BDC·info
GLAD

Gladstone Capital

Period
SEC EDGAR ↗
Portfolio Fair Value
$757.35M
99 holdings
Avg Spread
+7.62%
FV-weighted, debt
Avg Coupon
FV-weighted
% First Lien
1.8%
of debt FV
Unrealized P/L
-$26.51M
-3.38% of cost
Non-Accrual
5
text-detected

Balance sheet

Assets$776.78M
Liabilities + Equity$776.78M
Other Debt
$677.95M · 87.3%
Debt (Borrowings)
$279.63M · 36.0%
Net Assets (Equity)
$478.06M · 61.5%

Industry Composition

Healthcare, Education, and Childcare
28.8%
Diversified/Conglomerate Manufacturing
23.4%
Diversified/Conglomerate Service
12.6%
Beverage, Food, and Tobacco
10.9%
Aerospace and Defense
7.8%
Automobile
3.7%
Machinery
3.0%
Cargo Transportation
2.7%
Oil and Gas
2.6%
Personal and Non-Durable Consumer Products (Manufacturing Only)
1.7%
Unclassified
1.4%
Printing and Publishing
0.7%
Other industries
0.7%

Fair Value History

Q2 '23
Q3 '23
Q4 '23
Q1 '24
Q2 '24
Q3 '24
Q4 '24
Q1 '25
Q2 '25
Q3 '25
Q4 '25

Spread Distribution

2.0%
5.5%
6.0%
6.5%
7.0%
7.5%
8.0%
8.5%
9.5%
10.5%
11.0%
Schedule of Investments

All holdings

All holdings
Sortable, click headers to re-sort
99 of 100
IssuerIndustryType
Fair Value
Cost
Unrealized
Coupon
Spread
Maturity
Vet's Choice Radiology LLC
Healthcare, Education, and Childcare
Term Debt
$42.61M
$42.75M
-$144.0K
+7.00%
SpaceCo Holdings, LLC
Aerospace and Defense
Term Debt
$42.16M
$41.95M
$211.0K
+6.40%
ALS Education, LLC
Healthcare, Education, and Childcare
Term Debt
$31.40M
$31.24M
$156.0K
+6.80%
Springfield, Inc.
Diversified/Conglomerate Manufacturing
Term Debt
$30.00M
$30.00M
$0.00
+11.10%
Giving Home Health Care, LLC
Healthcare, Education, and Childcare
Term Debt
$28.46M
$28.13M
$337.0K
+5.80%
Leadpoint Business Services, LLC
Diversified/Conglomerate Service
Term Debt
$28.40M
$28.12M
$281.0K
+8.50%
NeoGraf Solutions LLC
Diversified/Conglomerate Manufacturing
Term Debt
$27.55M
$27.55M
$0.00
+7.00%
Café Zupas
Beverage, Food, and Tobacco
Term Debt
$26.25M
$26.10M
$153.0K
+7.00%
Pan-Am Dental, LLC
Healthcare, Education, and Childcare
Term Debt
$23.10M
$23.00M
$96.0K
Technical Resource Management, LLC
Healthcare, Education, and Childcare
Term Debt
$22.07M
$23.50M
-$1.43M
+8.00%
RPM Freight Systems, LLC
Cargo Transportation
Term Debt
$20.20M
$20.00M
$200.0K
+7.70%
Viron International Corp.
Diversified/Conglomerate Manufacturing
Term Debt
$19.35M
$19.35M
$0.00
+7.00%
HH-Inspire Acquisition, Inc.
Healthcare, Education, and Childcare
Term Debt
$18.26M
$19.72M
-$1.47M
+8.00%
WorkforceQA, LLC
Diversified/Conglomerate Service
Term Debt #1
$18.11M
$18.06M
$50.0K
+6.50%
Dutch Gold Honey, Inc.
Beverage, Food, and Tobacco
Term Debt
$18.00M
$18.00M
$0.00
+7.50%
Turn Key Health Clinics, LLC
Healthcare, Education, and Childcare
Term Debt
$17.50M
$17.50M
$0.00
+7.30%
OCI, LLC
Diversified/Conglomerate Manufacturing
Term Debt #1
$16.66M
$16.50M
$165.0K
+7.50%
Imperative Holdings Corporation
Oil and Gas
Term Debt
$16.52M
$16.43M
$90.0K
+9.80%
Arc Drilling Holdings LLC
Machinery
Term Debt
$16.32M
$16.00M
$320.0K
+7.00%
Axios Industrial Group, LLC
Diversified/Conglomerate Service
Term Debt
$16.19M
$16.07M
$125.0K
+9.60%
Ohio Armor Holdings, LLC
Aerospace and Defense
Term Debt
$15.97M
$15.97M
$0.00
+8.00%
Freedom Dental Management, Inc.
Healthcare, Education, and Childcare
Term Debt
$14.96M
$15.00M
-$45.0K
+7.30%
Engineering Manufacturing Technologies, LLC
Diversified/Conglomerate Manufacturing
Term Debt
$14.83M
$22.63M
-$7.79M
+8.30%
Unirac Holdings, Inc.
Diversified/Conglomerate Manufacturing
Term Debt
$14.61M
$14.34M
$267.0K
+6.50%
Viva Railings, LLC
Diversified/Conglomerate Manufacturing
Term Debt
$13.98M
$13.98M
$0.00
+7.10%
Sea Link International IRB, Inc.
Automobile
Term Debt #1
$13.58M
$13.58M
$0.00
Eegee’s LLC
Beverage, Food, and Tobacco
Term Debt
$13.50M
$17.97M
-$4.47M
+7.80%
Quality Environmental Midco, Inc.
Diversified/Conglomerate Service
Term Debt
$13.26M
$13.00M
$260.0K
Torrent Photonics Holdco LLC
Diversified/Conglomerate Manufacturing
Term Debt #1
$11.70M
$11.59M
$107.0K
+9.50%
Wings ‘N More Restaurants LLC
Term Debt
$10.45M
$10.50M
-$52.0K
Café Zupas
Beverage, Food, and Tobacco
Delayed Draw Term Loan
$9.80M
$9.80M
$0.00
+7.00%
Lonestar EMS, LLC
Diversified/Conglomerate Manufacturing
Common Units
$9.60M
$6.75M
$2.85M
Defiance Integrated Technologies, Inc.
Automobile
Term Debt
$8.79M
$8.79M
$0.00
+9.60%
Total Access Elevator, LLC
Diversified/Conglomerate Service
Term Debt
$6.70M
$6.50M
$195.0K
+6.90%
Arc Drilling Holdings LLC
Machinery
Common Stock
$6.64M
$5.33M
$1.30M
Giving Home Health Care, LLC
Healthcare, Education, and Childcare
Common Stock
$6.15M
Pan-Am Dental, LLC
Healthcare, Education, and Childcare
Preferred Stock
$6.04M
$5.91M
$131.0K
Encore Dredging Holdings, LLC
Diversified/Conglomerate Service
Preferred Stock
$5.66M
$3.84M
$1.82M
TNCP Intermediate HoldCo, LLC
Printing and Publishing
Common Equity Units
$5.51M
$500.0K
$5.01M
WB Xcel Holdings, LLC
Personal and Non-Durable Consumer Products (Manufacturing Only)
Term Debt
$4.94M
$9.78M
-$4.83M
+10.50%
Tube Bending Technology, LLC
Diversified/Conglomerate Manufacturing
Term Debt
$4.92M
$5.00M
-$84.0K
Quality Environmental Midco, Inc.
Diversified/Conglomerate Service
Preferred Equity
$4.52M
$3.00M
$1.52M
Lonestar EMS, LLC
Diversified/Conglomerate Manufacturing
Term Debt
$4.20M
$4.14M
$59.0K
Sea Link International IRB, Inc.
Automobile
Term Debt #2
$4.12M
$4.12M
$0.00
Canopy Safety Brands, LLC
Personal and Non-Durable Consumer Products (Manufacturing Only)
Common Stock
$4.10M
$800.0K
$3.30M
8th Avenue Food & Provisions, Inc.
Beverage, Food, and Tobacco
Term Debt
$3.39M
$3.68M
-$295.0K
+7.90%
Sokol & Company Holdings, LLC
Beverage, Food, and Tobacco
Common Stock
$3.19M
$450.0K
$2.74M
Salvo Technologies, Inc.
Diversified/Conglomerate Manufacturing
Preferred Stock
$2.80M
$2.65M
$150.0K
Imperative Holdings Corporation
Oil and Gas
Preferred Equity Units
$2.69M
$488.0K
$2.21M
WB Xcel Holdings, LLC
Personal and Non-Durable Consumer Products (Manufacturing Only)
Line of Credit
$2.60M
$5.15M
-$2.55M
+10.50%
B+T Group Acquisition, Inc.
Telecommunications
Term Debt
$2.53M
$6.00M
-$3.47M
+2.00%
Eegee’s LLC
Beverage, Food, and Tobacco
Line of Credit #1
$2.48M
$3.30M
-$821.0K
+7.80%
Eegee’s LLC
Beverage, Food, and Tobacco
Delayed Draw Term Loan
$2.38M
$3.17M
-$789.0K
+7.80%
OCI, LLC
Diversified/Conglomerate Manufacturing
Term Debt #2
$2.36M
$2.24M
$121.0K
Technical Resource Management, LLC
Healthcare, Education, and Childcare
Line of Credit
$2.35M
$2.51M
-$160.0K
+8.00%
NeoGraf Solutions LLC
Diversified/Conglomerate Manufacturing
Common Stock
$2.00M
$2.00M
-$5.0K
HH-Inspire Acquisition, Inc.
Healthcare, Education, and Childcare
Preferred Stock
$1.92M
$2.60M
-$687.0K
Triple H Food Processors, LLC
Beverage, Food, and Tobacco
Common Stock
$1.89M
$250.0K
$1.64M
HH-Inspire Acquisition, Inc.
Healthcare, Education, and Childcare
Line of Credit
$1.70M
$1.84M
-$146.0K
+8.00%
GSM MidCo LLC
Healthcare, Education, and Childcare
Common Stock
$1.60M
$767.0K
$835.0K
GFRC 360, LLC
Buildings and Real Estate
Line of Credit
$1.36M
$1.35M
$7.0K
+8.00%
Total Access Elevator, LLC
Diversified/Conglomerate Service
Common Stock
$1.21M
$750.0K
$464.0K
WorkforceQA, LLC
Diversified/Conglomerate Service
Line of Credit
$1.20M
$1.20M
$0.00
+6.50%
Unirac Holdings, Inc.
Diversified/Conglomerate Manufacturing
Delayed Draw Term Loan
$1.09M
$1.09M
$0.00
+6.50%
Ohio Armor Holdings, LLC
Aerospace and Defense
Common Equity
$1.05M
$1.00M
$54.0K
GFRC 360, LLC
Buildings and Real Estate
Term Debt
$1.01M
$1.00M
$6.0K
+8.00%
Canopy Safety Brands, LLC
Personal and Non-Durable Consumer Products (Manufacturing Only)
Preferred Stock
$968.0K
$500.0K
$468.0K
Dutch Gold Honey, Inc.
Beverage, Food, and Tobacco
Common Stock
$900.0K
$900.0K
$0.00
Defiance Integrated Technologies, Inc.
Automobile
Common Stock
$853.0K
$581.0K
$272.0K
B+T Group Acquisition, Inc.
Telecommunications
Line of Credit #1
$556.0K
$1.32M
-$764.0K
+2.00%
Torrent Photonics Holdco LLC
Diversified/Conglomerate Manufacturing
Term Debt #2
$504.0K
$500.0K
$4.0K
+9.50%
Engineering Manufacturing Technologies, LLC
Diversified/Conglomerate Manufacturing
Line of Credit
$459.0K
$700.0K
-$241.0K
+8.30%
WorkforceQA, LLC
Diversified/Conglomerate Service
Common Stock
$414.0K
$532.0K
-$118.0K
Eegee’s LLC
Beverage, Food, and Tobacco
Line of Credit #2
$376.0K
$500.0K
-$124.0K
Unirac Holdings, Inc.
Diversified/Conglomerate Manufacturing
Line of Credit
$367.0K
$367.0K
$0.00
+6.50%
Sea Link International IRB, Inc.
Automobile
Common Equity Units
$364.0K
$823.0K
-$459.0K
Sea Link International IRB, Inc.
Automobile
Preferred Stock
$241.0K
$98.0K
$143.0K
Edge Adhesives Holdings, Inc.
Diversified/Conglomerate Manufacturing
Term Debt
$229.0K
$6.14M
-$5.91M
+5.50%
Triple H Food Processors, LLC
Beverage, Food, and Tobacco
Preferred Stock
$182.0K
$75.0K
$107.0K
B+T Group Acquisition, Inc.
Telecommunications
Line of Credit #2
$168.0K
$398.0K
-$230.0K
+2.00%
Total Safety Holdings, LLC
Oil and Gas
Common Equity
$149.0K
$499.0K
-$350.0K
Salt & Straw, LLC
Beverage, Food, and Tobacco
Common Warrant
$121.0K
Leeds Novamark Capital I, L.P.
Healthcare, Education, and Childcare
Limited Partnership Interest
$36.0K
Frontier Financial Group Inc.
Diversified/Conglomerate Service
Convertible Debt
$23.0K
$198.0K
-$175.0K
Viron International Corp.
Diversified/Conglomerate Manufacturing
Common Stock
$15.0K
$15.0K
$0.00
GFRC 360, LLC
Buildings and Real Estate
Preferred Stock
$11.0K
$1.02M
-$1.01M
B+T Group Acquisition, Inc.(S)
Telecommunications
Preferred Stock
$0.00
$2.02M
-$2.02M
Edge Adhesives Holdings, Inc.
Diversified/Conglomerate Manufacturing
Preferred Stock
$0.00
$5.47M
-$5.47M
Engineering Manufacturing Technologies, LLC
Diversified/Conglomerate Manufacturing
Common Stock
$0.00
$3.00M
-$3.00M
FES Resources Holdings LLC
Oil and Gas
Term Debt
$0.00
$325.0K
-$325.0K
FES Resources Holdings LLC
Oil and Gas
Preferred Equity Units
$0.00
$6.35M
-$6.35M
Frontier Financial Group Inc.
Diversified/Conglomerate Service
Preferred Stock
$0.00
$500.0K
-$500.0K
Technical Resource Management, LLC
Healthcare, Education, and Childcare
Common Stock
$0.00
$2.00M
-$2.00M
WB Xcel Holdings, LLC
Personal and Non-Durable Consumer Products (Manufacturing Only)
Preferred Stock
$0.00
$2.75M
-$2.75M
WB Xcel Holdings, LLC
Personal and Non-Durable Consumer Products (Manufacturing Only)
Common Warrant
$0.00
$1.0K
-$1.0K
FES Resources Holdings LLC
Oil and Gas
Common Equity Units
Frontier Financial Group Inc.
Diversified/Conglomerate Service
Preferred Stock Warrant
OCI, LLC
Diversified/Conglomerate Manufacturing
Common Units
Technical Resource Management, LLC
Healthcare, Education, and Childcare
Common Warrants
Disclosed holdings FV
$762.64M
Parsed holdings FV
$757.35M
Residual gap
$5.29M
Balance-sheet cash
$2.64M
CIK
0001143513
Accession
0001143513-25-000008
Form type
10-Q
Period
2025-03-31