                    
Total Investment Portfolio, Amortized Cost 44,255         43,883        
Total Investment Portfolio, Fair Value $ 43,990         $ 43,242        
Total Investment Portfolio, Percentage of Net Assets 1.19% 1.19% 1.19% 1.19% 1.19% 1.25% 1.25% 1.25% 1.25% 1.25%
General Industrials                    
Total Investment Portfolio, Fair Value $ 272,688         $ 265,463        
General Industrials | First lien debt                    
Total Investment Portfolio, Amortized Cost 271,385         266,570        
Total Investment Portfolio, Fair Value $ 272,688         $ 265,463        
Total Investment Portfolio, Percentage of Net Assets 7.38% 7.38% 7.38% 7.38% 7.38% 7.68% 7.68% 7.68% 7.68% 7.68%
Health Care Providers                    
Total Investment Portfolio, Fair Value $ 779,681         $ 660,631        
Health Care Providers | First lien debt                    
Total Investment Portfolio, Amortized Cost 788,599         676,203        
Total Investment Portfolio, Fair Value $ 769,394         $ 650,465        
Total Investment Portfolio, Percentage of Net Assets 20.82% 20.82% 20.82% 20.82% 20.82% 18.83% 18.83% 18.83% 18.83% 18.83%
Health Care Providers | Second lien debt                    
Total Investment Portfolio, Amortized Cost $ 9,351         $ 9,327        
Total Investment Portfolio, Fair Value $ 9,362         $ 9,463        
Total Investment Portfolio, Percentage of Net Assets 0.25% 0.25% 0.25% 0.25% 0.25% 0.27% 0.27% 0.27% 0.27% 0.27%
Health Care Providers | Unsecured debt                    
Total Investment Portfolio, Amortized Cost $ 1,027         $ 772        
Total Investment Portfolio, Fair Value $ 925         $ 703        
Total Investment Portfolio, Percentage of Net Assets 0.03% 0.03% 0.03% 0.03% 0.03% 0.02% 0.02% 0.02% 0.02% 0.02%
Household Goods and Home Construction                    
Total Investment Portfolio, Fair Value $ 16,482         $ 17,918        
Household Goods and Home Construction | First lien debt                    
Total Investment Portfolio, Amortized Cost 19,847         21,635        
Total Investment Portfolio, Fair Value $ 16,482         $ 17,918        
Total Investment Portfolio, Percentage of Net Assets 0.45% 0.45% 0.45% 0.45% 0.45% 0.52% 0.52% 0.52% 0.52% 0.52%
Industrial Engineering                    
Total Investment Portfolio, Fair Value $ 214,840         $ 186,373        
Industrial Engineering | First lien debt                    
Total Investment Portfolio, Amortized Cost 213,983         188,249        
Total Investment Portfolio, Fair Value $ 214,840         $ 186,373        
Total Investment Portfolio, Percentage of Net Assets 5.81% 5.81% 5.81% 5.81% 5.81% 5.39% 5.39% 5.39% 5.39% 5.39%
Industrial Metals and Mining                    
Total Investment Portfolio, Fair Value $ 2,941         $ 2,922        
Industrial Metals and Mining | First lien debt                    
Total Investment Portfolio, Amortized Cost 2,993         2,998        
Total Investment Portfolio, Fair Value $ 2,941         $ 2,922        
Total Investment Portfolio, Percentage of Net Assets 0.08% 0.08% 0.08% 0.08% 0.08% 0.08% 0.08% 0.08% 0.08% 0.08%
Industrial Support Services                    
Total Investment Portfolio, Fair Value $ 746,764         $ 567,804        
Industrial Support Services | First lien debt                    
Total Investment Portfolio, Amortized Cost 743,584         574,621        
Total Investment Portfolio, Fair Value $ 738,078         $ 559,010        
Total Investment Portfolio, Percentage of Net Assets 19.97% 19.97% 19.97% 19.97% 19.97% 16.18% 16.18% 16.18% 16.18% 16.18%
Industrial Support Services | Second lien debt                    
Total Investment Portfolio, Amortized Cost $ 8,795         $ 8,786        
Total Investment Portfolio, Fair Value $ 8,686         $ 8,794        
Total Investment Portfolio, Percentage of Net Assets 0.24% 0.24% 0.24% 0.24% 0.24% 0.25% 0.25% 0.25% 0.25% 0.25%
Industrial Transportation                    
Total Investment Portfolio, Fair Value $ 51,205         $ 50,090        
Industrial Transportation | First lien debt                    
Total Investment Portfolio, Amortized Cost 52,079         52,053        
Total Investment Portfolio, Fair Value $ 51,205         $ 50,090        
Total Investment Portfolio, Percentage of Net Assets 1.39% 1.39% 1.39% 1.39% 1.39% 1.45% 1.45% 1.45% 1.45% 1.45%
Investment Banking and Brokerage Services                    
Total Investment Portfolio, Fair Value $ 9,229         $ 7,606        
Investment Banking and Brokerage Services | First lien debt                    
Total Investment Portfolio, Amortized Cost 9,342         7,862        
Total Investment Portfolio, Fair Value $ 9,229         $ 7,606        
Total Investment Portfolio, Percentage of Net Assets 0.25% 0.25% 0.25% 0.25% 0.25% 0.22% 0.22% 0.22% 0.22% 0.22%
Leisure Goods                    
Total Investment Portfolio, Fair Value $ 1,990         $ 8,498        
Leisure Goods | First lien debt                    
Total Investment Portfolio, Amortized Cost 2,003         9,717        
Total Investment Portfolio, Fair Value $ 1,990         $ 8,498        
Total Investment Portfolio, Percentage of Net Assets 0.05% 0.05% 0.05% 0.05% 0.05% 0.25% 0.25% 0.25% 0.25% 0.25%
Life Insurance                    
Total Investment Portfolio, Fair Value $ 5,718         $ 5,628        
Life Insurance | First lien debt                    
Total Investment Portfolio, Amortized Cost 5,916         5,928        
Total Investment Portfolio, Fair Value $ 5,718         $ 5,628        
Total Investment Portfolio, Percentage of Net Assets 0.15% 0.15% 0.15% 0.15% 0.15% 0.16% 0.16% 0.16% 0.16% 0.16%
Media                    
Total Investment Portfolio, Fair Value $ 566,703         $ 505,035        
Media | First lien debt                    
Total Investment Portfolio, Amortized Cost 559,679         507,260        
Total Investment Portfolio, Fair Value $ 565,648         $ 503,971        
Total Investment Portfolio, Percentage of Net Assets 15.30% 15.30% 15.30% 15.30% 15.30% 14.59% 14.59% 14.59% 14.59% 14.59%
Media | Equity investments                    
Total Investment Portfolio, Amortized Cost $ 1,000         $ 1,000        
Total Investment Portfolio, Fair Value $ 1,055         $ 1,064        
Total Investment Portfolio, Percentage of Net Assets 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03%
Medical Equipment and Services                    
Total Investment Portfolio, Fair Value $ 327,070         $ 210,831        
Medical Equipment and Services | First lien debt                    
Total Investment Portfolio, Amortized Cost 330,615         218,147        
Total Investment Portfolio, Fair Value $ 326,080         $ 209,928        
Total Investment Portfolio, Percentage of Net Assets 8.82% 8.82% 8.82% 8.82% 8.82% 6.08% 6.08% 6.08% 6.08% 6.08%
Medical Equipment and Services | Unsecured debt                    
Total Investment Portfolio, Amortized Cost $ 1,022         $ 892        
Total Investment Portfolio, Fair Value $ 990         $ 903        
Total Investment Portfolio, Percentage of Net Assets 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03%
Non-life Insurance                    
Total Investment Portfolio, Fair Value $ 375,824         $ 317,816        
Non-life Insurance | First lien debt                    
Total Investment Portfolio, Amortized Cost 377,386         320,339        
Total Investment Portfolio, Fair Value $ 370,005         $ 309,809        
Total Investment Portfolio, Percentage of Net Assets 10.01% 10.01% 10.01% 10.01% 10.01% 8.97% 8.97% 8.97% 8.97% 8.97%
Non-life Insurance | Unsecured debt                    
Total Investment Portfolio, Amortized Cost $ 5,658         $ 7,997        
Total Investment Portfolio, Fair Value $ 5,819         $ 8,007        
Total Investment Portfolio, Percentage of Net Assets 0.16% 0.16% 0.16% 0.16% 0.16% 0.23% 0.23% 0.23% 0.23% 0.23%
Personal Care, Drug and Grocery Stores                    
Total Investment Portfolio, Fair Value $ 108,830         $ 117,320        
Personal Care, Drug and Grocery Stores | First lien debt                    
Total Investment Portfolio, Amortized Cost 109,102         118,492        
Total Investment Portfolio, Fair Value $ 108,830         $ 117,320        
Total Investment Portfolio, Percentage of Net Assets 2.94% 2.94% 2.94% 2.94% 2.94% 3.40% 3.40% 3.40% 3.40% 3.40%
Personal Goods                    
Total Investment Portfolio, Fair Value $ 72,511         $ 70,050        
Personal Goods | First lien debt                    
Total Investment Portfolio, Amortized Cost 73,570         72,642        
Total Investment Portfolio, Fair Value $ 72,511         $ 70,050        
Total Investment Portfolio, Percentage of Net Assets 1.96% 1.96% 1.96% 1.96% 1.96% 2.03% 2.03% 2.03% 2.03% 2.03%
Pharmaceuticals and Biotechnology                    
Total Investment Portfolio, Fair Value $ 267,703         $ 196,435        
Pharmaceuticals and Biotechnology | First lien debt                    
Total Investment Portfolio, Amortized Cost 256,224         186,779        
Total Investment Portfolio, Fair Value $ 267,703         $ 196,435        
Total Investment Portfolio, Percentage of Net Assets 7.24% 7.24% 7.24% 7.24% 7.24% 5.69% 5.69% 5.69% 5.69% 5.69%
Real Estate Investment and Services                    
Total Investment Portfolio, Fair Value $ 44,253         $ 44,822        
Real Estate Investment and Services | First lien debt                    
Total Investment Portfolio, Amortized Cost 43,048         45,222        
Total Investment Portfolio, Fair Value $ 44,128         $ 44,822        
Total Investment Portfolio, Percentage of Net Assets 1.19% 1.19% 1.19% 1.19% 1.19% 1.30% 1.30% 1.30% 1.30% 1.30%
Real Estate Investment and Services | Equity investments                    
Total Investment Portfolio, Amortized Cost $ 175                  
Total Investment Portfolio, Fair Value $ 125                  
Total Investment Portfolio, Percentage of Net Assets 0.00% 0.00% 0.00% 0.00% 0.00%          
Retailers                    
Total Investment Portfolio, Fair Value $ 18,033         $ 20,322        
Retailers | First lien debt                    
Total Investment Portfolio, Amortized Cost 18,059         20,992        
Total Investment Portfolio, Fair Value $ 18,033         $ 20,322        
Total Investment Portfolio, Percentage of Net Assets 0.49% 0.49% 0.49% 0.49% 0.49% 0.59% 0.59% 0.59% 0.59% 0.59%
Software and Computer Services                    
Total Investment Portfolio, Fair Value $ 1,288,321         $ 1,158,262        
Software and Computer Services | First lien debt                    
Total Investment Portfolio, Amortized Cost 1,274,109         1,160,317        
Total Investment Portfolio, Fair Value $ 1,263,271         $ 1,134,286        
Total Investment Portfolio, Percentage of Net Assets 34.18% 34.18% 34.18% 34.18% 34.18% 32.83% 32.83% 32.83% 32.83% 32.83%
Software and Computer Services | Second lien debt                    
Total Investment Portfolio, Amortized Cost $ 24,562         $ 24,547        
Total Investment Portfolio, Fair Value $ 23,945         $ 22,932        
Total Investment Portfolio, Percentage of Net Assets 0.65% 0.65% 0.65% 0.65% 0.65% 0.66% 0.66% 0.66% 0.66% 0.66%
Software and Computer Services | Equity investments                    
Total Investment Portfolio, Amortized Cost $ 1,000         $ 1,000        
Total Investment Portfolio, Fair Value $ 1,105         $ 1,044        
Total Investment Portfolio, Percentage of Net Assets 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03% 0.03%
Technology Hardware and Equipment                    
Total Investment Portfolio, Fair Value $ 95,877         $ 93,161        
Technology Hardware and Equipment | First lien debt                    
Total Investment Portfolio, Amortized Cost 98,186         95,522        
Total Investment Portfolio, Fair Value $ 95,877         $ 93,161        
Total Investment Portfolio, Percentage of Net Assets 2.59% 2.59% 2.59% 2.59% 2.59% 2.70% 2.70% 2.70% 2.70% 2.70%
Telecommunications Equipment                    
Total Investment Portfolio, Fair Value $ 14,351         $ 6,445        
Telecommunications Equipment | First lien debt                    
Total Investment Portfolio, Amortized Cost 14,610         6,778        
Total Investment Portfolio, Fair Value $ 14,351         $ 6,445        
Total Investment Portfolio, Percentage of Net Assets 0.39% 0.39% 0.39% 0.39% 0.39% 0.19% 0.19% 0.19% 0.19% 0.19%
Telecommunications Service Providers                    
Total Investment Portfolio, Fair Value $ 62,336         $ 71,695        
Telecommunications Service Providers | First lien debt                    
Total Investment Portfolio, Amortized Cost 59,936         60,010        
Total Investment Portfolio, Fair Value $ 55,520         $ 55,796        
Total Investment Portfolio, Percentage of Net Assets 1.50% 1.50% 1.50% 1.50% 1.50% 1.61% 1.61% 1.61% 1.61% 1.61%
Telecommunications Service Providers | Unsecured debt                    
Total Investment Portfolio, Amortized Cost $ 7,095         $ 16,641        
Total Investment Portfolio, Fair Value $ 6,816         $ 15,899        
Total Investment Portfolio, Percentage of Net Assets 0.18% 0.18% 0.18% 0.18% 0.18% 0.46% 0.46% 0.46% 0.46% 0.46%
Travel and Leisure                    
Total Investment Portfolio, Fair Value $ 297,999         $ 159,763        
Travel and Leisure | First lien debt                    
Total Investment Portfolio, Amortized Cost 303,344         165,573        
Total Investment Portfolio, Fair Value $ 297,999         $ 159,763        
Total Investment Portfolio, Percentage of Net Assets 8.06% 8.06% 8.06% 8.06% 8.06% 4.62% 4.62% 4.62% 4.62% 4.62%
Structured Finance                    
Total Investment Portfolio, Fair Value $ 28,824         $ 28,737        
Structured Finance | Structured Finance                    
Total Investment Portfolio, Amortized Cost 29,011         28,929        
Total Investment Portfolio, Fair Value $ 28,824         $ 28,737        
Total Investment Portfolio, Percentage of Net Assets 0.78% 0.78% 0.78% 0.78% 0.78% 0.83% 0.83% 0.83% 0.83% 0.83%
Investment, Identifier [Axis]: 123Dentist Inc 1                    
Par Amount/Units     $ 9,636 [5],[6],[7],[8]         $ 9,636 [9],[10],[11],[12]    
Total Investment Portfolio, Amortized Cost $ (138) [5],[6],[7],[8]         $ (143) [9],[10],[11],[12]        
Total Investment Portfolio, Fair Value $ (185) [5],[6],[7],[8]         $ (268) [9],[10],[11],[12]        
Investment, Identifier [Axis]: 123Dentist Inc 2                    
Spread 5.50% [6],[7],[8],[13] 5.50% [6],[7],[8],[13] 5.50% [6],[7],[8],[13] 5.50% [6],[7],[8],[13] 5.50% [6],[7],[8],[13] 575.00% [10],[11],[12] 575.00% [10],[11],[12] 575.00% [10],[11],[12] 575.00% [10],[11],[12] 575.00% [10],[11],[12]
Interest Rate 10.42% [6],[7],[8],[13] 10.42% [6],[7],[8],[13] 10.42% [6],[7],[8],[13] 10.42% [6],[7],[8],[13] 10.42% [6],[7],[8],[13] 10.36% [10],[11],[12] 10.36% [10],[11],[12] 10.36% [10],[11],[12] 10.36% [10],[11],[12] 10.36% [10],[11],[12]
Par Amount/Units     $ 48,061 [6],[7],[8]         $ 48,182 [10],[11],[12]    
Total Investment Portfolio, Amortized Cost $ 36,912 [6],[7],[8]         $ 36,973 [10],[11],[12]        
Total Investment Portfolio, Fair Value $ 34,628 [6],[7],[8]         $ 34,207 [10],[11],[12]        
Investment, Identifier [Axis]: 2080 Media, Inc. 1                    
Spread 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 650.00% [9],[10],[12] 650.00% [9],[10],[12] 650.00% [9],[10],[12] 650.00% [9],[10],[12] 650.00% [9],[10],[12]
Interest Rate 11.36% [5],[6],[8],[13] 11.36% [5],[6],[8],[13] 11.36% [5],[6],[8],[13] 11.36% [5],[6],[8],[13] 11.36% [5],[6],[8],[13] 10.48% [9],[10],[12] 10.48% [9],[10],[12] 10.48% [9],[10],[12] 10.48% [9],[10],[12] 10.48% [9],[10],[12]
Par Amount/Units $ 29,497 [5],[6],[8]         $ 29,529 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 12,238 [5],[6],[8]         12,247 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 13,041 [5],[6],[8]         12,497 [9],[10],[12]        
Investment, Identifier [Axis]: 2080 Media, Inc. 2                    
Spread [5],[6],[8],[13] 6.00% 6.00% 6.00% 6.00% 6.00%          
Interest Rate [5],[6],[8],[13] 10.81% 10.81% 10.81% 10.81% 10.81%          
Par Amount/Units $ 13,795 [5],[6],[8]         13,795 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 5,684 [5],[6],[8]         (239) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 5,912 [5],[6],[8]         $ (139) [9],[10],[12]        
Investment, Identifier [Axis]: 2080 Media, Inc. 3                    
Spread 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12]
Interest Rate 11.36% [6],[8],[13] 11.36% [6],[8],[13] 11.36% [6],[8],[13] 11.36% [6],[8],[13] 11.36% [6],[8],[13] 10.48% [10],[12] 10.48% [10],[12] 10.48% [10],[12] 10.48% [10],[12] 10.48% [10],[12]
Par Amount/Units $ 54,904 [6],[8]         $ 55,042 [10],[12]        
Total Investment Portfolio, Amortized Cost 53,943 [6],[8]         54,030 [10],[12]        
Total Investment Portfolio, Fair Value $ 55,453 [6],[8]         $ 54,518 [10],[12]        
Investment, Identifier [Axis]: 850 Third Avenue Mezz I, LLC                    
Spread [9],[12],[14]           650.00% 650.00% 650.00% 650.00% 650.00%
Interest Rate [9],[12],[14]           10.89% 10.89% 10.89% 10.89% 10.89%
Par Amount/Units [9],[12],[14]           $ 2,791        
Total Investment Portfolio, Amortized Cost [9],[12],[14]           2,132        
Total Investment Portfolio, Fair Value [9],[12],[14]           $ 1,757        
Investment, Identifier [Axis]: 850 Third Avenue Owner LLC                    
Spread 6.50% [8],[13],[15],[16] 6.50% [8],[13],[15],[16] 6.50% [8],[13],[15],[16] 6.50% [8],[13],[15],[16] 6.50% [8],[13],[15],[16] 650.00% [12],[14] 650.00% [12],[14] 650.00% [12],[14] 650.00% [12],[14] 650.00% [12],[14]
Interest Rate [12],[14]           10.89% 10.89% 10.89% 10.89% 10.89%
Par Amount/Units $ 4,726 [8],[15],[16]         $ 4,726 [12],[14]        
Total Investment Portfolio, Amortized Cost 4,702 [8],[15],[16]         4,697 [12],[14]        
Total Investment Portfolio, Fair Value 4,726 [8],[15],[16]         $ 4,063 [12],[14]        
Investment, Identifier [Axis]: 850 Third Avenue Owner, LLC                    
Par Amount/Units [8],[17] 528                  
Total Investment Portfolio, Amortized Cost [8],[17] 175                  
Total Investment Portfolio, Fair Value [8],[17] $ 125                  
Investment, Identifier [Axis]: ABB/CON-CISE Optical Group LLC 1                    
Spread 6.50% [5],[8],[13],[18] 6.50% [5],[8],[13],[18] 6.50% [5],[8],[13],[18] 6.50% [5],[8],[13],[18] 6.50% [5],[8],[13],[18] 650.00% [9],[12],[19] 650.00% [9],[12],[19] 650.00% [9],[12],[19] 650.00% [9],[12],[19] 650.00% [9],[12],[19]
Interest Rate 14.50% [5],[8],[13],[18] 14.50% [5],[8],[13],[18] 14.50% [5],[8],[13],[18] 14.50% [5],[8],[13],[18] 14.50% [5],[8],[13],[18] 14.00% [9],[12],[19] 14.00% [9],[12],[19] 14.00% [9],[12],[19] 14.00% [9],[12],[19] 14.00% [9],[12],[19]
Par Amount/Units $ 2,358 [5],[8],[18]         $ 2,358 [9],[12],[19]        
Total Investment Portfolio, Amortized Cost 2,192 [5],[8],[18]         2,190 [9],[12],[19]        
Total Investment Portfolio, Fair Value $ 2,106 [5],[8],[18]         $ 2,080 [9],[12],[19]        
Investment, Identifier [Axis]: ABB/CON-CISE Optical Group LLC 2                    
Spread 7.50% [6],[8],[13] 7.50% [6],[8],[13] 7.50% [6],[8],[13] 7.50% [6],[8],[13] 7.50% [6],[8],[13] 750.00% [10],[12] 750.00% [10],[12] 750.00% [10],[12] 750.00% [10],[12] 750.00% [10],[12]
Interest Rate 12.67% [6],[8],[13] 12.67% [6],[8],[13] 12.67% [6],[8],[13] 12.67% [6],[8],[13] 12.67% [6],[8],[13] 12.67% [10],[12] 12.67% [10],[12] 12.67% [10],[12] 12.67% [10],[12] 12.67% [10],[12]
Par Amount/Units $ 22,415 [6],[8]         $ 22,472 [10],[12]        
Total Investment Portfolio, Amortized Cost 21,932 [6],[8]         21,966 [10],[12]        
Total Investment Portfolio, Fair Value $ 21,132 [6],[8]         $ 20,945 [10],[12]        
Investment, Identifier [Axis]: AD1 LBV1, LLC 1                    
Spread 6.75% [8],[13],[15],[20] 6.75% [8],[13],[15],[20] 6.75% [8],[13],[15],[20] 6.75% [8],[13],[15],[20] 6.75% [8],[13],[15],[20] 675.00% [9],[12],[21],[22] 675.00% [9],[12],[21],[22] 675.00% [9],[12],[21],[22] 675.00% [9],[12],[21],[22] 675.00% [9],[12],[21],[22]
Interest Rate [9],[12],[21],[22]           10.87% 10.87% 10.87% 10.87% 10.87%
Par Amount/Units $ 247 [8],[15],[20]         $ 365 [9],[12],[21]        
Total Investment Portfolio, Amortized Cost 245 [8],[15],[20]         244 [9],[12],[21]        
Total Investment Portfolio, Fair Value $ 241 [8],[15],[20]         $ 242 [9],[12],[21]        
Investment, Identifier [Axis]: AD1 LBV1, LLC 2                    
Spread 6.75% [8],[13],[15],[20] 6.75% [8],[13],[15],[20] 6.75% [8],[13],[15],[20] 6.75% [8],[13],[15],[20] 6.75% [8],[13],[15],[20] 675.00% [12],[21],[22] 675.00% [12],[21],[22] 675.00% [12],[21],[22] 675.00% [12],[21],[22] 675.00% [12],[21],[22]
Interest Rate [12],[21],[22]           10.87% 10.87% 10.87% 10.87% 10.87%
Par Amount/Units $ 18,990 [8],[15],[20]         $ 19,002 [12],[21]        
Total Investment Portfolio, Amortized Cost 18,839 [8],[15],[20]         18,823 [12],[21]        
Total Investment Portfolio, Fair Value $ 18,536 [8],[15],[20]         $ 18,746 [12],[21]        
Investment, Identifier [Axis]: ALM 2020 Ltd                    
Spread 6.00% [7],[13],[23] 6.00% [7],[13],[23] 6.00% [7],[13],[23] 6.00% [7],[13],[23] 6.00% [7],[13],[23] 600.00% [11],[22],[24] 600.00% [11],[22],[24] 600.00% [11],[22],[24] 600.00% [11],[22],[24] 600.00% [11],[22],[24]
Interest Rate 10.79% [7],[13],[23] 10.79% [7],[13],[23] 10.79% [7],[13],[23] 10.79% [7],[13],[23] 10.79% [7],[13],[23] 10.08% [11],[22],[24] 10.08% [11],[22],[24] 10.08% [11],[22],[24] 10.08% [11],[22],[24] 10.08% [11],[22],[24]
Par Amount/Units $ 3,330 [7],[23]         $ 3,330 [11],[24]        
Total Investment Portfolio, Amortized Cost 3,004 [7],[23]         2,995 [11],[24]        
Total Investment Portfolio, Fair Value $ 2,966 [7],[23]         $ 2,937 [11],[24]        
Investment, Identifier [Axis]: AMMC CLO 20 Ltd                    
Spread 5.81% [7],[13],[23] 5.81% [7],[13],[23] 5.81% [7],[13],[23] 5.81% [7],[13],[23] 5.81% [7],[13],[23] 581.00% [11],[22],[24] 581.00% [11],[22],[24] 581.00% [11],[22],[24] 581.00% [11],[22],[24] 581.00% [11],[22],[24]
Interest Rate 10.60% [7],[13],[23] 10.60% [7],[13],[23] 10.60% [7],[13],[23] 10.60% [7],[13],[23] 10.60% [7],[13],[23] 9.89% [11],[22],[24] 9.89% [11],[22],[24] 9.89% [11],[22],[24] 9.89% [11],[22],[24] 9.89% [11],[22],[24]
Par Amount/Units $ 950 [7],[23]         $ 950 [11],[24]        
Total Investment Portfolio, Amortized Cost 892 [7],[23]         890 [11],[24]        
Total Investment Portfolio, Fair Value $ 891 [7],[23]         $ 866 [11],[24]        
Investment, Identifier [Axis]: AMMC CLO 21 Ltd 1                    
Spread 3.10% [7],[13],[23] 3.10% [7],[13],[23] 3.10% [7],[13],[23] 3.10% [7],[13],[23] 3.10% [7],[13],[23] 310.00% [11],[22],[24] 310.00% [11],[22],[24] 310.00% [11],[22],[24] 310.00% [11],[22],[24] 310.00% [11],[22],[24]
Interest Rate 7.91% [7],[13],[23] 7.91% [7],[13],[23] 7.91% [7],[13],[23] 7.91% [7],[13],[23] 7.91% [7],[13],[23] 7.56% [11],[22],[24] 7.56% [11],[22],[24] 7.56% [11],[22],[24] 7.56% [11],[22],[24] 7.56% [11],[22],[24]
Par Amount/Units $ 2,150 [7],[23]         $ 2,150 [11],[24]        
Total Investment Portfolio, Amortized Cost 1,904 [7],[23]         1,898 [11],[24]        
Total Investment Portfolio, Fair Value $ 1,945 [7],[23]         $ 1,887 [11],[24]        
Investment, Identifier [Axis]: AMMC CLO 21 Ltd 2                    
Spread 6.50% [7],[13],[23] 6.50% [7],[13],[23] 6.50% [7],[13],[23] 6.50% [7],[13],[23] 6.50% [7],[13],[23] 650.00% [11],[22],[24] 650.00% [11],[22],[24] 650.00% [11],[22],[24] 650.00% [11],[22],[24] 650.00% [11],[22],[24]
Interest Rate 11.31% [7],[13],[23] 11.31% [7],[13],[23] 11.31% [7],[13],[23] 11.31% [7],[13],[23] 11.31% [7],[13],[23] 10.96% [11],[22],[24] 10.96% [11],[22],[24] 10.96% [11],[22],[24] 10.96% [11],[22],[24] 10.96% [11],[22],[24]
Par Amount/Units $ 4,126 [7],[23]         $ 4,126 [11],[24]        
Total Investment Portfolio, Amortized Cost 3,620 [7],[23]         3,609 [11],[24]        
Total Investment Portfolio, Fair Value $ 3,445 [7],[23]         $ 3,474 [11],[24]        
Investment, Identifier [Axis]: ATI Holdings Acquisition, Inc.                    
Spread 7.75% [7],[8],[13],[25] 7.75% [7],[8],[13],[25] 7.75% [7],[8],[13],[25] 7.75% [7],[8],[13],[25] 7.75% [7],[8],[13],[25] 7.75% [11],[12],[26] 7.75% [11],[12],[26] 7.75% [11],[12],[26] 7.75% [11],[12],[26] 7.75% [11],[12],[26]
Interest Rate 12.64% [7],[8],[13],[25] 12.64% [7],[8],[13],[25] 12.64% [7],[8],[13],[25] 12.64% [7],[8],[13],[25] 12.64% [7],[8],[13],[25] 12.07% [11],[12],[26] 12.07% [11],[12],[26] 12.07% [11],[12],[26] 12.07% [11],[12],[26] 12.07% [11],[12],[26]
Interest Rate, PIK 2.00% [7],[8],[13],[25] 2.00% [7],[8],[13],[25] 2.00% [7],[8],[13],[25] 2.00% [7],[8],[13],[25] 2.00% [7],[8],[13],[25] 2.00% [11],[12],[26] 2.00% [11],[12],[26] 2.00% [11],[12],[26] 2.00% [11],[12],[26] 2.00% [11],[12],[26]
Par Amount/Units $ 40,675 [7],[8],[25]         $ 40,535 [11],[12],[26]        
Total Investment Portfolio, Amortized Cost 39,992 [7],[8],[25]         39,829 [11],[12],[26]        
Total Investment Portfolio, Fair Value $ 36,515 [7],[8],[25]         $ 34,415 [11],[12],[26]        
Investment, Identifier [Axis]: Accelerated Health Systems, LLC                    
Spread 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 425.00% [14] 425.00% [14] 425.00% [14] 425.00% [14] 425.00% [14]
Interest Rate 9.30% [13],[16] 9.30% [13],[16] 9.30% [13],[16] 9.30% [13],[16] 9.30% [13],[16] 8.98% [14] 8.98% [14] 8.98% [14] 8.98% [14] 8.98% [14]
Par Amount/Units $ 8,012 [16]         $ 8,032 [14]        
Total Investment Portfolio, Amortized Cost 7,992 [16]         8,009 [14]        
Total Investment Portfolio, Fair Value $ 5,915 [16]         $ 6,581 [14]        
Investment, Identifier [Axis]: Acuris Finance US, Inc                    
Spread 4.00% [13],[16] 4.00% [13],[16] 4.00% [13],[16] 4.00% [13],[16] 4.00% [13],[16] 400.00% [14] 400.00% [14] 400.00% [14] 400.00% [14] 400.00% [14]
Interest Rate 9.05% [13],[16] 9.05% [13],[16] 9.05% [13],[16] 9.05% [13],[16] 9.05% [13],[16] 8.73% [14] 8.73% [14] 8.73% [14] 8.73% [14] 8.73% [14]
Par Amount/Units $ 13,500 [16]         $ 12,500 [14]        
Total Investment Portfolio, Amortized Cost 13,392 [16]         12,413 [14]        
Total Investment Portfolio, Fair Value 13,073 [16]         12,313 [14]        
Investment, Identifier [Axis]: Advarra Holdings, Inc. 1                    
Par Amount/Units 6,340 [5],[6],[8]         6,340 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (102) [5],[6],[8]         (106) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (150) [5],[6],[8]         $ (226) [9],[10],[12]        
Investment, Identifier [Axis]: Advarra Holdings, Inc. 2                    
Spread 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12]
Interest Rate 10.56% [6],[8],[13] 10.56% [6],[8],[13] 10.56% [6],[8],[13] 10.56% [6],[8],[13] 10.56% [6],[8],[13] 10.15% [10],[12] 10.15% [10],[12] 10.15% [10],[12] 10.15% [10],[12] 10.15% [10],[12]
Par Amount/Units $ 69,985 [6],[8]         $ 70,160 [10],[12]        
Total Investment Portfolio, Amortized Cost 68,862 [6],[8]         68,984 [10],[12]        
Total Investment Portfolio, Fair Value $ 68,328 [6],[8]         $ 67,659 [10],[12]        
Investment, Identifier [Axis]: Alera Group, Inc. 1                    
Spread 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12]
Interest Rate 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.42% [10],[12] 10.42% [10],[12] 10.42% [10],[12] 10.42% [10],[12] 10.42% [10],[12]
Par Amount/Units $ 21,719 [6],[8]         $ 21,774 [10],[12]        
Total Investment Portfolio, Amortized Cost 21,546 [6],[8]         21,591 [10],[12]        
Total Investment Portfolio, Fair Value $ 20,804 [6],[8]         $ 20,992 [10],[12]        
Investment, Identifier [Axis]: Alera Group, Inc. 2                    
Spread 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12]
Interest Rate 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.42% [10],[12] 10.42% [10],[12] 10.42% [10],[12] 10.42% [10],[12] 10.42% [10],[12]
Par Amount/Units $ 12,493 [6],[8]         $ 12,525 [10],[12]        
Total Investment Portfolio, Amortized Cost 12,483 [6],[8]         12,514 [10],[12]        
Total Investment Portfolio, Fair Value $ 11,967 [6],[8]         $ 12,075 [10],[12]        
Investment, Identifier [Axis]: Alera Group, Inc. 3                    
Spread 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12]
Interest Rate 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.42% [10],[12] 10.42% [10],[12] 10.42% [10],[12] 10.42% [10],[12] 10.42% [10],[12]
Par Amount/Units $ 44,061 [6],[8]         $ 44,173 [10],[12]        
Total Investment Portfolio, Amortized Cost 44,027 [6],[8]         44,136 [10],[12]        
Total Investment Portfolio, Fair Value $ 42,205 [6],[8]         $ 42,586 [10],[12]        
Investment, Identifier [Axis]: Alliant Holdings I, L.P.                    
Spread [24]           325.00% 325.00% 325.00% 325.00% 325.00%
Interest Rate [24]           7.63% 7.63% 7.63% 7.63% 7.63%
Par Amount/Units [24]           $ 995        
Total Investment Portfolio, Amortized Cost [24]           977        
Total Investment Portfolio, Fair Value [24]           $ 983        
Investment, Identifier [Axis]: Alliant Holdings Intermediate LLC / Alliant Holdings Co-Issuer                    
Interest Rate 6.75% [13],[23] 6.75% [13],[23] 6.75% [13],[23] 6.75% [13],[23] 6.75% [13],[23] 6.75% [22],[24] 6.75% [22],[24] 6.75% [22],[24] 6.75% [22],[24] 6.75% [22],[24]
Par Amount/Units $ 6,255 [23]         $ 6,255 [24]        
Total Investment Portfolio, Amortized Cost 5,658 [23]         5,632 [24]        
Total Investment Portfolio, Fair Value $ 5,819 [23]         $ 5,636 [24]        
Investment, Identifier [Axis]: Alliant Holdings Intermediate, LLC                    
Spread [14]           350.00% 350.00% 350.00% 350.00% 350.00%
Interest Rate [14]           7.85% 7.85% 7.85% 7.85% 7.85%
Par Amount/Units [14]           $ 17,847        
Total Investment Portfolio, Amortized Cost [14]           17,662        
Total Investment Portfolio, Fair Value [14]           $ 17,468        
Investment, Identifier [Axis]: Alliant Holdings Intermediate, LLC 1                    
Spread [13],[16] 3.50% 3.50% 3.50% 3.50% 3.50%          
Interest Rate [13],[16] 8.35% 8.35% 8.35% 8.35% 8.35%          
Par Amount/Units [16] $ 495                  
Total Investment Portfolio, Amortized Cost [16] 487                  
Total Investment Portfolio, Fair Value [16] $ 491                  
Investment, Identifier [Axis]: Alliant Holdings Intermediate, LLC 2                    
Spread [13],[16] 3.50% 3.50% 3.50% 3.50% 3.50%          
Interest Rate [13],[16] 8.28% 8.28% 8.28% 8.28% 8.28%          
Par Amount/Units [16] $ 17,802                  
Total Investment Portfolio, Amortized Cost [16] 17,631                  
Total Investment Portfolio, Fair Value [16] $ 17,646                  
Investment, Identifier [Axis]: Allied Universal Holdco LLC                    
Spread 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14]
Interest Rate 8.66% [13],[16] 8.66% [13],[16] 8.66% [13],[16] 8.66% [13],[16] 8.66% [13],[16] 8.17% [14] 8.17% [14] 8.17% [14] 8.17% [14] 8.17% [14]
Par Amount/Units $ 3,024 [16]         $ 3,032 [14]        
Total Investment Portfolio, Amortized Cost 3,015 [16]         3,021 [14]        
Total Investment Portfolio, Fair Value $ 2,876 [16]         $ 2,886 [14]        
Investment, Identifier [Axis]: Altar Bidco, Inc.                    
Spread 3.10% [13],[16] 3.10% [13],[16] 3.10% [13],[16] 3.10% [13],[16] 3.10% [13],[16] 310.00% [14] 310.00% [14] 310.00% [14] 310.00% [14] 310.00% [14]
Interest Rate 5.50% [13],[16] 5.50% [13],[16] 5.50% [13],[16] 5.50% [13],[16] 5.50% [13],[16] 5.50% [14] 5.50% [14] 5.50% [14] 5.50% [14] 5.50% [14]
Par Amount/Units $ 8,937 [16]         $ 7,960 [14]        
Total Investment Portfolio, Amortized Cost 8,871 [16]         7,937 [14]        
Total Investment Portfolio, Fair Value $ 8,533 [16]         $ 7,623 [14]        
Investment, Identifier [Axis]: AmWINS Group, Inc.                    
Spread [6],[13] 2.25% 2.25% 2.25% 2.25% 2.25%          
Interest Rate [6],[13] 7.09% 7.09% 7.09% 7.09% 7.09%          
Par Amount/Units [6] $ 4,633                  
Total Investment Portfolio, Amortized Cost [6] 4,609                  
Total Investment Portfolio, Fair Value [6] $ 4,585                  
Investment, Identifier [Axis]: AmWins Group, LLC                    
Spread [10]           225.00% 225.00% 225.00% 225.00% 225.00%
Interest Rate [10]           6.63% 6.63% 6.63% 6.63% 6.63%
Par Amount/Units [10]           $ 4,645        
Total Investment Portfolio, Amortized Cost [10]           4,619        
Total Investment Portfolio, Fair Value [10]           $ 4,568        
Investment, Identifier [Axis]: American Academy Holdings, LLC                    
Spread 11.00% [8],[13],[25] 11.00% [8],[13],[25] 11.00% [8],[13],[25] 11.00% [8],[13],[25] 11.00% [8],[13],[25] 11.00% [12],[22],[26] 11.00% [12],[22],[26] 11.00% [12],[22],[26] 11.00% [12],[22],[26] 11.00% [12],[22],[26]
Interest Rate 15.84% [8],[13],[25] 15.84% [8],[13],[25] 15.84% [8],[13],[25] 15.84% [8],[13],[25] 15.84% [8],[13],[25] 15.38% [12],[22],[26] 15.38% [12],[22],[26] 15.38% [12],[22],[26] 15.38% [12],[22],[26] 15.38% [12],[22],[26]
Interest Rate, PIK 5.25% [8],[13],[25] 5.25% [8],[13],[25] 5.25% [8],[13],[25] 5.25% [8],[13],[25] 5.25% [8],[13],[25] 6.25% [12],[22],[26] 6.25% [12],[22],[26] 6.25% [12],[22],[26] 6.25% [12],[22],[26] 6.25% [12],[22],[26]
Par Amount/Units $ 52,320 [8],[25]         $ 51,704 [12],[26]        
Total Investment Portfolio, Amortized Cost 52,361 [8],[25]         51,744 [12],[26]        
Total Investment Portfolio, Fair Value $ 51,957 [8],[25]         $ 51,087 [12],[26]        
Investment, Identifier [Axis]: Amynta Agency Borrower Inc.                    
Spread [13],[23] 5.00% 5.00% 5.00% 5.00% 5.00%          
Interest Rate [13],[23] 9.99% 9.99% 9.99% 9.99% 9.99%          
Par Amount/Units [23] $ 20,217                  
Total Investment Portfolio, Amortized Cost [23] 19,604                  
Total Investment Portfolio, Fair Value [23] $ 19,484                  
Investment, Identifier [Axis]: Ancestry.com Inc.                    
Spread 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14]
Interest Rate 8.16% [13],[16] 8.16% [13],[16] 8.16% [13],[16] 8.16% [13],[16] 8.16% [13],[16] 7.63% [14] 7.63% [14] 7.63% [14] 7.63% [14] 7.63% [14]
Par Amount/Units $ 12,861 [16]         $ 12,894 [14]        
Total Investment Portfolio, Amortized Cost 12,685 [16]         12,706 [14]        
Total Investment Portfolio, Fair Value $ 12,149 [16]         $ 11,971 [14]        
Investment, Identifier [Axis]: Applied Systems Inc                    
Spread 3.00% [13],[16] 3.00% [13],[16] 3.00% [13],[16] 3.00% [13],[16] 3.00% [13],[16] 300.00% [14] 300.00% [14] 300.00% [14] 300.00% [14] 300.00% [14]
Interest Rate 8.16% [13],[16] 8.16% [13],[16] 8.16% [13],[16] 8.16% [13],[16] 8.16% [13],[16] 7.73% [14] 7.73% [14] 7.73% [14] 7.73% [14] 7.73% [14]
Par Amount/Units $ 9,227 [16]         $ 9,227 [14]        
Total Investment Portfolio, Amortized Cost 9,209 [16]         9,205 [14]        
Total Investment Portfolio, Fair Value 9,235 [16]         9,209 [14]        
Investment, Identifier [Axis]: Arc Media Holdings Limited 1                    
Par Amount/Units 2,766 [5],[7],[8],[17],[25]         2,766 [9],[11],[12],[26],[27]        
Total Investment Portfolio, Amortized Cost (63) [5],[7],[8],[17],[25]         (67) [9],[11],[12],[26],[27]        
Total Investment Portfolio, Fair Value $ (59) [5],[7],[8],[17],[25]         $ (67) [9],[11],[12],[26],[27]        
Investment, Identifier [Axis]: Arc Media Holdings Limited 2                    
Spread 7.25% [7],[8],[13],[17],[25] 7.25% [7],[8],[13],[17],[25] 7.25% [7],[8],[13],[17],[25] 7.25% [7],[8],[13],[17],[25] 7.25% [7],[8],[13],[17],[25] 725.00% [11],[12],[26],[27] 725.00% [11],[12],[26],[27] 725.00% [11],[12],[26],[27] 725.00% [11],[12],[26],[27] 725.00% [11],[12],[26],[27]
Interest Rate 12.08% [7],[8],[13],[17],[25] 12.08% [7],[8],[13],[17],[25] 12.08% [7],[8],[13],[17],[25] 12.08% [7],[8],[13],[17],[25] 12.08% [7],[8],[13],[17],[25] 11.49% [11],[12],[26],[27] 11.49% [11],[12],[26],[27] 11.49% [11],[12],[26],[27] 11.49% [11],[12],[26],[27] 11.49% [11],[12],[26],[27]
Par Amount/Units $ 41,283 [7],[8],[17],[25]         $ 41,387 [11],[12],[26],[27]        
Total Investment Portfolio, Amortized Cost 40,332 [7],[8],[17],[25]         40,377 [11],[12],[26],[27]        
Total Investment Portfolio, Fair Value 40,410 [7],[8],[17],[25]         40,387 [11],[12],[26],[27]        
Investment, Identifier [Axis]: Arcfield Acquisition Corp 1                    
Par Amount/Units 2,990 [5],[6],[8]         2,990 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (47) [5],[6],[8]         (50) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (100) [5],[6],[8]         $ (129) [9],[10],[12]        
Investment, Identifier [Axis]: Arcfield Acquisition Corp 2                    
Spread 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 575.00% [10],[12],[22] 575.00% [10],[12],[22] 575.00% [10],[12],[22] 575.00% [10],[12],[22] 575.00% [10],[12],[22]
Interest Rate 10.62% [6],[8],[13] 10.62% [6],[8],[13] 10.62% [6],[8],[13] 10.62% [6],[8],[13] 10.62% [6],[8],[13] 10.02% [10],[12],[22] 10.02% [10],[12],[22] 10.02% [10],[12],[22] 10.02% [10],[12],[22] 10.02% [10],[12],[22]
Par Amount/Units $ 20,395 [6],[8]         $ 20,446 [10],[12]        
Total Investment Portfolio, Amortized Cost 20,040 [6],[8]         20,078 [10],[12]        
Total Investment Portfolio, Fair Value $ 19,631 [6],[8]         $ 19,453 [10],[12]        
Investment, Identifier [Axis]: Argos Health Holdings, Inc.                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12]
Interest Rate 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 9.97% [10],[12] 9.97% [10],[12] 9.97% [10],[12] 9.97% [10],[12] 9.97% [10],[12]
Par Amount/Units $ 658 [6],[8]         $ 660 [10],[12]        
Total Investment Portfolio, Amortized Cost 648 [6],[8]         649 [10],[12]        
Total Investment Portfolio, Fair Value $ 645 [6],[8]         $ 628 [10],[12]        
Investment, Identifier [Axis]: Armstrong Bidco Limited 1                    
Spread 5.50% [5],[7],[8],[13],[23] 5.50% [5],[7],[8],[13],[23] 5.50% [5],[7],[8],[13],[23] 5.50% [5],[7],[8],[13],[23] 5.50% [5],[7],[8],[13],[23] 525.00% [9],[11],[12],[24] 525.00% [9],[11],[12],[24] 525.00% [9],[11],[12],[24] 525.00% [9],[11],[12],[24] 525.00% [9],[11],[12],[24]
Interest Rate 9.49% [5],[7],[8],[13],[23] 9.49% [5],[7],[8],[13],[23] 9.49% [5],[7],[8],[13],[23] 9.49% [5],[7],[8],[13],[23] 9.49% [5],[7],[8],[13],[23] 8.70% [9],[11],[12],[24] 8.70% [9],[11],[12],[24] 8.70% [9],[11],[12],[24] 8.70% [9],[11],[12],[24] 8.70% [9],[11],[12],[24]
Par Amount/Units | £         £ 47,995 [5],[7],[8],[23]         £ 47,995 [9],[11],[12],[24]
Total Investment Portfolio, Amortized Cost $ 42,022 [5],[7],[8],[23]         $ 41,968 [9],[11],[12],[24]        
Total Investment Portfolio, Fair Value $ 44,917 [5],[7],[8],[23]         $ 44,715 [9],[11],[12],[24]        
Investment, Identifier [Axis]: Armstrong Bidco Limited 2                    
Spread 5.50% [7],[8],[13],[23] 5.50% [7],[8],[13],[23] 5.50% [7],[8],[13],[23] 5.50% [7],[8],[13],[23] 5.50% [7],[8],[13],[23] 525.00% [11],[12],[24] 525.00% [11],[12],[24] 525.00% [11],[12],[24] 525.00% [11],[12],[24] 525.00% [11],[12],[24]
Interest Rate 9.74% [7],[8],[13],[23] 9.74% [7],[8],[13],[23] 9.74% [7],[8],[13],[23] 9.74% [7],[8],[13],[23] 9.74% [7],[8],[13],[23] 8.70% [11],[12],[24] 8.70% [11],[12],[24] 8.70% [11],[12],[24] 8.70% [11],[12],[24] 8.70% [11],[12],[24]
Par Amount/Units | £         £ 91,991 [7],[8],[23]         £ 91,991 [11],[12],[24]
Total Investment Portfolio, Amortized Cost $ 109,565 [7],[8],[23]         $ 109,456 [11],[12],[24]        
Total Investment Portfolio, Fair Value $ 111,506 [7],[8],[23]         $ 110,602 [11],[12],[24]        
Investment, Identifier [Axis]: Artemis Bidco Limited 1                    
Spread 6.00% [5],[7],[8],[13],[23] 6.00% [5],[7],[8],[13],[23] 6.00% [5],[7],[8],[13],[23] 6.00% [5],[7],[8],[13],[23] 6.00% [5],[7],[8],[13],[23] 600.00% [9],[11],[12],[22],[24] 600.00% [9],[11],[12],[22],[24] 600.00% [9],[11],[12],[22],[24] 600.00% [9],[11],[12],[22],[24] 600.00% [9],[11],[12],[22],[24]
Interest Rate 10.24% [5],[7],[8],[13],[23] 10.24% [5],[7],[8],[13],[23] 10.24% [5],[7],[8],[13],[23] 10.24% [5],[7],[8],[13],[23] 10.24% [5],[7],[8],[13],[23] 9.45% [9],[11],[12],[22],[24] 9.45% [9],[11],[12],[22],[24] 9.45% [9],[11],[12],[22],[24] 9.45% [9],[11],[12],[22],[24] 9.45% [9],[11],[12],[22],[24]
Par Amount/Units $ 2,437 [5],[7],[8],[23]                 £ 2,437 [9],[11],[12],[24]
Total Investment Portfolio, Amortized Cost 300 [5],[7],[8],[23]         $ 298 [9],[11],[12],[24]        
Total Investment Portfolio, Fair Value $ 37 [5],[7],[8],[23]         $ 2 [9],[11],[12],[24]        
Investment, Identifier [Axis]: Artemis Bidco Limited 2                    
Spread 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24]
Interest Rate 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24]
Par Amount/Units $ 7,749 [7],[8],[23]                 £ 7,749 [11],[12],[24]
Total Investment Portfolio, Amortized Cost 10,061 [7],[8],[23]         $ 10,047 [11],[12],[24]        
Total Investment Portfolio, Fair Value $ 8,631 [7],[8],[23]         $ 8,346 [11],[12],[24]        
Investment, Identifier [Axis]: Artemis Bidco Limited 3                    
Spread 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24]
Interest Rate 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24]
Par Amount/Units $ 4,509 [7],[8],[23]                 £ 4,509 [11],[12],[24]
Total Investment Portfolio, Amortized Cost 5,894 [7],[8],[23]         $ 5,888 [11],[12],[24]        
Total Investment Portfolio, Fair Value $ 5,023 [7],[8],[23]         $ 4,857 [11],[12],[24]        
Investment, Identifier [Axis]: Artemis Bidco Limited 4                    
Spread 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 6.00% [7],[8],[13],[23] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24] 600.00% [11],[12],[22],[24]
Interest Rate 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 10.24% [7],[8],[13],[23] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24] 9.45% [11],[12],[22],[24]
Par Amount/Units $ 4,676 [7],[8],[23]                 £ 4,676 [11],[12],[24]
Total Investment Portfolio, Amortized Cost 6,109 [7],[8],[23]         $ 6,107 [11],[12],[24]        
Total Investment Portfolio, Fair Value $ 5,209 [7],[8],[23]         $ 5,037 [11],[12],[24]        
Investment, Identifier [Axis]: Ascensus Holdings, Inc.                    
Spread 3.50% [13],[16] 3.50% [13],[16] 3.50% [13],[16] 3.50% [13],[16] 3.50% [13],[16] 350.00% [14] 350.00% [14] 350.00% [14] 350.00% [14] 350.00% [14]
Interest Rate 8.38% [13],[16] 8.38% [13],[16] 8.38% [13],[16] 8.38% [13],[16] 8.38% [13],[16] 8.25% [14] 8.25% [14] 8.25% [14] 8.25% [14] 8.25% [14]
Par Amount/Units $ 7,920 [16]         $ 7,940 [14]        
Total Investment Portfolio, Amortized Cost 7,846 [16]         7,862 [14]        
Total Investment Portfolio, Fair Value $ 7,712 [16]         $ 7,606 [14]        
Investment, Identifier [Axis]: Asdam Operations Pty Ltd 1                    
Spread 5.75% [7],[8],[13],[16] 5.75% [7],[8],[13],[16] 5.75% [7],[8],[13],[16] 5.75% [7],[8],[13],[16] 5.75% [7],[8],[13],[16] 575.00% [11],[12],[14],[22] 575.00% [11],[12],[14],[22] 575.00% [11],[12],[14],[22] 575.00% [11],[12],[14],[22] 575.00% [11],[12],[14],[22]
Interest Rate 9.43% [7],[8],[13],[16] 9.43% [7],[8],[13],[16] 9.43% [7],[8],[13],[16] 9.43% [7],[8],[13],[16] 9.43% [7],[8],[13],[16] 8.86% [11],[12],[14],[22] 8.86% [11],[12],[14],[22] 8.86% [11],[12],[14],[22] 8.86% [11],[12],[14],[22] 8.86% [11],[12],[14],[22]
Par Amount/Units   $ 3,614 [7],[8],[16]         $ 3,614 [11],[12],[14]      
Total Investment Portfolio, Amortized Cost $ 2,404 [7],[8],[16]         $ 2,401 [11],[12],[14]        
Total Investment Portfolio, Fair Value 2,335 [7],[8],[16]         2,348 [11],[12],[14]        
Investment, Identifier [Axis]: Asdam Operations Pty Ltd 2                    
Par Amount/Units   $ 5,421 [5],[7],[8],[16]         $ 5,421 [9],[11],[12],[14]      
Total Investment Portfolio, Amortized Cost (108) [5],[7],[8],[16]         (112) [9],[11],[12],[14]        
Total Investment Portfolio, Fair Value $ (123) [5],[7],[8],[16]         $ (168) [9],[11],[12],[14]        
Investment, Identifier [Axis]: Asdam Operations Pty Ltd 3                    
Spread 5.75% [7],[8],[13],[16] 5.75% [7],[8],[13],[16] 5.75% [7],[8],[13],[16] 5.75% [7],[8],[13],[16] 5.75% [7],[8],[13],[16] 575.00% [11],[12],[14],[22] 575.00% [11],[12],[14],[22] 575.00% [11],[12],[14],[22] 575.00% [11],[12],[14],[22] 575.00% [11],[12],[14],[22]
Interest Rate 9.43% [7],[8],[13],[16] 9.43% [7],[8],[13],[16] 9.43% [7],[8],[13],[16] 9.43% [7],[8],[13],[16] 9.43% [7],[8],[13],[16] 8.82% [11],[12],[14],[22] 8.82% [11],[12],[14],[22] 8.82% [11],[12],[14],[22] 8.82% [11],[12],[14],[22] 8.82% [11],[12],[14],[22]
Par Amount/Units   $ 41,558 [7],[8],[16]         $ 41,558 [11],[12],[14]      
Total Investment Portfolio, Amortized Cost $ 27,749 [7],[8],[16]         $ 27,711 [11],[12],[14]        
Total Investment Portfolio, Fair Value $ 26,847 [7],[8],[16]         $ 27,017 [11],[12],[14]        
Investment, Identifier [Axis]: Associations Inc. 1                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26]
Interest Rate 11.36% [8],[13],[25] 11.36% [8],[13],[25] 11.36% [8],[13],[25] 11.36% [8],[13],[25] 11.36% [8],[13],[25] 10.36% [12],[26] 10.36% [12],[26] 10.36% [12],[26] 10.36% [12],[26] 10.36% [12],[26]
Interest Rate, PIK 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [12],[26] 2.50% [12],[26] 2.50% [12],[26] 2.50% [12],[26] 2.50% [12],[26]
Par Amount/Units $ 485 [8],[25]         $ 482 [12],[26]        
Total Investment Portfolio, Amortized Cost 481 [8],[25]         477 [12],[26]        
Total Investment Portfolio, Fair Value $ 482 [8],[25]         $ 475 [12],[26]        
Investment, Identifier [Axis]: Associations Inc. 2                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26]
Interest Rate 11.50% [8],[13],[25] 11.50% [8],[13],[25] 11.50% [8],[13],[25] 11.50% [8],[13],[25] 11.50% [8],[13],[25] 11.26% [12],[26] 11.26% [12],[26] 11.26% [12],[26] 11.26% [12],[26] 11.26% [12],[26]
Interest Rate, PIK 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 3.00% [12],[26] 3.00% [12],[26] 3.00% [12],[26] 3.00% [12],[26] 3.00% [12],[26]
Par Amount/Units $ 1,009 [8],[25]         $ 1,003 [12],[26]        
Total Investment Portfolio, Amortized Cost 1,001 [8],[25]         994 [12],[26]        
Total Investment Portfolio, Fair Value $ 1,004 [8],[25]         $ 989 [12],[26]        
Investment, Identifier [Axis]: Associations Inc. 3                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26]
Interest Rate 11.59% [8],[13],[25] 11.59% [8],[13],[25] 11.59% [8],[13],[25] 11.59% [8],[13],[25] 11.59% [8],[13],[25] 11.29% [12],[26] 11.29% [12],[26] 11.29% [12],[26] 11.29% [12],[26] 11.29% [12],[26]
Interest Rate, PIK 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 3.00% [12],[26] 3.00% [12],[26] 3.00% [12],[26] 3.00% [12],[26] 3.00% [12],[26]
Par Amount/Units $ 1,009 [8],[25]         $ 1,003 [12],[26]        
Total Investment Portfolio, Amortized Cost 1,001 [8],[25]         994 [12],[26]        
Total Investment Portfolio, Fair Value $ 1,004 [8],[25]         $ 989 [12],[26]        
Investment, Identifier [Axis]: Associations Inc. 4                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26]
Interest Rate 11.48% [8],[13],[25] 11.48% [8],[13],[25] 11.48% [8],[13],[25] 11.48% [8],[13],[25] 11.48% [8],[13],[25] 10.97% [12],[26] 10.97% [12],[26] 10.97% [12],[26] 10.97% [12],[26] 10.97% [12],[26]
Interest Rate, PIK 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [12],[26] 2.50% [12],[26] 2.50% [12],[26] 2.50% [12],[26] 2.50% [12],[26]
Par Amount/Units $ 610 [8],[25]         $ 606 [12],[26]        
Total Investment Portfolio, Amortized Cost 604 [8],[25]         600 [12],[26]        
Total Investment Portfolio, Fair Value 606 [8],[25]         597 [12],[26]        
Investment, Identifier [Axis]: Associations Inc. 5                    
Par Amount/Units 403 [5],[8],[25]         403 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (3) [5],[8],[25]         (4) [9],[12],[26]        
Total Investment Portfolio, Fair Value $ (2) [5],[8],[25]         $ (6) [9],[12],[26]        
Investment, Identifier [Axis]: Associations Inc. 6                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26] 6.50% [12],[26]
Interest Rate 11.36% [8],[13],[25] 11.36% [8],[13],[25] 11.36% [8],[13],[25] 11.36% [8],[13],[25] 11.36% [8],[13],[25] 10.36% [12],[26] 10.36% [12],[26] 10.36% [12],[26] 10.36% [12],[26] 10.36% [12],[26]
Interest Rate, PIK 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [8],[13],[25] 2.50% [12],[26] 2.50% [12],[26] 2.50% [12],[26] 2.50% [12],[26] 2.50% [12],[26]
Par Amount/Units $ 4,164 [8],[25]         $ 4,137 [12],[26]        
Total Investment Portfolio, Amortized Cost 4,129 [8],[25]         4,100 [12],[26]        
Total Investment Portfolio, Fair Value $ 4,141 [8],[25]         $ 4,079 [12],[26]        
Investment, Identifier [Axis]: Asurion Corporation                    
Spread [13],[23] 525.00% 525.00% 525.00% 525.00% 525.00%          
Interest Rate [13],[23] 10.09% 10.09% 10.09% 10.09% 10.09%          
Par Amount/Units [23] $ 5,165                  
Total Investment Portfolio, Amortized Cost [23] 5,144                  
Total Investment Portfolio, Fair Value [23] $ 4,322                  
Investment, Identifier [Axis]: Asurion Corporation 1                    
Spread [22],[24]           400.00% 400.00% 400.00% 400.00% 400.00%
Interest Rate [22],[24]           8.68% 8.68% 8.68% 8.68% 8.68%
Par Amount/Units [24]           $ 9,975        
Total Investment Portfolio, Amortized Cost [24]           9,497        
Total Investment Portfolio, Fair Value [24]           $ 8,925        
Investment, Identifier [Axis]: Asurion Corporation 2                    
Spread [22],[24]           300.00% 300.00% 300.00% 300.00% 300.00%
Interest Rate [22],[24]           7.38% 7.38% 7.38% 7.38% 7.38%
Par Amount/Units [24]           $ 1,979        
Total Investment Portfolio, Amortized Cost [24]           1,960        
Total Investment Portfolio, Fair Value [24]           $ 1,927        
Investment, Identifier [Axis]: Asurion Corporation 3                    
Spread [22],[24]           525.00% 525.00% 525.00% 525.00% 525.00%
Interest Rate [22],[24]           9.63% 9.63% 9.63% 9.63% 9.63%
Par Amount/Units [24]           $ 5,165        
Total Investment Portfolio, Amortized Cost [24]           5,104        
Total Investment Portfolio, Fair Value [24]           $ 4,059        
Investment, Identifier [Axis]: Auctane Inc                    
Spread 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 575.00% [10],[12],[22] 575.00% [10],[12],[22] 575.00% [10],[12],[22] 575.00% [10],[12],[22] 575.00% [10],[12],[22]
Interest Rate 10.59% [6],[8],[13] 10.59% [6],[8],[13] 10.59% [6],[8],[13] 10.59% [6],[8],[13] 10.59% [6],[8],[13] 10.13% [10],[12],[22] 10.13% [10],[12],[22] 10.13% [10],[12],[22] 10.13% [10],[12],[22] 10.13% [10],[12],[22]
Par Amount/Units $ 24,750 [6],[8]         $ 24,813 [10],[12]        
Total Investment Portfolio, Amortized Cost 24,750 [6],[8]         24,813 [10],[12]        
Total Investment Portfolio, Fair Value 24,333 [6],[8]         24,124 [10],[12]        
Investment, Identifier [Axis]: Avalara, Inc. 1                    
Par Amount/Units 6,324 [5],[6],[8]         6,324 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (146) [5],[6],[8]         (153) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (134) [5],[6],[8]         $ (153) [9],[10],[12]        
Investment, Identifier [Axis]: Avalara, Inc. 2                    
Spread 7.25% [6],[8],[13] 7.25% [6],[8],[13] 7.25% [6],[8],[13] 7.25% [6],[8],[13] 7.25% [6],[8],[13] 725.00% [10],[12] 725.00% [10],[12] 725.00% [10],[12] 725.00% [10],[12] 725.00% [10],[12]
Interest Rate 12.15% [6],[8],[13] 12.15% [6],[8],[13] 12.15% [6],[8],[13] 12.15% [6],[8],[13] 12.15% [6],[8],[13] 11.83% [10],[12] 11.83% [10],[12] 11.83% [10],[12] 11.83% [10],[12] 11.83% [10],[12]
Par Amount/Units $ 56,918 [6],[8]         $ 56,918 [10],[12]        
Total Investment Portfolio, Amortized Cost 55,586 [6],[8]         55,526 [10],[12]        
Total Investment Portfolio, Fair Value $ 55,716 [6],[8]         $ 55,542 [10],[12]        
Investment, Identifier [Axis]: Aventine Intermediate LLC                    
Spread [10],[12]           6.00% 6.00% 6.00% 6.00% 6.00%
Interest Rate [10],[12]           10.38% 10.38% 10.38% 10.38% 10.38%
Interest Rate, PIK [10],[12]           4.00% 4.00% 4.00% 4.00% 4.00%
Par Amount/Units [10],[12]           $ 18,124        
Total Investment Portfolio, Amortized Cost [10],[12]           17,823        
Total Investment Portfolio, Fair Value [10],[12]           $ 17,295        
Investment, Identifier [Axis]: Aventine Intermediate LLC 1                    
Spread 6.00% [5],[6],[8],[13] 6.00% [5],[6],[8],[13] 6.00% [5],[6],[8],[13] 6.00% [5],[6],[8],[13] 6.00% [5],[6],[8],[13] 6.00% [9],[10],[12] 6.00% [9],[10],[12] 6.00% [9],[10],[12] 6.00% [9],[10],[12] 6.00% [9],[10],[12]
Interest Rate 10.84% [5],[6],[8],[13] 10.84% [5],[6],[8],[13] 10.84% [5],[6],[8],[13] 10.84% [5],[6],[8],[13] 10.84% [5],[6],[8],[13] 10.38% [9],[10],[12] 10.38% [9],[10],[12] 10.38% [9],[10],[12] 10.38% [9],[10],[12] 10.38% [9],[10],[12]
Interest Rate, PIK 4.00% [5],[6],[8],[13] 4.00% [5],[6],[8],[13] 4.00% [5],[6],[8],[13] 4.00% [5],[6],[8],[13] 4.00% [5],[6],[8],[13] 4.00% [9],[10],[12] 4.00% [9],[10],[12] 4.00% [9],[10],[12] 4.00% [9],[10],[12] 4.00% [9],[10],[12]
Par Amount/Units $ 1,042 [5],[6],[8]         $ 1,032 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 947 [5],[6],[8]         936 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 925 [5],[6],[8]         904 [9],[10],[12]        
Investment, Identifier [Axis]: Aventine Intermediate LLC 2                    
Spread [6],[8],[13] 6.00% 6.00% 6.00% 6.00% 6.00%          
Interest Rate [6],[8],[13] 10.84% 10.84% 10.84% 10.84% 10.84%          
Interest Rate, PIK [6],[8],[13] 4.00% 4.00% 4.00% 4.00% 4.00%          
Par Amount/Units [6],[8] $ 18,308                  
Total Investment Portfolio, Amortized Cost [6],[8] 18,027                  
Total Investment Portfolio, Fair Value [6],[8] 17,656                  
Investment, Identifier [Axis]: AxiomSL Group, Inc. 1                    
Par Amount/Units 744 [5],[8],[25]         744 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (7) [5],[8],[25]         0 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 0 [5],[8],[25]         $ 0 [9],[12],[26]        
Investment, Identifier [Axis]: AxiomSL Group, Inc. 2                    
Spread 5.75% [8],[13],[25] 5.75% [8],[13],[25] 5.75% [8],[13],[25] 5.75% [8],[13],[25] 5.75% [8],[13],[25] 575.00% [12],[26] 575.00% [12],[26] 575.00% [12],[26] 575.00% [12],[26] 575.00% [12],[26]
Interest Rate 10.59% [8],[13],[25] 10.59% [8],[13],[25] 10.59% [8],[13],[25] 10.59% [8],[13],[25] 10.59% [8],[13],[25] 10.13% [12],[26] 10.13% [12],[26] 10.13% [12],[26] 10.13% [12],[26] 10.13% [12],[26]
Par Amount/Units $ 11,329 [8],[25]         $ 11,358 [12],[26]        
Total Investment Portfolio, Amortized Cost 11,329 [8],[25]         11,358 [12],[26]        
Total Investment Portfolio, Fair Value 11,329 [8],[25]         11,358 [12],[26]        
Investment, Identifier [Axis]: AxiomSL Group, Inc. 3                    
Par Amount/Units 812 [5],[8],[25]         812 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 0 [5],[8],[25]         0 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 0 [5],[8],[25]         $ 0 [9],[12],[26]        
Investment, Identifier [Axis]: BLY US Holdings Inc.                    
Spread 7.50% [7],[8],[13],[25] 7.50% [7],[8],[13],[25] 7.50% [7],[8],[13],[25] 7.50% [7],[8],[13],[25] 7.50% [7],[8],[13],[25] 750.00% [11],[12],[26] 750.00% [11],[12],[26] 750.00% [11],[12],[26] 750.00% [11],[12],[26] 750.00% [11],[12],[26]
Interest Rate 12.59% [7],[8],[13],[25] 12.59% [7],[8],[13],[25] 12.59% [7],[8],[13],[25] 12.59% [7],[8],[13],[25] 12.59% [7],[8],[13],[25] 12.29% [11],[12],[26] 12.29% [11],[12],[26] 12.29% [11],[12],[26] 12.29% [11],[12],[26] 12.29% [11],[12],[26]
Par Amount/Units $ 3,060 [7],[8],[25]         $ 3,070 [11],[12],[26]        
Total Investment Portfolio, Amortized Cost 2,993 [7],[8],[25]         2,998 [11],[12],[26]        
Total Investment Portfolio, Fair Value $ 2,941 [7],[8],[25]         $ 2,922 [11],[12],[26]        
Investment, Identifier [Axis]: BP Purchaser, LLC                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12]
Interest Rate 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.24% [10],[12] 10.24% [10],[12] 10.24% [10],[12] 10.24% [10],[12] 10.24% [10],[12]
Par Amount/Units $ 27,723 [6],[8]         $ 27,793 [10],[12]        
Total Investment Portfolio, Amortized Cost 27,262 [6],[8]         27,309 [10],[12]        
Total Investment Portfolio, Fair Value $ 26,569 [6],[8]         $ 26,310 [10],[12]        
Investment, Identifier [Axis]: Baart Programs, Inc.                    
Spread 5.00% [8],[13],[25] 5.00% [8],[13],[25] 5.00% [8],[13],[25] 5.00% [8],[13],[25] 5.00% [8],[13],[25] 500.00% [9],[12],[26] 500.00% [9],[12],[26] 500.00% [9],[12],[26] 500.00% [9],[12],[26] 500.00% [9],[12],[26]
Interest Rate 10.16% [8],[13],[25] 10.16% [8],[13],[25] 10.16% [8],[13],[25] 10.16% [8],[13],[25] 10.16% [8],[13],[25] 9.73% [9],[12],[26] 9.73% [9],[12],[26] 9.73% [9],[12],[26] 9.73% [9],[12],[26] 9.73% [9],[12],[26]
Par Amount/Units $ 10,206 [8],[25]         $ 17,419 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 10,125 [8],[25]         10,082 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 9,728 [8],[25]         $ 9,515 [9],[12],[26]        
Investment, Identifier [Axis]: Barracuda Networks Inc                    
Spread 4.50% [13],[16] 4.50% [13],[16] 4.50% [13],[16] 4.50% [13],[16] 4.50% [13],[16] 450.00% [14] 450.00% [14] 450.00% [14] 450.00% [14] 450.00% [14]
Interest Rate 9.18% [13],[16] 9.18% [13],[16] 9.18% [13],[16] 9.18% [13],[16] 9.18% [13],[16] 8.59% [14] 8.59% [14] 8.59% [14] 8.59% [14] 8.59% [14]
Par Amount/Units $ 21,446 [16]         $ 21,500 [14]        
Total Investment Portfolio, Amortized Cost 20,854 [16]         20,884 [14]        
Total Investment Portfolio, Fair Value $ 20,702 [16]         $ 20,771 [14]        
Investment, Identifier [Axis]: Becklar, LLC 1                    
Spread 6.85% [8],[13],[25] 6.85% [8],[13],[25] 6.85% [8],[13],[25] 6.85% [8],[13],[25] 6.85% [8],[13],[25] 685.00% [12],[26] 685.00% [12],[26] 685.00% [12],[26] 685.00% [12],[26] 685.00% [12],[26]
Interest Rate 11.65% [8],[13],[25] 11.65% [8],[13],[25] 11.65% [8],[13],[25] 11.65% [8],[13],[25] 11.65% [8],[13],[25] 11.17% [12],[26] 11.17% [12],[26] 11.17% [12],[26] 11.17% [12],[26] 11.17% [12],[26]
Par Amount/Units $ 994 [8],[25]         $ 996 [12],[26]        
Total Investment Portfolio, Amortized Cost 977 [8],[25]         978 [12],[26]        
Total Investment Portfolio, Fair Value $ 959 [8],[25]         $ 952 [12],[26]        
Investment, Identifier [Axis]: Becklar, LLC 2                    
Spread 6.85% [8],[13],[25] 6.85% [8],[13],[25] 6.85% [8],[13],[25] 6.85% [8],[13],[25] 6.85% [8],[13],[25] 685.00% [12],[26] 685.00% [12],[26] 685.00% [12],[26] 685.00% [12],[26] 685.00% [12],[26]
Interest Rate 11.71% [8],[13],[25] 11.71% [8],[13],[25] 11.71% [8],[13],[25] 11.71% [8],[13],[25] 11.71% [8],[13],[25] 11.27% [12],[26] 11.27% [12],[26] 11.27% [12],[26] 11.27% [12],[26] 11.27% [12],[26]
Par Amount/Units $ 5,769 [8],[25]         $ 5,798 [12],[26]        
Total Investment Portfolio, Amortized Cost 5,668 [8],[25]         5,689 [12],[26]        
Total Investment Portfolio, Fair Value 5,568 [8],[25]         5,542 [12],[26]        
Investment, Identifier [Axis]: Bottomline Technologies, Inc. 1                    
Par Amount/Units 385 [5],[6],[8]         385 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (3) [5],[6],[8]         (3) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (9) [5],[6],[8]         $ (13) [9],[10],[12]        
Investment, Identifier [Axis]: Bottomline Technologies, Inc. 2                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12]
Interest Rate 10.26% [6],[8],[13] 10.26% [6],[8],[13] 10.26% [6],[8],[13] 10.26% [6],[8],[13] 10.26% [6],[8],[13] 9.82% [10],[12] 9.82% [10],[12] 9.82% [10],[12] 9.82% [10],[12] 9.82% [10],[12]
Par Amount/Units $ 4,592 [6],[8]         $ 4,604 [10],[12]        
Total Investment Portfolio, Amortized Cost 4,552 [6],[8]         4,560 [10],[12]        
Total Investment Portfolio, Fair Value $ 4,469 [6],[8]         $ 4,425 [10],[12]        
Investment, Identifier [Axis]: Brightstar Escrow Corp.                    
Interest Rate 9.75% [13],[23] 9.75% [13],[23] 9.75% [13],[23] 9.75% [13],[23] 9.75% [13],[23] 9.75% [24] 9.75% [24] 9.75% [24] 9.75% [24] 9.75% [24]
Par Amount/Units $ 1,000 [23]         $ 1,000 [24]        
Total Investment Portfolio, Amortized Cost 985 [23]         983 [24]        
Total Investment Portfolio, Fair Value $ 910 [23]         $ 922 [24]        
Investment, Identifier [Axis]: Brookfield WEC Holdings Inc.                    
Spread 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14]
Interest Rate 8.56% [13],[16] 8.56% [13],[16] 8.56% [13],[16] 8.56% [13],[16] 8.56% [13],[16] 8.07% [14] 8.07% [14] 8.07% [14] 8.07% [14] 8.07% [14]
Par Amount/Units $ 3,985 [16]         $ 1,995 [14]        
Total Investment Portfolio, Amortized Cost 3,940 [16]         1,954 [14]        
Total Investment Portfolio, Fair Value 3,984 [16]         1,991 [14]        
Investment, Identifier [Axis]: CC WDW Borrower, Inc. 1                    
Par Amount/Units 22,837 [5],[8],[25]         22,837 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (589) [5],[8],[25]         (618) [9],[12],[26]        
Total Investment Portfolio, Fair Value (1,162) [5],[8],[25]         (1,006) [9],[12],[26]        
Investment, Identifier [Axis]: CC WDW Borrower, Inc. 2                    
Par Amount/Units 5,122 [5],[8],[25]         5,122 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (123) [5],[8],[25]         (130) [9],[12],[26]        
Total Investment Portfolio, Fair Value $ (261) [5],[8],[25]         $ (226) [9],[12],[26]        
Investment, Identifier [Axis]: CC WDW Borrower, Inc. 3                    
Spread 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 675.00% [12],[26] 675.00% [12],[26] 675.00% [12],[26] 675.00% [12],[26] 675.00% [12],[26]
Interest Rate 11.58% [8],[13],[25] 11.58% [8],[13],[25] 11.58% [8],[13],[25] 11.58% [8],[13],[25] 11.58% [8],[13],[25] 10.95% [12],[26] 10.95% [12],[26] 10.95% [12],[26] 10.95% [12],[26] 10.95% [12],[26]
Par Amount/Units $ 45,445 [8],[25]         $ 45,559 [12],[26]        
Total Investment Portfolio, Amortized Cost 44,312 [8],[25]         44,367 [12],[26]        
Total Investment Portfolio, Fair Value $ 43,132 [8],[25]         $ 43,553 [12],[26]        
Investment, Identifier [Axis]: CCC Intelligent Solutions Inc.                    
Spread 2.25% [13],[16] 2.25% [13],[16] 2.25% [13],[16] 2.25% [13],[16] 2.25% [13],[16] 225.00% [14] 225.00% [14] 225.00% [14] 225.00% [14] 225.00% [14]
Interest Rate 7.09% [13],[16] 7.09% [13],[16] 7.09% [13],[16] 7.09% [13],[16] 7.09% [13],[16] 6.63% [14] 6.63% [14] 6.63% [14] 6.63% [14] 6.63% [14]
Par Amount/Units $ 10,045 [16]         $ 10,070 [14]        
Total Investment Portfolio, Amortized Cost 9,999 [16]         10,020 [14]        
Total Investment Portfolio, Fair Value $ 9,984 [16]         $ 10,010 [14]        
Investment, Identifier [Axis]: CCO Holdings LLC / CCO Holdings Capital Corp                    
Interest Rate 5.50% [13],[23] 5.50% [13],[23] 5.50% [13],[23] 5.50% [13],[23] 5.50% [13],[23] 5.50% [22],[24] 5.50% [22],[24] 5.50% [22],[24] 5.50% [22],[24] 5.50% [22],[24]
Par Amount/Units $ 7,000 [23]         $ 7,000 [24]        
Total Investment Portfolio, Amortized Cost 7,095 [23]         7,102 [24]        
Total Investment Portfolio, Fair Value 6,816 [23]         $ 6,787 [24]        
Investment, Identifier [Axis]: CD&R Madison UK Bidco LTD 1                    
Par Amount/Units | £ [5],[7],[8],[23]         £ 9,965          
Total Investment Portfolio, Amortized Cost [5],[7],[8],[23] (390)                  
Total Investment Portfolio, Fair Value [5],[7],[8],[23] $ (401)                  
Investment, Identifier [Axis]: CD&R Madison UK Bidco LTD 2                    
Spread [7],[8],[13],[23] 8.50% 8.50% 8.50% 8.50% 8.50%          
Interest Rate [7],[8],[13],[23] 12.74% 12.74% 12.74% 12.74% 12.74%          
Par Amount/Units | £ [7],[8],[23]         £ 44,717          
Total Investment Portfolio, Amortized Cost [7],[8],[23] $ 52,015                  
Total Investment Portfolio, Fair Value [7],[8],[23] $ 53,332                  
Investment, Identifier [Axis]: CD&R Madison UK Bidco LTD 3                    
Spread [7],[8],[13],[23] 8.00% 8.00% 8.00% 8.00% 8.00%          
Interest Rate [7],[8],[13],[23] 10.70% 10.70% 10.70% 10.70% 10.70%          
Par Amount/Units | € [7],[8],[23]       € 22,039            
Total Investment Portfolio, Amortized Cost [7],[8],[23] $ 22,453                  
Total Investment Portfolio, Fair Value [7],[8],[23] $ 23,021                  
Investment, Identifier [Axis]: CENT CLO 16, L.P.                    
Spread 8.07% [7],[13],[23] 8.07% [7],[13],[23] 8.07% [7],[13],[23] 8.07% [7],[13],[23] 8.07% [7],[13],[23] 807.00% [11],[22],[24] 807.00% [11],[22],[24] 807.00% [11],[22],[24] 807.00% [11],[22],[24] 807.00% [11],[22],[24]
Interest Rate 12.73% [7],[13],[23] 12.73% [7],[13],[23] 12.73% [7],[13],[23] 12.73% [7],[13],[23] 12.73% [7],[13],[23] 10.57% [11],[22],[24] 10.57% [11],[22],[24] 10.57% [11],[22],[24] 10.57% [11],[22],[24] 10.57% [11],[22],[24]
Par Amount/Units $ 3,000 [7],[23]         $ 3,000 [11],[24]        
Total Investment Portfolio, Amortized Cost 2,812 [7],[23]         2,810 [11],[24]        
Total Investment Portfolio, Fair Value $ 2,740 [7],[23]         $ 2,735 [11],[24]        
Investment, Identifier [Axis]: CPI Buyer, LLC 1                    
Spread 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12]
Interest Rate 10.65% [5],[6],[8],[13] 10.65% [5],[6],[8],[13] 10.65% [5],[6],[8],[13] 10.65% [5],[6],[8],[13] 10.65% [5],[6],[8],[13] 10.23% [9],[10],[12] 10.23% [9],[10],[12] 10.23% [9],[10],[12] 10.23% [9],[10],[12] 10.23% [9],[10],[12]
Par Amount/Units $ 2,803 [5],[6],[8]         $ 4,341 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 1,325 [5],[6],[8]         802 [9],[10],[12]        
Total Investment Portfolio, Fair Value 1,307 [5],[6],[8]         729 [9],[10],[12]        
Investment, Identifier [Axis]: CPI Buyer, LLC 2                    
Par Amount/Units 2,115 [5],[6],[8]         2,115 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (32) [5],[6],[8]         (35) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (26) [5],[6],[8]         $ (43) [9],[10],[12]        
Investment, Identifier [Axis]: CPI Buyer, LLC 3                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12]
Interest Rate 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.23% [10],[12] 10.23% [10],[12] 10.23% [10],[12] 10.23% [10],[12] 10.23% [10],[12]
Par Amount/Units $ 25,147 [6],[8]         $ 25,211 [10],[12]        
Total Investment Portfolio, Amortized Cost 24,815 [6],[8]         24,860 [10],[12]        
Total Investment Portfolio, Fair Value $ 24,719 [6],[8]         $ 24,509 [10],[12]        
Investment, Identifier [Axis]: Calabrio, Inc. 1                    
Spread 7.00% [5],[8],[13],[25] 7.00% [5],[8],[13],[25] 7.00% [5],[8],[13],[25] 7.00% [5],[8],[13],[25] 7.00% [5],[8],[13],[25] 700.00% [9],[12],[26] 700.00% [9],[12],[26] 700.00% [9],[12],[26] 700.00% [9],[12],[26] 700.00% [9],[12],[26]
Interest Rate 11.95% [5],[8],[13],[25] 11.95% [5],[8],[13],[25] 11.95% [5],[8],[13],[25] 11.95% [5],[8],[13],[25] 11.95% [5],[8],[13],[25] 11.75% [9],[12],[26] 11.75% [9],[12],[26] 11.75% [9],[12],[26] 11.75% [9],[12],[26] 11.75% [9],[12],[26]
Par Amount/Units $ 2,687 [5],[8],[25]         $ 2,687 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 1,536 [5],[8],[25]         1,536 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 1,501 [5],[8],[25]         $ 1,478 [9],[12],[26]        
Investment, Identifier [Axis]: Calabrio, Inc. 2                    
Spread 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 700.00% [12],[26] 700.00% [12],[26] 700.00% [12],[26] 700.00% [12],[26] 700.00% [12],[26]
Interest Rate 12.16% [8],[13],[25] 12.16% [8],[13],[25] 12.16% [8],[13],[25] 12.16% [8],[13],[25] 12.16% [8],[13],[25] 11.73% [12],[26] 11.73% [12],[26] 11.73% [12],[26] 11.73% [12],[26] 11.73% [12],[26]
Par Amount/Units $ 22,313 [8],[25]         $ 22,313 [12],[26]        
Total Investment Portfolio, Amortized Cost 22,313 [8],[25]         22,313 [12],[26]        
Total Investment Portfolio, Fair Value $ 22,025 [8],[25]         $ 21,835 [12],[26]        
Investment, Identifier [Axis]: Canoe Bidco Pty Limited 1                    
Spread 6.50% [7],[8],[13],[16] 6.50% [7],[8],[13],[16] 6.50% [7],[8],[13],[16] 6.50% [7],[8],[13],[16] 6.50% [7],[8],[13],[16] 600.00% [11],[12],[14],[22] 600.00% [11],[12],[14],[22] 600.00% [11],[12],[14],[22] 600.00% [11],[12],[14],[22] 600.00% [11],[12],[14],[22]
Interest Rate 10.36% [7],[8],[13],[16] 10.36% [7],[8],[13],[16] 10.36% [7],[8],[13],[16] 10.36% [7],[8],[13],[16] 10.36% [7],[8],[13],[16] 9.39% [11],[12],[14],[22] 9.39% [11],[12],[14],[22] 9.39% [11],[12],[14],[22] 9.39% [11],[12],[14],[22] 9.39% [11],[12],[14],[22]
Par Amount/Units   $ 31,969 [7],[8],[16]         $ 31,969 [11],[12],[14]      
Total Investment Portfolio, Amortized Cost $ 21,144 [7],[8],[16]         $ 21,117 [11],[12],[14]        
Total Investment Portfolio, Fair Value $ 21,592 [7],[8],[16]         $ 21,602 [11],[12],[14]        
Investment, Identifier [Axis]: Canoe Bidco Pty Limited 2                    
Spread 6.50% [7],[8],[13],[16] 6.50% [7],[8],[13],[16] 6.50% [7],[8],[13],[16] 6.50% [7],[8],[13],[16] 6.50% [7],[8],[13],[16] 650.00% [11],[12],[14],[22] 650.00% [11],[12],[14],[22] 650.00% [11],[12],[14],[22] 650.00% [11],[12],[14],[22] 650.00% [11],[12],[14],[22]
Interest Rate 10.10% [7],[8],[13],[16] 10.10% [7],[8],[13],[16] 10.10% [7],[8],[13],[16] 10.10% [7],[8],[13],[16] 10.10% [7],[8],[13],[16] 10.10% [11],[12],[14],[22] 10.10% [11],[12],[14],[22] 10.10% [11],[12],[14],[22] 10.10% [11],[12],[14],[22] 10.10% [11],[12],[14],[22]
Par Amount/Units   $ 137,468 [7],[8],[16]         $ 137,468 [11],[12],[14]      
Total Investment Portfolio, Amortized Cost $ 95,117 [7],[8],[16]         $ 95,005 [11],[12],[14]        
Total Investment Portfolio, Fair Value 92,844 [7],[8],[16]         92,889 [11],[12],[14]        
Investment, Identifier [Axis]: Captive Resources Midco LLC 1                    
Par Amount/Units 7,558 [5],[6],[8]         7,558 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (132) [5],[6],[8]         (138) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (64) [5],[6],[8]         $ (142) [9],[10],[12]        
Investment, Identifier [Axis]: Captive Resources Midco LLC 2                    
Spread 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [10],[12] 5.75% [10],[12] 5.75% [10],[12] 5.75% [10],[12] 5.75% [10],[12]
Interest Rate 10.56% [6],[8],[13] 10.56% [6],[8],[13] 10.56% [6],[8],[13] 10.56% [6],[8],[13] 10.56% [6],[8],[13] 10.07% [10],[12] 10.07% [10],[12] 10.07% [10],[12] 10.07% [10],[12] 10.07% [10],[12]
Interest Rate, PIK 3.13% [6],[8],[13] 3.13% [6],[8],[13] 3.13% [6],[8],[13] 3.13% [6],[8],[13] 3.13% [6],[8],[13] 2.88% [10],[12] 2.88% [10],[12] 2.88% [10],[12] 2.88% [10],[12] 2.88% [10],[12]
Par Amount/Units $ 89,954 [6],[8]         $ 88,980 [10],[12]        
Total Investment Portfolio, Amortized Cost 88,321 [6],[8]         87,273 [10],[12]        
Total Investment Portfolio, Fair Value $ 89,266 [6],[8]         $ 87,284 [10],[12]        
Investment, Identifier [Axis]: Carlyle Global Market Strategies 1                    
Spread 5.40% [7],[13],[23] 5.40% [7],[13],[23] 5.40% [7],[13],[23] 5.40% [7],[13],[23] 5.40% [7],[13],[23] 540.00% [11],[22],[24] 540.00% [11],[22],[24] 540.00% [11],[22],[24] 540.00% [11],[22],[24] 540.00% [11],[22],[24]
Interest Rate 10.21% [7],[13],[23] 10.21% [7],[13],[23] 10.21% [7],[13],[23] 10.21% [7],[13],[23] 10.21% [7],[13],[23] 9.64% [11],[22],[24] 9.64% [11],[22],[24] 9.64% [11],[22],[24] 9.64% [11],[22],[24] 9.64% [11],[22],[24]
Par Amount/Units $ 1,750 [7],[23]         $ 1,750 [11],[24]        
Total Investment Portfolio, Amortized Cost 1,491 [7],[23]         1,480 [11],[24]        
Total Investment Portfolio, Fair Value $ 1,505 [7],[23]         $ 1,475 [11],[24]        
Investment, Identifier [Axis]: Carlyle Global Market Strategies 2                    
Spread 5.40% [7],[13],[23] 5.40% [7],[13],[23] 5.40% [7],[13],[23] 5.40% [7],[13],[23] 5.40% [7],[13],[23] 540.00% [11],[22],[24] 540.00% [11],[22],[24] 540.00% [11],[22],[24] 540.00% [11],[22],[24] 540.00% [11],[22],[24]
Interest Rate 10.21% [7],[13],[23] 10.21% [7],[13],[23] 10.21% [7],[13],[23] 10.21% [7],[13],[23] 10.21% [7],[13],[23] 9.76% [11],[22],[24] 9.76% [11],[22],[24] 9.76% [11],[22],[24] 9.76% [11],[22],[24] 9.76% [11],[22],[24]
Par Amount/Units $ 1,200 [7],[23]         $ 1,200 [11],[24]        
Total Investment Portfolio, Amortized Cost 918 [7],[23]         912 [11],[24]        
Total Investment Portfolio, Fair Value $ 954 [7],[23]         $ 976 [11],[24]        
Investment, Identifier [Axis]: Catskill Park CLO Ltd                    
Spread 6.00% [7],[13],[23] 6.00% [7],[13],[23] 6.00% [7],[13],[23] 6.00% [7],[13],[23] 6.00% [7],[13],[23] 600.00% [11],[22],[24] 600.00% [11],[22],[24] 600.00% [11],[22],[24] 600.00% [11],[22],[24] 600.00% [11],[22],[24]
Interest Rate 10.81% [7],[13],[23] 10.81% [7],[13],[23] 10.81% [7],[13],[23] 10.81% [7],[13],[23] 10.81% [7],[13],[23] 10.24% [11],[22],[24] 10.24% [11],[22],[24] 10.24% [11],[22],[24] 10.24% [11],[22],[24] 10.24% [11],[22],[24]
Par Amount/Units $ 1,350 [7],[23]         $ 1,350 [11],[24]        
Total Investment Portfolio, Amortized Cost 1,214 [7],[23]         1,210 [11],[24]        
Total Investment Portfolio, Fair Value $ 1,151 [7],[23]         $ 1,150 [11],[24]        
Investment, Identifier [Axis]: Charlotte Buyer Inc                    
Spread [14]           525.00% 525.00% 525.00% 525.00% 525.00%
Interest Rate [14]           9.53% 9.53% 9.53% 9.53% 9.53%
Par Amount/Units [14]           $ 29,135        
Total Investment Portfolio, Amortized Cost [14]           27,198        
Total Investment Portfolio, Fair Value [14]           $ 27,691        
Investment, Identifier [Axis]: Charlotte Buyer Inc 1                    
Spread [13],[16] 5.25% 5.25% 5.25% 5.25% 5.25%          
Interest Rate [13],[16] 10.10% 10.10% 10.10% 10.10% 10.10%          
Par Amount/Units [16] $ 29,062                  
Total Investment Portfolio, Amortized Cost [16] 27,212                  
Total Investment Portfolio, Fair Value [16] $ 27,846                  
Investment, Identifier [Axis]: Charlotte Buyer Inc 2                    
Spread 825.00% [8],[13],[16] 825.00% [8],[13],[16] 825.00% [8],[13],[16] 825.00% [8],[13],[16] 825.00% [8],[13],[16] 825.00% [14],[22] 825.00% [14],[22] 825.00% [14],[22] 825.00% [14],[22] 825.00% [14],[22]
Interest Rate 13.08% [8],[13],[16] 13.08% [8],[13],[16] 13.08% [8],[13],[16] 13.08% [8],[13],[16] 13.08% [8],[13],[16] 12.53% [14],[22] 12.53% [14],[22] 12.53% [14],[22] 12.53% [14],[22] 12.53% [14],[22]
Par Amount/Units $ 10,000 [8],[16]         $ 10,000 [14]        
Total Investment Portfolio, Amortized Cost 9,351 [8],[16]         9,327 [14]        
Total Investment Portfolio, Fair Value $ 9,362 [8],[16]         $ 9,463 [14]        
Investment, Identifier [Axis]: Circana Group, LP. 1                    
Spread [5],[6],[8],[13] 5.75% 5.75% 5.75% 5.75% 5.75%          
Interest Rate [5],[6],[8],[13] 10.45% 10.45% 10.45% 10.45% 10.45%          
Par Amount/Units [5],[6],[8] $ 9,023                  
Total Investment Portfolio, Amortized Cost [5],[6],[8] 1,096                  
Total Investment Portfolio, Fair Value [5],[6],[8] $ 1,050                  
Investment, Identifier [Axis]: Circana Group, LP. 2                    
Spread [6],[8],[13] 6.25% 6.25% 6.25% 6.25% 6.25%          
Interest Rate [6],[8],[13] 10.95% 10.95% 10.95% 10.95% 10.95%          
Interest Rate, PIK [6],[8],[13] 2.75% 2.75% 2.75% 2.75% 2.75%          
Par Amount/Units [6],[8] $ 140,843                  
Total Investment Portfolio, Amortized Cost [6],[8] 138,297                  
Total Investment Portfolio, Fair Value [6],[8] $ 137,339                  
Investment, Identifier [Axis]: Circana Group, LP. 3                    
Spread [6],[8],[13] 5.75% 5.75% 5.75% 5.75% 5.75%          
Interest Rate [6],[8],[13] 10.66% 10.66% 10.66% 10.66% 10.66%          
Par Amount/Units [6],[8] $ 9,268                  
Total Investment Portfolio, Amortized Cost [6],[8] 9,186                  
Total Investment Portfolio, Fair Value [6],[8] $ 9,030                  
Investment, Identifier [Axis]: Cloud Software Group Holdings Inc                    
Interest Rate [24]           6.50% 6.50% 6.50% 6.50% 6.50%
Par Amount/Units [24]           $ 9,610        
Total Investment Portfolio, Amortized Cost [24]           8,076        
Total Investment Portfolio, Fair Value [24]           $ 8,117        
Investment, Identifier [Axis]: Cloud Software Group Inc. 1                    
Spread [13],[16] 4.50% 4.50% 4.50% 4.50% 4.50%          
Interest Rate [13],[16] 9.50% 9.50% 9.50% 9.50% 9.50%          
Par Amount/Units [16] $ 13,010                  
Total Investment Portfolio, Amortized Cost [16] 11,918                  
Total Investment Portfolio, Fair Value [16] $ 11,872                  
Investment, Identifier [Axis]: Cloud Software Group Inc. 2                    
Interest Rate [13],[23] 6.50% 6.50% 6.50% 6.50% 6.50%          
Par Amount/Units [23] $ 9,610                  
Total Investment Portfolio, Amortized Cost [23] 8,120                  
Total Investment Portfolio, Fair Value [23] $ 8,486                  
Investment, Identifier [Axis]: Club Car Wash Operating, LLC 1                    
Spread 6.50% [5],[8],[13],[25] 6.50% [5],[8],[13],[25] 6.50% [5],[8],[13],[25] 6.50% [5],[8],[13],[25] 6.50% [5],[8],[13],[25] 650.00% [9],[12],[22],[26] 650.00% [9],[12],[22],[26] 650.00% [9],[12],[22],[26] 650.00% [9],[12],[22],[26] 650.00% [9],[12],[22],[26]
Interest Rate 11.55% [5],[8],[13],[25] 11.55% [5],[8],[13],[25] 11.55% [5],[8],[13],[25] 11.55% [5],[8],[13],[25] 11.55% [5],[8],[13],[25] 11.23% [9],[12],[22],[26] 11.23% [9],[12],[22],[26] 11.23% [9],[12],[22],[26] 11.23% [9],[12],[22],[26] 11.23% [9],[12],[22],[26]
Par Amount/Units $ 61,770 [5],[8],[25]         $ 61,873 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 40,026 [5],[8],[25]         40,059 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 38,950 [5],[8],[25]         $ 38,434 [9],[12],[26]        
Investment, Identifier [Axis]: Club Car Wash Operating, LLC 2                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26]
Interest Rate 11.55% [8],[13],[25] 11.55% [8],[13],[25] 11.55% [8],[13],[25] 11.55% [8],[13],[25] 11.55% [8],[13],[25] 11.23% [12],[22],[26] 11.23% [12],[22],[26] 11.23% [12],[22],[26] 11.23% [12],[22],[26] 11.23% [12],[22],[26]
Par Amount/Units $ 27,720 [8],[25]         $ 27,790 [12],[26]        
Total Investment Portfolio, Amortized Cost 27,385 [8],[25]         27,430 [12],[26]        
Total Investment Portfolio, Fair Value 26,776 [8],[25]         26,568 [12],[26]        
Investment, Identifier [Axis]: Cobham Holdings Inc. 1                    
Par Amount/Units [5],[6],[8]   $ 4,614                
Total Investment Portfolio, Amortized Cost [5],[6],[8] (132)                  
Total Investment Portfolio, Fair Value [5],[6],[8] $ (132)                  
Investment, Identifier [Axis]: Cobham Holdings Inc. 2                    
Spread [6],[8],[13] 6.75% 6.75% 6.75% 6.75% 6.75%          
Interest Rate [6],[8],[13] 11.65% 11.65% 11.65% 11.65% 11.65%          
Par Amount/Units [6],[8] $ 37,712                  
Total Investment Portfolio, Amortized Cost [6],[8] 36,617                  
Total Investment Portfolio, Fair Value [6],[8] 36,616                  
Investment, Identifier [Axis]: Coding Solutions Acquisition, Inc. 1                    
Par Amount/Units 22,875 [5],[6],[8]         22,875 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (391) [5],[6],[8]         (409) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (749) [5],[6],[8]         $ (1,001) [9],[10],[12]        
Investment, Identifier [Axis]: Coding Solutions Acquisition, Inc. 2                    
Spread 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12]
Interest Rate 10.31% [5],[6],[8],[13] 10.31% [5],[6],[8],[13] 10.31% [5],[6],[8],[13] 10.31% [5],[6],[8],[13] 10.31% [5],[6],[8],[13] 9.82% [9],[10],[12] 9.82% [9],[10],[12] 9.82% [9],[10],[12] 9.82% [9],[10],[12] 9.82% [9],[10],[12]
Par Amount/Units $ 10,875 [5],[6],[8]         $ 10,875 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 3,073 [5],[6],[8]         1,976 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 2,907 [5],[6],[8]         $ 1,699 [9],[10],[12]        
Investment, Identifier [Axis]: Coding Solutions Acquisition, Inc. 3                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12]
Interest Rate 10.31% [6],[8],[13] 10.31% [6],[8],[13] 10.31% [6],[8],[13] 10.31% [6],[8],[13] 10.31% [6],[8],[13] 9.82% [10],[12] 9.82% [10],[12] 9.82% [10],[12] 9.82% [10],[12] 9.82% [10],[12]
Par Amount/Units $ 75,869 [6],[8]         $ 76,059 [10],[12]        
Total Investment Portfolio, Amortized Cost 74,537 [6],[8]         74,649 [10],[12]        
Total Investment Portfolio, Fair Value $ 73,385 [6],[8]         $ 72,731 [10],[12]        
Investment, Identifier [Axis]: CommerceHub, Inc.                    
Spread 6.25% [6],[8],[13] 6.25% [6],[8],[13] 6.25% [6],[8],[13] 6.25% [6],[8],[13] 6.25% [6],[8],[13] 625.00% [10],[12] 625.00% [10],[12] 625.00% [10],[12] 625.00% [10],[12] 625.00% [10],[12]
Interest Rate 11.03% [6],[8],[13] 11.03% [6],[8],[13] 11.03% [6],[8],[13] 11.03% [6],[8],[13] 11.03% [6],[8],[13] 11.03% [10],[12] 11.03% [10],[12] 11.03% [10],[12] 11.03% [10],[12] 11.03% [10],[12]
Par Amount/Units $ 64,742 [6],[8]         $ 64,904 [10],[12]        
Total Investment Portfolio, Amortized Cost 60,466 [6],[8]         60,406 [10],[12]        
Total Investment Portfolio, Fair Value 60,880 [6],[8]         60,472 [10],[12]        
Investment, Identifier [Axis]: Coretrust Purchasing Group LLC 1                    
Par Amount/Units 10,736 [5],[6],[8]         10,736 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (300) [5],[6],[8]         (311) [9],[10],[12]        
Total Investment Portfolio, Fair Value (334) [5],[6],[8]         (461) [9],[10],[12]        
Investment, Identifier [Axis]: Coretrust Purchasing Group LLC 2                    
Par Amount/Units 11,656 [5],[6],[8]         11,656 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (325) [5],[6],[8]         (337) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (363) [5],[6],[8]         $ (501) [9],[10],[12]        
Investment, Identifier [Axis]: Coretrust Purchasing Group LLC 3                    
Spread 6.75% [6],[8],[13] 6.75% [6],[8],[13] 6.75% [6],[8],[13] 6.75% [6],[8],[13] 6.75% [6],[8],[13] 675.00% [10],[12] 675.00% [10],[12] 675.00% [10],[12] 675.00% [10],[12] 675.00% [10],[12]
Interest Rate 11.56% [6],[8],[13] 11.56% [6],[8],[13] 11.56% [6],[8],[13] 11.56% [6],[8],[13] 11.56% [6],[8],[13] 10.84% [10],[12] 10.84% [10],[12] 10.84% [10],[12] 10.84% [10],[12] 10.84% [10],[12]
Par Amount/Units $ 73,536 [6],[8]         $ 73,720 [10],[12]        
Total Investment Portfolio, Amortized Cost 71,474 [6],[8]         71,558 [10],[12]        
Total Investment Portfolio, Fair Value 71,248 [6],[8]         70,552 [10],[12]        
Investment, Identifier [Axis]: Coupa Holdings, LLC 1                    
Par Amount/Units [5],[6],[8] 7,123                  
Total Investment Portfolio, Amortized Cost [5],[6],[8] (176)                  
Total Investment Portfolio, Fair Value [5],[6],[8] (176)                  
Investment, Identifier [Axis]: Coupa Holdings, LLC 2                    
Par Amount/Units [5],[6],[8] 6,211                  
Total Investment Portfolio, Amortized Cost [5],[6],[8] (153)                  
Total Investment Portfolio, Fair Value [5],[6],[8] $ (153)                  
Investment, Identifier [Axis]: Coupa Holdings, LLC 3                    
Spread [6],[8],[13] 7.50% 7.50% 7.50% 7.50% 7.50%          
Interest Rate [6],[8],[13] 12.29% 12.29% 12.29% 12.29% 12.29%          
Par Amount/Units [6],[8] $ 79,777                  
Total Investment Portfolio, Amortized Cost [6],[8] 77,963                  
Total Investment Portfolio, Fair Value [6],[8] $ 77,808                  
Investment, Identifier [Axis]: DCA Acquisition Holdings LLC 1                    
Interest Rate [8],[13],[23] 12.50% 12.50% 12.50% 12.50% 12.50%          
Interest Rate, PIK [8],[13],[23] 12.50% 12.50% 12.50% 12.50% 12.50%          
Par Amount/Units $ 90 [8],[23]         88 [9],[12],[24]        
Total Investment Portfolio, Amortized Cost 88 [8],[23]         (2) [9],[12],[24]        
Total Investment Portfolio, Fair Value $ 85 [8],[23]         $ (2) [9],[12],[24]        
Investment, Identifier [Axis]: DCA Acquisition Holdings LLC 2                    
Interest Rate 12.50% [8],[13],[23] 12.50% [8],[13],[23] 12.50% [8],[13],[23] 12.50% [8],[13],[23] 12.50% [8],[13],[23] 12.50% [12],[22],[24] 12.50% [12],[22],[24] 12.50% [12],[22],[24] 12.50% [12],[22],[24] 12.50% [12],[22],[24]
Interest Rate, PIK 12.50% [8],[13],[23] 12.50% [8],[13],[23] 12.50% [8],[13],[23] 12.50% [8],[13],[23] 12.50% [8],[13],[23] 12.50% [12],[22],[24] 12.50% [12],[22],[24] 12.50% [12],[22],[24] 12.50% [12],[22],[24] 12.50% [12],[22],[24]
Par Amount/Units $ 952 [8],[23]         $ 923 [12],[24]        
Total Investment Portfolio, Amortized Cost 934 [8],[23]         894 [12],[24]        
Total Investment Portfolio, Fair Value 905 [8],[23]         $ 905 [12],[24]        
Investment, Identifier [Axis]: DS Admiral Bidco, LLC                    
Spread [9],[12],[26]           650.00% 650.00% 650.00% 650.00% 650.00%
Interest Rate [9],[12],[26]           11.20% 11.20% 11.20% 11.20% 11.20%
Par Amount/Units [9],[12],[26]           $ 966        
Total Investment Portfolio, Amortized Cost [9],[12],[26]           108        
Total Investment Portfolio, Fair Value [9],[12],[26]           $ 91        
Investment, Identifier [Axis]: DS Admiral Bidco, LLC 1                    
Par Amount/Units [5],[8],[25] 966                  
Total Investment Portfolio, Amortized Cost [5],[8],[25] (8)                  
Total Investment Portfolio, Fair Value [5],[8],[25] $ (17)                  
Investment, Identifier [Axis]: DS Admiral Bidco, LLC 2                    
Spread 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 700.00% [12],[26] 700.00% [12],[26] 700.00% [12],[26] 700.00% [12],[26] 700.00% [12],[26]
Interest Rate 11.90% [8],[13],[25] 11.90% [8],[13],[25] 11.90% [8],[13],[25] 11.90% [8],[13],[25] 11.90% [8],[13],[25] 11.51% [12],[26] 11.51% [12],[26] 11.51% [12],[26] 11.51% [12],[26] 11.51% [12],[26]
Par Amount/Units $ 39,643 [8],[25]         $ 39,743 [12],[26]        
Total Investment Portfolio, Amortized Cost 38,483 [8],[25]         38,557 [12],[26]        
Total Investment Portfolio, Fair Value $ 38,860 [8],[25]         $ 38,558 [12],[26]        
Investment, Identifier [Axis]: DS Admiral Bidco, LLC 3                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 575.00% [12],[26] 575.00% [12],[26] 575.00% [12],[26] 575.00% [12],[26] 575.00% [12],[26]
Interest Rate 11.40% [8],[13],[25] 11.40% [8],[13],[25] 11.40% [8],[13],[25] 11.40% [8],[13],[25] 11.40% [8],[13],[25] 10.16% [12],[26] 10.16% [12],[26] 10.16% [12],[26] 10.16% [12],[26] 10.16% [12],[26]
Par Amount/Units $ 8,921 [8],[25]         $ 8,943 [12],[26]        
Total Investment Portfolio, Amortized Cost 8,845 [8],[25]         8,860 [12],[26]        
Total Investment Portfolio, Fair Value $ 8,709 [8],[25]         $ 8,638 [12],[26]        
Investment, Identifier [Axis]: DTI Holdco, Inc.                    
Spread 4.75% [6],[13] 4.75% [6],[13] 4.75% [6],[13] 4.75% [6],[13] 4.75% [6],[13] 475.00% [10] 475.00% [10] 475.00% [10] 475.00% [10] 475.00% [10]
Interest Rate 9.43% [6],[13] 9.43% [6],[13] 9.43% [6],[13] 9.43% [6],[13] 9.43% [6],[13] 8.84% [10] 8.84% [10] 8.84% [10] 8.84% [10] 8.84% [10]
Par Amount/Units $ 29,850 [6]         $ 29,925 [10]        
Total Investment Portfolio, Amortized Cost 29,314 [6]         29,365 [10]        
Total Investment Portfolio, Fair Value 27,802 [6]         27,643 [10]        
Investment, Identifier [Axis]: Daphne S.P.A. 1                    
Par Amount/Units | €       € 7,957 [5],[7],[8],[23]         € 7,957 [9],[11],[12],[24]  
Total Investment Portfolio, Amortized Cost (199) [5],[7],[8],[23]         (191) [9],[11],[12],[24]        
Total Investment Portfolio, Fair Value $ (324) [5],[7],[8],[23]         $ (421) [9],[11],[12],[24]        
Investment, Identifier [Axis]: Daphne S.P.A. 2                    
Spread 6.25% [7],[8],[13],[23] 6.25% [7],[8],[13],[23] 6.25% [7],[8],[13],[23] 6.25% [7],[8],[13],[23] 6.25% [7],[8],[13],[23] 625.00% [11],[12],[24] 625.00% [11],[12],[24] 625.00% [11],[12],[24] 625.00% [11],[12],[24] 625.00% [11],[12],[24]
Interest Rate 8.38% [7],[8],[13],[23] 8.38% [7],[8],[13],[23] 8.38% [7],[8],[13],[23] 8.38% [7],[8],[13],[23] 8.38% [7],[8],[13],[23] 7.44% [11],[12],[24] 7.44% [11],[12],[24] 7.44% [11],[12],[24] 7.44% [11],[12],[24] 7.44% [11],[12],[24]
Par Amount/Units | €       € 41,376 [7],[8],[23]         € 41,376 [11],[12],[24]  
Total Investment Portfolio, Amortized Cost $ 43,245 [7],[8],[23]         $ 43,200 [11],[12],[24]        
Total Investment Portfolio, Fair Value $ 43,195 [7],[8],[23]         $ 42,109 [11],[12],[24]        
Investment, Identifier [Axis]: Delta Topco, Inc.                    
Spread 3.75% [6],[13] 3.75% [6],[13] 3.75% [6],[13] 3.75% [6],[13] 3.75% [6],[13] 375.00% [10] 375.00% [10] 375.00% [10] 375.00% [10] 375.00% [10]
Interest Rate 8.66% [6],[13] 8.66% [6],[13] 8.66% [6],[13] 8.66% [6],[13] 8.66% [6],[13] 8.15% [10] 8.15% [10] 8.15% [10] 8.15% [10] 8.15% [10]
Par Amount/Units $ 6,934 [6]         $ 6,952 [10]        
Total Investment Portfolio, Amortized Cost 6,769 [6]         6,778 [10]        
Total Investment Portfolio, Fair Value $ 6,446 [6]         $ 6,445 [10]        
Investment, Identifier [Axis]: Diamond (BC) B.V.                    
Spread [11],[14]           275.00% 275.00% 275.00% 275.00% 275.00%
Interest Rate [11],[14]           7.16% 7.16% 7.16% 7.16% 7.16%
Par Amount/Units [11],[14]           $ 9,369        
Total Investment Portfolio, Amortized Cost [11],[14]           9,295        
Total Investment Portfolio, Fair Value [11],[14]           $ 9,070        
Investment, Identifier [Axis]: Directv Financing, LLC                    
Spread 5.00% [6],[13] 5.00% [6],[13] 5.00% [6],[13] 5.00% [6],[13] 5.00% [6],[13] 500.00% [10] 500.00% [10] 500.00% [10] 500.00% [10] 500.00% [10]
Interest Rate 9.84% [6],[13] 9.84% [6],[13] 9.84% [6],[13] 9.84% [6],[13] 9.84% [6],[13] 9.38% [10] 9.38% [10] 9.38% [10] 9.38% [10] 9.38% [10]
Par Amount/Units $ 17,750 [6]         $ 18,212 [10]        
Total Investment Portfolio, Amortized Cost 17,417 [6]         17,852 [10]        
Total Investment Portfolio, Fair Value $ 17,123 [6]         $ 17,770 [10]        
Investment, Identifier [Axis]: Dish DBS Corporation                    
Interest Rate 5.25% [13],[23] 5.25% [13],[23] 5.25% [13],[23] 5.25% [13],[23] 5.25% [13],[23] 5.25% [24] 5.25% [24] 5.25% [24] 5.25% [24] 5.25% [24]
Par Amount/Units $ 7,703 [23]         $ 7,703 [24]        
Total Investment Portfolio, Amortized Cost 7,446 [23]         7,430 [24]        
Total Investment Portfolio, Fair Value 6,119 [23]         6,503 [24]        
Investment, Identifier [Axis]: Dolcetto HoldCo S.P.A. 1                    
Par Amount/Units | €       € 8,400 [5],[7],[8],[17],[23]         € 8,400 [9],[11],[12],[24],[27]  
Total Investment Portfolio, Amortized Cost (192) [5],[7],[8],[17],[23]         (201) [9],[11],[12],[24],[27]        
Total Investment Portfolio, Fair Value $ (192) [5],[7],[8],[17],[23]         $ (218) [9],[11],[12],[24],[27]        
Investment, Identifier [Axis]: Dolcetto HoldCo S.P.A. 2                    
Spread 6.50% [7],[8],[13],[17],[23] 6.50% [7],[8],[13],[17],[23] 6.50% [7],[8],[13],[17],[23] 6.50% [7],[8],[13],[17],[23] 6.50% [7],[8],[13],[17],[23] 650.00% [11],[12],[24],[27] 650.00% [11],[12],[24],[27] 650.00% [11],[12],[24],[27] 650.00% [11],[12],[24],[27] 650.00% [11],[12],[24],[27]
Interest Rate 9.46% [7],[8],[13],[17],[23] 9.46% [7],[8],[13],[17],[23] 9.46% [7],[8],[13],[17],[23] 9.46% [7],[8],[13],[17],[23] 9.46% [7],[8],[13],[17],[23] 8.55% [11],[12],[24],[27] 8.55% [11],[12],[24],[27] 8.55% [11],[12],[24],[27] 8.55% [11],[12],[24],[27] 8.55% [11],[12],[24],[27]
Par Amount/Units | €       € 82,300 [7],[8],[17],[23]         € 82,300 [11],[12],[24],[27]  
Total Investment Portfolio, Amortized Cost $ 80,113 [7],[8],[17],[23]         $ 80,018 [11],[12],[24],[27]        
Total Investment Portfolio, Fair Value 87,392 [7],[8],[17],[23]         85,973 [11],[12],[24],[27]        
Investment, Identifier [Axis]: Dryden 108 CLO Ltd                    
Par Amount/Units 2,900 [7],[23]         2,900 [11],[24]        
Total Investment Portfolio, Amortized Cost 2,291 [7],[23]         2,291 [11],[24]        
Total Investment Portfolio, Fair Value 2,181 [7],[23]         2,204 [11],[24]        
Investment, Identifier [Axis]: E.S.G. Movilidad, S.L.U. 1                    
Par Amount/Units | €       € 11,245 [5],[7],[8],[23]         € 11,245 [9],[11],[12],[24]  
Total Investment Portfolio, Amortized Cost (322) [5],[7],[8],[23]         (335) [9],[11],[12],[24]        
Total Investment Portfolio, Fair Value $ (540) [5],[7],[8],[23]         $ (688) [9],[11],[12],[24]        
Investment, Identifier [Axis]: E.S.G. Movilidad, S.L.U. 2                    
Spread 6.75% [7],[8],[13],[23] 6.75% [7],[8],[13],[23] 6.75% [7],[8],[13],[23] 6.75% [7],[8],[13],[23] 6.75% [7],[8],[13],[23] 675.00% [11],[12],[24] 675.00% [11],[12],[24] 675.00% [11],[12],[24] 675.00% [11],[12],[24] 675.00% [11],[12],[24]
Interest Rate 9.19% [7],[8],[13],[23] 9.19% [7],[8],[13],[23] 9.19% [7],[8],[13],[23] 9.19% [7],[8],[13],[23] 9.19% [7],[8],[13],[23] 9.19% [11],[12],[24] 9.19% [11],[12],[24] 9.19% [11],[12],[24] 9.19% [11],[12],[24] 9.19% [11],[12],[24]
Par Amount/Units | €       € 8,096 [7],[8],[23]         € 8,096 [11],[12],[24]  
Total Investment Portfolio, Amortized Cost $ 8,455 [7],[8],[23]         $ 8,446 [11],[12],[24]        
Total Investment Portfolio, Fair Value $ 8,393 [7],[8],[23]         $ 8,172 [11],[12],[24]        
Investment, Identifier [Axis]: E.S.G. Movilidad, S.L.U. 3                    
Spread 6.75% [7],[8],[13],[23] 6.75% [7],[8],[13],[23] 6.75% [7],[8],[13],[23] 6.75% [7],[8],[13],[23] 6.75% [7],[8],[13],[23] 675.00% [11],[12],[24] 675.00% [11],[12],[24] 675.00% [11],[12],[24] 675.00% [11],[12],[24] 675.00% [11],[12],[24]
Interest Rate 9.19% [7],[8],[13],[23] 9.19% [7],[8],[13],[23] 9.19% [7],[8],[13],[23] 9.19% [7],[8],[13],[23] 9.19% [7],[8],[13],[23] 9.19% [11],[12],[24] 9.19% [11],[12],[24] 9.19% [11],[12],[24] 9.19% [11],[12],[24] 9.19% [11],[12],[24]
Par Amount/Units | €       € 22,264 [7],[8],[23]         € 22,264 [11],[12],[24]  
Total Investment Portfolio, Amortized Cost $ 23,250 [7],[8],[23]         $ 23,226 [11],[12],[24]        
Total Investment Portfolio, Fair Value $ 23,081 [7],[8],[23]         22,474 [11],[12],[24]        
Investment, Identifier [Axis]: ERC Topco Holdings, LLC 1                    
Spread [5],[6],[8],[13] 5.50% 5.50% 5.50% 5.50% 5.50%          
Interest Rate [5],[6],[8],[13] 10.36% 10.36% 10.36% 10.36% 10.36%          
Par Amount/Units $ 1,000 [5],[6],[8]         620 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 385 [5],[6],[8]         (10) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 334 [5],[6],[8]         $ (17) [9],[10],[12]        
Investment, Identifier [Axis]: ERC Topco Holdings, LLC 2                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 450.00% [9],[10],[12] 450.00% [9],[10],[12] 450.00% [9],[10],[12] 450.00% [9],[10],[12] 450.00% [9],[10],[12]
Interest Rate 10.66% [6],[8],[13] 10.66% [6],[8],[13] 10.66% [6],[8],[13] 10.66% [6],[8],[13] 10.66% [6],[8],[13] 12.00% [9],[10],[12] 12.00% [9],[10],[12] 12.00% [9],[10],[12] 12.00% [9],[10],[12] 12.00% [9],[10],[12]
Par Amount/Units $ 25,424 [6],[8]         $ 1,000 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 25,008 [6],[8]         600 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 23,485 [6],[8]         $ 592 [9],[10],[12]        
Investment, Identifier [Axis]: ERC Topco Holdings, LLC 3                    
Spread [10],[12]           550.00% 550.00% 550.00% 550.00% 550.00%
Interest Rate [10],[12]           10.23% 10.23% 10.23% 10.23% 10.23%
Par Amount/Units [10],[12]           $ 25,491        
Total Investment Portfolio, Amortized Cost [10],[12]           25,053        
Total Investment Portfolio, Fair Value [10],[12]           $ 24,779        
Investment, Identifier [Axis]: Eagle 2021 Lower Merger Sub, LLC                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12]
Interest Rate 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 9.72% [10],[12] 9.72% [10],[12] 9.72% [10],[12] 9.72% [10],[12] 9.72% [10],[12]
Par Amount/Units $ 823 [6],[8]         $ 825 [10],[12]        
Total Investment Portfolio, Amortized Cost 810 [6],[8]         811 [10],[12]        
Total Investment Portfolio, Fair Value 806 [6],[8]         $ 785 [10],[12]        
Investment, Identifier [Axis]: Eagle LNG Partners Jacksonville II LLC 1                    
Par Amount/Units [5],[8],[28] 380                  
Total Investment Portfolio, Amortized Cost [5],[8],[28] (12)                  
Total Investment Portfolio, Fair Value [5],[8],[28] $ (13)                  
Investment, Identifier [Axis]: Eagle LNG Partners Jacksonville II LLC 2                    
Spread [8],[13],[28] 8.38% 8.38% 8.38% 8.38% 8.38%          
Interest Rate [8],[13],[28] 13.27% 13.27% 13.27% 13.27% 13.27%          
Par Amount/Units [8],[28] $ 620                  
Total Investment Portfolio, Amortized Cost [8],[28] 600                  
Total Investment Portfolio, Fair Value [8],[28] $ 600                  
Investment, Identifier [Axis]: Eisner Advisory Group LLC                    
Spread [6],[8],[13] 5.25% 5.25% 5.25% 5.25% 5.25%          
Interest Rate [6],[8],[13] 10.17% 10.17% 10.17% 10.17% 10.17%          
Par Amount/Units [6],[8] $ 1,515                  
Total Investment Portfolio, Amortized Cost [6],[8] 1,496                  
Total Investment Portfolio, Fair Value [6],[8] $ 1,517                  
Investment, Identifier [Axis]: Employbridge, LLC                    
Spread 4.75% [6],[13] 4.75% [6],[13] 4.75% [6],[13] 4.75% [6],[13] 4.75% [6],[13] 475.00% [10] 475.00% [10] 475.00% [10] 475.00% [10] 475.00% [10]
Interest Rate 9.49% [6],[13] 9.49% [6],[13] 9.49% [6],[13] 9.49% [6],[13] 9.49% [6],[13] 9.49% [10] 9.49% [10] 9.49% [10] 9.49% [10] 9.49% [10]
Par Amount/Units $ 9,882 [6]         $ 9,907 [10]        
Total Investment Portfolio, Amortized Cost 9,833 [6]         9,855 [10]        
Total Investment Portfolio, Fair Value $ 8,276 [6]         $ 8,145 [10]        
Investment, Identifier [Axis]: Endure Digital, Inc.                    
Spread 3.50% [6],[13] 3.50% [6],[13] 3.50% [6],[13] 3.50% [6],[13] 3.50% [6],[13] 350.00% [10] 350.00% [10] 350.00% [10] 350.00% [10] 350.00% [10]
Interest Rate 8.22% [6],[13] 8.22% [6],[13] 8.22% [6],[13] 8.22% [6],[13] 8.22% [6],[13] 7.72% [10] 7.72% [10] 7.72% [10] 7.72% [10] 7.72% [10]
Par Amount/Units $ 2,386 [6]         $ 2,547 [10]        
Total Investment Portfolio, Amortized Cost 2,371 [6]         2,530 [10]        
Total Investment Portfolio, Fair Value $ 2,237 [6]         $ 2,299 [10]        
Investment, Identifier [Axis]: Ensemble RCM LLC                    
Spread [13],[23] 3.75% 3.75% 3.75% 3.75% 3.75%          
Interest Rate [13],[23] 8.53% 8.53% 8.53% 8.53% 8.53%          
Par Amount/Units [23] $ 1,995                  
Total Investment Portfolio, Amortized Cost [23] 1,987                  
Total Investment Portfolio, Fair Value [23] $ 1,995                  
Investment, Identifier [Axis]: EquipmentShare.com Inc. 1                    
Spread 7.75% [8],[13],[16] 7.75% [8],[13],[16] 7.75% [8],[13],[16] 7.75% [8],[13],[16] 7.75% [8],[13],[16] 775.00% [12],[14] 775.00% [12],[14] 775.00% [12],[14] 775.00% [12],[14] 775.00% [12],[14]
Interest Rate 12.46% [8],[13],[16] 12.46% [8],[13],[16] 12.46% [8],[13],[16] 12.46% [8],[13],[16] 12.46% [8],[13],[16] 12.40% [12],[14] 12.40% [12],[14] 12.40% [12],[14] 12.40% [12],[14] 12.40% [12],[14]
Par Amount/Units $ 4,204 [8],[16]         $ 4,215 [12],[14]        
Total Investment Portfolio, Amortized Cost 4,150 [8],[16]         4,155 [12],[14]        
Total Investment Portfolio, Fair Value $ 4,054 [8],[16]         $ 4,026 [12],[14]        
Investment, Identifier [Axis]: EquipmentShare.com Inc. 2                    
Spread 7.75% [8],[13],[16] 7.75% [8],[13],[16] 7.75% [8],[13],[16] 7.75% [8],[13],[16] 7.75% [8],[13],[16] 775.00% [12],[14] 775.00% [12],[14] 775.00% [12],[14] 775.00% [12],[14] 775.00% [12],[14]
Interest Rate 12.46% [8],[13],[16] 12.46% [8],[13],[16] 12.46% [8],[13],[16] 12.46% [8],[13],[16] 12.46% [8],[13],[16] 12.40% [12],[14] 12.40% [12],[14] 12.40% [12],[14] 12.40% [12],[14] 12.40% [12],[14]
Par Amount/Units $ 16,817 [8],[16]         $ 16,860 [12],[14]        
Total Investment Portfolio, Amortized Cost 16,546 [8],[16]         16,561 [12],[14]        
Total Investment Portfolio, Fair Value 16,217 [8],[16]         16,106 [12],[14]        
Investment, Identifier [Axis]: Excelitas Technologies Corp. 1                    
Par Amount/Units 4,239 [5],[6],[8]         6,522 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (77) [5],[6],[8]         (123) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (109) [5],[6],[8]         $ (247) [9],[10],[12]        
Investment, Identifier [Axis]: Excelitas Technologies Corp. 2                    
Spread 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12]
Interest Rate 10.61% [6],[8],[13] 10.61% [6],[8],[13] 10.61% [6],[8],[13] 10.61% [6],[8],[13] 10.61% [6],[8],[13] 10.12% [10],[12] 10.12% [10],[12] 10.12% [10],[12] 10.12% [10],[12] 10.12% [10],[12]
Par Amount/Units $ 36,087 [6],[8]         $ 33,804 [10],[12]        
Total Investment Portfolio, Amortized Cost 35,412 [6],[8]         33,146 [10],[12]        
Total Investment Portfolio, Fair Value $ 35,155 [6],[8]         $ 32,526 [10],[12]        
Investment, Identifier [Axis]: Excelitas Technologies Corp. 3                    
Spread 5.75% [8],[13],[23] 5.75% [8],[13],[23] 5.75% [8],[13],[23] 5.75% [8],[13],[23] 5.75% [8],[13],[23] 575.00% [12],[24] 575.00% [12],[24] 575.00% [12],[24] 575.00% [12],[24] 575.00% [12],[24]
Interest Rate 8.36% [8],[13],[23] 8.36% [8],[13],[23] 8.36% [8],[13],[23] 8.36% [8],[13],[23] 8.36% [8],[13],[23] 7.55% [12],[24] 7.55% [12],[24] 7.55% [12],[24] 7.55% [12],[24] 7.55% [12],[24]
Par Amount/Units | €       € 5,587 [8],[23]         € 5,587 [12],[24]  
Total Investment Portfolio, Amortized Cost $ 5,656 [8],[23]         $ 5,651 [12],[24]        
Total Investment Portfolio, Fair Value $ 5,901 [8],[23]         $ 5,746 [12],[24]        
Investment, Identifier [Axis]: Excelitas Technologies Corp. 4                    
Spread 5.75% [5],[6],[8],[13] 5.75% [5],[6],[8],[13] 5.75% [5],[6],[8],[13] 5.75% [5],[6],[8],[13] 5.75% [5],[6],[8],[13] 575.00% [9],[10],[12] 575.00% [9],[10],[12] 575.00% [9],[10],[12] 575.00% [9],[10],[12] 575.00% [9],[10],[12]
Interest Rate 10.61% [5],[6],[8],[13] 10.61% [5],[6],[8],[13] 10.61% [5],[6],[8],[13] 10.61% [5],[6],[8],[13] 10.61% [5],[6],[8],[13] 10.12% [9],[10],[12] 10.12% [9],[10],[12] 10.12% [9],[10],[12] 10.12% [9],[10],[12] 10.12% [9],[10],[12]
Par Amount/Units $ 3,261 [5],[6],[8]         $ 3,261 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 1,224 [5],[6],[8]         1,787 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 1,202 [5],[6],[8]         $ 1,732 [9],[10],[12]        
Investment, Identifier [Axis]: Express Wash Concepts 1                    
Spread 6.75% [5],[8],[13],[25] 6.75% [5],[8],[13],[25] 6.75% [5],[8],[13],[25] 6.75% [5],[8],[13],[25] 6.75% [5],[8],[13],[25] 575.00% [9],[12],[22],[26] 575.00% [9],[12],[22],[26] 575.00% [9],[12],[22],[26] 575.00% [9],[12],[22],[26] 575.00% [9],[12],[22],[26]
Interest Rate 11.66% [5],[8],[13],[25] 11.66% [5],[8],[13],[25] 11.66% [5],[8],[13],[25] 11.66% [5],[8],[13],[25] 11.66% [5],[8],[13],[25] 10.17% [9],[12],[22],[26] 10.17% [9],[12],[22],[26] 10.17% [9],[12],[22],[26] 10.17% [9],[12],[22],[26] 10.17% [9],[12],[22],[26]
Par Amount/Units $ 47,475 [5],[8],[25]         $ 62,968 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 28,830 [5],[8],[25]         25,128 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 26,747 [5],[8],[25]         $ 21,671 [9],[12],[26]        
Investment, Identifier [Axis]: Express Wash Concepts 2                    
Spread 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 575.00% [12],[22],[26] 575.00% [12],[22],[26] 575.00% [12],[22],[26] 575.00% [12],[22],[26] 575.00% [12],[22],[26]
Interest Rate 11.66% [8],[13],[25] 11.66% [8],[13],[25] 11.66% [8],[13],[25] 11.66% [8],[13],[25] 11.66% [8],[13],[25] 10.17% [12],[22],[26] 10.17% [12],[22],[26] 10.17% [12],[22],[26] 10.17% [12],[22],[26] 10.17% [12],[22],[26]
Par Amount/Units $ 26,730 [8],[25]         $ 26,798 [12],[26]        
Total Investment Portfolio, Amortized Cost 26,508 [8],[25]         26,554 [12],[26]        
Total Investment Portfolio, Fair Value $ 25,339 [8],[25]         $ 25,090 [12],[26]        
Investment, Identifier [Axis]: Fertitta Entertainment LLC                    
Spread [13],[16] 4.00% 4.00% 4.00% 4.00% 4.00%          
Interest Rate [13],[16] 8.81% 8.81% 8.81% 8.81% 8.81%          
Par Amount/Units [16] $ 4,489                  
Total Investment Portfolio, Amortized Cost [16] 4,307                  
Total Investment Portfolio, Fair Value [16] $ 4,430                  
Investment, Identifier [Axis]: Finthrive Software Intermediate Holdings Inc                    
Spread 4.00% [13],[16] 4.00% [13],[16] 4.00% [13],[16] 4.00% [13],[16] 4.00% [13],[16] 400.00% [14] 400.00% [14] 400.00% [14] 400.00% [14] 400.00% [14]
Interest Rate 8.84% [13],[16] 8.84% [13],[16] 8.84% [13],[16] 8.84% [13],[16] 8.84% [13],[16] 8.38% [14] 8.38% [14] 8.38% [14] 8.38% [14] 8.38% [14]
Par Amount/Units $ 13,069 [16]         $ 13,102 [14]        
Total Investment Portfolio, Amortized Cost 12,835 [16]         12,855 [14]        
Total Investment Portfolio, Fair Value $ 12,203 [16]         $ 11,148 [14]        
Investment, Identifier [Axis]: Floating Infrastructure Holdings Finance LLC                    
Spread 5.75% [7],[8],[13],[25] 5.75% [7],[8],[13],[25] 5.75% [7],[8],[13],[25] 5.75% [7],[8],[13],[25] 5.75% [7],[8],[13],[25] 575.00% [11],[12],[26] 575.00% [11],[12],[26] 575.00% [11],[12],[26] 575.00% [11],[12],[26] 575.00% [11],[12],[26]
Interest Rate 10.66% [7],[8],[13],[25] 10.66% [7],[8],[13],[25] 10.66% [7],[8],[13],[25] 10.66% [7],[8],[13],[25] 10.66% [7],[8],[13],[25] 10.43% [11],[12],[26] 10.43% [11],[12],[26] 10.43% [11],[12],[26] 10.43% [11],[12],[26] 10.43% [11],[12],[26]
Par Amount/Units $ 44,438 [7],[8],[25]         $ 44,719 [11],[12],[26]        
Total Investment Portfolio, Amortized Cost 43,667 [7],[8],[25]         43,883 [11],[12],[26]        
Total Investment Portfolio, Fair Value $ 43,403 [7],[8],[25]         43,242 [11],[12],[26]        
Investment, Identifier [Axis]: Ford Motor Credit Company LLC                    
Interest Rate [7],[13],[23] 6.95% 6.95% 6.95% 6.95% 6.95%          
Par Amount/Units [7],[23] $ 2,300                  
Total Investment Portfolio, Amortized Cost [7],[23] 2,297                  
Total Investment Portfolio, Fair Value [7],[23] 2,340                  
Investment, Identifier [Axis]: Formerra, LLC 1                    
Par Amount/Units 4,270 [5],[8],[25]         4,270 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (132) [5],[8],[25]         (137) [9],[12],[26]        
Total Investment Portfolio, Fair Value $ (103) [5],[8],[25]         (135) [9],[12],[26]        
Investment, Identifier [Axis]: Formerra, LLC 2                    
Spread [5],[8],[13],[25] 7.25% 7.25% 7.25% 7.25% 7.25%          
Interest Rate [5],[8],[13],[25] 12.14% 12.14% 12.14% 12.14% 12.14%          
Par Amount/Units $ 12,031 [5],[8],[25]         12,031 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 4,328 [5],[8],[25]         (380) [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 4,401 [5],[8],[25]         $ (380) [9],[12],[26]        
Investment, Identifier [Axis]: Formerra, LLC 3                    
Spread 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [8],[13],[25] 725.00% [12],[26] 725.00% [12],[26] 725.00% [12],[26] 725.00% [12],[26] 725.00% [12],[26]
Interest Rate 12.08% [8],[13],[25] 12.08% [8],[13],[25] 12.08% [8],[13],[25] 12.08% [8],[13],[25] 12.08% [8],[13],[25] 11.49% [12],[26] 11.49% [12],[26] 11.49% [12],[26] 11.49% [12],[26] 11.49% [12],[26]
Par Amount/Units $ 106,487 [8],[25]         $ 106,487 [12],[26]        
Total Investment Portfolio, Amortized Cost 103,230 [8],[25]         103,076 [12],[26]        
Total Investment Portfolio, Fair Value $ 103,907 [8],[25]         $ 103,121 [12],[26]        
Investment, Identifier [Axis]: Foundation Automotive Corp                    
Spread 7.75% [7],[8],[13],[25] 7.75% [7],[8],[13],[25] 7.75% [7],[8],[13],[25] 7.75% [7],[8],[13],[25] 7.75% [7],[8],[13],[25] 775.00% [11],[12],[22],[26] 775.00% [11],[12],[22],[26] 775.00% [11],[12],[22],[26] 775.00% [11],[12],[22],[26] 775.00% [11],[12],[22],[26]
Interest Rate 12.91% [7],[8],[13],[25] 12.91% [7],[8],[13],[25] 12.91% [7],[8],[13],[25] 12.91% [7],[8],[13],[25] 12.91% [7],[8],[13],[25] 12.55% [11],[12],[22],[26] 12.55% [11],[12],[22],[26] 12.55% [11],[12],[22],[26] 12.55% [11],[12],[22],[26] 12.55% [11],[12],[22],[26]
Par Amount/Units $ 16,043 [7],[8],[25]         $ 16,084 [11],[12],[26]        
Total Investment Portfolio, Amortized Cost 15,833 [7],[8],[25]         15,858 [11],[12],[26]        
Total Investment Portfolio, Fair Value $ 15,349 [7],[8],[25]         $ 15,499 [11],[12],[26]        
Investment, Identifier [Axis]: Foundation Automotive Us Corp 1                    
Spread 7.75% [5],[8],[13],[25] 7.75% [5],[8],[13],[25] 7.75% [5],[8],[13],[25] 7.75% [5],[8],[13],[25] 7.75% [5],[8],[13],[25] 775.00% [9],[12],[22],[26] 775.00% [9],[12],[22],[26] 775.00% [9],[12],[22],[26] 775.00% [9],[12],[22],[26] 775.00% [9],[12],[22],[26]
Interest Rate 12.67% [5],[8],[13],[25] 12.67% [5],[8],[13],[25] 12.67% [5],[8],[13],[25] 12.67% [5],[8],[13],[25] 12.67% [5],[8],[13],[25] 11.88% [9],[12],[22],[26] 11.88% [9],[12],[22],[26] 11.88% [9],[12],[22],[26] 11.88% [9],[12],[22],[26] 11.88% [9],[12],[22],[26]
Par Amount/Units $ 27,518 [5],[8],[25]         $ 38,333 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 3,900 [5],[8],[25]         3,776 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 3,098 [5],[8],[25]         $ 2,907 [9],[12],[26]        
Investment, Identifier [Axis]: Foundation Automotive Us Corp 2                    
Spread 7.75% [8],[13],[25] 7.75% [8],[13],[25] 7.75% [8],[13],[25] 7.75% [8],[13],[25] 7.75% [8],[13],[25] 775.00% [12],[22],[26] 775.00% [12],[22],[26] 775.00% [12],[22],[26] 775.00% [12],[22],[26] 775.00% [12],[22],[26]
Interest Rate 12.91% [8],[13],[25] 12.91% [8],[13],[25] 12.91% [8],[13],[25] 12.91% [8],[13],[25] 12.91% [8],[13],[25] 12.55% [12],[22],[26] 12.55% [12],[22],[26] 12.55% [12],[22],[26] 12.55% [12],[22],[26] 12.55% [12],[22],[26]
Par Amount/Units $ 39,717 [8],[25]         $ 39,817 [12],[26]        
Total Investment Portfolio, Amortized Cost 39,200 [8],[25]         39,263 [12],[26]        
Total Investment Portfolio, Fair Value $ 37,998 [8],[25]         $ 38,371 [12],[26]        
Investment, Identifier [Axis]: Galaxy US Opco Inc.                    
Spread [11],[14]           475.00% 475.00% 475.00% 475.00% 475.00%
Interest Rate [11],[14]           9.07% 9.07% 9.07% 9.07% 9.07%
Par Amount/Units [11],[14]           $ 26,300        
Total Investment Portfolio, Amortized Cost [11],[14]           25,686        
Total Investment Portfolio, Fair Value [11],[14]           $ 23,867        
Investment, Identifier [Axis]: Galaxy US Opco Inc. 1                    
Spread [7],[13],[16] 4.75% 4.75% 4.75% 4.75% 4.75%          
Interest Rate [7],[13],[16] 9.56% 9.56% 9.56% 9.56% 9.56%          
Par Amount/Units [7],[16] $ 26,169                  
Total Investment Portfolio, Amortized Cost [7],[16] 25,584                  
Total Investment Portfolio, Fair Value [7],[16] $ 23,257                  
Investment, Identifier [Axis]: Galaxy US Opco Inc. 2                    
Spread 825.00% [8],[13],[16] 825.00% [8],[13],[16] 825.00% [8],[13],[16] 825.00% [8],[13],[16] 825.00% [8],[13],[16] 825.00% [12],[14],[22] 825.00% [12],[14],[22] 825.00% [12],[14],[22] 825.00% [12],[14],[22] 825.00% [12],[14],[22]
Interest Rate 13.06% [8],[13],[16] 13.06% [8],[13],[16] 13.06% [8],[13],[16] 13.06% [8],[13],[16] 13.06% [8],[13],[16] 12.57% [12],[14],[22] 12.57% [12],[14],[22] 12.57% [12],[14],[22] 12.57% [12],[14],[22] 12.57% [12],[14],[22]
Par Amount/Units $ 9,000 [8],[16]         $ 9,000 [12],[14]        
Total Investment Portfolio, Amortized Cost 8,795 [8],[16]         8,786 [12],[14]        
Total Investment Portfolio, Fair Value 8,686 [8],[16]         8,794 [12],[14]        
Investment, Identifier [Axis]: Galway Borrower LLC 1                    
Par Amount/Units 457 [5],[6],[8]         457 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (4) [5],[6],[8]         (4) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (19) [5],[6],[8]         (24) [9],[10],[12]        
Investment, Identifier [Axis]: Galway Borrower LLC 2                    
Spread [5],[6],[8],[13] 5.25% 5.25% 5.25% 5.25% 5.25%          
Interest Rate [5],[6],[8],[13] 10.41% 10.41% 10.41% 10.41% 10.41%          
Par Amount/Units $ 2,216 [5],[6],[8]         2,216 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 443 [5],[6],[8]         (36) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 391 [5],[6],[8]         $ (109) [9],[10],[12]        
Investment, Identifier [Axis]: Galway Borrower LLC 3                    
Spread 4.25% [6],[8],[13] 4.25% [6],[8],[13] 4.25% [6],[8],[13] 4.25% [6],[8],[13] 4.25% [6],[8],[13] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12]
Interest Rate 12.25% [6],[8],[13] 12.25% [6],[8],[13] 12.25% [6],[8],[13] 12.25% [6],[8],[13] 12.25% [6],[8],[13] 9.98% [10],[12] 9.98% [10],[12] 9.98% [10],[12] 9.98% [10],[12] 9.98% [10],[12]
Par Amount/Units $ 60,973 [6],[8]         $ 61,128 [10],[12]        
Total Investment Portfolio, Amortized Cost 60,470 [6],[8]         60,592 [10],[12]        
Total Investment Portfolio, Fair Value $ 58,462 [6],[8]         $ 57,907 [10],[12]        
Investment, Identifier [Axis]: GoTo Group Inc                    
Spread 4.75% [13],[23] 4.75% [13],[23] 4.75% [13],[23] 4.75% [13],[23] 4.75% [13],[23] 475.00% [24] 475.00% [24] 475.00% [24] 475.00% [24] 475.00% [24]
Interest Rate 9.59% [13],[23] 9.59% [13],[23] 9.59% [13],[23] 9.59% [13],[23] 9.59% [13],[23] 9.14% [24] 9.14% [24] 9.14% [24] 9.14% [24] 9.14% [24]
Par Amount/Units $ 2,391 [23]         $ 6,942 [24]        
Total Investment Portfolio, Amortized Cost 2,369 [23]         6,843 [24]        
Total Investment Portfolio, Fair Value $ 1,378 [23]         $ 4,498 [24]        
Investment, Identifier [Axis]: GovCIO Buyer Company                    
Spread [8],[13],[25] 5.50% 5.50% 5.50% 5.50% 5.50%          
Interest Rate [8],[13],[25] 10.31% 10.31% 10.31% 10.31% 10.31%          
Par Amount/Units [8],[25] $ 10,562                  
Total Investment Portfolio, Amortized Cost [8],[25] 10,395                  
Total Investment Portfolio, Fair Value [8],[25] $ 10,328                  
Investment, Identifier [Axis]: Govcio Buyer Company                    
Spread [12],[26]           550.00% 550.00% 550.00% 550.00% 550.00%
Interest Rate [12],[26]           10.08% 10.08% 10.08% 10.08% 10.08%
Par Amount/Units [12],[26]           $ 10,822        
Total Investment Portfolio, Amortized Cost [12],[26]           10,641        
Total Investment Portfolio, Fair Value [12],[26]           $ 10,476        
Investment, Identifier [Axis]: Guardian US Holdco LLC                    
Spread [13],[16] 4.00% 4.00% 4.00% 4.00% 4.00%          
Interest Rate [13],[16] 8.68% 8.68% 8.68% 8.68% 8.68%          
Par Amount/Units [16] $ 8,000                  
Total Investment Portfolio, Amortized Cost [16] 7,841                  
Total Investment Portfolio, Fair Value [16] $ 7,905                  
Investment, Identifier [Axis]: Guidehouse Inc.                    
Spread 6.25% [6],[8],[13] 6.25% [6],[8],[13] 6.25% [6],[8],[13] 6.25% [6],[8],[13] 6.25% [6],[8],[13] 625.00% [10],[12] 625.00% [10],[12] 625.00% [10],[12] 625.00% [10],[12] 625.00% [10],[12]
Interest Rate 11.16% [6],[8],[13] 11.16% [6],[8],[13] 11.16% [6],[8],[13] 11.16% [6],[8],[13] 11.16% [6],[8],[13] 10.63% [10],[12] 10.63% [10],[12] 10.63% [10],[12] 10.63% [10],[12] 10.63% [10],[12]
Par Amount/Units $ 79,373 [6],[8]         $ 79,573 [10],[12]        
Total Investment Portfolio, Amortized Cost 77,964 [6],[8]         78,083 [10],[12]        
Total Investment Portfolio, Fair Value 77,399 [6],[8]         76,717 [10],[12]        
Investment, Identifier [Axis]: Gusto Aus Bidco Pty Ltd 1                    
Par Amount/Units   $ 11,982 [5],[6],[7],[8]         $ 11,982 [9],[10],[11],[12]      
Total Investment Portfolio, Amortized Cost (214) [5],[6],[7],[8]         (224) [9],[10],[11],[12]        
Total Investment Portfolio, Fair Value $ (42) [5],[6],[7],[8]         $ (238) [9],[10],[11],[12]        
Investment, Identifier [Axis]: Gusto Aus Bidco Pty Ltd 2                    
Spread 6.50% [6],[7],[8],[13] 6.50% [6],[7],[8],[13] 6.50% [6],[7],[8],[13] 6.50% [6],[7],[8],[13] 6.50% [6],[7],[8],[13] 650.00% [10],[11],[12] 650.00% [10],[11],[12] 650.00% [10],[11],[12] 650.00% [10],[11],[12] 650.00% [10],[11],[12]
Interest Rate 10.16% [6],[7],[8],[13] 10.16% [6],[7],[8],[13] 10.16% [6],[7],[8],[13] 10.16% [6],[7],[8],[13] 10.16% [6],[7],[8],[13] 10.16% [10],[11],[12] 10.16% [10],[11],[12] 10.16% [10],[11],[12] 10.16% [10],[11],[12] 10.16% [10],[11],[12]
Par Amount/Units   $ 118,623 [6],[7],[8]         $ 118,623 [10],[11],[12]      
Total Investment Portfolio, Amortized Cost $ 73,991 [6],[7],[8]         $ 73,889 [10],[11],[12]        
Total Investment Portfolio, Fair Value $ 78,911 [6],[7],[8]         $ 78,441 [10],[11],[12]        
Investment, Identifier [Axis]: HUB International Limited                    
Spread 3.25% [6],[13] 3.25% [6],[13] 3.25% [6],[13] 3.25% [6],[13] 3.25% [6],[13] 325.00% [10] 325.00% [10] 325.00% [10] 325.00% [10] 325.00% [10]
Interest Rate 8.06% [6],[13] 8.06% [6],[13] 8.06% [6],[13] 8.06% [6],[13] 8.06% [6],[13] 7.53% [10] 7.53% [10] 7.53% [10] 7.53% [10] 7.53% [10]
Par Amount/Units $ 21,543 [6]         $ 15,846 [10]        
Total Investment Portfolio, Amortized Cost 21,379 [6]         15,733 [10]        
Total Investment Portfolio, Fair Value $ 21,520 [6]         $ 15,725 [10]        
Investment, Identifier [Axis]: Helios Software Holdings, Inc.                    
Spread 3.75% [13],[25] 3.75% [13],[25] 3.75% [13],[25] 3.75% [13],[25] 3.75% [13],[25] 375.00% [26] 375.00% [26] 375.00% [26] 375.00% [26] 375.00% [26]
Interest Rate 8.66% [13],[25] 8.66% [13],[25] 8.66% [13],[25] 8.66% [13],[25] 8.66% [13],[25] 8.48% [26] 8.48% [26] 8.48% [26] 8.48% [26] 8.48% [26]
Par Amount/Units $ 16,670 [25]         $ 16,670 [26]        
Total Investment Portfolio, Amortized Cost 16,527 [25]         16,517 [26]        
Total Investment Portfolio, Fair Value $ 16,285 [25]         $ 16,396 [26]        
Investment, Identifier [Axis]: Higginbotham Insurance Agency, Inc. 1                    
Spread 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 525.00% [9],[10],[12] 525.00% [9],[10],[12] 525.00% [9],[10],[12] 525.00% [9],[10],[12] 525.00% [9],[10],[12]
Interest Rate 10.09% [5],[6],[8],[13] 10.09% [5],[6],[8],[13] 10.09% [5],[6],[8],[13] 10.09% [5],[6],[8],[13] 10.09% [5],[6],[8],[13] 9.63% [9],[10],[12] 9.63% [9],[10],[12] 9.63% [9],[10],[12] 9.63% [9],[10],[12] 9.63% [9],[10],[12]
Par Amount/Units $ 48 [5],[6],[8]         $ 48 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 30 [5],[6],[8]         20 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 30 [5],[6],[8]         $ 20 [9],[10],[12]        
Investment, Identifier [Axis]: Higginbotham Insurance Agency, Inc. 2                    
Spread 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12]
Interest Rate 10.09% [6],[8],[13] 10.09% [6],[8],[13] 10.09% [6],[8],[13] 10.09% [6],[8],[13] 10.09% [6],[8],[13] 9.63% [10],[12] 9.63% [10],[12] 9.63% [10],[12] 9.63% [10],[12] 9.63% [10],[12]
Par Amount/Units $ 9,852 [6],[8]         $ 9,877 [10],[12]        
Total Investment Portfolio, Amortized Cost 9,771 [6],[8]         9,788 [10],[12]        
Total Investment Portfolio, Fair Value $ 9,652 [6],[8]         $ 9,744 [10],[12]        
Investment, Identifier [Axis]: Houghton Mifflin Harcourt Company                    
Spread 5.25% [13],[16] 5.25% [13],[16] 5.25% [13],[16] 5.25% [13],[16] 5.25% [13],[16] 525.00% [14],[22] 525.00% [14],[22] 525.00% [14],[22] 525.00% [14],[22] 525.00% [14],[22]
Interest Rate 10.16% [13],[16] 10.16% [13],[16] 10.16% [13],[16] 10.16% [13],[16] 10.16% [13],[16] 9.67% [14],[22] 9.67% [14],[22] 9.67% [14],[22] 9.67% [14],[22] 9.67% [14],[22]
Par Amount/Units $ 29,850 [16]         $ 29,925 [14]        
Total Investment Portfolio, Amortized Cost 29,051 [16]         29,090 [14]        
Total Investment Portfolio, Fair Value 26,843 [16]         28,550 [14]        
Investment, Identifier [Axis]: Huskies Parent, Inc. 1                    
Par Amount/Units 1,000 [5],[6],[8]         1,000 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (16) [5],[6],[8]         (17) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (62) [5],[6],[8]         $ (93) [9],[10],[12]        
Investment, Identifier [Axis]: Huskies Parent, Inc. 2                    
Spread 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12]
Interest Rate 10.66% [5],[6],[8],[13] 10.66% [5],[6],[8],[13] 10.66% [5],[6],[8],[13] 10.66% [5],[6],[8],[13] 10.66% [5],[6],[8],[13] 10.23% [9],[10],[12] 10.23% [9],[10],[12] 10.23% [9],[10],[12] 10.23% [9],[10],[12] 10.23% [9],[10],[12]
Par Amount/Units $ 1,000 [5],[6],[8]         $ 1,000 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 691 [5],[6],[8]         690 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 651 [5],[6],[8]         $ 623 [9],[10],[12]        
Investment, Identifier [Axis]: Huskies Parent, Inc. 3                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12]
Interest Rate 10.49% [6],[8],[13] 10.49% [6],[8],[13] 10.49% [6],[8],[13] 10.49% [6],[8],[13] 10.49% [6],[8],[13] 10.23% [10],[12] 10.23% [10],[12] 10.23% [10],[12] 10.23% [10],[12] 10.23% [10],[12]
Par Amount/Units $ 25,346 [6],[8]         $ 25,410 [10],[12]        
Total Investment Portfolio, Amortized Cost 24,932 [6],[8]         24,974 [10],[12]        
Total Investment Portfolio, Fair Value $ 23,785 [6],[8]         $ 23,040 [10],[12]        
Investment, Identifier [Axis]: Hyland Software, Inc.                    
Spread 3.50% [6],[13] 3.50% [6],[13] 3.50% [6],[13] 3.50% [6],[13] 3.50% [6],[13] 350.00% [10] 350.00% [10] 350.00% [10] 350.00% [10] 350.00% [10]
Interest Rate 8.34% [6],[13] 8.34% [6],[13] 8.34% [6],[13] 8.34% [6],[13] 8.34% [6],[13] 7.88% [10] 7.88% [10] 7.88% [10] 7.88% [10] 7.88% [10]
Par Amount/Units $ 15,544 [6]         $ 15,585 [10]        
Total Investment Portfolio, Amortized Cost 15,462 [6]         15,483 [10]        
Total Investment Portfolio, Fair Value $ 15,402 [6]         $ 15,408 [10]        
Investment, Identifier [Axis]: Hyve Group PLC                    
Spread 7.75% [7],[8],[13],[17],[28] 7.75% [7],[8],[13],[17],[28] 7.75% [7],[8],[13],[17],[28] 7.75% [7],[8],[13],[17],[28] 7.75% [7],[8],[13],[17],[28] 775.00% [11],[12],[27],[29] 775.00% [11],[12],[27],[29] 775.00% [11],[12],[27],[29] 775.00% [11],[12],[27],[29] 775.00% [11],[12],[27],[29]
Interest Rate 11.99% [7],[8],[13],[17],[28] 11.99% [7],[8],[13],[17],[28] 11.99% [7],[8],[13],[17],[28] 11.99% [7],[8],[13],[17],[28] 11.99% [7],[8],[13],[17],[28] 11.19% [11],[12],[27],[29] 11.19% [11],[12],[27],[29] 11.19% [11],[12],[27],[29] 11.19% [11],[12],[27],[29] 11.19% [11],[12],[27],[29]
Par Amount/Units | £         £ 24,104 [7],[8],[17],[28]         £ 24,104 [11],[12],[27],[29]
Total Investment Portfolio, Amortized Cost $ 26,093 [7],[8],[17],[28]         $ 26,025 [11],[12],[27],[29]        
Total Investment Portfolio, Fair Value 30,196 [7],[8],[17],[28]         $ 28,054 [11],[12],[27],[29]        
Investment, Identifier [Axis]: IG Investments Holdings, LLC 1                    
Spread [9],[10],[12]           600.00% 600.00% 600.00% 600.00% 600.00%
Interest Rate [9],[10],[12]           10.39% 10.39% 10.39% 10.39% 10.39%
Par Amount/Units 1,726 [5],[6],[8]         $ 1,726 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (21) [5],[6],[8]         668 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (36) [5],[6],[8]         $ 638 [9],[10],[12]        
Investment, Identifier [Axis]: IG Investments Holdings, LLC 2                    
Spread 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12]
Interest Rate 10.83% [6],[8],[13] 10.83% [6],[8],[13] 10.83% [6],[8],[13] 10.83% [6],[8],[13] 10.83% [6],[8],[13] 10.38% [10],[12] 10.38% [10],[12] 10.38% [10],[12] 10.38% [10],[12] 10.38% [10],[12]
Par Amount/Units $ 22,449 [6],[8]         $ 22,506 [10],[12]        
Total Investment Portfolio, Amortized Cost 22,152 [6],[8]         22,194 [10],[12]        
Total Investment Portfolio, Fair Value $ 21,948 [6],[8]         $ 21,760 [10],[12]        
Investment, Identifier [Axis]: IG Investments Holdings, LLC 3                    
Spread 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12]
Interest Rate 10.83% [6],[8],[13] 10.83% [6],[8],[13] 10.83% [6],[8],[13] 10.83% [6],[8],[13] 10.83% [6],[8],[13] 10.38% [10],[12] 10.38% [10],[12] 10.38% [10],[12] 10.38% [10],[12] 10.38% [10],[12]
Par Amount/Units $ 1,852 [6],[8]         $ 1,856 [10],[12]        
Total Investment Portfolio, Amortized Cost 1,836 [6],[8]         1,840 [10],[12]        
Total Investment Portfolio, Fair Value $ 1,810 [6],[8]         $ 1,794 [10],[12]        
Investment, Identifier [Axis]: IP Operating Portfolio I, LLC 1                    
Interest Rate 7.88% [5],[8],[13],[23] 7.88% [5],[8],[13],[23] 7.88% [5],[8],[13],[23] 7.88% [5],[8],[13],[23] 7.88% [5],[8],[13],[23] 7.88% [9],[12],[24] 7.88% [9],[12],[24] 7.88% [9],[12],[24] 7.88% [9],[12],[24] 7.88% [9],[12],[24]
Par Amount/Units $ 27,428 [5],[8],[23]         $ 27,428 [9],[12],[24]        
Total Investment Portfolio, Amortized Cost 12,539 [5],[8],[23]         8,670 [9],[12],[24]        
Total Investment Portfolio, Fair Value 12,398 [5],[8],[23]         8,441 [9],[12],[24]        
Investment, Identifier [Axis]: IP Operating Portfolio I, LLC 2                    
Par Amount/Units 2 [8]         2 [12]        
Total Investment Portfolio, Amortized Cost 67 [8]         67 [12]        
Total Investment Portfolio, Fair Value $ 184 [8]         $ 198 [12]        
Investment, Identifier [Axis]: IRB Holding Corp.                    
Spread 3.00% [6],[13] 3.00% [6],[13] 3.00% [6],[13] 3.00% [6],[13] 3.00% [6],[13] 275.00% [22],[26] 275.00% [22],[26] 275.00% [22],[26] 275.00% [22],[26] 275.00% [22],[26]
Interest Rate 7.91% [6],[13] 7.91% [6],[13] 7.91% [6],[13] 7.91% [6],[13] 7.91% [6],[13] 7.13% [22],[26] 7.13% [22],[26] 7.13% [22],[26] 7.13% [22],[26] 7.13% [22],[26]
Par Amount/Units $ 9,975 [6]         $ 8,101 [26]        
Total Investment Portfolio, Amortized Cost 9,701 [6]         8,044 [26]        
Total Investment Portfolio, Fair Value $ 9,824 [6]         $ 8,042 [26]        
Investment, Identifier [Axis]: Illuminate Buyer, LLC                    
Spread 3.50% [13],[23] 3.50% [13],[23] 3.50% [13],[23] 3.50% [13],[23] 3.50% [13],[23] 350.00% [22],[24] 350.00% [22],[24] 350.00% [22],[24] 350.00% [22],[24] 350.00% [22],[24]
Interest Rate 8.34% [13],[23] 8.34% [13],[23] 8.34% [13],[23] 8.34% [13],[23] 8.34% [13],[23] 7.88% [22],[24] 7.88% [22],[24] 7.88% [22],[24] 7.88% [22],[24] 7.88% [22],[24]
Par Amount/Units $ 12,218 [23]         $ 7,250 [24]        
Total Investment Portfolio, Amortized Cost 12,062 [23]         7,226 [24]        
Total Investment Portfolio, Fair Value $ 12,029 [23]         $ 6,960 [24]        
Investment, Identifier [Axis]: Integrity Marketing Acquisition LLC 1                    
Spread 6.02% [5],[6],[8],[13] 6.02% [5],[6],[8],[13] 6.02% [5],[6],[8],[13] 6.02% [5],[6],[8],[13] 6.02% [5],[6],[8],[13] 602.00% [9],[10],[12] 602.00% [9],[10],[12] 602.00% [9],[10],[12] 602.00% [9],[10],[12] 602.00% [9],[10],[12]
Interest Rate 10.91% [5],[6],[8],[13] 10.91% [5],[6],[8],[13] 10.91% [5],[6],[8],[13] 10.91% [5],[6],[8],[13] 10.91% [5],[6],[8],[13] 10.72% [9],[10],[12] 10.72% [9],[10],[12] 10.72% [9],[10],[12] 10.72% [9],[10],[12] 10.72% [9],[10],[12]
Par Amount/Units $ 20,852 [5],[6],[8]         $ 20,895 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 16,704 [5],[6],[8]         16,714 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 16,566 [5],[6],[8]         $ 16,223 [9],[10],[12]        
Investment, Identifier [Axis]: Integrity Marketing Acquisition LLC 2                    
Spread 6.02% [6],[8],[13] 6.02% [6],[8],[13] 6.02% [6],[8],[13] 6.02% [6],[8],[13] 6.02% [6],[8],[13] 602.00% [10],[12] 602.00% [10],[12] 602.00% [10],[12] 602.00% [10],[12] 602.00% [10],[12]
Interest Rate 10.97% [6],[8],[13] 10.97% [6],[8],[13] 10.97% [6],[8],[13] 10.97% [6],[8],[13] 10.97% [6],[8],[13] 10.03% [10],[12] 10.03% [10],[12] 10.03% [10],[12] 10.03% [10],[12] 10.03% [10],[12]
Par Amount/Units $ 57,401 [6],[8]         $ 57,546 [10],[12]        
Total Investment Portfolio, Amortized Cost 56,738 [6],[8]         56,824 [10],[12]        
Total Investment Portfolio, Fair Value $ 56,113 [6],[8]         $ 55,194 [10],[12]        
Investment, Identifier [Axis]: Jam City, Inc.                    
Spread 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 700.00% [12],[26] 700.00% [12],[26] 700.00% [12],[26] 700.00% [12],[26] 700.00% [12],[26]
Interest Rate 12.16% [8],[13],[25] 12.16% [8],[13],[25] 12.16% [8],[13],[25] 12.16% [8],[13],[25] 12.16% [8],[13],[25] 11.73% [12],[26] 11.73% [12],[26] 11.73% [12],[26] 11.73% [12],[26] 11.73% [12],[26]
Par Amount/Units $ 2,017 [8],[25]         $ 2,201 [12],[26]        
Total Investment Portfolio, Amortized Cost 2,003 [8],[25]         2,183 [12],[26]        
Total Investment Portfolio, Fair Value $ 1,990 [8],[25]         $ 2,148 [12],[26]        
Investment, Identifier [Axis]: Jones Deslauriers Insurance Management Inc.                    
Interest Rate [7],[13],[23] 8.50% 8.50% 8.50% 8.50% 8.50%          
Par Amount/Units [7],[23] $ 7,336                  
Total Investment Portfolio, Amortized Cost [7],[23] 7,336                  
Total Investment Portfolio, Fair Value [7],[23] $ 7,611                  
Investment, Identifier [Axis]: Kobalt London Limited 1                    
Spread 7.00% [6],[7],[8],[13] 7.00% [6],[7],[8],[13] 7.00% [6],[7],[8],[13] 7.00% [6],[7],[8],[13] 7.00% [6],[7],[8],[13] 700.00% [10],[11],[12] 700.00% [10],[11],[12] 700.00% [10],[11],[12] 700.00% [10],[11],[12] 700.00% [10],[11],[12]
Interest Rate 11.79% [6],[7],[8],[13] 11.79% [6],[7],[8],[13] 11.79% [6],[7],[8],[13] 11.79% [6],[7],[8],[13] 11.79% [6],[7],[8],[13] 11.11% [10],[11],[12] 11.11% [10],[11],[12] 11.11% [10],[11],[12] 11.11% [10],[11],[12] 11.11% [10],[11],[12]
Par Amount/Units $ 13,125 [6],[7],[8]         $ 13,125 [10],[11],[12]        
Total Investment Portfolio, Amortized Cost 12,908 [6],[7],[8]         12,900 [10],[11],[12]        
Total Investment Portfolio, Fair Value $ 12,693 [6],[7],[8]         $ 12,775 [10],[11],[12]        
Investment, Identifier [Axis]: Kobalt London Limited 2                    
Spread 7.00% [6],[7],[8],[13] 7.00% [6],[7],[8],[13] 7.00% [6],[7],[8],[13] 7.00% [6],[7],[8],[13] 7.00% [6],[7],[8],[13] 700.00% [10],[11],[12] 700.00% [10],[11],[12] 700.00% [10],[11],[12] 700.00% [10],[11],[12] 700.00% [10],[11],[12]
Interest Rate 12.00% [6],[7],[8],[13] 12.00% [6],[7],[8],[13] 12.00% [6],[7],[8],[13] 12.00% [6],[7],[8],[13] 12.00% [6],[7],[8],[13] 11.66% [10],[11],[12] 11.66% [10],[11],[12] 11.66% [10],[11],[12] 11.66% [10],[11],[12] 11.66% [10],[11],[12]
Par Amount/Units $ 13,125 [6],[7],[8]         $ 13,125 [10],[11],[12]        
Total Investment Portfolio, Amortized Cost 12,909 [6],[7],[8]         12,896 [10],[11],[12]        
Total Investment Portfolio, Fair Value $ 12,693 [6],[7],[8]         $ 12,775 [10],[11],[12]        
Investment, Identifier [Axis]: LHS Borrower, LLC                    
Spread 4.75% [13],[16] 4.75% [13],[16] 4.75% [13],[16] 4.75% [13],[16] 4.75% [13],[16] 475.00% [14] 475.00% [14] 475.00% [14] 475.00% [14] 475.00% [14]
Interest Rate 9.56% [13],[16] 9.56% [13],[16] 9.56% [13],[16] 9.56% [13],[16] 9.56% [13],[16] 9.17% [14] 9.17% [14] 9.17% [14] 9.17% [14] 9.17% [14]
Par Amount/Units $ 19,413 [16]         $ 21,835 [14]        
Total Investment Portfolio, Amortized Cost 19,248 [16]         21,635 [14]        
Total Investment Portfolio, Fair Value $ 15,880 [16]         $ 17,918 [14]        
Investment, Identifier [Axis]: LMI Inc/DE                    
Spread 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14]
Interest Rate 8.59% [13],[16] 8.59% [13],[16] 8.59% [13],[16] 8.59% [13],[16] 8.59% [13],[16] 8.13% [14] 8.13% [14] 8.13% [14] 8.13% [14] 8.13% [14]
Par Amount/Units $ 14,832 [16]         $ 14,870 [14]        
Total Investment Portfolio, Amortized Cost 14,754 [16]         14,784 [14]        
Total Investment Portfolio, Fair Value $ 10,509 [16]         $ 9,383 [14]        
Investment, Identifier [Axis]: MB2 Dental Solutions, LLC 1                    
Spread 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [8],[13],[25] 600.00% [12],[26] 600.00% [12],[26] 600.00% [12],[26] 600.00% [12],[26] 600.00% [12],[26]
Interest Rate 10.91% [8],[13],[25] 10.91% [8],[13],[25] 10.91% [8],[13],[25] 10.91% [8],[13],[25] 10.91% [8],[13],[25] 10.42% [12],[26] 10.42% [12],[26] 10.42% [12],[26] 10.42% [12],[26] 10.42% [12],[26]
Par Amount/Units $ 9,097 [8],[25]         $ 9,120 [12],[26]        
Total Investment Portfolio, Amortized Cost 8,939 [8],[25]         8,950 [12],[26]        
Total Investment Portfolio, Fair Value $ 8,869 [8],[25]         $ 8,808 [12],[26]        
Investment, Identifier [Axis]: MB2 Dental Solutions, LLC 2                    
Spread 6.00% [5],[8],[13],[25] 6.00% [5],[8],[13],[25] 6.00% [5],[8],[13],[25] 6.00% [5],[8],[13],[25] 6.00% [5],[8],[13],[25] 600.00% [9],[12],[26] 600.00% [9],[12],[26] 600.00% [9],[12],[26] 600.00% [9],[12],[26] 600.00% [9],[12],[26]
Interest Rate 10.91% [5],[8],[13],[25] 10.91% [5],[8],[13],[25] 10.91% [5],[8],[13],[25] 10.91% [5],[8],[13],[25] 10.91% [5],[8],[13],[25] 10.71% [9],[12],[26] 10.71% [9],[12],[26] 10.71% [9],[12],[26] 10.71% [9],[12],[26] 10.71% [9],[12],[26]
Par Amount/Units $ 87,247 [5],[8],[25]         $ 87,403 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 60,500 [5],[8],[25]         37,215 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 59,785 [5],[8],[25]         $ 35,806 [9],[12],[26]        
Investment, Identifier [Axis]: MB2 Dental Solutions, LLC 3                    
Spread 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [8],[13],[25] 600.00% [12],[26] 600.00% [12],[26] 600.00% [12],[26] 600.00% [12],[26] 600.00% [12],[26]
Interest Rate 10.91% [8],[13],[25] 10.91% [8],[13],[25] 10.91% [8],[13],[25] 10.91% [8],[13],[25] 10.91% [8],[13],[25] 10.42% [12],[26] 10.42% [12],[26] 10.42% [12],[26] 10.42% [12],[26] 10.42% [12],[26]
Par Amount/Units $ 25,228 [8],[25]         $ 25,293 [12],[26]        
Total Investment Portfolio, Amortized Cost 24,792 [8],[25]         24,823 [12],[26]        
Total Investment Portfolio, Fair Value $ 24,597 [8],[25]         $ 24,429 [12],[26]        
Investment, Identifier [Axis]: MPH Acquisition Holdings LLC                    
Spread 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 425.00% [14] 425.00% [14] 425.00% [14] 425.00% [14] 425.00% [14]
Interest Rate 9.20% [13],[16] 9.20% [13],[16] 9.20% [13],[16] 9.20% [13],[16] 9.20% [13],[16] 8.98% [14] 8.98% [14] 8.98% [14] 8.98% [14] 8.98% [14]
Par Amount/Units $ 4,621 [16]         $ 4,633 [14]        
Total Investment Portfolio, Amortized Cost 4,511 [16]         4,518 [14]        
Total Investment Portfolio, Fair Value $ 3,971 [16]         $ 3,979 [14]        
Investment, Identifier [Axis]: Marble Point CLO XI Ltd                    
Spread 2.80% [7],[13],[23] 2.80% [7],[13],[23] 2.80% [7],[13],[23] 2.80% [7],[13],[23] 2.80% [7],[13],[23] 280.00% [11],[22],[24] 280.00% [11],[22],[24] 280.00% [11],[22],[24] 280.00% [11],[22],[24] 280.00% [11],[22],[24]
Interest Rate 7.59% [7],[13],[23] 7.59% [7],[13],[23] 7.59% [7],[13],[23] 7.59% [7],[13],[23] 7.59% [7],[13],[23] 6.99% [11],[22],[24] 6.99% [11],[22],[24] 6.99% [11],[22],[24] 6.99% [11],[22],[24] 6.99% [11],[22],[24]
Par Amount/Units $ 1,850 [7],[23]         $ 1,850 [11],[24]        
Total Investment Portfolio, Amortized Cost 1,541 [7],[23]         1,534 [11],[24]        
Total Investment Portfolio, Fair Value $ 1,596 [7],[23]         $ 1,580 [11],[24]        
Investment, Identifier [Axis]: Marcone Yellowstone Buyer Inc. 1                    
Spread 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19]
Interest Rate 11.29% [8],[13],[18] 11.29% [8],[13],[18] 11.29% [8],[13],[18] 11.29% [8],[13],[18] 11.29% [8],[13],[18] 10.98% [12],[19] 10.98% [12],[19] 10.98% [12],[19] 10.98% [12],[19] 10.98% [12],[19]
Par Amount/Units $ 12,043 [8],[18]         $ 12,107 [12],[19]        
Total Investment Portfolio, Amortized Cost 11,937 [8],[18]         11,989 [12],[19]        
Total Investment Portfolio, Fair Value $ 11,605 [8],[18]         $ 11,536 [12],[19]        
Investment, Identifier [Axis]: Marcone Yellowstone Buyer Inc. 2                    
Spread 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19]
Interest Rate 11.29% [8],[13],[18] 11.29% [8],[13],[18] 11.29% [8],[13],[18] 11.29% [8],[13],[18] 11.29% [8],[13],[18] 10.98% [12],[19] 10.98% [12],[19] 10.98% [12],[19] 10.98% [12],[19] 10.98% [12],[19]
Par Amount/Units $ 50,245 [8],[18]         $ 50,373 [12],[19]        
Total Investment Portfolio, Amortized Cost 49,576 [8],[18]         49,661 [12],[19]        
Total Investment Portfolio, Fair Value $ 48,419 [8],[18]         $ 47,997 [12],[19]        
Investment, Identifier [Axis]: Marcone Yellowstone Buyer Inc. 3                    
Spread 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19]
Interest Rate 11.14% [8],[13],[18] 11.14% [8],[13],[18] 11.14% [8],[13],[18] 11.14% [8],[13],[18] 11.14% [8],[13],[18] 10.90% [12],[19] 10.90% [12],[19] 10.90% [12],[19] 10.90% [12],[19] 10.90% [12],[19]
Par Amount/Units $ 4,429 [8],[18]         $ 4,440 [12],[19]        
Total Investment Portfolio, Amortized Cost 4,391 [8],[18]         4,399 [12],[19]        
Total Investment Portfolio, Fair Value $ 4,268 [8],[18]         $ 4,231 [12],[19]        
Investment, Identifier [Axis]: Marcone Yellowstone Buyer Inc. 4                    
Spread 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 6.25% [8],[13],[18] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19] 625.00% [12],[19]
Interest Rate 11.29% [8],[13],[18] 11.29% [8],[13],[18] 11.29% [8],[13],[18] 11.29% [8],[13],[18] 11.29% [8],[13],[18] 10.98% [12],[19] 10.98% [12],[19] 10.98% [12],[19] 10.98% [12],[19] 10.98% [12],[19]
Par Amount/Units $ 13,329 [8],[18]         $ 13,363 [12],[19]        
Total Investment Portfolio, Amortized Cost 13,214 [8],[18]         13,239 [12],[19]        
Total Investment Portfolio, Fair Value $ 12,845 [8],[18]         $ 12,733 [12],[19]        
Investment, Identifier [Axis]: Mav Acquisition Corporation                    
Spread 4.75% [13],[16] 4.75% [13],[16] 4.75% [13],[16] 4.75% [13],[16] 4.75% [13],[16] 475.00% [14] 475.00% [14] 475.00% [14] 475.00% [14] 475.00% [14]
Interest Rate 9.70% [13],[16] 9.70% [13],[16] 9.70% [13],[16] 9.70% [13],[16] 9.70% [13],[16] 8.32% [14] 8.32% [14] 8.32% [14] 8.32% [14] 8.32% [14]
Par Amount/Units $ 13,834 [16]         $ 13,870 [14]        
Total Investment Portfolio, Amortized Cost 13,711 [16]         13,742 [14]        
Total Investment Portfolio, Fair Value $ 12,963 [16]         $ 13,094 [14]        
Investment, Identifier [Axis]: Mcafee Corp.                    
Spread 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14]
Interest Rate 8.52% [13],[16] 8.52% [13],[16] 8.52% [13],[16] 8.52% [13],[16] 8.52% [13],[16] 7.97% [14] 7.97% [14] 7.97% [14] 7.97% [14] 7.97% [14]
Par Amount/Units $ 7,940 [16]         $ 7,960 [14]        
Total Investment Portfolio, Amortized Cost 7,909 [16]         7,924 [14]        
Total Investment Portfolio, Fair Value $ 7,489 [16]         $ 7,431 [14]        
Investment, Identifier [Axis]: Mckissock Investment Holdings, LLC                    
Spread 5.00% [6],[13] 5.00% [6],[13] 5.00% [6],[13] 5.00% [6],[13] 5.00% [6],[13] 500.00% [10] 500.00% [10] 500.00% [10] 500.00% [10] 500.00% [10]
Interest Rate 10.26% [6],[13] 10.26% [6],[13] 10.26% [6],[13] 10.26% [6],[13] 10.26% [6],[13] 8.73% [10] 8.73% [10] 8.73% [10] 8.73% [10] 8.73% [10]
Par Amount/Units $ 15,999 [6]         $ 25,440 [10]        
Total Investment Portfolio, Amortized Cost 15,861 [6]         25,212 [10]        
Total Investment Portfolio, Fair Value $ 15,426 [6]         $ 23,810 [10]        
Investment, Identifier [Axis]: Medallia, Inc.                    
Spread [6],[8],[13] 6.50% 6.50% 6.50% 6.50% 6.50%          
Interest Rate 11.34% [6],[8],[13] 11.34% [6],[8],[13] 11.34% [6],[8],[13] 11.34% [6],[8],[13] 11.34% [6],[8],[13] 10.88% [10],[12] 10.88% [10],[12] 10.88% [10],[12] 10.88% [10],[12] 10.88% [10],[12]
Interest Rate, PIK 5.67% [6],[8],[13] 5.67% [6],[8],[13] 5.67% [6],[8],[13] 5.67% [6],[8],[13] 5.67% [6],[8],[13] 6.50% [10],[12] 6.50% [10],[12] 6.50% [10],[12] 6.50% [10],[12] 6.50% [10],[12]
Par Amount/Units $ 74,524 [6],[8]         $ 73,495 [10],[12]        
Total Investment Portfolio, Amortized Cost 74,524 [6],[8]         73,495 [10],[12]        
Total Investment Portfolio, Fair Value $ 71,804 [6],[8]         $ 69,997 [10],[12]        
Investment, Identifier [Axis]: Medline Borrower, LP                    
Spread 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14]
Interest Rate 8.09% [13],[16] 8.09% [13],[16] 8.09% [13],[16] 8.09% [13],[16] 8.09% [13],[16] 7.63% [14] 7.63% [14] 7.63% [14] 7.63% [14] 7.63% [14]
Par Amount/Units $ 19,798 [16]         $ 19,848 [14]        
Total Investment Portfolio, Amortized Cost 19,608 [16]         19,644 [14]        
Total Investment Portfolio, Fair Value $ 19,329 [16]         $ 18,897 [14]        
Investment, Identifier [Axis]: Meriplex Communications, Ltd 1                    
Spread 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 500.00% [9],[10],[12],[22] 500.00% [9],[10],[12],[22] 500.00% [9],[10],[12],[22] 500.00% [9],[10],[12],[22] 500.00% [9],[10],[12],[22]
Interest Rate 9.86% [5],[6],[8],[13] 9.86% [5],[6],[8],[13] 9.86% [5],[6],[8],[13] 9.86% [5],[6],[8],[13] 9.86% [5],[6],[8],[13] 9.42% [9],[10],[12],[22] 9.42% [9],[10],[12],[22] 9.42% [9],[10],[12],[22] 9.42% [9],[10],[12],[22] 9.42% [9],[10],[12],[22]
Par Amount/Units $ 4,947 [5],[6],[8]         $ 4,952 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 1,266 [5],[6],[8]         1,268 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 1,212 [5],[6],[8]         $ 1,163 [9],[10],[12]        
Investment, Identifier [Axis]: Meriplex Communications, Ltd 2                    
Spread 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 500.00% [9],[10],[12],[22] 500.00% [9],[10],[12],[22] 500.00% [9],[10],[12],[22] 500.00% [9],[10],[12],[22] 500.00% [9],[10],[12],[22]
Interest Rate 9.86% [5],[6],[8],[13] 9.86% [5],[6],[8],[13] 9.86% [5],[6],[8],[13] 9.86% [5],[6],[8],[13] 9.86% [5],[6],[8],[13] 9.42% [9],[10],[12],[22] 9.42% [9],[10],[12],[22] 9.42% [9],[10],[12],[22] 9.42% [9],[10],[12],[22] 9.42% [9],[10],[12],[22]
Par Amount/Units $ 1,143 [5],[6],[8]         $ 1,143 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 518 [5],[6],[8]         98 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 506 [5],[6],[8]         $ 74 [9],[10],[12]        
Investment, Identifier [Axis]: Meriplex Communications, Ltd 3                    
Spread 5.00% [6],[8],[13] 5.00% [6],[8],[13] 5.00% [6],[8],[13] 5.00% [6],[8],[13] 5.00% [6],[8],[13] 500.00% [10],[12],[22] 500.00% [10],[12],[22] 500.00% [10],[12],[22] 500.00% [10],[12],[22] 500.00% [10],[12],[22]
Interest Rate 9.86% [6],[8],[13] 9.86% [6],[8],[13] 9.86% [6],[8],[13] 9.86% [6],[8],[13] 9.86% [6],[8],[13] 9.42% [10],[12],[22] 9.42% [10],[12],[22] 9.42% [10],[12],[22] 9.42% [10],[12],[22] 9.42% [10],[12],[22]
Par Amount/Units $ 13,855 [6],[8]         $ 13,905 [10],[12]        
Total Investment Portfolio, Amortized Cost 13,668 [6],[8]         13,706 [10],[12]        
Total Investment Portfolio, Fair Value $ 13,521 [6],[8]         $ 13,416 [10],[12]        
Investment, Identifier [Axis]: Mitchell International, Inc.                    
Spread 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 3.75% [13],[16] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14] 375.00% [14]
Interest Rate 8.50% [13],[16] 8.50% [13],[16] 8.50% [13],[16] 8.50% [13],[16] 8.50% [13],[16] 8.41% [14] 8.41% [14] 8.41% [14] 8.41% [14] 8.41% [14]
Par Amount/Units $ 19,739 [16]         $ 19,788 [14]        
Total Investment Portfolio, Amortized Cost 19,434 [16]         19,464 [14]        
Total Investment Portfolio, Fair Value $ 18,712 [16]         $ 18,294 [14]        
Investment, Identifier [Axis]: Monroe Capital MML CLO XIV LLC                    
Spread 10.02% [7],[13],[23] 10.02% [7],[13],[23] 10.02% [7],[13],[23] 10.02% [7],[13],[23] 10.02% [7],[13],[23] 1002.00% [11],[22],[24] 1002.00% [11],[22],[24] 1002.00% [11],[22],[24] 1002.00% [11],[22],[24] 1002.00% [11],[22],[24]
Interest Rate 14.08% [7],[13],[23] 14.08% [7],[13],[23] 14.08% [7],[13],[23] 14.08% [7],[13],[23] 14.08% [7],[13],[23] 14.08% [11],[22],[24] 14.08% [11],[22],[24] 14.08% [11],[22],[24] 14.08% [11],[22],[24] 14.08% [11],[22],[24]
Par Amount/Units $ 2,500 [7],[23]         $ 2,500 [11],[24]        
Total Investment Portfolio, Amortized Cost 2,332 [7],[23]         2,328 [11],[24]        
Total Investment Portfolio, Fair Value 2,375 [7],[23]         2,345 [11],[24]        
Investment, Identifier [Axis]: NBG Acquisition Corp. 1                    
Par Amount/Units 952 [5],[6],[8]         952 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (11) [5],[6],[8]         (12) [9],[10],[12]        
Total Investment Portfolio, Fair Value (37) [5],[6],[8]         (67) [9],[10],[12]        
Investment, Identifier [Axis]: NBG Acquisition Corp. 2                    
Par Amount/Units 18,760 [5],[6],[8]         18,760 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (245) [5],[6],[8]         (256) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (720) [5],[6],[8]         $ (1,319) [9],[10],[12]        
Investment, Identifier [Axis]: NBG Acquisition Corp. 3                    
Spread 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 525.00% [9],[10],[12] 525.00% [9],[10],[12] 525.00% [9],[10],[12] 525.00% [9],[10],[12] 525.00% [9],[10],[12]
Interest Rate 10.30% [5],[6],[8],[13] 10.30% [5],[6],[8],[13] 10.30% [5],[6],[8],[13] 10.30% [5],[6],[8],[13] 10.30% [5],[6],[8],[13] 9.66% [9],[10],[12] 9.66% [9],[10],[12] 9.66% [9],[10],[12] 9.66% [9],[10],[12] 9.66% [9],[10],[12]
Par Amount/Units $ 2,876 [5],[6],[8]         $ 2,876 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 1,666 [5],[6],[8]         1,415 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 1,654 [5],[6],[8]         $ 1,316 [9],[10],[12]        
Investment, Identifier [Axis]: NBG Acquisition Corp. 4                    
Spread 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12]
Interest Rate 10.08% [6],[8],[13] 10.08% [6],[8],[13] 10.08% [6],[8],[13] 10.08% [6],[8],[13] 10.08% [6],[8],[13] 9.66% [10],[12] 9.66% [10],[12] 9.66% [10],[12] 9.66% [10],[12] 9.66% [10],[12]
Par Amount/Units $ 21,498 [6],[8]         $ 21,553 [10],[12]        
Total Investment Portfolio, Amortized Cost 21,365 [6],[8]         21,407 [10],[12]        
Total Investment Portfolio, Fair Value $ 20,674 [6],[8]         $ 20,038 [10],[12]        
Investment, Identifier [Axis]: New Era Technology, Inc.                    
Spread 6.25% [8],[13],[25] 6.25% [8],[13],[25] 6.25% [8],[13],[25] 6.25% [8],[13],[25] 6.25% [8],[13],[25] 625.00% [12],[26] 625.00% [12],[26] 625.00% [12],[26] 625.00% [12],[26] 625.00% [12],[26]
Interest Rate 11.08% [8],[13],[25] 11.08% [8],[13],[25] 11.08% [8],[13],[25] 11.08% [8],[13],[25] 11.08% [8],[13],[25] 10.66% [12],[26] 10.66% [12],[26] 10.66% [12],[26] 10.66% [12],[26] 10.66% [12],[26]
Par Amount/Units $ 19,798 [8],[25]         $ 19,849 [12],[26]        
Total Investment Portfolio, Amortized Cost 19,798 [8],[25]         19,849 [12],[26]        
Total Investment Portfolio, Fair Value 19,256 [8],[25]         19,128 [12],[26]        
Investment, Identifier [Axis]: Nexus Intermediate III, LLC 1                    
Par Amount/Units 300 [5],[6],[8]         300 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (4) [5],[6],[8]         (4) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 0 [5],[6],[8]         $ (3) [9],[10],[12]        
Investment, Identifier [Axis]: Nexus Intermediate III, LLC 2                    
Spread 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 550.00% [10],[12],[22] 550.00% [10],[12],[22] 550.00% [10],[12],[22] 550.00% [10],[12],[22] 550.00% [10],[12],[22]
Interest Rate 10.82% [6],[8],[13] 10.82% [6],[8],[13] 10.82% [6],[8],[13] 10.82% [6],[8],[13] 10.82% [6],[8],[13] 10.22% [10],[12],[22] 10.22% [10],[12],[22] 10.22% [10],[12],[22] 10.22% [10],[12],[22] 10.22% [10],[12],[22]
Par Amount/Units $ 1,073 [6],[8]         $ 1,176 [10],[12]        
Total Investment Portfolio, Amortized Cost 1,058 [6],[8]         1,159 [10],[12]        
Total Investment Portfolio, Fair Value $ 1,073 [6],[8]         $ 1,165 [10],[12]        
Investment, Identifier [Axis]: OCP CLO 2017-14 Ltd                    
Spread 6.80% [7],[13],[23] 6.80% [7],[13],[23] 6.80% [7],[13],[23] 6.80% [7],[13],[23] 6.80% [7],[13],[23] 680.00% [11],[22],[24] 680.00% [11],[22],[24] 680.00% [11],[22],[24] 680.00% [11],[22],[24] 680.00% [11],[22],[24]
Interest Rate 11.43% [7],[13],[23] 11.43% [7],[13],[23] 11.43% [7],[13],[23] 11.43% [7],[13],[23] 11.43% [7],[13],[23] 10.66% [11],[22],[24] 10.66% [11],[22],[24] 10.66% [11],[22],[24] 10.66% [11],[22],[24] 10.66% [11],[22],[24]
Par Amount/Units $ 1,469 [7],[23]         $ 1,469 [11],[24]        
Total Investment Portfolio, Amortized Cost 1,276 [7],[23]         1,273 [11],[24]        
Total Investment Portfolio, Fair Value $ 1,342 [7],[23]         $ 1,326 [11],[24]        
Investment, Identifier [Axis]: OEG Borrower LLC                    
Spread 500.00% [8],[13],[16] 500.00% [8],[13],[16] 500.00% [8],[13],[16] 500.00% [8],[13],[16] 500.00% [8],[13],[16] 500.00% [12],[14] 500.00% [12],[14] 500.00% [12],[14] 500.00% [12],[14] 500.00% [12],[14]
Interest Rate 9.84% [8],[13],[16] 9.84% [8],[13],[16] 9.84% [8],[13],[16] 9.84% [8],[13],[16] 9.84% [8],[13],[16] 9.60% [12],[14] 9.60% [12],[14] 9.60% [12],[14] 9.60% [12],[14] 9.60% [12],[14]
Par Amount/Units $ 39,800 [8],[16]         $ 39,900 [12],[14]        
Total Investment Portfolio, Amortized Cost 38,346 [8],[16]         38,393 [12],[14]        
Total Investment Portfolio, Fair Value $ 39,402 [8],[16]         $ 39,002 [12],[14]        
Investment, Identifier [Axis]: Oil Changer Holding Corporation 1                    
Spread 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 675.00% [12],[22],[26] 675.00% [12],[22],[26] 675.00% [12],[22],[26] 675.00% [12],[22],[26] 675.00% [12],[22],[26]
Interest Rate 12.10% [8],[13],[25] 12.10% [8],[13],[25] 12.10% [8],[13],[25] 12.10% [8],[13],[25] 12.10% [8],[13],[25] 11.47% [12],[22],[26] 11.47% [12],[22],[26] 11.47% [12],[22],[26] 11.47% [12],[22],[26] 11.47% [12],[22],[26]
Par Amount/Units $ 40,908 [8],[25]         $ 41,012 [12],[26]        
Total Investment Portfolio, Amortized Cost 40,571 [8],[25]         40,646 [12],[26]        
Total Investment Portfolio, Fair Value $ 40,070 [8],[25]         $ 39,813 [12],[26]        
Investment, Identifier [Axis]: Oil Changer Holding Corporation 2                    
Spread 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 675.00% [12],[22],[26] 675.00% [12],[22],[26] 675.00% [12],[22],[26] 675.00% [12],[22],[26] 675.00% [12],[22],[26]
Interest Rate 12.10% [8],[13],[25] 12.10% [8],[13],[25] 12.10% [8],[13],[25] 12.10% [8],[13],[25] 12.10% [8],[13],[25] 11.47% [12],[22],[26] 11.47% [12],[22],[26] 11.47% [12],[22],[26] 11.47% [12],[22],[26] 11.47% [12],[22],[26]
Par Amount/Units $ 8,589 [8],[25]         $ 8,611 [12],[26]        
Total Investment Portfolio, Amortized Cost 8,520 [8],[25]         8,535 [12],[26]        
Total Investment Portfolio, Fair Value $ 8,413 [8],[25]         $ 8,359 [12],[26]        
Investment, Identifier [Axis]: Onedigital Borrower LLC                    
Spread 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 425.00% [14] 425.00% [14] 425.00% [14] 425.00% [14] 425.00% [14]
Interest Rate 9.16% [13],[16] 9.16% [13],[16] 9.16% [13],[16] 9.16% [13],[16] 9.16% [13],[16] 8.49% [14] 8.49% [14] 8.49% [14] 8.49% [14] 8.49% [14]
Par Amount/Units $ 5,925 [16]         $ 5,940 [14]        
Total Investment Portfolio, Amortized Cost 5,916 [16]         5,928 [14]        
Total Investment Portfolio, Fair Value $ 5,718 [16]         $ 5,628 [14]        
Investment, Identifier [Axis]: Oneteam Partners, LLC                    
Spread 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12]
Interest Rate 10.88% [6],[8],[13] 10.88% [6],[8],[13] 10.88% [6],[8],[13] 10.88% [6],[8],[13] 10.88% [6],[8],[13] 9.41% [10],[12] 9.41% [10],[12] 9.41% [10],[12] 9.41% [10],[12] 9.41% [10],[12]
Par Amount/Units $ 74,813 [6],[8]         $ 75,000 [10],[12]        
Total Investment Portfolio, Amortized Cost 73,428 [6],[8]         73,554 [10],[12]        
Total Investment Portfolio, Fair Value 74,813 [6],[8]         $ 72,467 [10],[12]        
Investment, Identifier [Axis]: Oneteam Partners, LLC - Preferred Shares                    
Interest Rate [12],[22],[27]           8.00% 8.00% 8.00% 8.00% 8.00%
Par Amount/Units 1,000 [8],[17]         $ 1,000 [12],[27]        
Total Investment Portfolio, Amortized Cost 1,000 [8],[17]         1,000 [12],[27]        
Total Investment Portfolio, Fair Value $ 1,055 [8],[17]         $ 1,064 [12],[27]        
Investment, Identifier [Axis]: Openmarket Inc.                    
Spread 6.25% [6],[7],[13] 6.25% [6],[7],[13] 6.25% [6],[7],[13] 6.25% [6],[7],[13] 6.25% [6],[7],[13] 625.00% [10],[11],[12],[22] 625.00% [10],[11],[12],[22] 625.00% [10],[11],[12],[22] 625.00% [10],[11],[12],[22] 625.00% [10],[11],[12],[22]
Interest Rate 11.41% [6],[7],[13] 11.41% [6],[7],[13] 11.41% [6],[7],[13] 11.41% [6],[7],[13] 11.41% [6],[7],[13] 10.98% [10],[11],[12],[22] 10.98% [10],[11],[12],[22] 10.98% [10],[11],[12],[22] 10.98% [10],[11],[12],[22] 10.98% [10],[11],[12],[22]
Par Amount/Units $ 4,925 [6],[7]         $ 4,938 [10],[11],[12]        
Total Investment Portfolio, Amortized Cost 4,835 [6],[7]         4,841 [10],[11],[12]        
Total Investment Portfolio, Fair Value 4,833 [6],[7]         $ 4,714 [10],[11],[12]        
Investment, Identifier [Axis]: Oranje Holdco, Inc. 1                    
Par Amount/Units [5],[8],[25] 4,657                  
Total Investment Portfolio, Amortized Cost [5],[8],[25] (113)                  
Total Investment Portfolio, Fair Value [5],[8],[25] $ (113)                  
Investment, Identifier [Axis]: Oranje Holdco, Inc. 2                    
Spread [8],[13],[25] 7.75% 7.75% 7.75% 7.75% 7.75%          
Interest Rate [8],[13],[25] 12.43% 12.43% 12.43% 12.43% 12.43%          
Par Amount/Units [8],[25] $ 33,837                  
Total Investment Portfolio, Amortized Cost [8],[25] 33,024                  
Total Investment Portfolio, Fair Value [8],[25] $ 33,014                  
Investment, Identifier [Axis]: PCP CW Aggregator Holdings II, L.P.                    
Spread 7.25% [7],[8],[13],[25] 7.25% [7],[8],[13],[25] 7.25% [7],[8],[13],[25] 7.25% [7],[8],[13],[25] 7.25% [7],[8],[13],[25] 725.00% [11],[12],[26] 725.00% [11],[12],[26] 725.00% [11],[12],[26] 725.00% [11],[12],[26] 725.00% [11],[12],[26]
Interest Rate 12.69% [7],[8],[13],[25] 12.69% [7],[8],[13],[25] 12.69% [7],[8],[13],[25] 12.69% [7],[8],[13],[25] 12.69% [7],[8],[13],[25] 8.35% [11],[12],[26] 8.35% [11],[12],[26] 8.35% [11],[12],[26] 8.35% [11],[12],[26] 8.35% [11],[12],[26]
Par Amount/Units $ 18,186 [7],[8],[25]         $ 18,186 [11],[12],[26]        
Total Investment Portfolio, Amortized Cost 17,900 [7],[8],[25]         17,877 [11],[12],[26]        
Total Investment Portfolio, Fair Value $ 17,599 [7],[8],[25]         $ 17,431 [11],[12],[26]        
Investment, Identifier [Axis]: PECF USS Intermediate Holding III Corporation                    
Spread 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 425.00% [14],[22] 425.00% [14],[22] 425.00% [14],[22] 425.00% [14],[22] 425.00% [14],[22]
Interest Rate 9.09% [13],[16] 9.09% [13],[16] 9.09% [13],[16] 9.09% [13],[16] 9.09% [13],[16] 8.63% [14],[22] 8.63% [14],[22] 8.63% [14],[22] 8.63% [14],[22] 8.63% [14],[22]
Par Amount/Units $ 14,825 [16]         $ 14,862 [14]        
Total Investment Portfolio, Amortized Cost 14,749 [16]         14,781 [14]        
Total Investment Portfolio, Fair Value 12,560 [16]         12,448 [14]        
Investment, Identifier [Axis]: PPV Intermediate Holdings, LLC 1                    
Par Amount/Units 4,770 [5],[6],[8]         13,671 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (11) [5],[6],[8]         (138) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (124) [5],[6],[8]         $ (520) [9],[10],[12]        
Investment, Identifier [Axis]: PPV Intermediate Holdings, LLC 2                    
Spread 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12]
Interest Rate 10.88% [6],[8],[13] 10.88% [6],[8],[13] 10.88% [6],[8],[13] 10.88% [6],[8],[13] 10.88% [6],[8],[13] 9.01% [10],[12] 9.01% [10],[12] 9.01% [10],[12] 9.01% [10],[12] 9.01% [10],[12]
Par Amount/Units $ 111,286 [6],[8]         $ 102,385 [10],[12]        
Total Investment Portfolio, Amortized Cost 109,344 [6],[8]         100,472 [10],[12]        
Total Investment Portfolio, Fair Value 108,391 [6],[8]         $ 98,488 [10],[12]        
Investment, Identifier [Axis]: PPV Intermediate Holdings, LLC 3                    
Spread [9],[10],[12]           575.00% 575.00% 575.00% 575.00% 575.00%
Interest Rate [9],[10],[12]           10.07% 10.07% 10.07% 10.07% 10.07%
Par Amount/Units 8,721 [5],[6],[8]         $ 8,721 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (22) [5],[6],[8]         2,268 [9],[10],[12]        
Total Investment Portfolio, Fair Value (227) [5],[6],[8]         2,023 [9],[10],[12]        
Investment, Identifier [Axis]: PTSH Intermediate Holdings, LLC 1                    
Par Amount/Units 3,953 [5],[6],[8]         3,953 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (68) [5],[6],[8]         (72) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (217) [5],[6],[8]         $ (261) [9],[10],[12]        
Investment, Identifier [Axis]: PTSH Intermediate Holdings, LLC 2                    
Spread 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12]
Interest Rate 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.91% [6],[8],[13] 10.48% [10],[12] 10.48% [10],[12] 10.48% [10],[12] 10.48% [10],[12] 10.48% [10],[12]
Par Amount/Units $ 20,837 [6],[8]         $ 20,889 [10],[12]        
Total Investment Portfolio, Amortized Cost 20,500 [6],[8]         20,531 [10],[12]        
Total Investment Portfolio, Fair Value $ 19,693 [6],[8]         $ 19,509 [10],[12]        
Investment, Identifier [Axis]: Patriot Growth Insurance Services, LLC 1                    
Spread 5.75% [5],[6],[8],[13] 5.75% [5],[6],[8],[13] 5.75% [5],[6],[8],[13] 5.75% [5],[6],[8],[13] 5.75% [5],[6],[8],[13] 575.00% [9],[10],[12] 575.00% [9],[10],[12] 575.00% [9],[10],[12] 575.00% [9],[10],[12] 575.00% [9],[10],[12]
Interest Rate 10.89% [5],[6],[8],[13] 10.89% [5],[6],[8],[13] 10.89% [5],[6],[8],[13] 10.89% [5],[6],[8],[13] 10.89% [5],[6],[8],[13] 10.47% [9],[10],[12] 10.47% [9],[10],[12] 10.47% [9],[10],[12] 10.47% [9],[10],[12] 10.47% [9],[10],[12]
Par Amount/Units $ 18,286 [5],[6],[8]         $ 18,297 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 4,010 [5],[6],[8]         976 [9],[10],[12]        
Total Investment Portfolio, Fair Value 4,025 [5],[6],[8]         814 [9],[10],[12]        
Investment, Identifier [Axis]: Patriot Growth Insurance Services, LLC 2                    
Par Amount/Units 822 [5],[6],[8]         822 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (13) [5],[6],[8]         (14) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (14) [5],[6],[8]         $ (22) [9],[10],[12]        
Investment, Identifier [Axis]: Patriot Growth Insurance Services, LLC 3                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12]
Interest Rate 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 8.56% [10],[12] 8.56% [10],[12] 8.56% [10],[12] 8.56% [10],[12] 8.56% [10],[12]
Par Amount/Units $ 7,242 [6],[8]         $ 7,260 [10],[12]        
Total Investment Portfolio, Amortized Cost 7,121 [6],[8]         7,133 [10],[12]        
Total Investment Portfolio, Fair Value $ 7,119 [6],[8]         $ 7,061 [10],[12]        
Investment, Identifier [Axis]: Pediatric Associates Holding Company, LLC 1                    
Spread 3.25% [5],[13],[16] 3.25% [5],[13],[16] 3.25% [5],[13],[16] 3.25% [5],[13],[16] 3.25% [5],[13],[16] 325.00% [9],[14] 325.00% [9],[14] 325.00% [9],[14] 325.00% [9],[14] 325.00% [9],[14]
Interest Rate 8.09% [5],[13],[16] 8.09% [5],[13],[16] 8.09% [5],[13],[16] 8.09% [5],[13],[16] 8.09% [5],[13],[16] 7.63% [9],[14] 7.63% [9],[14] 7.63% [9],[14] 7.63% [9],[14] 7.63% [9],[14]
Par Amount/Units $ 1,027 [5],[16]         $ 1,029 [9],[14]        
Total Investment Portfolio, Amortized Cost 868 [5],[16]         508 [9],[14]        
Total Investment Portfolio, Fair Value $ 852 [5],[16]         $ 463 [9],[14]        
Investment, Identifier [Axis]: Pediatric Associates Holding Company, LLC 2                    
Spread 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14]
Interest Rate 8.09% [13],[16] 8.09% [13],[16] 8.09% [13],[16] 8.09% [13],[16] 8.09% [13],[16] 7.63% [14] 7.63% [14] 7.63% [14] 7.63% [14] 7.63% [14]
Par Amount/Units $ 6,749 [16]         $ 6,766 [14]        
Total Investment Portfolio, Amortized Cost 6,723 [16]         6,737 [14]        
Total Investment Portfolio, Fair Value $ 6,616 [16]         $ 6,442 [14]        
Investment, Identifier [Axis]: Peraton Inc.                    
Spread 3.75% [6],[13] 3.75% [6],[13] 3.75% [6],[13] 3.75% [6],[13] 3.75% [6],[13] 375.00% [10] 375.00% [10] 375.00% [10] 375.00% [10] 375.00% [10]
Interest Rate 8.59% [6],[13] 8.59% [6],[13] 8.59% [6],[13] 8.59% [6],[13] 8.59% [6],[13] 8.13% [10] 8.13% [10] 8.13% [10] 8.13% [10] 8.13% [10]
Par Amount/Units $ 8,694 [6]         $ 3,717 [10]        
Total Investment Portfolio, Amortized Cost 8,590 [6]         3,719 [10]        
Total Investment Portfolio, Fair Value $ 8,604 [6]         $ 3,636 [10]        
Investment, Identifier [Axis]: Perforce Software, Inc.                    
Spread 4.50% [8],[13],[16] 4.50% [8],[13],[16] 4.50% [8],[13],[16] 4.50% [8],[13],[16] 4.50% [8],[13],[16] 450.00% [12],[14] 450.00% [12],[14] 450.00% [12],[14] 450.00% [12],[14] 450.00% [12],[14]
Interest Rate 9.31% [8],[13],[16] 9.31% [8],[13],[16] 9.31% [8],[13],[16] 9.31% [8],[13],[16] 9.31% [8],[13],[16] 8.82% [12],[14] 8.82% [12],[14] 8.82% [12],[14] 8.82% [12],[14] 8.82% [12],[14]
Par Amount/Units $ 19,850 [8],[16]         $ 19,900 [12],[14]        
Total Investment Portfolio, Amortized Cost 19,447 [8],[16]         19,464 [12],[14]        
Total Investment Portfolio, Fair Value $ 19,239 [8],[16]         $ 19,105 [12],[14]        
Investment, Identifier [Axis]: PerkinElmer U.S. LLC                    
Spread [8],[13],[25] 6.75% 6.75% 6.75% 6.75% 6.75%          
Interest Rate [8],[13],[25] 11.86% 11.86% 11.86% 11.86% 11.86%          
Par Amount/Units [8],[25] $ 112,630                  
Total Investment Portfolio, Amortized Cost [8],[25] 108,666                  
Total Investment Portfolio, Fair Value [8],[25] $ 109,279                  
Investment, Identifier [Axis]: Petsmart LLC                    
Spread 3.75% [6],[13] 3.75% [6],[13] 3.75% [6],[13] 3.75% [6],[13] 3.75% [6],[13] 375.00% [10] 375.00% [10] 375.00% [10] 375.00% [10] 375.00% [10]
Interest Rate 8.66% [6],[13] 8.66% [6],[13] 8.66% [6],[13] 8.66% [6],[13] 8.66% [6],[13] 8.13% [10] 8.13% [10] 8.13% [10] 8.13% [10] 8.13% [10]
Par Amount/Units $ 10,524 [6]         $ 10,550 [10]        
Total Investment Portfolio, Amortized Cost 10,460 [6]         10,481 [10]        
Total Investment Portfolio, Fair Value $ 10,456 [6]         $ 10,356 [10]        
Investment, Identifier [Axis]: Petvet Care Centers LLC                    
Spread 3.50% [6],[13] 3.50% [6],[13] 3.50% [6],[13] 3.50% [6],[13] 3.50% [6],[13] 350.00% [10] 350.00% [10] 350.00% [10] 350.00% [10] 350.00% [10]
Interest Rate 8.34% [6],[13] 8.34% [6],[13] 8.34% [6],[13] 8.34% [6],[13] 8.34% [6],[13] 7.88% [10] 7.88% [10] 7.88% [10] 7.88% [10] 7.88% [10]
Par Amount/Units $ 7,703 [6]         $ 7,723 [10]        
Total Investment Portfolio, Amortized Cost 7,658 [6]         7,670 [10]        
Total Investment Portfolio, Fair Value $ 7,456 [6]         $ 7,282 [10]        
Investment, Identifier [Axis]: Phoenix Newco Inc                    
Spread 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14]
Interest Rate 8.09% [13],[16] 8.09% [13],[16] 8.09% [13],[16] 8.09% [13],[16] 8.09% [13],[16] 7.63% [14] 7.63% [14] 7.63% [14] 7.63% [14] 7.63% [14]
Par Amount/Units $ 17,701 [16]         $ 17,746 [14]        
Total Investment Portfolio, Amortized Cost 17,589 [16]         17,624 [14]        
Total Investment Portfolio, Fair Value 17,528 [16]         $ 17,130 [14]        
Investment, Identifier [Axis]: Picard Holdco, Inc. - Preferred Shares 1                    
Interest Rate [12],[14],[22]           16.59% 16.59% 16.59% 16.59% 16.59%
Interest Rate, PIK [12],[14],[22]           12.00% 12.00% 12.00% 12.00% 12.00%
Par Amount/Units 1,000 [8],[16]         $ 1,000 [12],[14]        
Total Investment Portfolio, Amortized Cost 970 [8],[16]         970 [12],[14]        
Total Investment Portfolio, Fair Value 1,072 [8],[16]         $ 1,012 [12],[14]        
Investment, Identifier [Axis]: Picard Holdco, Inc. - Preferred Shares 2                    
Interest Rate [12],[14],[22]           16.59% 16.59% 16.59% 16.59% 16.59%
Interest Rate, PIK [12],[14],[22]           12.00% 12.00% 12.00% 12.00% 12.00%
Par Amount/Units 30 [8],[16]         $ 30 [12],[14]        
Total Investment Portfolio, Amortized Cost 30 [8],[16]         30 [12],[14]        
Total Investment Portfolio, Fair Value 33 [8],[16]         32 [12],[14]        
Investment, Identifier [Axis]: Ping Identity Holding Corp. 1                    
Par Amount/Units 6,068 [5],[6],[8]         6,068 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (142) [5],[6],[8]         (147) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (128) [5],[6],[8]         $ (147) [9],[10],[12]        
Investment, Identifier [Axis]: Ping Identity Holding Corp. 2                    
Spread 7.00% [6],[8],[13] 7.00% [6],[8],[13] 7.00% [6],[8],[13] 7.00% [6],[8],[13] 7.00% [6],[8],[13] 700.00% [10],[12] 700.00% [10],[12] 700.00% [10],[12] 700.00% [10],[12] 700.00% [10],[12]
Interest Rate 11.76% [6],[8],[13] 11.76% [6],[8],[13] 11.76% [6],[8],[13] 11.76% [6],[8],[13] 11.76% [6],[8],[13] 11.32% [10],[12] 11.32% [10],[12] 11.32% [10],[12] 11.32% [10],[12] 11.32% [10],[12]
Par Amount/Units $ 59,003 [6],[8]         $ 59,003 [10],[12]        
Total Investment Portfolio, Amortized Cost 57,597 [6],[8]         57,538 [10],[12]        
Total Investment Portfolio, Fair Value $ 57,759 [6],[8]         $ 57,571 [10],[12]        
Investment, Identifier [Axis]: Pinnacle Fertility, Inc. 1                    
Spread 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 450.00% [9],[10],[12] 450.00% [9],[10],[12] 450.00% [9],[10],[12] 450.00% [9],[10],[12] 450.00% [9],[10],[12]
Interest Rate 10.55% [5],[6],[8],[13] 10.55% [5],[6],[8],[13] 10.55% [5],[6],[8],[13] 10.55% [5],[6],[8],[13] 10.55% [5],[6],[8],[13] 9.23% [9],[10],[12] 9.23% [9],[10],[12] 9.23% [9],[10],[12] 9.23% [9],[10],[12] 9.23% [9],[10],[12]
Par Amount/Units $ 12,453 [5],[6],[8]         $ 12,477 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 9,122 [5],[6],[8]         9,131 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 9,088 [5],[6],[8]         $ 8,979 [9],[10],[12]        
Investment, Identifier [Axis]: Pinnacle Fertility, Inc. 2                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 450.00% [10],[12] 450.00% [10],[12] 450.00% [10],[12] 450.00% [10],[12] 450.00% [10],[12]
Interest Rate 10.55% [6],[8],[13] 10.55% [6],[8],[13] 10.55% [6],[8],[13] 10.55% [6],[8],[13] 10.55% [6],[8],[13] 9.23% [10],[12] 9.23% [10],[12] 9.23% [10],[12] 9.23% [10],[12] 9.23% [10],[12]
Par Amount/Units $ 27,225 [6],[8]         $ 27,294 [10],[12]        
Total Investment Portfolio, Amortized Cost 26,769 [6],[8]         26,811 [10],[12]        
Total Investment Portfolio, Fair Value 26,699 [6],[8]         26,479 [10],[12]        
Investment, Identifier [Axis]: Planet US Buyer LLC 1                    
Par Amount/Units [5],[6],[8] 8,024                  
Total Investment Portfolio, Amortized Cost [5],[6],[8] (233)                  
Total Investment Portfolio, Fair Value [5],[6],[8] $ (233)                  
Investment, Identifier [Axis]: Planet US Buyer LLC 2                    
Spread [6],[8],[13] 6.75% 6.75% 6.75% 6.75% 6.75%          
Interest Rate [6],[8],[13] 11.43% 11.43% 11.43% 11.43% 11.43%          
Par Amount/Units [6],[8] $ 83,862                  
Total Investment Portfolio, Amortized Cost [6],[8] 81,431                  
Total Investment Portfolio, Fair Value [6],[8] 81,404                  
Investment, Identifier [Axis]: Plasma Buyer LLC 1                    
Par Amount/Units 22,070 [5],[6],[8]         22,070 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (386) [5],[6],[8]         (401) [9],[10],[12]        
Total Investment Portfolio, Fair Value (775) [5],[6],[8]         (1,040) [9],[10],[12]        
Investment, Identifier [Axis]: Plasma Buyer LLC 2                    
Par Amount/Units 9,458 [5],[6],[8]         9,458 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (161) [5],[6],[8]         (169) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (308) [5],[6],[8]         $ (411) [9],[10],[12]        
Investment, Identifier [Axis]: Plasma Buyer LLC 3                    
Spread 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 5.75% [6],[8],[13] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12]
Interest Rate 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.65% [6],[8],[13] 10.07% [10],[12] 10.07% [10],[12] 10.07% [10],[12] 10.07% [10],[12] 10.07% [10],[12]
Par Amount/Units $ 84,700 [6],[8]         $ 84,912 [10],[12]        
Total Investment Portfolio, Amortized Cost 83,170 [6],[8]         83,305 [10],[12]        
Total Investment Portfolio, Fair Value $ 81,717 [6],[8]         $ 80,912 [10],[12]        
Investment, Identifier [Axis]: Polyconcept North America Holdings, Inc.                    
Spread 5.50% [6],[13] 5.50% [6],[13] 5.50% [6],[13] 5.50% [6],[13] 5.50% [6],[13] 550.00% [10],[22] 550.00% [10],[22] 550.00% [10],[22] 550.00% [10],[22] 550.00% [10],[22]
Interest Rate 10.31% [6],[13] 10.31% [6],[13] 10.31% [6],[13] 10.31% [6],[13] 10.31% [6],[13] 10.08% [10],[22] 10.08% [10],[22] 10.08% [10],[22] 10.08% [10],[22] 10.08% [10],[22]
Par Amount/Units $ 23,184 [6]         $ 23,242 [10]        
Total Investment Portfolio, Amortized Cost 22,766 [6]         22,806 [10]        
Total Investment Portfolio, Fair Value 22,821 [6]         $ 21,818 [10]        
Investment, Identifier [Axis]: Power Stop LLC                    
Spread [14],[22]           475.00% 475.00% 475.00% 475.00% 475.00%
Interest Rate [14],[22]           9.48% 9.48% 9.48% 9.48% 9.48%
Par Amount/Units [14]           $ 19,273        
Total Investment Portfolio, Amortized Cost [14]           19,102        
Total Investment Portfolio, Fair Value [14]           13,491        
Investment, Identifier [Axis]: Prism Parent Co., Inc. 1                    
Par Amount/Units 10,833 [5],[6],[8]         10,833 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (206) [5],[6],[8]         (215) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (230) [5],[6],[8]         $ (348) [9],[10],[12]        
Investment, Identifier [Axis]: Prism Parent Co., Inc. 2                    
Spread 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12]
Interest Rate 10.69% [6],[8],[13] 10.69% [6],[8],[13] 10.69% [6],[8],[13] 10.69% [6],[8],[13] 10.69% [6],[8],[13] 10.32% [10],[12] 10.32% [10],[12] 10.32% [10],[12] 10.32% [10],[12] 10.32% [10],[12]
Par Amount/Units $ 43,117 [6],[8]         $ 43,225 [10],[12]        
Total Investment Portfolio, Amortized Cost 42,327 [6],[8]         42,391 [10],[12]        
Total Investment Portfolio, Fair Value $ 42,202 [6],[8]         $ 41,837 [10],[12]        
Investment, Identifier [Axis]: Project Alpha Intermediate Holding, Inc.                    
Spread 4.00% [13],[23] 4.00% [13],[23] 4.00% [13],[23] 4.00% [13],[23] 4.00% [13],[23] 400.00% [24] 400.00% [24] 400.00% [24] 400.00% [24] 400.00% [24]
Interest Rate 8.85% [13],[23] 8.85% [13],[23] 8.85% [13],[23] 8.85% [13],[23] 8.85% [13],[23] 8.39% [24] 8.39% [24] 8.39% [24] 8.39% [24] 8.39% [24]
Par Amount/Units $ 8,660 [23]         $ 8,682 [24]        
Total Investment Portfolio, Amortized Cost 8,600 [23]         8,606 [24]        
Total Investment Portfolio, Fair Value $ 8,620 [23]         $ 8,491 [24]        
Investment, Identifier [Axis]: Project Ruby Ultimate Parent Corp                    
Spread 3.25% [6],[13] 3.25% [6],[13] 3.25% [6],[13] 3.25% [6],[13] 3.25% [6],[13] 325.00% [10] 325.00% [10] 325.00% [10] 325.00% [10] 325.00% [10]
Interest Rate 8.09% [6],[13] 8.09% [6],[13] 8.09% [6],[13] 8.09% [6],[13] 8.09% [6],[13] 7.63% [10] 7.63% [10] 7.63% [10] 7.63% [10] 7.63% [10]
Par Amount/Units $ 10,342 [6]         $ 7,368 [10]        
Total Investment Portfolio, Amortized Cost 10,239 [6]         7,361 [10]        
Total Investment Portfolio, Fair Value $ 9,979 [6]         $ 6,983 [10]        
Investment, Identifier [Axis]: Puma Buyer LLC                    
Spread 5.50% [8],[13],[16] 5.50% [8],[13],[16] 5.50% [8],[13],[16] 5.50% [8],[13],[16] 5.50% [8],[13],[16] 550.00% [12],[14] 550.00% [12],[14] 550.00% [12],[14] 550.00% [12],[14] 550.00% [12],[14]
Interest Rate 10.50% [8],[13],[16] 10.50% [8],[13],[16] 10.50% [8],[13],[16] 10.50% [8],[13],[16] 10.50% [8],[13],[16] 10.18% [12],[14] 10.18% [12],[14] 10.18% [12],[14] 10.18% [12],[14] 10.18% [12],[14]
Par Amount/Units $ 61,845 [8],[16]         $ 62,000 [12],[14]        
Total Investment Portfolio, Amortized Cost 57,821 [8],[16]         57,841 [12],[14]        
Total Investment Portfolio, Fair Value $ 61,265 [8],[16]         $ 60,711 [12],[14]        
Investment, Identifier [Axis]: Quail Buyer, Inc.                    
Spread 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12]
Interest Rate 10.18% [6],[8],[13] 10.18% [6],[8],[13] 10.18% [6],[8],[13] 10.18% [6],[8],[13] 10.18% [6],[8],[13] 10.18% [10],[12] 10.18% [10],[12] 10.18% [10],[12] 10.18% [10],[12] 10.18% [10],[12]
Par Amount/Units $ 7,368 [6],[8]         $ 7,444 [10],[12]        
Total Investment Portfolio, Amortized Cost 7,253 [6],[8]         7,320 [10],[12]        
Total Investment Portfolio, Fair Value $ 7,206 [6],[8]         $ 7,343 [10],[12]        
Investment, Identifier [Axis]: Quasar Intermediate Holdings Ltd                    
Spread 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 4.25% [13],[16] 425.00% [14] 425.00% [14] 425.00% [14] 425.00% [14] 425.00% [14]
Interest Rate 9.08% [13],[16] 9.08% [13],[16] 9.08% [13],[16] 9.08% [13],[16] 9.08% [13],[16] 8.49% [14] 8.49% [14] 8.49% [14] 8.49% [14] 8.49% [14]
Par Amount/Units $ 13,930 [16]         $ 13,965 [14]        
Total Investment Portfolio, Amortized Cost 13,819 [16]         13,846 [14]        
Total Investment Portfolio, Fair Value $ 11,442 [16]         $ 10,836 [14]        
Investment, Identifier [Axis]: RSC Acquisition, Inc. 1                    
Spread 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 5.50% [5],[6],[8],[13] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12] 550.00% [9],[10],[12]
Interest Rate 10.55% [5],[6],[8],[13] 10.55% [5],[6],[8],[13] 10.55% [5],[6],[8],[13] 10.55% [5],[6],[8],[13] 10.55% [5],[6],[8],[13] 10.23% [9],[10],[12] 10.23% [9],[10],[12] 10.23% [9],[10],[12] 10.23% [9],[10],[12] 10.23% [9],[10],[12]
Par Amount/Units $ 20,968 [5],[6],[8]         $ 29,453 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 1,948 [5],[6],[8]         884 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 1,726 [5],[6],[8]         $ 395 [9],[10],[12]        
Investment, Identifier [Axis]: RSC Acquisition, Inc. 2                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12]
Interest Rate 10.54% [6],[8],[13] 10.54% [6],[8],[13] 10.54% [6],[8],[13] 10.54% [6],[8],[13] 10.54% [6],[8],[13] 10.05% [10],[12] 10.05% [10],[12] 10.05% [10],[12] 10.05% [10],[12] 10.05% [10],[12]
Par Amount/Units $ 18,958 [6],[8]         $ 10,521 [10],[12]        
Total Investment Portfolio, Amortized Cost 18,803 [6],[8]         10,421 [10],[12]        
Total Investment Portfolio, Fair Value $ 18,615 [6],[8]         10,241 [10],[12]        
Investment, Identifier [Axis]: RSC Acquisition, Inc. 3                    
Spread [5],[6],[8],[13] 5.50% 5.50% 5.50% 5.50% 5.50%          
Interest Rate [5],[6],[8],[13] 10.68% 10.68% 10.68% 10.68% 10.68%          
Par Amount/Units $ 467 [5],[6],[8]         467 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 288 [5],[6],[8]         0 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 280 [5],[6],[8]         $ (12) [9],[10],[12]        
Investment, Identifier [Axis]: RSC Acquisition, Inc. 4                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12] 550.00% [10],[12]
Interest Rate 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 10.33% [6],[8],[13] 9.74% [10],[12] 9.74% [10],[12] 9.74% [10],[12] 9.74% [10],[12] 9.74% [10],[12]
Par Amount/Units $ 14,385 [6],[8]         $ 14,422 [10],[12]        
Total Investment Portfolio, Amortized Cost 14,385 [6],[8]         14,422 [10],[12]        
Total Investment Portfolio, Fair Value $ 14,124 [6],[8]         $ 14,038 [10],[12]        
Investment, Identifier [Axis]: Radiate Holdco LLC                    
Spread 3.25% [6],[13] 3.25% [6],[13] 3.25% [6],[13] 3.25% [6],[13] 3.25% [6],[13] 325.00% [10],[22] 325.00% [10],[22] 325.00% [10],[22] 325.00% [10],[22] 325.00% [10],[22]
Interest Rate 8.09% [6],[13] 8.09% [6],[13] 8.09% [6],[13] 8.09% [6],[13] 8.09% [6],[13] 7.63% [10],[22] 7.63% [10],[22] 7.63% [10],[22] 7.63% [10],[22] 7.63% [10],[22]
Par Amount/Units $ 14,842 [6]         $ 14,880 [10]        
Total Investment Portfolio, Amortized Cost 14,786 [6]         14,815 [10]        
Total Investment Portfolio, Fair Value $ 12,206 [6]         12,156 [10]        
Investment, Identifier [Axis]: Radwell Parent, LLC 1                    
Spread [5],[6],[8],[13] 6.75% 6.75% 6.75% 6.75% 6.75%          
Interest Rate [5],[6],[8],[13] 11.56% 11.56% 11.56% 11.56% 11.56%          
Par Amount/Units $ 13,271 [5],[6],[8]         13,271 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 1,396 [5],[6],[8]         (392) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 1,512 [5],[6],[8]         $ (392) [9],[10],[12]        
Investment, Identifier [Axis]: Radwell Parent, LLC 2                    
Spread 6.75% [6],[8],[13] 6.75% [6],[8],[13] 6.75% [6],[8],[13] 6.75% [6],[8],[13] 6.75% [6],[8],[13] 675.00% [10],[12] 675.00% [10],[12] 675.00% [10],[12] 675.00% [10],[12] 675.00% [10],[12]
Interest Rate 11.65% [6],[8],[13] 11.65% [6],[8],[13] 11.65% [6],[8],[13] 11.65% [6],[8],[13] 11.65% [6],[8],[13] 11.33% [10],[12] 11.33% [10],[12] 11.33% [10],[12] 11.33% [10],[12] 11.33% [10],[12]
Par Amount/Units $ 154,989 [6],[8]         $ 155,378 [10],[12]        
Total Investment Portfolio, Amortized Cost 150,602 [6],[8]         150,756 [10],[12]        
Total Investment Portfolio, Fair Value $ 152,117 [6],[8]         $ 150,777 [10],[12]        
Investment, Identifier [Axis]: Regency Entertainment (USA), Inc.                    
Spread 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 6.75% [8],[13],[25] 675.00% [12],[26] 675.00% [12],[26] 675.00% [12],[26] 675.00% [12],[26] 675.00% [12],[26]
Interest Rate 11.44% [8],[13],[25] 11.44% [8],[13],[25] 11.44% [8],[13],[25] 11.44% [8],[13],[25] 11.44% [8],[13],[25] 11.13% [12],[26] 11.13% [12],[26] 11.13% [12],[26] 11.13% [12],[26] 11.13% [12],[26]
Par Amount/Units $ 30,000 [8],[25]         $ 30,000 [12],[26]        
Total Investment Portfolio, Amortized Cost 29,763 [8],[25]         29,737 [12],[26]        
Total Investment Portfolio, Fair Value $ 29,502 [8],[25]         $ 29,286 [12],[26]        
Investment, Identifier [Axis]: Renaissance Financiere                    
Spread 7.00% [5],[7],[8],[13],[23] 7.00% [5],[7],[8],[13],[23] 7.00% [5],[7],[8],[13],[23] 7.00% [5],[7],[8],[13],[23] 7.00% [5],[7],[8],[13],[23] 700.00% [9],[11],[12],[24] 700.00% [9],[11],[12],[24] 700.00% [9],[11],[12],[24] 700.00% [9],[11],[12],[24] 700.00% [9],[11],[12],[24]
Interest Rate 9.50% [5],[7],[8],[13],[23] 9.50% [5],[7],[8],[13],[23] 9.50% [5],[7],[8],[13],[23] 9.50% [5],[7],[8],[13],[23] 9.50% [5],[7],[8],[13],[23] 8.56% [9],[11],[12],[24] 8.56% [9],[11],[12],[24] 8.56% [9],[11],[12],[24] 8.56% [9],[11],[12],[24] 8.56% [9],[11],[12],[24]
Par Amount/Units | €       € 34,871 [5],[7],[8],[23]         € 34,871 [9],[11],[12],[24]  
Total Investment Portfolio, Amortized Cost $ 24,544 [5],[7],[8],[23]         $ 24,513 [9],[11],[12],[24]        
Total Investment Portfolio, Fair Value $ 25,903 [5],[7],[8],[23]         25,139 [9],[11],[12],[24]        
Investment, Identifier [Axis]: Renaissance Holding Corp.                    
Spread [13],[23] 3.25% 3.25% 3.25% 3.25% 3.25%          
Interest Rate [13],[23] 8.09% 8.09% 8.09% 8.09% 8.09%          
Par Amount/Units [23] $ 4,996                  
Total Investment Portfolio, Amortized Cost [23] 4,846                  
Total Investment Portfolio, Fair Value [23] 4,867                  
Investment, Identifier [Axis]: Riley Mergeco LLC 1                    
Par Amount/Units 456 [5],[8],[25]         456 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (9) [5],[8],[25]         (9) [9],[12],[26]        
Total Investment Portfolio, Fair Value (19) [5],[8],[25]         (23) [9],[12],[26]        
Investment, Identifier [Axis]: Riley Mergeco LLC 2                    
Par Amount/Units 304 [5],[8],[25]         304 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (6) [5],[8],[25]         (6) [9],[12],[26]        
Total Investment Portfolio, Fair Value $ (12) [5],[8],[25]         $ (15) [9],[12],[26]        
Investment, Identifier [Axis]: Riley Mergeco LLC 3                    
Spread 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [8],[13],[25] 6.00% [12],[26] 6.00% [12],[26] 6.00% [12],[26] 6.00% [12],[26] 6.00% [12],[26]
Interest Rate 10.84% [8],[13],[25] 10.84% [8],[13],[25] 10.84% [8],[13],[25] 10.84% [8],[13],[25] 10.84% [8],[13],[25] 10.38% [12],[26] 10.38% [12],[26] 10.38% [12],[26] 10.38% [12],[26] 10.38% [12],[26]
Interest Rate, PIK 2.75% [8],[13],[25] 2.75% [8],[13],[25] 2.75% [8],[13],[25] 2.75% [8],[13],[25] 2.75% [8],[13],[25] 2.75% [12],[26] 2.75% [12],[26] 2.75% [12],[26] 2.75% [12],[26] 2.75% [12],[26]
Par Amount/Units $ 1,780 [8],[25]         $ 1,701 [12],[26]        
Total Investment Portfolio, Amortized Cost 1,748 [8],[25]         1,667 [12],[26]        
Total Investment Portfolio, Fair Value $ 1,708 [8],[25]         $ 1,615 [12],[26]        
Investment, Identifier [Axis]: Rocket Software, Inc.                    
Spread 4.25% [13],[23] 4.25% [13],[23] 4.25% [13],[23] 4.25% [13],[23] 4.25% [13],[23] 425.00% [24] 425.00% [24] 425.00% [24] 425.00% [24] 425.00% [24]
Interest Rate 9.09% [13],[23] 9.09% [13],[23] 9.09% [13],[23] 9.09% [13],[23] 9.09% [13],[23] 8.63% [24] 8.63% [24] 8.63% [24] 8.63% [24] 8.63% [24]
Par Amount/Units $ 11,254 [23]         $ 11,283 [24]        
Total Investment Portfolio, Amortized Cost 11,085 [23]         11,096 [24]        
Total Investment Portfolio, Fair Value $ 11,072 [23]         10,876 [24]        
Investment, Identifier [Axis]: Roper Industrial Products Investment Co                    
Spread [13],[16] 4.50% 4.50% 4.50% 4.50% 4.50%          
Interest Rate [13],[16] 9.40% 9.40% 9.40% 9.40% 9.40%          
Par Amount/Units [16] $ 18,180                  
Total Investment Portfolio, Amortized Cost [16] 17,552                  
Total Investment Portfolio, Fair Value [16] $ 18,069                  
Investment, Identifier [Axis]: Royal Buyer, LLC 1                    
Spread [5],[6],[8],[13] 6.00% 6.00% 6.00% 6.00% 6.00%          
Interest Rate [5],[6],[8],[13] 10.87% 10.87% 10.87% 10.87% 10.87%          
Par Amount/Units $ 9,000 [5],[6],[8]         9,000 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 355 [5],[6],[8]         (170) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 472 [5],[6],[8]         $ (321) [9],[10],[12]        
Investment, Identifier [Axis]: Royal Buyer, LLC 2                    
Spread 6.00% [5],[6],[8],[13] 6.00% [5],[6],[8],[13] 6.00% [5],[6],[8],[13] 6.00% [5],[6],[8],[13] 6.00% [5],[6],[8],[13] 600.00% [9],[10],[12] 600.00% [9],[10],[12] 600.00% [9],[10],[12] 600.00% [9],[10],[12] 600.00% [9],[10],[12]
Interest Rate 10.70% [5],[6],[8],[13] 10.70% [5],[6],[8],[13] 10.70% [5],[6],[8],[13] 10.70% [5],[6],[8],[13] 10.70% [5],[6],[8],[13] 10.40% [9],[10],[12] 10.40% [9],[10],[12] 10.40% [9],[10],[12] 10.40% [9],[10],[12] 10.40% [9],[10],[12]
Par Amount/Units $ 7,000 [5],[6],[8]         $ 7,000 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 1,507 [5],[6],[8]         1,501 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 1,598 [5],[6],[8]         $ 1,383 [9],[10],[12]        
Investment, Identifier [Axis]: Royal Buyer, LLC 3                    
Spread 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12]
Interest Rate 10.70% [6],[8],[13] 10.70% [6],[8],[13] 10.70% [6],[8],[13] 10.70% [6],[8],[13] 10.70% [6],[8],[13] 10.40% [10],[12] 10.40% [10],[12] 10.40% [10],[12] 10.40% [10],[12] 10.40% [10],[12]
Par Amount/Units $ 44,888 [6],[8]         $ 45,000 [10],[12]        
Total Investment Portfolio, Amortized Cost 44,069 [6],[8]         44,144 [10],[12]        
Total Investment Portfolio, Fair Value $ 44,663 [6],[8]         $ 43,393 [10],[12]        
Investment, Identifier [Axis]: SDC US Smilepay SPV                    
Spread 10.75% [5],[8],[13],[25] 10.75% [5],[8],[13],[25] 10.75% [5],[8],[13],[25] 10.75% [5],[8],[13],[25] 10.75% [5],[8],[13],[25] 10.75% [9],[12],[26] 10.75% [9],[12],[26] 10.75% [9],[12],[26] 10.75% [9],[12],[26] 10.75% [9],[12],[26]
Interest Rate 15.62% [5],[8],[13],[25] 15.62% [5],[8],[13],[25] 15.62% [5],[8],[13],[25] 15.62% [5],[8],[13],[25] 15.62% [5],[8],[13],[25] 15.52% [9],[12],[26] 15.52% [9],[12],[26] 15.52% [9],[12],[26] 15.52% [9],[12],[26] 15.52% [9],[12],[26]
Interest Rate, PIK 3.75% [5],[8],[13],[25] 3.75% [5],[8],[13],[25] 3.75% [5],[8],[13],[25] 3.75% [5],[8],[13],[25] 3.75% [5],[8],[13],[25] 3.75% [9],[12],[26] 3.75% [9],[12],[26] 3.75% [9],[12],[26] 3.75% [9],[12],[26] 3.75% [9],[12],[26]
Par Amount/Units $ 76,542 [5],[8],[25]         $ 76,191 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 37,983 [5],[8],[25]         35,040 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 37,386 [5],[8],[25]         $ 34,013 [9],[12],[26]        
Investment, Identifier [Axis]: Sedgwick Claims Management Services, Inc.                    
Spread 3.75% [13],[23] 3.75% [13],[23] 3.75% [13],[23] 3.75% [13],[23] 3.75% [13],[23] 325.00% [24] 325.00% [24] 325.00% [24] 325.00% [24] 325.00% [24]
Interest Rate 8.56% [13],[23] 8.56% [13],[23] 8.56% [13],[23] 8.56% [13],[23] 8.56% [13],[23] 7.63% [24] 7.63% [24] 7.63% [24] 7.63% [24] 7.63% [24]
Par Amount/Units $ 19,350 [23]         $ 19,350 [24]        
Total Investment Portfolio, Amortized Cost 19,174 [23]         19,151 [24]        
Total Investment Portfolio, Fair Value 19,149 [23]         18,855 [24]        
Investment, Identifier [Axis]: Sequa Corp 1                    
Par Amount/Units 13,676 [5],[8],[25]         13,676 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (647) [5],[8],[25]         (684) [9],[12],[26]        
Total Investment Portfolio, Fair Value $ (436) [5],[8],[25]         $ (670) [9],[12],[26]        
Investment, Identifier [Axis]: Sequa Corp 2                    
Spread 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 7.00% [8],[13],[25] 700.00% [12],[22],[26] 700.00% [12],[22],[26] 700.00% [12],[22],[26] 700.00% [12],[22],[26] 700.00% [12],[22],[26]
Interest Rate 11.83% [8],[13],[25] 11.83% [8],[13],[25] 11.83% [8],[13],[25] 11.83% [8],[13],[25] 11.83% [8],[13],[25] 11.32% [12],[22],[26] 11.32% [12],[22],[26] 11.32% [12],[22],[26] 11.32% [12],[22],[26] 11.32% [12],[22],[26]
Par Amount/Units $ 127,989 [8],[25]         $ 128,310 [12],[26]        
Total Investment Portfolio, Amortized Cost 121,740 [8],[25]         121,852 [12],[26]        
Total Investment Portfolio, Fair Value $ 123,947 [8],[25]         $ 122,005 [12],[26]        
Investment, Identifier [Axis]: Shackleton 2019-XV CLO Ltd                    
Spread 6.66% [7],[13],[23] 6.66% [7],[13],[23] 6.66% [7],[13],[23] 6.66% [7],[13],[23] 6.66% [7],[13],[23] 666.00% [11],[22],[24] 666.00% [11],[22],[24] 666.00% [11],[22],[24] 666.00% [11],[22],[24] 666.00% [11],[22],[24]
Interest Rate 11.45% [7],[13],[23] 11.45% [7],[13],[23] 11.45% [7],[13],[23] 11.45% [7],[13],[23] 11.45% [7],[13],[23] 10.74% [11],[22],[24] 10.74% [11],[22],[24] 10.74% [11],[22],[24] 10.74% [11],[22],[24] 10.74% [11],[22],[24]
Par Amount/Units $ 3,000 [7],[23]         $ 3,000 [11],[24]        
Total Investment Portfolio, Amortized Cost 2,619 [7],[23]         2,612 [11],[24]        
Total Investment Portfolio, Fair Value 2,643 [7],[23]         $ 2,697 [11],[24]        
Investment, Identifier [Axis]: Showtime Acquisition, L.L.C. 1                    
Par Amount/Units [5],[8],[25] 3,657                  
Total Investment Portfolio, Amortized Cost [5],[8],[25] (107)                  
Total Investment Portfolio, Fair Value [5],[8],[25] (107)                  
Investment, Identifier [Axis]: Showtime Acquisition, L.L.C. 2                    
Par Amount/Units [5],[8],[25] 4,711                  
Total Investment Portfolio, Amortized Cost [5],[8],[25] (138)                  
Total Investment Portfolio, Fair Value [5],[8],[25] $ (138)                  
Investment, Identifier [Axis]: Showtime Acquisition, L.L.C. 3                    
Spread [8],[13],[25] 7.50% 7.50% 7.50% 7.50% 7.50%          
Interest Rate [8],[13],[25] 12.30% 12.30% 12.30% 12.30% 12.30%          
Par Amount/Units [8],[25] $ 63,992                  
Total Investment Portfolio, Amortized Cost [8],[25] 62,137                  
Total Investment Portfolio, Fair Value [8],[25] $ 62,122                  
Investment, Identifier [Axis]: Silver Creek CLO Ltd                    
Spread 5.62% [7],[13],[23] 5.62% [7],[13],[23] 5.62% [7],[13],[23] 5.62% [7],[13],[23] 5.62% [7],[13],[23] 562.00% [11],[22],[24] 562.00% [11],[22],[24] 562.00% [11],[22],[24] 562.00% [11],[22],[24] 562.00% [11],[22],[24]
Interest Rate 10.43% [7],[13],[23] 10.43% [7],[13],[23] 10.43% [7],[13],[23] 10.43% [7],[13],[23] 10.43% [7],[13],[23] 9.86% [11],[22],[24] 9.86% [11],[22],[24] 9.86% [11],[22],[24] 9.86% [11],[22],[24] 9.86% [11],[22],[24]
Par Amount/Units $ 2,000 [7],[23]         $ 2,000 [11],[24]        
Total Investment Portfolio, Amortized Cost 1,781 [7],[23]         1,776 [11],[24]        
Total Investment Portfolio, Fair Value 1,728 [7],[23]         1,755 [11],[24]        
Investment, Identifier [Axis]: Simplisafe Holding Corporation 1                    
Par Amount/Units 15,106 [5],[6],[8]         15,106 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (259) [5],[6],[8]         (272) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (298) [5],[6],[8]         $ (455) [9],[10],[12]        
Investment, Identifier [Axis]: Simplisafe Holding Corporation 2                    
Spread 6.25% [6],[8],[13] 6.25% [6],[8],[13] 6.25% [6],[8],[13] 6.25% [6],[8],[13] 6.25% [6],[8],[13] 625.00% [10],[12] 625.00% [10],[12] 625.00% [10],[12] 625.00% [10],[12] 625.00% [10],[12]
Interest Rate 10.98% [6],[8],[13] 10.98% [6],[8],[13] 10.98% [6],[8],[13] 10.98% [6],[8],[13] 10.98% [6],[8],[13] 10.47% [10],[12] 10.47% [10],[12] 10.47% [10],[12] 10.47% [10],[12] 10.47% [10],[12]
Par Amount/Units $ 120,247 [6],[8]         $ 120,247 [10],[12]        
Total Investment Portfolio, Amortized Cost 118,183 [6],[8]         118,057 [10],[12]        
Total Investment Portfolio, Fair Value $ 117,873 [6],[8]         $ 116,628 [10],[12]        
Investment, Identifier [Axis]: Smarsh Inc. 1                    
Spread 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 650.00% [9],[10],[12] 650.00% [9],[10],[12] 650.00% [9],[10],[12] 650.00% [9],[10],[12] 650.00% [9],[10],[12]
Interest Rate 11.29% [5],[6],[8],[13] 11.29% [5],[6],[8],[13] 11.29% [5],[6],[8],[13] 11.29% [5],[6],[8],[13] 11.29% [5],[6],[8],[13] 11.29% [9],[10],[12] 11.29% [9],[10],[12] 11.29% [9],[10],[12] 11.29% [9],[10],[12] 11.29% [9],[10],[12]
Par Amount/Units $ 4,286 [5],[6],[8]         $ 4,286 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 2,070 [5],[6],[8]         2,067 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 1,970 [5],[6],[8]         1,920 [9],[10],[12]        
Investment, Identifier [Axis]: Smarsh Inc. 2                    
Spread [5],[6],[8],[13] 6.50% 6.50% 6.50% 6.50% 6.50%          
Interest Rate [5],[6],[8],[13] 11.40% 11.40% 11.40% 11.40% 11.40%          
Par Amount/Units $ 1,071 [5],[6],[8]         1,071 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 196 [5],[6],[8]         (19) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 171 [5],[6],[8]         $ (56) [9],[10],[12]        
Investment, Identifier [Axis]: Smarsh Inc. 3                    
Spread 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12]
Interest Rate 11.29% [6],[8],[13] 11.29% [6],[8],[13] 11.29% [6],[8],[13] 11.29% [6],[8],[13] 11.29% [6],[8],[13] 11.29% [10],[12] 11.29% [10],[12] 11.29% [10],[12] 11.29% [10],[12] 11.29% [10],[12]
Par Amount/Units $ 17,143 [6],[8]         $ 17,143 [10],[12]        
Total Investment Portfolio, Amortized Cost 16,848 [6],[8]         16,834 [10],[12]        
Total Investment Portfolio, Fair Value $ 16,451 [6],[8]         $ 16,250 [10],[12]        
Investment, Identifier [Axis]: Southern Graphics Inc. 1                    
Spread 7.50% [8],[13],[15],[25] 7.50% [8],[13],[15],[25] 7.50% [8],[13],[15],[25] 7.50% [8],[13],[15],[25] 7.50% [8],[13],[15],[25] 750.00% [12],[26] 750.00% [12],[26] 750.00% [12],[26] 750.00% [12],[26] 750.00% [12],[26]
Interest Rate [12],[26]           12.20% 12.20% 12.20% 12.20% 12.20%
Par Amount/Units $ 1,000 [8],[15],[25]         $ 1,000 [12],[26]        
Total Investment Portfolio, Amortized Cost 980 [8],[15],[25]         979 [12],[26]        
Total Investment Portfolio, Fair Value $ 853 [8],[15],[25]         $ 874 [12],[26]        
Investment, Identifier [Axis]: Southern Graphics Inc. 2                    
Spread 7.50% [8],[13],[15],[25] 7.50% [8],[13],[15],[25] 7.50% [8],[13],[15],[25] 7.50% [8],[13],[15],[25] 7.50% [8],[13],[15],[25] 750.00% [12],[26] 750.00% [12],[26] 750.00% [12],[26] 750.00% [12],[26] 750.00% [12],[26]
Interest Rate [12],[26]           12.15% 12.15% 12.15% 12.15% 12.15%
Par Amount/Units $ 10,227 [8],[15],[25]         $ 10,227 [12],[26]        
Total Investment Portfolio, Amortized Cost 10,009 [8],[15],[25]         9,995 [12],[26]        
Total Investment Portfolio, Fair Value $ 8,724 [8],[15],[25]         $ 8,940 [12],[26]        
Investment, Identifier [Axis]: Spanx, LLC 1                    
Spread 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 5.25% [5],[6],[8],[13] 500.00% [9],[10],[12] 500.00% [9],[10],[12] 500.00% [9],[10],[12] 500.00% [9],[10],[12] 500.00% [9],[10],[12]
Interest Rate 9.96% [5],[6],[8],[13] 9.96% [5],[6],[8],[13] 9.96% [5],[6],[8],[13] 9.96% [5],[6],[8],[13] 9.96% [5],[6],[8],[13] 9.29% [9],[10],[12] 9.29% [9],[10],[12] 9.29% [9],[10],[12] 9.29% [9],[10],[12] 9.29% [9],[10],[12]
Par Amount/Units $ 5,000 [5],[6],[8]         $ 5,000 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 1,388 [5],[6],[8]         450 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 1,275 [5],[6],[8]         $ 287 [9],[10],[12]        
Investment, Identifier [Axis]: Spanx, LLC 2                    
Spread 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 5.25% [6],[8],[13] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12] 525.00% [10],[12]
Interest Rate 10.13% [6],[8],[13] 10.13% [6],[8],[13] 10.13% [6],[8],[13] 10.13% [6],[8],[13] 10.13% [6],[8],[13] 9.64% [10],[12] 9.64% [10],[12] 9.64% [10],[12] 9.64% [10],[12] 9.64% [10],[12]
Par Amount/Units $ 29,625 [6],[8]         $ 29,700 [10],[12]        
Total Investment Portfolio, Amortized Cost 29,136 [6],[8]         29,183 [10],[12]        
Total Investment Portfolio, Fair Value $ 28,365 [6],[8]         28,075 [10],[12]        
Investment, Identifier [Axis]: Specialty Ingredients, LLC 1                    
Spread [5],[6],[8],[13] 6.00% 6.00% 6.00% 6.00% 6.00%          
Interest Rate [5],[6],[8],[13] 10.89% 10.89% 10.89% 10.89% 10.89%          
Par Amount/Units $ 11,279 [5],[6],[8]         11,279 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 2,898 [5],[6],[8]         (212) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 2,587 [5],[6],[8]         $ (413) [9],[10],[12]        
Investment, Identifier [Axis]: Specialty Ingredients, LLC 2                    
Spread 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12]
Interest Rate 11.00% [6],[8],[13] 11.00% [6],[8],[13] 11.00% [6],[8],[13] 11.00% [6],[8],[13] 11.00% [6],[8],[13] 10.68% [10],[12] 10.68% [10],[12] 10.68% [10],[12] 10.68% [10],[12] 10.68% [10],[12]
Par Amount/Units $ 90,481 [6],[8]         $ 90,708 [10],[12]        
Total Investment Portfolio, Amortized Cost 88,820 [6],[8]         88,964 [10],[12]        
Total Investment Portfolio, Fair Value 86,351 [6],[8]         $ 87,390 [10],[12]        
Investment, Identifier [Axis]: Spirit RR Holdings, Inc. 1                    
Spread [10],[12]           650.00% 650.00% 650.00% 650.00% 650.00%
Interest Rate [10],[12]           11.18% 11.18% 11.18% 11.18% 11.18%
Par Amount/Units 1,806 [5],[6],[8]         $ 3,912 [10],[12]        
Total Investment Portfolio, Amortized Cost (49) [5],[6],[8]         3,800 [10],[12]        
Total Investment Portfolio, Fair Value $ (54) [5],[6],[8]         3,751 [10],[12]        
Investment, Identifier [Axis]: Spirit RR Holdings, Inc. 2                    
Spread [6],[8],[13] 6.50% 6.50% 6.50% 6.50% 6.50%          
Interest Rate [6],[8],[13] 11.50% 11.50% 11.50% 11.50% 11.50%          
Par Amount/Units $ 21,914 [6],[8]         1,806 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 21,297 [6],[8]         (51) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 21,253 [6],[8]         $ (74) [9],[10],[12]        
Investment, Identifier [Axis]: Spirit RR Holdings, Inc. 3                    
Spread [10],[12]           650.00% 650.00% 650.00% 650.00% 650.00%
Interest Rate [10],[12]           11.18% 11.18% 11.18% 11.18% 11.18%
Par Amount/Units [10],[12]           $ 18,057        
Total Investment Portfolio, Amortized Cost [10],[12]           17,523        
Total Investment Portfolio, Fair Value [10],[12]           $ 17,314        
Investment, Identifier [Axis]: Spotless Brands, LLC 1                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26]
Interest Rate 11.35% [8],[13],[25] 11.35% [8],[13],[25] 11.35% [8],[13],[25] 11.35% [8],[13],[25] 11.35% [8],[13],[25] 10.82% [12],[22],[26] 10.82% [12],[22],[26] 10.82% [12],[22],[26] 10.82% [12],[22],[26] 10.82% [12],[22],[26]
Par Amount/Units $ 21,701 [8],[25]         $ 21,782 [12],[26]        
Total Investment Portfolio, Amortized Cost 21,314 [8],[25]         21,372 [12],[26]        
Total Investment Portfolio, Fair Value $ 21,092 [8],[25]         $ 20,935 [12],[26]        
Investment, Identifier [Axis]: Spotless Brands, LLC 2                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26]
Interest Rate 11.31% [8],[13],[25] 11.31% [8],[13],[25] 11.31% [8],[13],[25] 11.31% [8],[13],[25] 11.31% [8],[13],[25] 10.92% [12],[22],[26] 10.92% [12],[22],[26] 10.92% [12],[22],[26] 10.92% [12],[22],[26] 10.92% [12],[22],[26]
Par Amount/Units $ 16,104 [8],[25]         $ 16,144 [12],[26]        
Total Investment Portfolio, Amortized Cost 15,817 [8],[25]         15,849 [12],[26]        
Total Investment Portfolio, Fair Value $ 15,651 [8],[25]         $ 15,517 [12],[26]        
Investment, Identifier [Axis]: Spotless Brands, LLC 3                    
Spread 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 6.50% [8],[13],[25] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26] 650.00% [12],[22],[26]
Interest Rate 11.31% [8],[13],[25] 11.31% [8],[13],[25] 11.31% [8],[13],[25] 11.31% [8],[13],[25] 11.31% [8],[13],[25] 10.71% [12],[22],[26] 10.71% [12],[22],[26] 10.71% [12],[22],[26] 10.71% [12],[22],[26] 10.71% [12],[22],[26]
Par Amount/Units $ 106,134 [8],[25]         $ 106,669 [12],[26]        
Total Investment Portfolio, Amortized Cost 104,206 [8],[25]         104,635 [12],[26]        
Total Investment Portfolio, Fair Value $ 103,154 [8],[25]         102,525 [12],[26]        
Investment, Identifier [Axis]: Spotless Brands, LLC 4                    
Spread [5],[8],[13],[25] 6.50% 6.50% 6.50% 6.50% 6.50%          
Interest Rate [5],[8],[13],[25] 11.39% 11.39% 11.39% 11.39% 11.39%          
Par Amount/Units $ 5,175 [5],[8],[25]         5,175 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 945 [5],[8],[25]         (95) [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 890 [5],[8],[25]         $ (201) [9],[12],[26]        
Investment, Identifier [Axis]: Standard Industries, Inc.                    
Spread 2.25% [13],[16] 2.25% [13],[16] 2.25% [13],[16] 2.25% [13],[16] 2.25% [13],[16] 225.00% [14] 225.00% [14] 225.00% [14] 225.00% [14] 225.00% [14]
Interest Rate 7.12% [13],[16] 7.12% [13],[16] 7.12% [13],[16] 7.12% [13],[16] 7.12% [13],[16] 6.43% [14] 6.43% [14] 6.43% [14] 6.43% [14] 6.43% [14]
Par Amount/Units $ 1,279 [16]         $ 1,285 [14]        
Total Investment Portfolio, Amortized Cost 1,280 [16]         1,285 [14]        
Total Investment Portfolio, Fair Value $ 1,275 [16]         $ 1,271 [14]        
Investment, Identifier [Axis]: Sunset Debt Merger Sub, Inc.                    
Spread [6],[13] 4.00% 4.00% 4.00% 4.00% 4.00%          
Interest Rate [6],[13] 8.75% 8.75% 8.75% 8.75% 8.75%          
Par Amount/Units [6] $ 713                  
Total Investment Portfolio, Amortized Cost [6] 599                  
Total Investment Portfolio, Fair Value [6] $ 602                  
Investment, Identifier [Axis]: T-Mobile USA, Inc.                    
Interest Rate [22],[24]           2.25% 2.25% 2.25% 2.25% 2.25%
Par Amount/Units [24]           $ 10,000        
Total Investment Portfolio, Amortized Cost [24]           9,539        
Total Investment Portfolio, Fair Value [24]           $ 9,112        
Investment, Identifier [Axis]: TA TT Buyer, LLC                    
Spread 5.00% [8],[13],[16] 5.00% [8],[13],[16] 5.00% [8],[13],[16] 5.00% [8],[13],[16] 5.00% [8],[13],[16] 500.00% [12],[14] 500.00% [12],[14] 500.00% [12],[14] 500.00% [12],[14] 500.00% [12],[14]
Interest Rate 9.90% [8],[13],[16] 9.90% [8],[13],[16] 9.90% [8],[13],[16] 9.90% [8],[13],[16] 9.90% [8],[13],[16] 8.98% [12],[14] 8.98% [12],[14] 8.98% [12],[14] 8.98% [12],[14] 8.98% [12],[14]
Par Amount/Units $ 14,925 [8],[16]         $ 14,963 [12],[14]        
Total Investment Portfolio, Amortized Cost 14,793 [8],[16]         14,822 [12],[14]        
Total Investment Portfolio, Fair Value $ 14,664 [8],[16]         $ 14,588 [12],[14]        
Investment, Identifier [Axis]: TK Elevator U.S. Newco, Inc.                    
Spread 3.50% [7],[13],[16] 3.50% [7],[13],[16] 3.50% [7],[13],[16] 3.50% [7],[13],[16] 3.50% [7],[13],[16] 350.00% [11],[14] 350.00% [11],[14] 350.00% [11],[14] 350.00% [11],[14] 350.00% [11],[14]
Interest Rate 8.60% [7],[13],[16] 8.60% [7],[13],[16] 8.60% [7],[13],[16] 8.60% [7],[13],[16] 8.60% [7],[13],[16] 6.87% [11],[14] 6.87% [11],[14] 6.87% [11],[14] 6.87% [11],[14] 6.87% [11],[14]
Par Amount/Units $ 12,668 [7],[16]         $ 7,699 [11],[14]        
Total Investment Portfolio, Amortized Cost 12,510 [7],[16]         7,712 [11],[14]        
Total Investment Portfolio, Fair Value 12,375 [7],[16]         7,428 [11],[14]        
Investment, Identifier [Axis]: TMC Buyer Inc 1                    
Par Amount/Units 4,569 [5],[8],[16]         4,569 [9],[12],[14]        
Total Investment Portfolio, Amortized Cost (547) [5],[8],[16]         (567) [9],[12],[14]        
Total Investment Portfolio, Fair Value $ (343) [5],[8],[16]         $ (400) [9],[12],[14]        
Investment, Identifier [Axis]: TMC Buyer Inc 2                    
Spread 6.00% [8],[13],[16] 6.00% [8],[13],[16] 6.00% [8],[13],[16] 6.00% [8],[13],[16] 6.00% [8],[13],[16] 600.00% [12],[14] 600.00% [12],[14] 600.00% [12],[14] 600.00% [12],[14] 600.00% [12],[14]
Interest Rate 10.86% [8],[13],[16] 10.86% [8],[13],[16] 10.86% [8],[13],[16] 10.86% [8],[13],[16] 10.86% [8],[13],[16] 9.98% [12],[14] 9.98% [12],[14] 9.98% [12],[14] 9.98% [12],[14] 9.98% [12],[14]
Par Amount/Units $ 66,085 [8],[16]         $ 66,251 [12],[14]        
Total Investment Portfolio, Amortized Cost 58,126 [8],[16]         57,981 [12],[14]        
Total Investment Portfolio, Fair Value $ 61,120 [8],[16]         $ 60,450 [12],[14]        
Investment, Identifier [Axis]: TechInsights Inc 1                    
Spread 6.63% [7],[8],[13],[25] 6.63% [7],[8],[13],[25] 6.63% [7],[8],[13],[25] 6.63% [7],[8],[13],[25] 6.63% [7],[8],[13],[25] 663.00% [11],[12],[26] 663.00% [11],[12],[26] 663.00% [11],[12],[26] 663.00% [11],[12],[26] 663.00% [11],[12],[26]
Interest Rate 11.79% [7],[8],[13],[25] 11.79% [7],[8],[13],[25] 11.79% [7],[8],[13],[25] 11.79% [7],[8],[13],[25] 11.79% [7],[8],[13],[25] 11.36% [11],[12],[26] 11.36% [11],[12],[26] 11.36% [11],[12],[26] 11.36% [11],[12],[26] 11.36% [11],[12],[26]
Par Amount/Units $ 990 [7],[8],[25]         $ 993 [11],[12],[26]        
Total Investment Portfolio, Amortized Cost 973 [7],[8],[25]         974 [11],[12],[26]        
Total Investment Portfolio, Fair Value $ 969 [7],[8],[25]         $ 962 [11],[12],[26]        
Investment, Identifier [Axis]: TechInsights Inc 2                    
Spread 6.63% [7],[8],[13],[25] 6.63% [7],[8],[13],[25] 6.63% [7],[8],[13],[25] 6.63% [7],[8],[13],[25] 6.63% [7],[8],[13],[25] 663.00% [11],[12],[26] 663.00% [11],[12],[26] 663.00% [11],[12],[26] 663.00% [11],[12],[26] 663.00% [11],[12],[26]
Interest Rate 11.79% [7],[8],[13],[25] 11.79% [7],[8],[13],[25] 11.79% [7],[8],[13],[25] 11.79% [7],[8],[13],[25] 11.79% [7],[8],[13],[25] 11.36% [11],[12],[26] 11.36% [11],[12],[26] 11.36% [11],[12],[26] 11.36% [11],[12],[26] 11.36% [11],[12],[26]
Par Amount/Units $ 2,572 [7],[8],[25]         $ 2,578 [11],[12],[26]        
Total Investment Portfolio, Amortized Cost 2,527 [7],[8],[25]         2,531 [11],[12],[26]        
Total Investment Portfolio, Fair Value $ 2,517 [7],[8],[25]         $ 2,498 [11],[12],[26]        
Investment, Identifier [Axis]: Tenet Healthcare Corp                    
Interest Rate 5.13% [7],[13],[23] 5.13% [7],[13],[23] 5.13% [7],[13],[23] 5.13% [7],[13],[23] 5.13% [7],[13],[23] 5.13% [11],[24] 5.13% [11],[24] 5.13% [11],[24] 5.13% [11],[24] 5.13% [11],[24]
Par Amount/Units $ 2,695 [7],[23]         $ 2,695 [11],[24]        
Total Investment Portfolio, Amortized Cost 2,729 [7],[23]         2,731 [11],[24]        
Total Investment Portfolio, Fair Value $ 2,590 [7],[23]         $ 2,512 [11],[24]        
Investment, Identifier [Axis]: The Michaels Companies, Inc.                    
Spread [10]           425.00% 425.00% 425.00% 425.00% 425.00%
Interest Rate [10]           8.98% 8.98% 8.98% 8.98% 8.98%
Par Amount/Units [10]           $ 2,851        
Total Investment Portfolio, Amortized Cost [10]           2,826        
Total Investment Portfolio, Fair Value [10]           $ 2,472        
Investment, Identifier [Axis]: The NPD Group L.P. 1                    
Spread [9],[10],[12]           575.00% 575.00% 575.00% 575.00% 575.00%
Interest Rate [9],[10],[12]           10.07% 10.07% 10.07% 10.07% 10.07%
Par Amount/Units [9],[10],[12]           $ 9,023        
Total Investment Portfolio, Amortized Cost [9],[10],[12]           907        
Total Investment Portfolio, Fair Value [9],[10],[12]           $ 780        
Investment, Identifier [Axis]: The NPD Group L.P. 2                    
Spread [10],[12]           6.25% 6.25% 6.25% 6.25% 6.25%
Interest Rate [10],[12]           10.43% 10.43% 10.43% 10.43% 10.43%
Interest Rate, PIK [10],[12]           2.75% 2.75% 2.75% 2.75% 2.75%
Par Amount/Units [10],[12]           $ 140,214        
Total Investment Portfolio, Amortized Cost [10],[12]           137,538        
Total Investment Portfolio, Fair Value [10],[12]           $ 135,174        
Investment, Identifier [Axis]: The NPD Group L.P. 3                    
Spread [10],[12]           575.00% 575.00% 575.00% 575.00% 575.00%
Interest Rate [10],[12]           10.13% 10.13% 10.13% 10.13% 10.13%
Par Amount/Units [10],[12]           $ 9,291        
Total Investment Portfolio, Amortized Cost [10],[12]           9,202        
Total Investment Portfolio, Fair Value [10],[12]           $ 8,947        
Investment, Identifier [Axis]: The Talbots, Inc.                    
Spread 8.00% [8],[13],[25] 8.00% [8],[13],[25] 8.00% [8],[13],[25] 8.00% [8],[13],[25] 8.00% [8],[13],[25] 800.00% [12],[26] 800.00% [12],[26] 800.00% [12],[26] 800.00% [12],[26] 800.00% [12],[26]
Interest Rate 12.96% [8],[13],[25] 12.96% [8],[13],[25] 12.96% [8],[13],[25] 12.96% [8],[13],[25] 12.96% [8],[13],[25] 12.74% [12],[26] 12.74% [12],[26] 12.74% [12],[26] 12.74% [12],[26] 12.74% [12],[26]
Par Amount/Units $ 7,794 [8],[25]         $ 7,897 [12],[26]        
Total Investment Portfolio, Amortized Cost 7,599 [8],[25]         7,685 [12],[26]        
Total Investment Portfolio, Fair Value $ 7,577 [8],[25]         7,494 [12],[26]        
Investment, Identifier [Axis]: Thrasio LLC                    
Spread [13],[25] 7.00% 7.00% 7.00% 7.00% 7.00%          
Interest Rate [13],[25] 12.16% 12.16% 12.16% 12.16% 12.16%          
Par Amount/Units [25] $ 2,920                  
Total Investment Portfolio, Amortized Cost [25] 2,910                  
Total Investment Portfolio, Fair Value [25] $ 2,577                  
Investment, Identifier [Axis]: Thrasio LLC 1                    
Par Amount/Units [9],[26]           2,972        
Total Investment Portfolio, Amortized Cost [9],[26]           (11)        
Total Investment Portfolio, Fair Value [9],[26]           $ (338)        
Investment, Identifier [Axis]: Thrasio LLC 2                    
Spread [22],[26]           700.00% 700.00% 700.00% 700.00% 700.00%
Interest Rate [22],[26]           11.17% 11.17% 11.17% 11.17% 11.17%
Par Amount/Units [26]           $ 2,927        
Total Investment Portfolio, Amortized Cost [26]           2,916        
Total Investment Portfolio, Fair Value [26]           $ 2,594        
Investment, Identifier [Axis]: Tibco Software Inc                    
Spread [14]           450.00% 450.00% 450.00% 450.00% 450.00%
Interest Rate [14]           9.18% 9.18% 9.18% 9.18% 9.18%
Par Amount/Units [14]           $ 13,010        
Total Investment Portfolio, Amortized Cost [14]           11,882        
Total Investment Portfolio, Fair Value [14]           11,651        
Investment, Identifier [Axis]: Tilting Point Media LLC 1                    
Par Amount/Units [9],[12],[26]           6,372        
Total Investment Portfolio, Amortized Cost [9],[12],[26]           (160)        
Total Investment Portfolio, Fair Value [9],[12],[26]           (600)        
Investment, Identifier [Axis]: Tilting Point Media LLC 2                    
Par Amount/Units [9],[12],[26]           2,916        
Total Investment Portfolio, Amortized Cost [9],[12],[26]           (73)        
Total Investment Portfolio, Fair Value [9],[12],[26]           $ (274)        
Investment, Identifier [Axis]: Tilting Point Media LLC 3                    
Spread [12],[26]           800.00% 800.00% 800.00% 800.00% 800.00%
Interest Rate [12],[26]           12.39% 12.39% 12.39% 12.39% 12.39%
Par Amount/Units [12],[26]           $ 7,974        
Total Investment Portfolio, Amortized Cost [12],[26]           7,767        
Total Investment Portfolio, Fair Value [12],[26]           $ 7,224        
Investment, Identifier [Axis]: Time Manufacturing Holdings, LLC 1                    
Spread 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12]
Interest Rate 9.20% [6],[8],[13] 9.20% [6],[8],[13] 9.20% [6],[8],[13] 9.20% [6],[8],[13] 9.20% [6],[8],[13] 8.42% [10],[12] 8.42% [10],[12] 8.42% [10],[12] 8.42% [10],[12] 8.42% [10],[12]
Par Amount/Units | €       € 4,770 [6],[8]         € 4,782 [10],[12]  
Total Investment Portfolio, Amortized Cost $ 4,934 [6],[8]         $ 4,941 [10],[12]        
Total Investment Portfolio, Fair Value $ 4,888 [6],[8]         $ 4,784 [10],[12]        
Investment, Identifier [Axis]: Time Manufacturing Holdings, LLC 2                    
Spread 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 6.50% [5],[6],[8],[13] 650.00% [9],[10],[12] 650.00% [9],[10],[12] 650.00% [9],[10],[12] 650.00% [9],[10],[12] 650.00% [9],[10],[12]
Interest Rate 11.45% [5],[6],[8],[13] 11.45% [5],[6],[8],[13] 11.45% [5],[6],[8],[13] 11.45% [5],[6],[8],[13] 11.45% [5],[6],[8],[13] 11.23% [9],[10],[12] 11.23% [9],[10],[12] 11.23% [9],[10],[12] 11.23% [9],[10],[12] 11.23% [9],[10],[12]
Par Amount/Units $ 1,000 [5],[6],[8]         $ 1,000 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 537 [5],[6],[8]         727 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 505 [5],[6],[8]         $ 685 [9],[10],[12]        
Investment, Identifier [Axis]: Time Manufacturing Holdings, LLC 3                    
Spread 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12]
Interest Rate 11.45% [6],[8],[13] 11.45% [6],[8],[13] 11.45% [6],[8],[13] 11.45% [6],[8],[13] 11.45% [6],[8],[13] 11.23% [10],[12] 11.23% [10],[12] 11.23% [10],[12] 11.23% [10],[12] 11.23% [10],[12]
Par Amount/Units $ 12,112 [6],[8]         $ 12,142 [10],[12]        
Total Investment Portfolio, Amortized Cost 11,901 [6],[8]         11,920 [10],[12]        
Total Investment Portfolio, Fair Value $ 11,506 [6],[8]         $ 11,405 [10],[12]        
Investment, Identifier [Axis]: Time Manufacturing Holdings, LLC 4                    
Spread 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 6.50% [6],[8],[13] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12]
Interest Rate 9.20% [6],[8],[13] 9.20% [6],[8],[13] 9.20% [6],[8],[13] 9.20% [6],[8],[13] 9.20% [6],[8],[13] 8.42% [10],[12] 8.42% [10],[12] 8.42% [10],[12] 8.42% [10],[12] 8.42% [10],[12]
Par Amount/Units | €       € 8,401 [6],[8]         € 8,423 [10],[12]  
Total Investment Portfolio, Amortized Cost $ 9,331 [6],[8]         $ 9,346 [10],[12]        
Total Investment Portfolio, Fair Value $ 8,609 [6],[8]         $ 8,424 [10],[12]        
Investment, Identifier [Axis]: Tivity Health Inc                    
Spread 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 6.00% [6],[8],[13] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12] 600.00% [10],[12]
Interest Rate 10.90% [6],[8],[13] 10.90% [6],[8],[13] 10.90% [6],[8],[13] 10.90% [6],[8],[13] 10.90% [6],[8],[13] 10.58% [10],[12] 10.58% [10],[12] 10.58% [10],[12] 10.58% [10],[12] 10.58% [10],[12]
Par Amount/Units $ 111,997 [6],[8]         $ 112,278 [10],[12]        
Total Investment Portfolio, Amortized Cost 109,499 [6],[8]         109,647 [10],[12]        
Total Investment Portfolio, Fair Value $ 107,599 [6],[8]         $ 106,506 [10],[12]        
Investment, Identifier [Axis]: Travel Leaders Group, LLC                    
Spread [8],[13],[28] 8.50% 8.50% 8.50% 8.50% 8.50%          
Interest Rate [8],[13],[28] 13.39% 13.39% 13.39% 13.39% 13.39%          
Par Amount/Units [8],[28] $ 135,000                  
Total Investment Portfolio, Amortized Cost [8],[28] 131,627                  
Total Investment Portfolio, Fair Value [8],[28] $ 131,632                  
Investment, Identifier [Axis]: Tricentis Americas, Inc. 1                    
Spread 4.25% [5],[8],[13],[25] 4.25% [5],[8],[13],[25] 4.25% [5],[8],[13],[25] 4.25% [5],[8],[13],[25] 4.25% [5],[8],[13],[25] 425.00% [9],[12],[26] 425.00% [9],[12],[26] 425.00% [9],[12],[26] 425.00% [9],[12],[26] 425.00% [9],[12],[26]
Interest Rate 9.25% [5],[8],[13],[25] 9.25% [5],[8],[13],[25] 9.25% [5],[8],[13],[25] 9.25% [5],[8],[13],[25] 9.25% [5],[8],[13],[25] 8.94% [9],[12],[26] 8.94% [9],[12],[26] 8.94% [9],[12],[26] 8.94% [9],[12],[26] 8.94% [9],[12],[26]
Par Amount/Units $ 8,740 [5],[8],[25]         $ 8,748 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 4,997 [5],[8],[25]         3,144 [9],[12],[26]        
Total Investment Portfolio, Fair Value 4,944 [5],[8],[25]         3,055 [9],[12],[26]        
Investment, Identifier [Axis]: Tricentis Americas, Inc. 2                    
Par Amount/Units 499 [5],[8],[25]         499 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (2) [5],[8],[25]         (3) [9],[12],[26]        
Total Investment Portfolio, Fair Value $ (5) [5],[8],[25]         $ (8) [9],[12],[26]        
Investment, Identifier [Axis]: Tricentis Americas, Inc. 3                    
Spread 4.25% [8],[13],[25] 4.25% [8],[13],[25] 4.25% [8],[13],[25] 4.25% [8],[13],[25] 4.25% [8],[13],[25] 425.00% [12],[26] 425.00% [12],[26] 425.00% [12],[26] 425.00% [12],[26] 425.00% [12],[26]
Interest Rate 9.25% [8],[13],[25] 9.25% [8],[13],[25] 9.25% [8],[13],[25] 9.25% [8],[13],[25] 9.25% [8],[13],[25] 8.94% [12],[26] 8.94% [12],[26] 8.94% [12],[26] 8.94% [12],[26] 8.94% [12],[26]
Par Amount/Units $ 15,234 [8],[25]         $ 15,353 [12],[26]        
Total Investment Portfolio, Amortized Cost 15,161 [8],[25]         15,260 [12],[26]        
Total Investment Portfolio, Fair Value 15,066 [8],[25]         $ 15,102 [12],[26]        
Investment, Identifier [Axis]: Trimech Acquisition Corp. 1                    
Spread [9],[12],[26]           475.00% 475.00% 475.00% 475.00% 475.00%
Interest Rate [9],[12],[26]           9.39% 9.39% 9.39% 9.39% 9.39%
Par Amount/Units 3,289 [5],[8],[25]         $ 3,289 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost (49) [5],[8],[25]         345 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ (50) [5],[8],[25]         $ 311 [9],[12],[26]        
Investment, Identifier [Axis]: Trimech Acquisition Corp. 2                    
Spread 4.75% [8],[13],[25] 4.75% [8],[13],[25] 4.75% [8],[13],[25] 4.75% [8],[13],[25] 4.75% [8],[13],[25] 475.00% [12],[26] 475.00% [12],[26] 475.00% [12],[26] 475.00% [12],[26] 475.00% [12],[26]
Interest Rate 9.80% [8],[13],[25] 9.80% [8],[13],[25] 9.80% [8],[13],[25] 9.80% [8],[13],[25] 9.80% [8],[13],[25] 9.48% [12],[26] 9.48% [12],[26] 9.48% [12],[26] 9.48% [12],[26] 9.48% [12],[26]
Par Amount/Units $ 21,493 [8],[25]         $ 21,548 [12],[26]        
Total Investment Portfolio, Amortized Cost 21,219 [8],[25]         21,256 [12],[26]        
Total Investment Portfolio, Fair Value $ 21,169 [8],[25]         $ 21,000 [12],[26]        
Investment, Identifier [Axis]: Trimech Acquisition Corp. 3                    
Spread 4.75% [8],[13],[25] 4.75% [8],[13],[25] 4.75% [8],[13],[25] 4.75% [8],[13],[25] 4.75% [8],[13],[25] 475.00% [12],[26] 475.00% [12],[26] 475.00% [12],[26] 475.00% [12],[26] 475.00% [12],[26]
Interest Rate 8.93% [8],[13],[25] 8.93% [8],[13],[25] 8.93% [8],[13],[25] 8.93% [8],[13],[25] 8.93% [8],[13],[25] 8.63% [12],[26] 8.63% [12],[26] 8.63% [12],[26] 8.63% [12],[26] 8.63% [12],[26]
Par Amount/Units | £         £ 36,623 [8],[25]         £ 36,623 [12],[26]
Total Investment Portfolio, Amortized Cost $ 44,237 [8],[25]         $ 44,201 [12],[26]        
Total Investment Portfolio, Fair Value $ 44,769 [8],[25]         $ 43,398 [12],[26]        
Investment, Identifier [Axis]: Trugreen Limited Partnership                    
Spread 4.00% [6],[13] 4.00% [6],[13] 4.00% [6],[13] 4.00% [6],[13] 4.00% [6],[13] 400.00% [10],[22] 400.00% [10],[22] 400.00% [10],[22] 400.00% [10],[22] 400.00% [10],[22]
Interest Rate 8.84% [6],[13] 8.84% [6],[13] 8.84% [6],[13] 8.84% [6],[13] 8.84% [6],[13] 8.38% [10],[22] 8.38% [10],[22] 8.38% [10],[22] 8.38% [10],[22] 8.38% [10],[22]
Par Amount/Units $ 9,889 [6]         $ 9,914 [10]        
Total Investment Portfolio, Amortized Cost 9,772 [6]         9,789 [10]        
Total Investment Portfolio, Fair Value $ 9,156 [6]         $ 8,830 [10]        
Investment, Identifier [Axis]: Trupanion, Inc. 1                    
Spread 5.00% [5],[6],[7],[8],[13] 5.00% [5],[6],[7],[8],[13] 5.00% [5],[6],[7],[8],[13] 5.00% [5],[6],[7],[8],[13] 5.00% [5],[6],[7],[8],[13] 500.00% [9],[10],[11],[12] 500.00% [9],[10],[11],[12] 500.00% [9],[10],[11],[12] 500.00% [9],[10],[11],[12] 500.00% [9],[10],[11],[12]
Interest Rate 10.05% [5],[6],[7],[8],[13] 10.05% [5],[6],[7],[8],[13] 10.05% [5],[6],[7],[8],[13] 10.05% [5],[6],[7],[8],[13] 10.05% [5],[6],[7],[8],[13] 9.71% [9],[10],[11],[12] 9.71% [9],[10],[11],[12] 9.71% [9],[10],[11],[12] 9.71% [9],[10],[11],[12] 9.71% [9],[10],[11],[12]
Par Amount/Units $ 26,193 [5],[6],[7],[8]         $ 26,237 [9],[10],[11],[12]        
Total Investment Portfolio, Amortized Cost 17,135 [5],[6],[7],[8]         4,903 [9],[10],[11],[12]        
Total Investment Portfolio, Fair Value 16,655 [5],[6],[7],[8]         4,192 [9],[10],[11],[12]        
Investment, Identifier [Axis]: Trupanion, Inc. 2                    
Par Amount/Units 6,576 [5],[6],[7],[8]         6,576 [9],[10],[11],[12]        
Total Investment Portfolio, Amortized Cost (79) [5],[6],[7],[8]         (83) [9],[10],[11],[12]        
Total Investment Portfolio, Fair Value $ (198) [5],[6],[7],[8]         $ (262) [9],[10],[11],[12]        
Investment, Identifier [Axis]: Trupanion, Inc. 3                    
Spread 5.00% [6],[7],[8],[13] 5.00% [6],[7],[8],[13] 5.00% [6],[7],[8],[13] 5.00% [6],[7],[8],[13] 5.00% [6],[7],[8],[13] 500.00% [10],[11],[12] 500.00% [10],[11],[12] 500.00% [10],[11],[12] 500.00% [10],[11],[12] 500.00% [10],[11],[12]
Interest Rate 10.05% [6],[7],[8],[13] 10.05% [6],[7],[8],[13] 10.05% [6],[7],[8],[13] 10.05% [6],[7],[8],[13] 10.05% [6],[7],[8],[13] 9.73% [10],[11],[12] 9.73% [10],[11],[12] 9.73% [10],[11],[12] 9.73% [10],[11],[12] 9.73% [10],[11],[12]
Par Amount/Units $ 20,790 [6],[7],[8]         $ 20,843 [10],[11],[12]        
Total Investment Portfolio, Amortized Cost 20,534 [6],[7],[8]         20,567 [10],[11],[12]        
Total Investment Portfolio, Fair Value $ 20,165 [6],[7],[8]         $ 20,012 [10],[11],[12]        
Investment, Identifier [Axis]: UKG Inc 1                    
Spread 3.25% [13],[23] 3.25% [13],[23] 3.25% [13],[23] 3.25% [13],[23] 3.25% [13],[23] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14] 325.00% [14]
Interest Rate 8.03% [13],[23] 8.03% [13],[23] 8.03% [13],[23] 8.03% [13],[23] 8.03% [13],[23] 7.00% [14] 7.00% [14] 7.00% [14] 7.00% [14] 7.00% [14]
Par Amount/Units $ 9,141 [23]         $ 9,164 [14]        
Total Investment Portfolio, Amortized Cost 9,086 [23]         9,104 [14]        
Total Investment Portfolio, Fair Value $ 8,922 [23]         $ 8,740 [14]        
Investment, Identifier [Axis]: UKG Inc 2                    
Spread 525.00% [13],[16] 525.00% [13],[16] 525.00% [13],[16] 525.00% [13],[16] 525.00% [13],[16] 525.00% [14],[22] 525.00% [14],[22] 525.00% [14],[22] 525.00% [14],[22] 525.00% [14],[22]
Interest Rate 10.03% [13],[16] 10.03% [13],[16] 10.03% [13],[16] 10.03% [13],[16] 10.03% [13],[16] 9.00% [14],[22] 9.00% [14],[22] 9.00% [14],[22] 9.00% [14],[22] 9.00% [14],[22]
Par Amount/Units $ 24,852 [16]         $ 24,852 [14]        
Total Investment Portfolio, Amortized Cost 24,562 [16]         24,547 [14]        
Total Investment Portfolio, Fair Value $ 23,945 [16]         $ 22,932 [14]        
Investment, Identifier [Axis]: USI Inc/NY                    
Interest Rate [22],[24]           6.88% 6.88% 6.88% 6.88% 6.88%
Par Amount/Units [24]           $ 2,457        
Total Investment Portfolio, Amortized Cost [24]           2,365        
Total Investment Portfolio, Fair Value [24]           $ 2,371        
Investment, Identifier [Axis]: United Musculoskeletal Partners Acquisition Holdings, LLC 1                    
Spread 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 575.00% [9],[10],[12] 575.00% [9],[10],[12] 575.00% [9],[10],[12] 575.00% [9],[10],[12] 575.00% [9],[10],[12]
Interest Rate 9.65% [5],[6],[8],[13] 9.65% [5],[6],[8],[13] 9.65% [5],[6],[8],[13] 9.65% [5],[6],[8],[13] 9.65% [5],[6],[8],[13] 9.32% [9],[10],[12] 9.32% [9],[10],[12] 9.32% [9],[10],[12] 9.32% [9],[10],[12] 9.32% [9],[10],[12]
Par Amount/Units $ 77,157 [5],[6],[8]         $ 77,292 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 43,859 [5],[6],[8]         25,439 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 41,547 [5],[6],[8]         $ 23,854 [9],[10],[12]        
Investment, Identifier [Axis]: United Musculoskeletal Partners Acquisition Holdings, LLC 2                    
Spread 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 5.50% [6],[8],[13] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12]
Interest Rate 10.16% [6],[8],[13] 10.16% [6],[8],[13] 10.16% [6],[8],[13] 10.16% [6],[8],[13] 10.16% [6],[8],[13] 9.34% [10],[12] 9.34% [10],[12] 9.34% [10],[12] 9.34% [10],[12] 9.34% [10],[12]
Par Amount/Units $ 43,618 [6],[8]         $ 43,728 [10],[12]        
Total Investment Portfolio, Amortized Cost 42,824 [6],[8]         42,895 [10],[12]        
Total Investment Portfolio, Fair Value $ 41,535 [6],[8]         $ 42,014 [10],[12]        
Investment, Identifier [Axis]: User Zoom Technologies, Inc.                    
Spread 7.00% [6],[8],[13] 7.00% [6],[8],[13] 7.00% [6],[8],[13] 7.00% [6],[8],[13] 7.00% [6],[8],[13] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12] 575.00% [10],[12]
Interest Rate 11.60% [6],[8],[13] 11.60% [6],[8],[13] 11.60% [6],[8],[13] 11.60% [6],[8],[13] 11.60% [6],[8],[13] 9.35% [10],[12] 9.35% [10],[12] 9.35% [10],[12] 9.35% [10],[12] 9.35% [10],[12]
Par Amount/Units $ 18,948 [6],[8]         $ 18,948 [10],[12]        
Total Investment Portfolio, Amortized Cost 18,610 [6],[8]         18,593 [10],[12]        
Total Investment Portfolio, Fair Value $ 18,582 [6],[8]         $ 18,064 [10],[12]        
Investment, Identifier [Axis]: Vaco Holdings, LLC                    
Spread 5.00% [6],[13] 5.00% [6],[13] 5.00% [6],[13] 5.00% [6],[13] 5.00% [6],[13] 500.00% [10] 500.00% [10] 500.00% [10] 500.00% [10] 500.00% [10]
Interest Rate 10.05% [6],[13] 10.05% [6],[13] 10.05% [6],[13] 10.05% [6],[13] 10.05% [6],[13] 9.73% [10] 9.73% [10] 9.73% [10] 9.73% [10] 9.73% [10]
Par Amount/Units $ 12,591 [6]         $ 12,623 [10]        
Total Investment Portfolio, Amortized Cost 12,540 [6]         12,567 [10]        
Total Investment Portfolio, Fair Value $ 12,418 [6]         $ 12,218 [10]        
Investment, Identifier [Axis]: Vermont Aus Pty Ltd 1                    
Spread 5.65% [6],[7],[8],[13] 5.65% [6],[7],[8],[13] 5.65% [6],[7],[8],[13] 5.65% [6],[7],[8],[13] 5.65% [6],[7],[8],[13] 565.00% [10],[11],[12] 565.00% [10],[11],[12] 565.00% [10],[11],[12] 565.00% [10],[11],[12] 565.00% [10],[11],[12]
Interest Rate 10.55% [6],[7],[8],[13] 10.55% [6],[7],[8],[13] 10.55% [6],[7],[8],[13] 10.55% [6],[7],[8],[13] 10.55% [6],[7],[8],[13] 10.23% [10],[11],[12] 10.23% [10],[11],[12] 10.23% [10],[11],[12] 10.23% [10],[11],[12] 10.23% [10],[11],[12]
Par Amount/Units $ 25,988 [6],[7],[8]         $ 26,053 [10],[11],[12]        
Total Investment Portfolio, Amortized Cost 25,430 [6],[7],[8]         25,465 [10],[11],[12]        
Total Investment Portfolio, Fair Value $ 24,902 [6],[7],[8]         $ 24,675 [10],[11],[12]        
Investment, Identifier [Axis]: Vermont Aus Pty Ltd 2                    
Spread 5.75% [6],[7],[8],[13] 5.75% [6],[7],[8],[13] 5.75% [6],[7],[8],[13] 5.75% [6],[7],[8],[13] 5.75% [6],[7],[8],[13] 575.00% [10],[11],[12] 575.00% [10],[11],[12] 575.00% [10],[11],[12] 575.00% [10],[11],[12] 575.00% [10],[11],[12]
Interest Rate 9.52% [6],[7],[8],[13] 9.52% [6],[7],[8],[13] 9.52% [6],[7],[8],[13] 9.52% [6],[7],[8],[13] 9.52% [6],[7],[8],[13] 9.06% [10],[11],[12] 9.06% [10],[11],[12] 9.06% [10],[11],[12] 9.06% [10],[11],[12] 9.06% [10],[11],[12]
Par Amount/Units   $ 35,393 [6],[7],[8]         $ 35,482 [10],[11],[12]      
Total Investment Portfolio, Amortized Cost $ 25,851 [6],[7],[8]         $ 25,891 [10],[11],[12]        
Total Investment Portfolio, Fair Value $ 22,663 [6],[7],[8]         $ 22,864 [10],[11],[12]        
Investment, Identifier [Axis]: Verscend Holding Corp.                    
Spread 4.00% [13],[23] 4.00% [13],[23] 4.00% [13],[23] 4.00% [13],[23] 4.00% [13],[23] 400.00% [24] 400.00% [24] 400.00% [24] 400.00% [24] 400.00% [24]
Interest Rate 8.84% [13],[23] 8.84% [13],[23] 8.84% [13],[23] 8.84% [13],[23] 8.84% [13],[23] 8.38% [24] 8.38% [24] 8.38% [24] 8.38% [24] 8.38% [24]
Par Amount/Units $ 3,970 [23]         $ 3,980 [24]        
Total Investment Portfolio, Amortized Cost 3,954 [23]         3,961 [24]        
Total Investment Portfolio, Fair Value $ 3,971 [23]         $ 3,962 [24]        
Investment, Identifier [Axis]: Vetcor Group Holdings LLC                    
Interest Rate [12],[22],[24]           13.00% 13.00% 13.00% 13.00% 13.00%
Interest Rate, PIK [12],[22],[24]           13.00% 13.00% 13.00% 13.00% 13.00%
Par Amount/Units [12],[24]           $ 783        
Total Investment Portfolio, Amortized Cost [12],[24]           774        
Total Investment Portfolio, Fair Value [12],[24]           722        
Investment, Identifier [Axis]: Vetcor Group Holdings LLC 1                    
Interest Rate [5],[8],[13],[23] 13.00% 13.00% 13.00% 13.00% 13.00%          
Interest Rate, PIK [5],[8],[13],[23] 13.00% 13.00% 13.00% 13.00% 13.00%          
Par Amount/Units $ 256 [5],[8],[23]         251 [9],[12],[24]        
Total Investment Portfolio, Amortized Cost 221 [5],[8],[23]         (2) [9],[12],[24]        
Total Investment Portfolio, Fair Value $ 197 [5],[8],[23]         $ (19) [9],[12],[24]        
Investment, Identifier [Axis]: Vetcor Group Holdings LLC 2                    
Interest Rate [8],[13],[23] 13.00% 13.00% 13.00% 13.00% 13.00%          
Interest Rate, PIK [8],[13],[23] 13.00% 13.00% 13.00% 13.00% 13.00%          
Par Amount/Units [8],[23] $ 809                  
Total Investment Portfolio, Amortized Cost [8],[23] 806                  
Total Investment Portfolio, Fair Value [8],[23] $ 728                  
Investment, Identifier [Axis]: Vistage Worldwide Inc                    
Spread 5.25% [6],[13] 5.25% [6],[13] 5.25% [6],[13] 5.25% [6],[13] 5.25% [6],[13] 525.00% [10] 525.00% [10] 525.00% [10] 525.00% [10] 525.00% [10]
Interest Rate 10.16% [6],[13] 10.16% [6],[13] 10.16% [6],[13] 10.16% [6],[13] 10.16% [6],[13] 9.67% [10] 9.67% [10] 9.67% [10] 9.67% [10] 9.67% [10]
Par Amount/Units $ 995 [6]         $ 998 [10]        
Total Investment Portfolio, Amortized Cost 970 [6]         971 [10]        
Total Investment Portfolio, Fair Value $ 973 [6]         $ 958 [10]        
Investment, Identifier [Axis]: Voya CLO Ltd                    
Spread 3.55% [7],[13],[23] 3.55% [7],[13],[23] 3.55% [7],[13],[23] 3.55% [7],[13],[23] 3.55% [7],[13],[23] 355.00% [11],[22],[24] 355.00% [11],[22],[24] 355.00% [11],[22],[24] 355.00% [11],[22],[24] 355.00% [11],[22],[24]
Interest Rate 8.81% [7],[13],[23] 8.81% [7],[13],[23] 8.81% [7],[13],[23] 8.81% [7],[13],[23] 8.81% [7],[13],[23] 7.63% [11],[22],[24] 7.63% [11],[22],[24] 7.63% [11],[22],[24] 7.63% [11],[22],[24] 7.63% [11],[22],[24]
Par Amount/Units $ 1,500 [7],[23]         $ 1,500 [11],[24]        
Total Investment Portfolio, Amortized Cost 1,316 [7],[23]         1,311 [11],[24]        
Total Investment Portfolio, Fair Value $ 1,362 [7],[23]         $ 1,330 [11],[24]        
Investment, Identifier [Axis]: WCAS XIII Primary Care Investors, L.P.                    
Spread [8],[13],[25] 6.25% 6.25% 6.25% 6.25% 6.25%          
Interest Rate [8],[13],[25] 11.06% 11.06% 11.06% 11.06% 11.06%          
Par Amount/Units [8],[25] $ 135,630                  
Total Investment Portfolio, Amortized Cost [8],[25] 133,036                  
Total Investment Portfolio, Fair Value [8],[25] $ 133,007                  
Investment, Identifier [Axis]: WMB Holdings Inc                    
Spread 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 3.25% [13],[16] 325.00% [14],[22] 325.00% [14],[22] 325.00% [14],[22] 325.00% [14],[22] 325.00% [14],[22]
Interest Rate 8.16% [13],[16] 8.16% [13],[16] 8.16% [13],[16] 8.16% [13],[16] 8.16% [13],[16] 7.67% [14],[22] 7.67% [14],[22] 7.67% [14],[22] 7.67% [14],[22] 7.67% [14],[22]
Par Amount/Units $ 2,108 [16]         $ 2,202 [14]        
Total Investment Portfolio, Amortized Cost 2,048 [16]         2,137 [14]        
Total Investment Portfolio, Fair Value $ 2,107 [16]         $ 2,183 [14]        
Investment, Identifier [Axis]: Yes Energy LLC 1                    
Spread 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 5.00% [5],[6],[8],[13] 500.00% [9],[10],[12] 500.00% [9],[10],[12] 500.00% [9],[10],[12] 500.00% [9],[10],[12] 500.00% [9],[10],[12]
Interest Rate 9.90% [5],[6],[8],[13] 9.90% [5],[6],[8],[13] 9.90% [5],[6],[8],[13] 9.90% [5],[6],[8],[13] 9.90% [5],[6],[8],[13] 9.37% [9],[10],[12] 9.37% [9],[10],[12] 9.37% [9],[10],[12] 9.37% [9],[10],[12] 9.37% [9],[10],[12]
Par Amount/Units $ 10,000 [5],[6],[8]         $ 10,000 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost 2,279 [5],[6],[8]         2,268 [9],[10],[12]        
Total Investment Portfolio, Fair Value $ 2,203 [5],[6],[8]         $ 2,099 [9],[10],[12]        
Investment, Identifier [Axis]: Yes Energy LLC 2                    
Spread 5.00% [6],[8],[13] 5.00% [6],[8],[13] 5.00% [6],[8],[13] 5.00% [6],[8],[13] 5.00% [6],[8],[13] 500.00% [10],[12] 500.00% [10],[12] 500.00% [10],[12] 500.00% [10],[12] 500.00% [10],[12]
Interest Rate 9.90% [6],[8],[13] 9.90% [6],[8],[13] 9.90% [6],[8],[13] 9.90% [6],[8],[13] 9.90% [6],[8],[13] 9.37% [10],[12] 9.37% [10],[12] 9.37% [10],[12] 9.37% [10],[12] 9.37% [10],[12]
Par Amount/Units $ 26,000 [6],[8]         $ 26,000 [10],[12]        
Total Investment Portfolio, Amortized Cost 25,374 [6],[8]         25,342 [10],[12]        
Total Investment Portfolio, Fair Value $ 25,227 [6],[8]         $ 24,956 [10],[12]        
Investment, Identifier [Axis]: Zayo Group, LLC                    
Spread 3.00% [13],[23] 3.00% [13],[23] 3.00% [13],[23] 3.00% [13],[23] 3.00% [13],[23] 300.00% [24] 300.00% [24] 300.00% [24] 300.00% [24] 300.00% [24]
Interest Rate 7.84% [13],[23] 7.84% [13],[23] 7.84% [13],[23] 7.84% [13],[23] 7.84% [13],[23] 7.38% [24] 7.38% [24] 7.38% [24] 7.38% [24] 7.38% [24]
Par Amount/Units $ 3,155 [23]         $ 5,351 [24]        
Total Investment Portfolio, Amortized Cost 3,123 [23]         5,290 [24]        
Total Investment Portfolio, Fair Value $ 2,581 [23]         $ 4,358 [24]        
Investment, Identifier [Axis]: Zelis Payments Buyer, Inc.                    
Spread 3.50% [13],[23] 3.50% [13],[23] 3.50% [13],[23] 3.50% [13],[23] 3.50% [13],[23] 350.00% [24] 350.00% [24] 350.00% [24] 350.00% [24] 350.00% [24]
Interest Rate 8.34% [13],[23] 8.34% [13],[23] 8.34% [13],[23] 8.34% [13],[23] 8.34% [13],[23] 7.88% [24] 7.88% [24] 7.88% [24] 7.88% [24] 7.88% [24]
Par Amount/Units $ 13,848 [23]         $ 13,884 [24]        
Total Investment Portfolio, Amortized Cost 13,785 [23]         13,811 [24]        
Total Investment Portfolio, Fair Value 13,806 [23]         13,758 [24]        
Investment, Identifier [Axis]: Zendesk Inc 1                    
Par Amount/Units 39,321 [5],[6],[8]         39,321 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (740) [5],[6],[8]         (786) [9],[10],[12]        
Total Investment Portfolio, Fair Value (492) [5],[6],[8]         (772) [9],[10],[12]        
Investment, Identifier [Axis]: Zendesk Inc 2                    
Par Amount/Units 17,940 [5],[6],[8]         17,940 [9],[10],[12]        
Total Investment Portfolio, Amortized Cost (338) [5],[6],[8]         (352) [9],[10],[12]        
Total Investment Portfolio, Fair Value $ (224) [5],[6],[8]         $ (352) [9],[10],[12]        
Investment, Identifier [Axis]: Zendesk Inc 3                    
Spread 7.00% [6],[8],[13] 7.00% [6],[8],[13] 7.00% [6],[8],[13] 7.00% [6],[8],[13] 7.00% [6],[8],[13] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12] 650.00% [10],[12]
Interest Rate 11.88% [6],[8],[13] 11.88% [6],[8],[13] 11.88% [6],[8],[13] 11.88% [6],[8],[13] 11.88% [6],[8],[13] 11.04% [10],[12] 11.04% [10],[12] 11.04% [10],[12] 11.04% [10],[12] 11.04% [10],[12]
Interest Rate, PIK [6],[8],[13] 3.50% 3.50% 3.50% 3.50% 3.50%          
Par Amount/Units $ 157,283 [6],[8]         $ 157,283 [10],[12]        
Total Investment Portfolio, Amortized Cost 154,294 [6],[8]         154,163 [10],[12]        
Total Investment Portfolio, Fair Value $ 155,315 [6],[8]         $ 154,193 [10],[12]        
Investment, Identifier [Axis]: Zips Car Wash, LLC 1                    
Spread 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [12],[22],[26] 7.25% [12],[22],[26] 7.25% [12],[22],[26] 7.25% [12],[22],[26] 7.25% [12],[22],[26]
Interest Rate 12.14% [8],[13],[25] 12.14% [8],[13],[25] 12.14% [8],[13],[25] 12.14% [8],[13],[25] 12.14% [8],[13],[25] 11.67% [12],[22],[26] 11.67% [12],[22],[26] 11.67% [12],[22],[26] 11.67% [12],[22],[26] 11.67% [12],[22],[26]
Par Amount/Units $ 26,246 [8],[25]         $ 26,312 [12],[26]        
Total Investment Portfolio, Amortized Cost 26,233 [8],[25]         26,287 [12],[26]        
Total Investment Portfolio, Fair Value $ 25,837 [8],[25]         $ 25,799 [12],[26]        
Investment, Identifier [Axis]: Zips Car Wash, LLC 2                    
Spread 7.25% [5],[8],[13],[25] 7.25% [5],[8],[13],[25] 7.25% [5],[8],[13],[25] 7.25% [5],[8],[13],[25] 7.25% [5],[8],[13],[25] 725.00% [9],[12],[22],[26] 725.00% [9],[12],[22],[26] 725.00% [9],[12],[22],[26] 725.00% [9],[12],[22],[26] 725.00% [9],[12],[22],[26]
Interest Rate 12.05% [5],[8],[13],[25] 12.05% [5],[8],[13],[25] 12.05% [5],[8],[13],[25] 12.05% [5],[8],[13],[25] 12.05% [5],[8],[13],[25] 11.53% [9],[12],[22],[26] 11.53% [9],[12],[22],[26] 11.53% [9],[12],[22],[26] 11.53% [9],[12],[22],[26] 11.53% [9],[12],[22],[26]
Par Amount/Units $ 39,679 [5],[8],[25]         $ 39,718 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 15,062 [5],[8],[25]         14,987 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 14,847 [5],[8],[25]         $ 14,730 [9],[12],[26]        
Investment, Identifier [Axis]: Zips Car Wash, LLC 3                    
Spread 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [8],[13],[25] 7.25% [8],[13],[25] 725.00% [9],[12],[22],[26] 725.00% [9],[12],[22],[26] 725.00% [9],[12],[22],[26] 725.00% [9],[12],[22],[26] 725.00% [9],[12],[22],[26]
Interest Rate 12.09% [8],[13],[25] 12.09% [8],[13],[25] 12.09% [8],[13],[25] 12.09% [8],[13],[25] 12.09% [8],[13],[25] 11.67% [9],[12],[22],[26] 11.67% [9],[12],[22],[26] 11.67% [9],[12],[22],[26] 11.67% [9],[12],[22],[26] 11.67% [9],[12],[22],[26]
Par Amount/Units $ 993 [8],[25]         $ 1,003 [9],[12],[26]        
Total Investment Portfolio, Amortized Cost 988 [8],[25]         994 [9],[12],[26]        
Total Investment Portfolio, Fair Value $ 977 [8],[25]         $ 973 [9],[12],[26]        
[1] The cost represents the original cost adjusted for the amortization of discounts and premiums, as applicable, on debt investments using the effective interest method in accordance with accounting principles generally accepted in the United States of America ("U.S. GAAP").
[2] Unless otherwise indicated, issuers of debt and equity investments held by the Company (which such term “Company” shall include the Company’s consolidated subsidiaries for purposes of this Consolidated Schedule of Investments) are denominated in dollars. All debt investments are income producing unless otherwise indicated. All equity investments are non-income producing unless otherwise noted. Certain portfolio company investments are subject to contractual restrictions on sales. The total par amount is presented for debt investments and the number of shares or units owned is presented for equity investments. Each of the Company’s investments is pledged as collateral under its credit facilities unless otherwise indicated.
[3] The cost represents the original cost adjusted for the amortization of discounts and premiums, as applicable, on debt investments using the effective interest method in accordance with accounting principles generally accepted in the United States of America ("U.S. GAAP").
[4] Unless otherwise indicated, issuers of debt and equity investments held by the Company (which such term “Company” shall include the Company’s consolidated subsidiaries for purposes of this Consolidated Schedule of Investments) are denominated in dollars. All debt investments are income producing unless otherwise indicated. All equity investments are non-income producing unless otherwise noted. Certain portfolio company investments are subject to contractual restrictions on sales. The total par amount is presented for debt investments and the number of shares or units owned is presented for equity investments. Each of the Company’s investments is pledged as collateral under its credit facilities unless otherwise indicated.
[5] Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion, although the investment may be subject to unused commitment fees. Negative cost and fair value results from unamortized fees, which are capitalized to the investment cost. The unfunded loan commitment may be subject to a commitment termination date that may expire prior to the maturity date stated. See below for more information on the Company’s unfunded commitments:
Investments-non-controlled/non-affiliated Commitment Type Unfunded Commitment Fair Value
Zendesk Inc 1st Lien Senior Secured Delayed Draw Loan $ 39,321  $ (492)
SDC US Smilepay SPV 1st Lien Senior Secured Delayed Draw Loan 36,267  (1,369)
United Musculoskeletal Partners Acquisition Holdings, LLC 1st Lien Senior Secured Delayed Draw Loan 31,925  (1,525)
MB2 Dental Solutions, LLC 1st Lien Senior Secured Delayed Draw Loan 25,278  (633)
Zips Car Wash, LLC 1st Lien Senior Secured Delayed Draw Loan 24,213  (377)
Foundation Automotive US Corp 1st Lien Senior Secured Delayed Draw Loan 23,229  (1,005)
Coding Solutions Acquisition, Inc. 1st Lien Senior Secured Delayed Draw Loan 22,875  (749)
CC WDW Borrower, Inc. 1st Lien Senior Secured Delayed Draw Loan 22,837  (1,162)
Plasma Buyer LLC 1st Lien Senior Secured Delayed Draw Loan 22,070  (775)
Club Car Wash Operating, LLC 1st Lien Senior Secured Delayed Draw Loan 20,717  (705)
RSC Acquisition, Inc. 1st Lien Senior Secured Delayed Draw Loan 18,863  (341)
NBG Acquisition Corp. 1st Lien Senior Secured Delayed Draw Loan 18,760  (720)
Express Wash Concepts 1st Lien Senior Secured Delayed Draw Loan 18,257  (950)
Zendesk Inc 1st Lien Senior Secured Revolving Loan 17,940  (224)
2080 Media, Inc. 1st Lien Senior Secured Delayed Draw Loan 16,751  168 
SimpliSafe Holding Corporation 1st Lien Senior Secured Delayed Draw Loan 15,106  (298)
IP Operating Portfolio I, LLC 1st Lien Senior Secured Delayed Draw Loan 14,320  (369)
Patriot Growth Insurance Services, LLC 1st Lien Senior Secured Delayed Draw Loan 13,952  (235)
Sequa Corp 1st Lien Senior Secured Revolving Loan 13,676  (436)
Armstrong Bidco Limited 1st Lien Senior Secured Delayed Draw Loan 13,260  (233)
CD&R Madison UK Bidco LTD 1st Lien Senior Secured Delayed Draw Loan 12,295  (401)
E.S.G. Movilidad, S.L.U. 1st Lien Senior Secured Delayed Draw Loan 12,198  (540)
Coretrust Purchasing Group LLC 1st Lien Senior Secured Revolving Loan 11,656  (363)
Radwell Parent, LLC 1st Lien Senior Secured Revolving Loan 11,502  (223)
Renaissance Financiere 1st Lien Senior Secured Delayed Draw Loan 10,843  (309)
Prism Parent Co., Inc. 1st Lien Senior Secured Delayed Draw Loan 10,833  (230)
Coretrust Purchasing Group LLC 1st Lien Senior Secured Delayed Draw Loan 10,736  (334)
Plasma Buyer LLC 1st Lien Senior Secured Revolving Loan 9,458  (308)
Dolcetto HoldCo S.P.A. 1st Lien Senior Secured Delayed Draw Loan 9,111  (192)
Trupanion, Inc. 1st Lien Senior Secured Delayed Draw Loan 8,750  (263)
PPV Intermediate Holdings, LLC 1st Lien Senior Secured Revolving Loan 8,720  (226)
Daphne S.P.A. 1st Lien Senior Secured Delayed Draw Loan 8,631  (324)
Royal Buyer, LLC 1st Lien Senior Secured Delayed Draw Loan 8,483  (43)
Specialty Ingredients, LLC 1st Lien Senior Secured Revolving Loan 8,177  (373)
Planet US Buyer LLC 1st Lien Senior Secured Revolving Loan 8,024  (233)
Gusto Aus Bidco Pty Ltd 1st Lien Senior Secured Delayed Draw Loan 8,012  (42)
2080 Media, Inc. 1st Lien Senior Secured Revolving Loan 7,883  — 
Circana Group, LP. 1st Lien Senior Secured Revolving Loan 7,760  (183)
Coding Solutions Acquisition, Inc. 1st Lien Senior Secured Revolving Loan 7,613  (249)
Captive Resources Midco LLC 1st Lien Senior Secured Revolving Loan 7,558  (64)
Yes Energy LLC 1st Lien Senior Secured Delayed Draw Loan 7,500  (223)
Formerra, LLC 1st Lien Senior Secured Revolving Loan 7,339  (178)
123Dentist Inc 1st Lien Senior Secured Delayed Draw Loan 7,128  (185)
Coupa Holdings, LLC 1st Lien Senior Secured Delayed Draw Loan 7,123  (176)
Trupanion, Inc. 1st Lien Senior Secured Revolving Loan 6,576  (198)
Advarra Holdings, Inc. 1st Lien Senior Secured Delayed Draw Loan 6,340  (150)
Avalara, Inc. 1st Lien Senior Secured Revolving Loan 6,324  (134)
Coupa Holdings, LLC 1st Lien Senior Secured Revolving Loan 6,211  (153)
Ping Identity Holding Corp. 1st Lien Senior Secured Revolving Loan 6,068  (128)
Royal Buyer, LLC 1st Lien Senior Secured Revolving Loan 5,367  (27)
Investments-non-controlled/non-affiliated Commitment Type Unfunded Commitment Fair Value
CC WDW Borrower, Inc. 1st Lien Senior Secured Revolving Loan 5,122  (261)
PPV Intermediate Holdings, LLC 1st Lien Senior Secured Delayed Draw Loan 4,770  (124)
Showtime Acquisition, L.L.C. 1st Lien Senior Secured Revolving Loan 4,711  (138)
Oranje Holdco, Inc. 1st Lien Senior Secured Revolving Loan 4,657  (113)
Cobham Holdings Inc. 1st Lien Senior Secured Revolving Loan 4,614  (132)
TMC Buyer Inc 1st Lien Senior Secured Delayed Draw Loan 4,569  (343)
Formerra, LLC 1st Lien Senior Secured Delayed Draw Loan 4,270  (103)
Excelitas Technologies Corp. 1st Lien Senior Secured Delayed Draw Loan 4,239  (109)
Spotless Brands, LLC 1st Lien Senior Secured Revolving Loan 4,140  (116)
PTSH Intermediate Holdings, LLC 1st Lien Senior Secured Delayed Draw Loan 3,953  (217)
Integrity Marketing Acquisition LLC 1st Lien Senior Secured Delayed Draw Loan 3,818  (86)
Tricentis Americas, Inc. 1st Lien Senior Secured Delayed Draw Loan 3,701  (41)
Showtime Acquisition, L.L.C. 1st Lien Senior Secured Delayed Draw Loan 3,657  (107)
ASDAM Operations Pty Ltd 1st Lien Senior Secured Delayed Draw Loan 3,625  (123)
Meriplex Communications, LTD 1st Lien Senior Secured Delayed Draw Loan 3,615  (87)
Spanx, LLC 1st Lien Senior Secured Revolving Loan 3,533  (135)
TriMech Acquisition Corp. 1st Lien Senior Secured Revolving Loan 3,289  (50)
Pinnacle Fertility, Inc. 1st Lien Senior Secured Delayed Draw Loan 3,125  (60)
Arcfield Acquisition Corp 1st Lien Senior Secured Revolving Loan 2,990  (100)
Arc Media Holdings Limited 1st Lien Senior Secured Revolving Loan 2,766  (59)
Artemis Bidco Limited 1st Lien Senior Secured Delayed Draw Loan 2,677  (260)
Smarsh Inc. 1st Lien Senior Secured Delayed Draw Loan 2,143  (87)
CPI Buyer, LLC 1st Lien Senior Secured Revolving Loan 2,115  (26)
Excelitas Technologies Corp. 1st Lien Senior Secured Revolving Loan 1,978  (49)
Spirit RR Holdings, Inc. 1st Lien Senior Secured Revolving Loan 1,806  (54)
Galway Borrower LLC 1st Lien Senior Secured Revolving Loan 1,739  (67)
IG Investments Holdings, LLC 1st Lien Senior Secured Revolving Loan 1,726  (36)
CPI Buyer, LLC 1st Lien Senior Secured Delayed Draw Loan 1,449  (25)
Calabrio, Inc. 1st Lien Senior Secured Revolving Loan 1,152  (15)
NBG Acquisition Corp. 1st Lien Senior Secured Revolving Loan 1,111  (43)
Huskies Parent, Inc. 1st Lien Senior Secured Delayed Draw Loan 1,000  (62)
DS Admiral Bidco, LLC 1st Lien Senior Secured Revolving Loan 966  (17)
NBG Acquisition Corp. 1st Lien Senior Secured Delayed Draw Loan 952  (37)
Smarsh Inc. 1st Lien Senior Secured Revolving Loan 857  (35)
Patriot Growth Insurance Services, LLC 1st Lien Senior Secured Revolving Loan 822  (14)
AxiomSL Group, Inc. 1st Lien Senior Secured Revolving Loan 812  — 
AxiomSL Group, Inc. 1st Lien Senior Secured Delayed Draw Loan 744  — 
Meriplex Communications, LTD 1st Lien Senior Secured Revolving Loan 610  (15)
ERC Topco Holdings, LLC 1st Lien Senior Secured Revolving Loan 600  (40)
Tricentis Americas, Inc. 1st Lien Senior Secured Revolving Loan 499  (5)
Galway Borrower LLC 1st Lien Senior Secured Delayed Draw Loan 457  (19)
Riley MergeCo LLC 1st Lien Senior Secured Delayed Draw Loan 456  (19)
Time Manufacturing Holdings, LLC 1st Lien Senior Secured Revolving Loan 445  (22)
Associations Inc. 1st Lien Senior Secured Revolving Loan 403  (2)
Bottomline Technologies, Inc. 1st Lien Senior Secured Revolving Loan 385  (9)
Eagle LNG Partners Jacksonville II LLC 1st Lien Senior Secured Delayed Draw Loan 380  (13)
Riley MergeCo LLC 1st Lien Senior Secured Revolving Loan 304  (12)
Nexus Intermediate III, LLC 1st Lien Senior Secured Delayed Draw Loan 300  — 
Huskies Parent, Inc. 1st Lien Senior Secured Revolving Loan 294  (16)
RSC Acquisition, Inc. 1st Lien Senior Secured Revolving Loan 179  (3)
Pediatric Associates Holding Company, LLC 1st Lien Senior Secured Delayed Draw Loan 155  (3)
ABB/CON-CISE Optical Group LLC 1st Lien Senior Secured Revolving Loan 118  (7)
Aventine Intermediate LLC 1st Lien Senior Secured Delayed Draw Loan 80  (3)
VetCor Group Holdings LLC Unsecured Delayed Draw Loan 34  (3)
Investments-non-controlled/non-affiliated Commitment Type Unfunded Commitment Fair Value
Higginbotham Insurance Agency, Inc. 1st Lien Senior Secured Delayed Draw Loan 17  — 
Total $ 792,765  $ (22,404)
[6] The interest rate floor on these investments as of March 31, 2023 was 0.75%.
[7] The investment is not a qualifying asset, in whole or in part, under Section 55(a) of the 1940 Act. The Company may not acquire any non-qualifying asset unless, at the time of acquisition, qualifying assets represent at least 70% of the Company’s total assets. As of March 31, 2023, non-qualifying assets represented 15.7% of total assets as calculated in accordance with regulatory requirements.
[8] These investments were valued using unobservable inputs and are considered Level 3 investments. Fair value was determined in good faith by the Adviser as the Company’s valuation designee, subject to the oversight of the Board of Trustees (the “Board”) (see Note 2 and Note 5), pursuant to the Company’s valuation policy.
[9] Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion, although the investment may be subject to unused commitment fees. Negative cost and fair value results from unamortized fees, which are capitalized to the investment cost. The unfunded loan commitment may be subject to a commitment termination date that may expire prior to the maturity date stated. See below for more information on the Company’s unfunded commitments:
Investments-non-controlled/non-affiliated Commitment Type Unfunded Commitment Fair Value
United Musculoskeletal Partners Acquisition Holdings, LLC 1st Lien Senior Secured Delayed Draw Loan $ 50,408  $ (1,976)
MB2 Dental Solutions, LLC 1st Lien Senior Secured Delayed Draw Loan 48,611  (1,661)
Zendesk Inc 1st Lien Senior Secured Delayed Draw Loan 39,321  (772)
SDC US Smilepay SPV 1st Lien Senior Secured Delayed Draw Loan 38,645  (1,792)
Express Wash Concepts 1st Lien Senior Secured Delayed Draw Loan 37,286  (2,375)
Foundation Automotive US Corp 1st Lien Senior Secured Delayed Draw Loan 34,033  (1,236)
RSC Acquisition, Inc. 1st Lien Senior Secured Delayed Draw Loan 28,274  (753)
Zips Car Wash, LLC 1st Lien Senior Secured Delayed Draw Loan 24,213  (472)
Coding Solutions Acquisition, Inc. 1st Lien Senior Secured Delayed Draw Loan 22,875  (1,001)
CC WDW Borrower, Inc. 1st Lien Senior Secured Delayed Draw Loan 22,837  (1,006)
Plasma Buyer LLC 1st Lien Senior Secured Delayed Draw Loan 22,070  (1,040)
Trupanion, Inc. 1st Lien Senior Secured Delayed Draw Loan 21,000  (837)
Club Car Wash Operating, LLC 1st Lien Senior Secured Delayed Draw Loan 20,717  (911)
NBG Acquisition Corp. 1st Lien Senior Secured Delayed Draw Loan 18,760  (1,319)
IP Operating Portfolio I, LLC 1st Lien Senior Secured Delayed Draw Loan 18,168  (542)
Zendesk Inc 1st Lien Senior Secured Revolving Loan 17,940  (352)
Patriot Growth Insurance Services, LLC 1st Lien Senior Secured Delayed Draw Loan 16,982  (465)
Investments-non-controlled/non-affiliated Commitment Type Unfunded Commitment Fair Value
2080 Media, Inc. 1st Lien Senior Secured Delayed Draw Loan 16,751  (159)
SimpliSafe Holding Corporation 1st Lien Senior Secured Delayed Draw Loan 15,106  (455)
2080 Media, Inc. 1st Lien Senior Secured Revolving Loan 13,795  (139)
Sequa Corp 1st Lien Senior Secured Revolving Loan 13,676  (670)
PPV Intermediate Holdings, LLC 1st Lien Senior Secured Delayed Draw Loan 13,670  (520)
Radwell Parent, LLC 1st Lien Senior Secured Revolving Loan 13,271  (392)
Armstrong Bidco Limited 1st Lien Senior Secured Delayed Draw Loan 12,991  (69)
E.S.G. Movilidad, S.L.U. 1st Lien Senior Secured Delayed Draw Loan 12,039  (688)
Formerra, LLC 1st Lien Senior Secured Revolving Loan 12,031  (380)
Coretrust Purchasing Group LLC 1st Lien Senior Secured Revolving Loan 11,656  (501)
Specialty Ingredients, LLC 1st Lien Senior Secured Revolving Loan 11,279  (413)
Prism Parent Co., Inc. 1st Lien Senior Secured Delayed Draw Loan 10,833  (348)
Coretrust Purchasing Group LLC 1st Lien Senior Secured Delayed Draw Loan 10,736  (461)
Renaissance Financiere 1st Lien Senior Secured Delayed Draw Loan 10,702  (428)
Plasma Buyer LLC 1st Lien Senior Secured Revolving Loan 9,458  (411)
Royal Buyer, LLC 1st Lien Senior Secured Delayed Draw Loan 9,000  (321)
Dolcetto HoldCo S.P.A. 1st Lien Senior Secured Delayed Draw Loan 8,993  (218)
Coding Solutions Acquisition, Inc. 1st Lien Senior Secured Revolving Loan 8,700  (381)
Daphne S.P.A. 1st Lien Senior Secured Delayed Draw Loan 8,519  (421)
Gusto Aus Bidco Pty Ltd 1st Lien Senior Secured Delayed Draw Loan 8,161  (238)
The NPD Group L.P. 1st Lien Senior Secured Revolving Loan 7,940  (266)
Captive Resources Midco LLC 1st Lien Senior Secured Revolving Loan 7,557  (142)
Yes Energy LLC 1st Lien Senior Secured Delayed Draw Loan 7,500  (301)
Baart Programs, Inc. 1st Lien Senior Secured Delayed Draw Loan 7,191  (294)
123Dentist Inc 1st Lien Senior Secured Delayed Draw Loan 7,110  (268)
Trupanion, Inc. 1st Lien Senior Secured Revolving Loan 6,576  (262)
Excelitas Technologies Corp. 1st Lien Senior Secured Delayed Draw Loan 6,522  (247)
Tilting Point Media LLC 1st Lien Senior Secured Delayed Draw Loan 6,372  (600)
PPV Intermediate Holdings, LLC 1st Lien Senior Secured Revolving Loan 6,366  (242)
Advarra Holdings, Inc. 1st Lien Senior Secured Delayed Draw Loan 6,340  (226)
Avalara, Inc. 1st Lien Senior Secured Revolving Loan 6,324  (153)
Ping Identity Holding Corp. 1st Lien Senior Secured Revolving Loan 6,068  (147)
Tricentis Americas, Inc. 1st Lien Senior Secured Delayed Draw Loan 5,551  (91)
Royal Buyer, LLC 1st Lien Senior Secured Revolving Loan 5,367  (192)
Spotless Brands, LLC 1st Lien Senior Secured Revolving Loan 5,175  (201)
CC WDW Borrower, Inc. 1st Lien Senior Secured Revolving Loan 5,122  (226)
TMC Buyer Inc 1st Lien Senior Secured Delayed Draw Loan 4,569  (400)
Spanx, LLC 1st Lien Senior Secured Revolving Loan 4,467  (220)
Formerra, LLC 1st Lien Senior Secured Delayed Draw Loan 4,270  (135)
PTSH Intermediate Holdings, LLC 1st Lien Senior Secured Delayed Draw Loan 3,953  (261)
Integrity Marketing Acquisition LLC 1st Lien Senior Secured Delayed Draw Loan 3,818  (156)
Asdam Operations Pty Ltd 1st Lien Senior Secured Delayed Draw Loan 3,691  (168)
Meriplex Communications, LTD 1st Lien Senior Secured Delayed Draw Loan 3,615  (127)
CPI Buyer, LLC 1st Lien Senior Secured Delayed Draw Loan 3,491  (97)
Pinnacle Fertility, Inc. 1st Lien Senior Secured Delayed Draw Loan 3,125  (93)
Arcfield Acquisition Corp 1st Lien Senior Secured Revolving Loan 2,990  (129)
Thrasio LLC 1st Lien Senior Secured Delayed Draw Loan 2,972  (338)
Tilting Point Media LLC 1st Lien Senior Secured Revolving Loan 2,916  (274)
TriMech Acquisition Corp. 1st Lien Senior Secured Revolving Loan 2,895  (74)
Arc Media Holdings Limited 1st Lien Senior Secured Revolving Loan 2,766  (67)
Artemis Bidco Limited 1st Lien Senior Secured Delayed Draw Loan 2,622  (286)
Galway Borrower LLC 1st Lien Senior Secured Revolving Loan 2,216  (109)
Smarsh Inc. 1st Lien Senior Secured Delayed Draw Loan 2,143  (112)
Investments-non-controlled/non-affiliated Commitment Type Unfunded Commitment Fair Value
CPI Buyer, LLC 1st Lien Senior Secured Revolving Loan 2,115  (43)
Spirit RR Holdings, Inc. 1st Lien Senior Secured Revolving Loan 1,806  (74)
Excelitas Technologies Corp. 1st Lien Senior Secured Revolving Loan 1,413  (50)
NBG Acquisition Corp. 1st Lien Senior Secured Revolving Loan 1,358  (95)
Calabrio, Inc. 1st Lien Senior Secured Revolving Loan 1,152  (25)
Smarsh Inc. 1st Lien Senior Secured Revolving Loan 1,071  (56)
IG Investments Holdings, LLC 1st Lien Senior Secured Revolving Loan 1,036  (32)
Meriplex Communications, LTD 1st Lien Senior Secured Revolving Loan 1,029  (36)
Huskies Parent, Inc. 1st Lien Senior Secured Delayed Draw Loan 1,000  (93)
NBG Acquisition Corp. 1st Lien Senior Secured Delayed Draw Loan 952  (67)
DS Admiral Bidco, LLC 1st Lien Senior Secured Revolving Loan 850  (22)
Patriot Growth Insurance Services, LLC 1st Lien Senior Secured Revolving Loan 822  (22)
AxiomSL Group, Inc. 1st Lien Senior Secured Revolving Loan 812  — 
AxiomSL Group, Inc. 1st Lien Senior Secured Delayed Draw Loan 744  — 
850 Third Avenue Mezz I, LLC 1st Lien Senior Secured Delayed Draw Loan 643  (90)
ERC Topco Holdings, LLC 1st Lien Senior Secured Delayed Draw Loan 620  (17)
Pediatric Associates Holding Company, LLC 1st Lien Senior Secured Delayed Draw Loan 516  (25)
Tricentis Americas, Inc. 1st Lien Senior Secured Revolving Loan 499  (8)
RSC Acquisition, Inc. 1st Lien Senior Secured Revolving Loan 467  (12)
Galway Borrower LLC 1st Lien Senior Secured Delayed Draw Loan 457  (24)
Riley MergeCo LLC 1st Lien Senior Secured Delayed Draw Loan 456  (23)
Associations Inc. 1st Lien Senior Secured Revolving Loan 403  (6)
Bottomline Technologies, Inc. 1st Lien Senior Secured Revolving Loan 385  (13)
ERC Topco Holdings, LLC 1st Lien Senior Secured Revolving Loan 383  (9)
Riley MergeCo LLC 1st Lien Senior Secured Revolving Loan 304  (15)
Nexus Intermediate III, LLC 1st Lien Senior Secured Delayed Draw Loan 300  (3)
Huskies Parent, Inc. 1st Lien Senior Secured Revolving Loan 294  (24)
Time Manufacturing Holdings, LLC 1st Lien Senior Secured Revolving Loan 255  (15)
VetCor Group Holdings LLC Unsecured Delayed Draw Loan 250  (19)
AD1 LBV1, LLC 1st Lien Senior Secured Delayed Draw Loan 119  (2)
ABB/CON-CISE Optical Group LLC 1st Lien Senior Secured Revolving Loan 118  (8)
DCA Acquisition Holdings LLC Unsecured Delayed Draw Loan 88  (2)
Aventine Intermediate LLC 1st Lien Senior Secured Delayed Draw Loan 80  (4)
Higginbotham Insurance Agency, Inc. 1st Lien Senior Secured Delayed Draw Loan 28  — 
Zips Car Wash, LLC 1st Lien Senior Secured Delayed Draw Loan 10  — 
Total $ 895,942  $ (33,961)
[10] The interest rate floor on these investments as of December 31, 2022 was 0.75%.
[11] The investment is not a qualifying asset, in whole or in part, under Section 55(a) of the 1940 Act. The Company may not acquire any non-qualifying asset unless, at the time of acquisition, qualifying assets represent at least 70% of the Company’s total assets. As of December 31, 2022, non-qualifying assets represented 16.1% of total assets as calculated in accordance with regulatory requirements.
[12] These investments were valued using unobservable inputs and are considered Level 3 investments. Fair value was determined in good faith by the Adviser as the Company’s valuation designee, subject to the oversight of the Board of Trustees (the “Board”) (see Note 2 and Note 5), pursuant to the Company’s valuation policy.
[13] The majority of the investments bear interest at a rate that may be determined by reference to the London Interbank Offered Rate (“LIBOR” or “L”), Prime Rate (“Prime” or “P”), Sterling Overnight Index Average ("SONIA" or "SN"), Euro Interbank Offer Rate (“Euribor” or “E”), Secured Overnight Financing Rate ("SOFR" or "SF"), Canadian Dollar Offered Rate ("CDOR" or "C") or Bank Bill Swap Rate ("BBSW" or "B") which reset daily, monthly, quarterly, or semiannually. For each such investment, the Company has provided the spread over LIBOR, Prime, SONIA, E, SOFR, CDOR or BBSW and the current contractual interest rate in effect at March 31, 2023. Certain investments are subject to a LIBOR, Prime, or SOFR interest rate floor, or rate cap. Certain investments contain a Payment-in-Kind (“PIK”) provision.
[14] The interest rate floor on these investments as of December 31, 2022 was 0.50%.
[15] Loan was on non-accrual status as of March 31, 2023.
[16] The interest rate floor on these investments as of March 31, 2023 was 0.50%.
[17] These debt investments are not pledged as collateral under the Credit Facilities and the Short Term Financing Transactions.
[18] The interest rate floor on these investments as of March 31, 2023 was 1.75%.
[19] The interest rate floor on these investments as of December 31, 2022 was 1.75%.
[20] The interest rate floor on these investments as of March 31, 2023 was 0.60%.
[21] The interest rate floor on these investments as of December 31, 2022 was 0.60%.
[22] The majority of the investments bear interest at a rate that may be determined by reference to the London Interbank Offered Rate (“LIBOR” or “L”), Prime Rate (“Prime” or “P”), Sterling Overnight Index Average ("SONIA" or "SN"), Euro Interbank Offer Rate (“Euribor” or “E”), Secured Overnight Financing Rate ("SOFR" or "SF"), Canadian Dollar Offered Rate ("CDOR" or "C") or Bank Bill Swap Rate ("BBSW" or "B") which reset daily, monthly, quarterly, or semiannually. For each such investment, the Company has provided the spread over LIBOR, Prime, SONIA, E, SOFR, CDOR or BBSW and the current contractual interest rate in effect at December 31, 2022. Certain investments are subject to a LIBOR, Prime, or SOFR interest rate floor, or rate cap. Certain investments contain a Payment-in-Kind (“PIK”) provision.
[23] There are no interest rate floors on these investments.
[24] There are no interest rate floors on these investments.
[25] The interest rate floor on these investments as of March 31, 2023 was 1.00%.
[26] The interest rate floor on these investments as of December 31, 2022 was 1.00%.
[27] These debt investments are not pledged as collateral under HLEND-A Funding Facility, the HLEND-B Funding Facility, the Revolving Credit Facility and the Short Term Financing Transactions.
[28] The interest rate floor on these investments as of March 31, 2023 was 2.00%.
[29] The interest rate floor on these investments as of December 31, 2022 was 2.00%.