Fidus Investment · filed 2025-05-08
Total Fair Value
$3.25B
296 holdings
Unrealized P/L
-$21.89M
-0.67% vs cost
W. Avg Spread
+6.48%
debt, FV-weighted
W. Avg Coupon
—
debt, FV-weighted
% First Lien
24.5%
by fair value
Non-Accrual
0
text-detected
Investment Type Allocation
Fair value by type
Industry Concentration
Top 10 industries by fair value
$3.25B
Total Fair Value
- Unclassified37.2%
- Information Technology Services19.7%
- Business Services8.0%
- Component Manufacturing6.3%
- Utilities: Services3.5%
- Retail3.1%
- Building Products Manufacturing2.5%
- Consumer Services2.5%
- Healthcare Products2.3%
- Healthcare Services2.2%
- Other industries12.5%
Spread Distribution
Floating-rate debt holdings by 50bp spread bucket
All holdings
Sortable, click headers to re-sort
296 of 296
| Issuer | Industry | Type | Fair Value | Cost | Unrealized | Coupon | Spread | Maturity |
|---|---|---|---|---|---|---|---|---|
Non-control/Non-affiliate Investments | — | Per common share data: | $1.06B | $1.09B | -$26.07M | — | — | — |
Total Affiliate Investments | — | Per common share data: | $91.07M | $52.61M | $38.45M | — | — | — |
Pfanstiehl Inc | Health Products | Common Equity | $42.09M | $255.0K | $41.83M | — | — | — |
Micronics Filtration Holdings, Inc. (dba Micronics Engineered Filtration Group, Inc.) | Component Manufacturing | Per common share data: | $38.23M | $30.95M | $7.28M | — | — | — |
Barefoot Mosquito and Pest Control, LLC | Consumer Services | Per common share data: | $33.76M | $33.63M | $137.0K | — | — | — |
Barefoot Mosquito and Pest Control, LLC | Consumer Services | First Lien Debt | $31.78M | $31.78M | $0.00 | — | +6.00% | — |
Micronics Filtration Holdings, Inc. (dba Micronics Engineered Filtration Group, Inc.) | Component Manufacturing | First Lien Debt | $30.63M | $29.51M | $1.12M | — | +5.25% | — |
Fishbowl Solutions, LLC | Information Technology Services | Per common share data: | $29.94M | $29.87M | $66.0K | — | — | — |
American AllWaste LLC (dba WasteWater Transport Services) | Environmental Industries | Per common share data: | $28.41M | $29.76M | -$1.35M | — | — | — |
MBS Opco, LLC (dba Marketron) | Information Technology Services | First Lien Debt | $27.00M | $26.95M | $50.0K | — | +8.50% | — |
Detechtion Holdings, LLC | Information Technology Services | Per common share data: | $26.91M | $26.79M | $126.0K | — | — | — |
Brightmore Brands LLC | Retail | Per common share data: | $26.73M | $25.41M | $1.33M | — | — | — |
Hub Acquisition Sub, LLC (dba Hub Pen) | Promotional products | Per common share data: | $26.67M | $24.83M | $1.84M | — | — | — |
Dealerbuilt Acquisition, LLC | Information Technology Services | Per common share data: | $26.35M | $26.27M | $85.0K | — | — | — |
GMP HVAC, LLC (dba McGee Heating & Air, LLC) | Utilities: Services | Per common share data: | $25.93M | $25.63M | $307.0K | — | — | — |
Hub Acquisition Sub, LLC (dba Hub Pen) | Promotional products | Second Lien Debt | $24.88M | $24.66M | $227.0K | — | — | — |
GMP HVAC, LLC (dba McGee Heating & Air, LLC ) | Utilities: Services | First Lien Debt | $24.35M | $24.22M | $126.0K | — | +7.00% | — |
Diversified Search LLC | Business Services | Per common share data: | $24.20M | $24.69M | -$485.0K | — | — | — |
Diversified Search LLC | Business Services | First Lien Debt | $24.05M | $24.14M | -$88.0K | — | +7.50% | — |
Brightmore Brands LLC | Retail | First Lien Debt | $24.00M | $23.69M | $308.0K | — | +5.38% | — |
Detechtion Holdings, LLC | Information Technology Services | First Lien Debt | $23.72M | $23.63M | $89.0K | — | +5.75% | — |
Puget Collision, LLC | Retail | Per common share data: | $23.38M | $22.94M | $437.0K | — | — | — |
Applegate Greenfiber Intermediate Inc ( fka US GreenFiber LLC) | Building Products Manufacturing | Per common share data: | $23.11M | $22.41M | $704.0K | — | — | — |
Green Cubes Technology, LLC (dba Green Cubes) | Information Technology Services | First Lien Debt | $22.25M | $22.25M | $0.00 | — | +7.50% | — |
Puget Collision, LLC | Retail | First Lien Debt | $22.23M | $22.03M | $202.0K | — | +7.00% | — |
American AllWaste LLC (dba WasteWater Transport Services) | Environmental Industries | First Lien Debt | $22.22M | $22.18M | $36.0K | — | +6.75% | — |
ISI PSG Holdings, LLC (dba Incentive Solutions, Inc.) | Business Services | Per common share data: | $22.17M | $22.33M | -$165.0K | — | — | — |
Dataguise, Inc. | Information Technology Services | Per common share data: | $21.49M | $21.67M | -$180.0K | — | — | — |
ServicePower, Inc. | Information Technology Services | First Lien Debt | $21.00M | $20.77M | $231.0K | — | +8.00% | — |
Inductive Health Informatics, LLC | Healthcare Services | Per common share data: | $20.44M | $20.23M | $211.0K | — | — | — |
Dataguise, Inc. | Information Technology Services | Subordinated Debt | $20.20M | $20.17M | $27.0K | — | — | — |
Acendre Midco, Inc. | Information Technology Services | Per common share data: | $20.09M | $20.18M | -$87.0K | — | — | — |
Inductive Health Informatics, LLC | Healthcare Services | First Lien Debt | $20.05M | $19.86M | $196.0K | — | +7.75% | — |
QED Technologies International, Inc. | Component Manufacturing | Per common share data: | $19.64M | $16.88M | $2.76M | — | — | — |
Fishbowl Solutions, LLC | Information Technology Services | First Lien Debt | $18.57M | $18.50M | $66.0K | — | +7.75% | — |
Tedia Company, LLC | Healthcare Products | Per common share data: | $18.51M | $18.20M | $312.0K | — | — | — |
Donovan Food Brokerage, LLC | Business Services | Per common share data: | $18.40M | $17.65M | $750.0K | — | — | — |
NWS Technologies, LLC | Utilities: Services | Per common share data: | $18.33M | $18.32M | $15.0K | — | — | — |
Enterprise Asset Management FM Purchaser, Inc. (dba MCIM) | Information Technology Services | Per common share data: | $18.23M | $17.98M | $250.0K | — | — | — |
APM Intermediate Holdings, LLC (dba Artistic Paver Manufacturing, Inc.) | Building Products Manufacturing | Per common share data: | $18.18M | $19.33M | -$1.16M | — | — | — |
White Label Communication, LLC | Industry Information Technology Services | Per common share data: | $17.84M | $17.71M | $134.0K |