PennantPark Investment · filed 2024-08-07
Total Fair Value
$8.19B
532 holdings
Unrealized P/L
-$1.07B
-11.56% vs cost
W. Avg Spread
+6.23%
debt, FV-weighted
W. Avg Coupon
11.50%
debt, FV-weighted
% First Lien
9.3%
by fair value
Non-Accrual
0
text-detected
Investment Type Allocation
Fair value by type
Industry Concentration
Top 10 industries by fair value
$8.19B
Total Fair Value
- Unclassified75.7%
- Related Party PSLF First Lien Secured Debt11.3%
- Business Services Current Coupon 11.08% Basis Point Spread Above Index SOFR+5750.4%
- Aerospace and Defense Current Coupon 11.58% Basis Point Spread Above Index SOFR+6250.3%
- Consumer Products Current Coupon 8.06% Basis Point Spread Above Index SOFR+2750.2%
- Chemicals, Plastics and Rubber, Current Coupon 11.34%, Basis Point Spread Above Index 3M SOFR+6000.2%
- Aerospace and Defense Current Coupon 11.33% Basis Point Spread Above Index SOFR+6000.2%
- Distribution Current Coupon 11.66% Basis Point Spread Above Index SOFR+6400.2%
- Insurance Current Coupon 11.50% Basis Point Spread Above Index SOFR+5500.2%
- Electronics Current Coupon 11.08% Basis Point Spread Above Index SOFR+5750.2%
- Other industries10.8%
Spread Distribution
Floating-rate debt holdings by 50bp spread bucket
All holdings
Sortable, click headers to re-sort
532 of 532
| Issuer | Industry | Type | Fair Value | Cost | Unrealized | Coupon | Spread | Maturity |
|---|---|---|---|---|---|---|---|---|
Investments and Cash Equivalents—268.5% | — | — | $1.32B | $1.31B | $6.89M | — | — | — |
Investments—256.5% | — | — | $1.26B | $1.25B | $6.89M | — | — | — |
Related Party PSLF Investments and Cash Equivalents - 842.5% | — | — | $970.87M | $975.47M | -$4.60M | — | — | — |
803.6% PennantPark Senior Loan Fund, LLC | Related Party PSLF First Lien Secured Debt | Common Equity—12.8% of Net Assets | $926.10M | $930.70M | -$4.60M | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% | — | — | $854.03M | $854.37M | -$338.0K | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% | $568.27M | $585.00M | -$16.73M | — | — | — |
Net Assets—100.0% | — | Second Lien Secured Debt—0.0% of Net Assets | $491.22M | — | — | — | — | — |
Investments in Controlled, Affiliated Portfolio Companies—75.8% | — | Second Lien Secured Debt—0.0% of Net Assets | $372.57M | $342.43M | $30.14M | — | — | — |
Investments in Controlled | — | Affiliated Portfolio Companies—75.8% Subordinated Debt—27.9% | $137.28M | $137.28M | $0.00 | — | — | — |
Investments in Controlled, Affiliated Portfolio Companies—75.8% Subordinated Debt—27.9% PennantPark Senior Loan Fund, LLC Maturity 7/31/2027 Financial Services Current Coupon 13.33 Basis Point Spread Above Index 3M SOFR+800 | — | Second Lien Secured Debt—0.0% of Net Assets | $115.89M | $115.89M | $0.00 | 13.33% | +8.00% | — |
Related Party PSLF Members Equity - 100% | — | Common Equity—12.8% of Net Assets | $115.24M | — | — | — | — | — |
Investments in Controlled | — | Affiliated Portfolio Companies—75.8% Common Equity—21.7% | $106.73M | $72.06M | $34.67M | — | — | — |
Investments in Controlled | — | Affiliated Portfolio Companies—75.8% First Lien Secured Debt—20.8% | $101.93M | $106.46M | -$4.53M | — | — | — |
Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% PennantPark Senior Loan Fund, LLC Financial Services | — | Second Lien Secured Debt—0.0% of Net Assets | $69.72M | $67.44M | $2.28M | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% | $65.58M | $67.17M | -$1.59M | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% US Government Securities—12.2% | — | — | $59.81M | $59.82M | -$12.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% US Government Securities—12.2% U.S. Treasury Bill Maturity 07/23/2024 Short-Term U.S. Government Securities Current Coupon 5.24% | — | — | $59.81M | $59.82M | -$12.0K | 5.24% | — | — |
Cash and Cash Equivalents—12.0% | — | Second Lien Secured Debt—0.0% of Net Assets | $59.15M | $59.15M | $1.0K | — | — | — |
Investments in Controlled, Affiliated Portfolio Companies—75.8% First Lien Secured Debt—20.8% AKW Holdings Limited Maturity 03/15/2027 Healthcare, Education and Childcare Current Coupon 12.32% Basis Point Spread Above Index 3M SOFR+700 (PIK 6.8) | — | — | $52.93M | $57.29M | -$4.36M | 12.32% | +7.00% | — |
Investments in Controlled | — | Affiliated Portfolio Companies—75.8% First Lien Secured Debt—20.8% MidOcean JF Holdings Corp. Maturity 07/31/2026 Distribution Current Coupon 11.38% Basis Point Spread Above Index 3M SOFR+605 | $49.00M | $49.17M | -$168.0K | 11.38% | +6.05% | — |
Cash and Cash Equivalents—12.0% BlackRock Federal FD Institutional | — | Second Lien Secured Debt—0.0% of Net Assets #30 | $47.30M | $47.30M | $0.00 | — | — | — |
Related Party PSLF Cash and Cash Equivalents - 38.8% | — | Common Equity—12.8% of Net Assets | $44.77M | $44.77M | $0.00 | — | — | — |
Related Party PSLF Cash and Cash Equivalents - 38.8% Issuer Name BlackRock Federal FD Institutional | — | Common Equity—12.8% of Net Assets #30 | $44.77M | $44.77M | $0.00 | — | — | — |
Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% | — | — | $33.27M | $56.19M | -$22.92M | — | — | — |
Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% JF Intermediate, LLC Distribution | — | Second Lien Secured Debt—0.0% of Net Assets | $32.59M | $4.49M | $28.11M | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Halo Buyer, Inc. Maturity 07/06/2026 Consumer Products Current Coupon 13.69% Basis Point Spread Above Index 1M SOFR+835 | — | — | $31.85M | $32.28M | -$434.0K | 13.69% | +8.35% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% RTIC Subsidiary Holdings, LLC Maturity 05/03/2029 Consumer Products Current Coupon 11.09% Basis Point Spread Above Index 3M SOFR+575 | — | — | $29.40M | $29.55M | -$154.0K | 11.09% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Cartessa Aesthetics, LLC Maturity 06/14/2028 Distribution Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 | — | — | $28.81M | $28.39M | $425.0K | 11.08% | +5.75% | — |
Investments in Non-Controlled | — | Affiliated Portfolio Companies—6.8% Preferred Equity/Partnership Interests—5.6% | $27.56M | $33.71M | -$6.14M | — | — | — |
Investments in Controlled | — | Affiliated Portfolio Companies—75.8% Preferred Equity—5.4% | $26.63M | $26.63M | $0.00 | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% | $26.39M | $25.69M | $700.0K | — | — | — |
Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Preferred Equity/Partnership Interests—5.6% Cascade Environmental Holdings, LLC | — | (Preferred) Environmental Services | $26.30M | $32.79M | -$6.49M | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sigma Defense Systems, LLC Maturity 12/18/2027 Telecommunications Current Coupon 12.46% Basis Point Spread Above Index 1M SOFR+715Sigma Defense Systems, LLC Maturity 12/18/2027 Telecommunications Current Coupon 12.49% Basis Point Spread Above Index 1M SOFR+715 | — | — | $25.64M | $25.33M | $311.0K | 12.49% | +7.15% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Exigo Intermediate II, LLC Maturity 03/15/2027 Business Services Current Coupon 11.69% Basis Point Spread Above Index 3M SOFR+635 | — | — | $24.01M | $23.96M | $49.0K | 11.69% | +6.35% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% Express Wash Acquisition Company, LLC Maturity 01/15/2029 Auto Sector Current Coupon 17.60% (PIK 12.0%) Basis Point Spread Above Index 3M SOFR+1226 | — | — | $23.33M | $22.63M | $700.0K | 17.60% | +1.23% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pragmatic Institute, LLC Maturity 07/06/2028 Business Services Current Coupon 12.85% (PIK 12.8%) Basis Point Spread Above Index 3M SOFR+750 | — | — | $22.98M | $35.13M | -$12.16M | 12.85% | +7.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Arcfield Acquisition Corp Maturity 08/03/2029 | Aerospace and Defense Current Coupon 11.58% Basis Point Spread Above Index SOFR+625 | Common Equity—12.8% of Net Assets | $21.52M | $21.32M | $197.0K | 11.58% | +6.25% | — |
Investments in Controlled, Affiliated Portfolio Companies—75.8% Subordinated Debt—27.9% Flock Financial, LLC Maturity 10/19/2027 Financial Services Current Coupon 14.5% (PIK 14.5%) | — | Second Lien Secured Debt—0.0% of Net Assets | $21.40M | $21.40M | $0.00 | 14.50% | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Lash OpCo, LLC Maturity 2/18/2027 | Consumer Products Current Coupon 8.06% Basis Point Spread Above Index SOFR+275 | Common Equity—12.8% of Net Assets | $19.98M | $20.07M | -$87.0K | 8.06% | +2.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MDI Buyer, Inc., Maturity 07/25/2028, | Chemicals, Plastics and Rubber, Current Coupon 11.34%, Basis Point Spread Above Index 3M SOFR+600 | — | $19.69M | $19.72M | -$36.0K | 11.34% | +6.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Smartronix, LLC Maturity 11/23/2028 | Aerospace and Defense Current Coupon 11.33% Basis Point Spread Above Index SOFR+600 | Common Equity—12.8% of Net Assets | $19.56M | $19.27M | $290.0K | 11.33% | +6.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Blackhawk Industrial Distribution, Inc. Maturity 9/17/2026 | Distribution Current Coupon 11.66% Basis Point Spread Above Index SOFR+640 | Common Equity—12.8% of Net Assets | $19.52M | $19.39M | $129.0K | 11.66% | +6.40% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Integrity Marketing Acquisition, LLC Maturity 08/27/26 | Insurance Current Coupon 11.50% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $19.47M | $19.53M | -$54.0K | 11.50% | +6.05% | — |
Investments in Controlled | — | Affiliated Portfolio Companies—75.8% Preferred Equity—5.4% Flock Financial Class B Preferred Equity Financial Services | $19.32M | $19.32M | $0.00 | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Wildcat Buyerco, Inc. Maturity 02/27/2027 | Electronics Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $19.30M | $19.16M | $143.0K | 11.08% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Zips Car Wash, LLC Maturity 12/31/2024 | Business Services Current Coupon 12.69% Basis Point Spread Above Index SOFR+725 | Common Equity—12.8% of Net Assets | $19.00M | $19.64M | -$647.0K | 12.69% | +7.25% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name HW Holdco, LLC Maturity 5/10/2026 | Media Current Coupon 11.70% Basis Point Spread Above Index SOFR+640 | Common Equity—12.8% of Net Assets | $18.45M | $18.38M | $71.0K | 11.70% | +6.40% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Best Practice Associates LLC Maturity 06/29/2027 Aerospace and Defense Current Coupon 14.48% Basis Point Spread Above Index 3M SOFR+915 | $17.29M | $17.60M | -$311.0K | 14.48% | +9.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Cartessa Aesthetics, LLC Maturity 6/14/2028 | Distribution Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $17.15M | $16.91M | $240.0K | 11.08% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% EDS Buyer, LLC Maturity 12/22/2028 Aerospace and Defense Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 | — | — | $17.03M | $17.07M | -$40.0K | 11.08% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Shiftkey, LLC Maturity 06/21/2027 Business Services Current Coupon 11.35% Basis Point Spread Above Index 3M SOFR+601 | — | — | $16.92M | $17.52M | -$599.0K | 11.35% | +6.01% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name System Planning and Analysis, Inc. (f/k/a Management Consulting & Research, LLC) Maturity 08/16/2027 | Aerospace and Defense Current Coupon 11.16% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $15.84M | $15.62M | $220.0K | 11.16% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name ACP Falcon Buyer, Inc. Maturity 08/01/2029 | Business Services Current Coupon 10.80% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $15.51M | $15.10M | $416.0K | 10.80% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Transgo, LLC Maturity 12/29/2028 | Auto Sector Current Coupon 11.34% Basis Point Spread Above Index SOFR+600 | Common Equity—12.8% of Net Assets | $14.95M | $14.74M | $210.0K | 11.34% | +6.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Aeronix, Inc. - Term Loan Maturity 12/18/2028 | Aerospace and Defense Current Coupon 10.83% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $14.93M | $14.73M | $197.0K | 10.83% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name NORA Acquisition, LLC Maturity 08/31/2029 | Healthcare, Education and Childcare, Current Coupon 11.68% Basis Point Spread Above Index SOFR+635 | Common Equity—12.8% of Net Assets | $14.89M | $14.63M | $263.0K | 11.68% | +6.35% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% | $14.88M | $11.90M | $2.97M | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beacon Behavioral Support Service, LLC Maturity 06/21/2029 Healthcare, Education and Childcare Current Coupon 10.85% Basis Point Spread Above Index 3M SOFR+550 | — | — | $14.78M | $14.78M | $0.00 | 10.85% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name A1 Garage Merger Sub, LLC Maturity 12/22/2028 | Personal, Food and Miscellaneous Services Current Coupon 10.83% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $14.78M | $14.53M | $242.0K | 10.83% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Sigma Defense Systems, LLC Maturity 12/18/2027 | Telecommunications Current Coupon 12.49% Basis Point Spread Above Index SOFR+715 | Common Equity—12.8% of Net Assets | $14.54M | $14.52M | $22.0K | 12.49% | +7.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Beta Plus Technologies, Inc. Maturity 07/01/2029 | Business Services Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $14.48M | $14.55M | -$74.0K | 11.08% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name HV Watterson Holdings, LLC Maturity 12/17/2026 | Business Services Current Coupon 11.73% Basis Point Spread Above Index SOFR+615 | Common Equity—12.8% of Net Assets | $14.31M | $14.85M | -$538.0K | 11.73% | +6.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Seaway Buyer, LLC Maturity 6/13/2029 | Chemicals, Plastics and Rubber Current Coupon 11.48% Basis Point Spread Above Index SOFR+615 | Common Equity—12.8% of Net Assets | $14.26M | $14.54M | -$281.0K | 11.48% | +6.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Hills Distribution, Inc Maturity 11/08/29 Industrial Distribution Current Coupon 11.33% Basis Point Spread Above Index SOFR+600 | Business Services Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $14.19M | $14.14M | $46.0K | 11.33% | +6.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Alpine Acquisition Corp II Maturity 11/30/2026 | Containers, Packaging and Glass Current Coupon 11.43% Basis Point Spread Above Index SOFR+610 | Common Equity—12.8% of Net Assets | $14.14M | $14.47M | -$339.0K | 11.43% | +6.10% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name DRS Holdings III, Inc. Maturity 11/3/2025 | Consumer Products Current Coupon 11.73% Basis Point Spread Above Index SOFR+640 | Common Equity—12.8% of Net Assets | $13.99M | $14.03M | -$32.0K | 11.73% | +6.40% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Anteriad LLC (f/k/a MeritDirect) Maturity 6/30/2026 | Media Current Coupon 11.23% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $13.74M | $13.67M | $71.0K | 11.23% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Kinetic Purchaser, LLC Maturity 11/10/2027 | Consumer Products, Current Coupon 11.48% Basis Point Spread Above Index SOFR+615 | Common Equity—12.8% of Net Assets | $13.70M | $13.51M | $191.0K | 11.48% | +6.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Amsive Holding Corporation (f/k/a Vision Purchaser Corporation) Maturity 6/10/2025 | Media Current Coupon 11.73% Basis Point Spread Above Index SOFR+640 | Common Equity—12.8% of Net Assets | $13.64M | $13.79M | -$151.0K | 11.73% | +6.40% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Applied Technical Services, LLC Maturity 12/29/2026 | Environmental Services Current Coupon 11.25% Basis Point Spread Above Index SOFR+590 | Common Equity—12.8% of Net Assets | $13.54M | $13.62M | -$79.0K | 11.25% | +5.90% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Ox Two, LLC Maturity 05/18/2026 Building Materials Current Coupon 11.85% Basis Point Spread Above Index 1M SOFR+651 | — | — | $13.46M | $13.36M | $97.0K | 11.85% | +6.51% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% AFC Dell Holding Corp. Maturity 04/09/2027 Distribution Current Coupon 11.75% Basis Point Spread Above Index 3M SOFR+640 | $13.21M | $13.34M | -$134.0K | 11.75% | +6.40% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Pacific Purchaser, LLC Maturity 10/2/2028 | Business Services Current Coupon 11.26% Basis Point Spread Above Index SOFR+600 | Common Equity—12.8% of Net Assets | $13.01M | $12.71M | $308.0K | 11.26% | +6.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Inventus Power, Inc. Maturity 06/30/2025 | Consumer Products Current Coupon 12.96% Basis Point Spread Above Index SOFR+761 | Common Equity—12.8% of Net Assets | $12.86M | $12.96M | -$106.0K | 12.96% | +7.61% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Carnegie Dartlet, LLC Maturity 02/07/2030 Education Current Coupon 10.84% Basis Point Spread Above Index 3M SOFR+550 | — | — | $12.77M | $12.78M | -$3.0K | 10.84% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name ETE Intermediate II, LLC Maturity 5/29/2029 | Personal, Food and Miscellaneous Services Current Coupon 11.85% Basis Point Spread Above Index SOFR+650 | Common Equity—12.8% of Net Assets | $12.40M | $12.07M | $328.0K | 11.85% | +6.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Radius Aerospace, Inc. Maturity 3/31/2025 | Aerospace and Defense Current Coupon 11.38% Basis Point Spread Above Index SOFR+575Related Party PSLF First Lien | Secured Debt - 803.6 Issuer Name Radius Aerospace, Inc. | $12.35M | $12.57M | -$220.0K | 11.38% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MOREGroup Holdings, Inc. Maturity 01/16/2030, | Business Services, Current Coupon 11.08%, Basis Point Spread Above Index 3M SOFR+575 | — | $12.34M | $12.30M | $48.0K | 11.08% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Watchtower Intermediate, LLC Maturity 12/01/2029 Electronics Current Coupon 11.33% Basis Point Spread Above Index 3M SOFR +600 | — | — | $12.21M | $12.14M | $68.0K | 11.33% | +6.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Research Now Group, LLC and Dynata, LLC Maturity 12/20/2024 | Business Services Current Coupon 0.00% Basis Point Spread Above Index SOFR+576 | Common Equity—12.8% of Net Assets | $12.20M | $14.32M | -$2.12M | 0.00% | +5.76% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Lightspeed Buyer Inc. Maturity 2/3/2026 | Healthcare, Education and Childcare Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 | Common Equity—12.8% of Net Assets | $12.12M | $12.01M | $112.0K | 10.69% | +5.35% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name BlueHalo Financing Holdings, LLC Maturity 10/31/2025 | Aerospace and Defense Current Coupon 10.09% Basis Point Spread Above Index SOFR+475 | Common Equity—12.8% of Net Assets | $12.04M | $12.16M | -$113.0K | 10.09% | +4.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name The Bluebird Group LLC Maturity 07/27/2026 | Business Services Current Coupon 11.98% Basis Point Spread Above Index SOFR+665 | Common Equity—12.8% of Net Assets | $11.93M | $11.89M | $44.0K | 11.98% | +6.65% | — |
Cash and Cash Equivalents—12.0% Non-Money Market Cash | — | Second Lien Secured Debt—0.0% of Net Assets | $11.85M | $11.85M | $1.0K | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Simplicity Financial Marketing Group Holdings, Inc Maturity 12/02/2026 | Banking, Finance, Insurance & Real Estate Current Coupon 11.71% Basis Point Spread Above Index SOFR+640 | Common Equity—12.8% of Net Assets | $11.27M | $11.22M | $54.0K | 11.71% | +6.40% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HW Holdco, LLC, Maturity 05/10/2026, | Media, Current Coupon 11.68%, Basis Point Spread Above Index 3M SOFR+640 | — | $11.18M | $11.15M | $29.0K | 11.68% | +6.40% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Infinity Home Services Holdco, Inc. Maturity 12/28/2028 | Personal, Food and Miscellaneous Services Current Coupon 12.18% Basis Point Spread Above Index SOFR+685 | Common Equity—12.8% of Net Assets | $10.97M | $10.81M | $162.0K | 12.18% | +6.85% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Mars Acquisition Holdings Corp. Maturity 5/14/2026 | Media Current Coupon 10.98% Basis Point Spread Above Index SOFR+565 | Common Equity—12.8% of Net Assets | $10.80M | $10.75M | $56.0K | 10.98% | +5.65% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Infolinks Media Buyco, LLC Maturity 11/01/26 | Media Current Coupon 10.83% Basis Point Spread Above Index SOFR+605 | Common Equity—12.8% of Net Assets | $10.79M | $10.84M | -$45.0K | 10.83% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Dr. Squatch, LLC Maturity 8/31/2027 | Personal and Non-Durable Consumer Product Current Coupon 11.18% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $10.62M | $10.58M | $37.0K | 11.18% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Tyto Athene, LLC Maturity 04/03/2028 | Aerospace and Defense Current Coupon 10.95% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $10.60M | $11.30M | -$709.0K | 10.95% | +5.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Integrity Marketing Acquisition, LLC - Unfunded Term Loan, Maturity 08/31/2025, | Insurance | — | $10.54M | — | — | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Medina Health, LLC Maturity 10/20/2028 | Healthcare, Education and Childcare Current Coupon 11.58% Basis Point Spread Above Index SOFR+625 | Common Equity—12.8% of Net Assets | $9.95M | $9.80M | $154.0K | 11.58% | +6.25% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Medina Health, LLC, Maturity 10/20/2028, | Healthcare, Education and Childcare, Current Coupon 11.58%, Basis Point Spread Above Index 3M SOFR+625 | — | $9.90M | $9.74M | $155.0K | 11.58% | +6.25% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name TCG 3.0 Jogger Acquisitionco, Inc. Maturity 01/23/2029 | Media Current Coupon 11.84% Basis Point Spread Above Index SOFR+650 | Common Equity—12.8% of Net Assets | $9.88M | $9.82M | $56.0K | 11.84% | +6.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Carnegie Dartlet, LLC Maturity 02/07/2030 | Healthcare, Education and Childcare Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $9.82M | $9.84M | -$10.0K | 10.84% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Exigo Intermediate II, LLC Maturity 3/15/2027 | Business Services Current Coupon 11.69% Basis Point Spread Above Index SOFR+625 | Common Equity—12.8% of Net Assets | $9.60M | $9.57M | $29.0K | 11.69% | +6.25% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Broder Bros., Co. Maturity 12/04/2025 Consumer Products Current Coupon 11.60% Basis Point Spread Above Index 3M SOFR+626 | — | — | $9.59M | $9.59M | $0.00 | 11.60% | +6.26% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name SpendMend Holdings, LLC Maturity 03/01/2028 | Business Services Current Coupon 10.98% Basis Point Spread Above Index SOFR+565 | Common Equity—12.8% of Net Assets | $9.53M | $9.31M | $220.0K | 10.98% | +5.65% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Recteq, LLC Maturity 1/29/2026 | Consumer Products Current Coupon 12.49% Basis Point Spread Above Index SOFR+715 | Common Equity—12.8% of Net Assets | $9.53M | $9.61M | -$79.0K | 12.49% | +7.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Broder Bros., Co. Maturity 12/04/2025 | Personal and Non-Durable Consumer Products Current Coupon 11.60% Basis Point Spread Above Index SOFR+626 | Common Equity—12.8% of Net Assets | $9.44M | $9.44M | $0.00 | 11.60% | +6.26% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Solutionreach, Inc. Maturity 07/17/2025 | Communications Current Coupon 12.48% Basis Point Spread Above Index SOFR+700 | Common Equity—12.8% of Net Assets | $9.24M | $9.21M | $31.0K | 12.48% | +7.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Watchtower Buyer, LLC Maturity 12/01/2029 | Consumer Products Current Coupon 11.33% Basis Point Spread Above Index SOFR+600 | Common Equity—12.8% of Net Assets | $8.90M | $8.84M | $54.0K | 11.33% | +6.00% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TCG 3.0 Jogger Acquisitionco, Inc. Maturity 1/26/2029 Media Current Coupon 11.84% Basis Point Spread Above Index 3M SOFR +650 | — | — | $8.89M | $8.83M | $55.0K | 11.84% | +6.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Safe Haven Defense US LLC | — | - Term Loan Maturity 05/23/2029 Building Materials Current Coupon 10.58% Basis Point Spread Above Index 3M SOFR+525 | $8.87M | $8.87M | $0.00 | 10.58% | +5.25% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Ledge Lounger, Inc., Maturity 11/09/2026, | Consumer Products, Current Coupon 11.98%, Basis Point Spread Above Index 3M SOFR+665 | — | $8.84M | $8.92M | -$86.0K | 11.98% | +6.65% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Bioderm, Inc. Maturity 1/31/2028 | Healthcare, Education and Childcare Current Coupon 11.83% Basis Point Spread Above Index SOFR+650 | Common Equity—12.8% of Net Assets | $8.80M | $8.81M | -$16.0K | 11.83% | +6.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, ITI Holdings, Inc., Maturity 03/03/2028, | Business Services, Current Coupon 10.98%, Basis Point Spread Above Index 3M SOFR+565 | — | $8.77M | $8.66M | $108.0K | 10.98% | +5.65% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% PennantPark-TSO Senior Loan Fund II, LP Financial Services | — | — | $8.74M | $8.42M | $321.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Athletico Holdings, LLC Healthcare, Education and Childcare | — | — | $8.71M | $10.00M | -$1.28M | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Reception Purchaser, LLC Maturity 02/28/2028 Transportation Current Coupon 11.48% Basis Point Spread Above Index 3M SOFR+615 | — | — | $8.65M | $9.63M | -$979.0K | 11.48% | +6.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Connatix Buyer, Inc. Maturity 7/13/2027 | Media Current Coupon 11.11% Basis Point Spread Above Index SOFR+576 | Common Equity—12.8% of Net Assets | $8.56M | $8.73M | -$162.0K | 11.11% | +5.76% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name One Stop Mailing, LLC Maturity 5/7/2027 | Transportation Current Coupon 11.71% Basis Point Spread Above Index SOFR+636 | Common Equity—12.8% of Net Assets | $8.40M | $8.27M | $132.0K | 11.71% | +6.36% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name MBS Holdings, Inc. Maturity 4/16/2027 | Telecommunications Current Coupon 11.27% Basis Point Spread Above Index SOFR+585 | Common Equity—12.8% of Net Assets | $8.36M | $8.27M | $86.0K | 11.27% | +5.85% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Dr. Squatch, LLC Maturity 08/31/2027 Personal and Non-Durable Consumer Products Current Coupon 11.17 Basis Point Spread Above Index 3M SOFR+585 | — | — | $8.14M | $8.08M | $63.0K | 11.17% | +5.85% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Megawatt Acquisitionco, Inc. Maturity 03/01/30 | Business Services Current Coupon 10.58% Basis Point Spread Above Index SOFR+525 | Common Equity—12.8% of Net Assets | $8.00M | $7.89M | $113.0K | 10.58% | +5.25% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Burgess Point Purchaser Corporation Maturity 07/28/2030 Auto Sector Current Coupon 14.44% Basis Point Spread Above Index 3M SOFR+910 | $7.92M | $7.69M | $231.0K | 14.44% | +9.10% | — |
Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% HEC Purchaser Corp. Maturity 06/17/2029 Healthcare, Education and Childcare Current Coupon 10.84% Basis Point Spread Above Index 3M SOFR+550 | — | — | $7.90M | $7.90M | $0.00 | 10.84% | +5.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Eval Home Health Solutions Intermediate, LLC Maturity 05/10/2030 Healthcare, Education and Childcare Current Coupon 11.09% Basis Point Spread Above Index 3M SOFR+575 | — | — | $7.86M | $7.86M | -$1.0K | 11.09% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Atlas Purchaser, Inc. - Third Out Maturity 05/06/2028 Telecommunication Current Coupon 12.46% Basis Point Spread Above Index 3M SOFR+700 | — | — | $7.72M | $7.44M | $277.0K | 12.46% | +7.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name The Vertex Companies, LLC Maturity 08/31/2027 | Business Services Current Coupon 11.48% Basis Point Spread Above Index SOFR+610 | Common Equity—12.8% of Net Assets | $7.64M | $7.55M | $89.0K | 11.48% | +6.10% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name MOREgroup Holdings, LLC Maturity 01/16/30 | Business Services Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $7.41M | $7.38M | $27.0K | 11.08% | +5.75% | — |
Investments in Controlled | — | Affiliated Portfolio Companies—75.8% Preferred Equity—5.4% Flock Financial Class A Preferred Equity Financial Services | $7.31M | $7.31M | $0.00 | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name MAG DS Corp. Maturity 4/1/2027 | Aerospace and Defense Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $7.28M | $7.17M | $102.0K | 10.93% | +5.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Urology Management Holdings, Inc. Maturity 06/15/2026 Healthcare , Education and Childcare Current Coupon 11.76% Basis Point Spread Above Index 3M SOFR +650 | — | — | $7.15M | $7.20M | -$50.0K | 11.76% | +6.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name NBH Group LLC Maturity 8/19/2026 | Healthcare, Education and Childcare Current Coupon 11.18% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $7.00M | $7.33M | -$323.0K | 11.18% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Big Top Holdings, LLC Maturity 02/28/2030 | Manufacturing / Basic Industries Current Coupon 11.58% Basis Point Spread Above Index SOFR+625 | Common Equity—12.8% of Net Assets | $6.93M | $6.87M | $63.0K | 11.58% | +6.25% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Sales Benchmark Index LLC Maturity 1/03/2025 | Business Services Current Coupon 11.53% Basis Point Spread Above Index SOFR+620 | Common Equity—12.8% of Net Assets | $6.68M | $6.66M | $16.0K | 11.53% | +6.20% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Global Holdings InterCo LLC Maturity 03/16/2026 | Banking, Finance, Insurance & Real Estate Current Coupon 11.48% Basis Point Spread Above Index SOFR+610 | Common Equity—12.8% of Net Assets | $6.62M | $6.96M | -$336.0K | 11.48% | +6.10% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name PL Acquisitionco, LLC Maturity 11/9/2027 | Retail Current Coupon 12.44% Basis Point Spread Above Index SOFR+710 | Common Equity—12.8% of Net Assets | $6.51M | $8.05M | -$1.53M | 12.44% | +7.10% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% CF512, Inc. Maturity 08/20/2026 Media Current Coupon 11.53% Basis Point Spread Above Index 3M SOFR+619 | — | — | $6.44M | $6.49M | -$44.0K | 11.53% | +6.19% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Municipal Emergency Services, Inc. Distribution | — | — | $6.39M | $3.98M | $2.41M | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% ENC Parent Corporation Maturity 08/19/2029 Business Services Current Coupon 13.10% Basis Point Spread Above Index 3M SOFR+776 | $6.38M | $7.45M | -$1.07M | 13.10% | +7.76% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% OSP Embedded Purchaser, LLC Maturity 12/15/2029 Aerospace and Defense Current Coupon 11.18% Basis Point Spread Above Index 3M SOFR+585 | — | — | $6.28M | $6.36M | -$79.0K | 11.18% | +5.85% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name ACP Avenu Buyer, LLC Maturity 10/02/2029 | Business Services Current Coupon 10.55% Basis Point Spread Above Index SOFR+525 | Common Equity—12.8% of Net Assets | $6.27M | $6.36M | -$86.0K | 10.55% | +5.25% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name LJ Avalon Holdings, LLC Maturity 1/31/2030 | Environmental Services Current Coupon 11.74% Basis Point Spread Above Index SOFR+625 | Common Equity—12.8% of Net Assets | $6.27M | $6.17M | $106.0K | 11.74% | +6.25% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. Maturity 09/17/2026 Distribution Current Coupon 11.73% (PIK 2.0%) Basis Point Spread Above Index 3M SOFR+640 | — | — | $6.25M | $6.25M | -$4.0K | 11.73% | +6.40% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Omnia Exterior Solutions, LLC Maturity 12/29/2029 Diversified Conglomerate Service Current Coupon 10.83% Basis Point Spread Above Index 3M SOFR+550 | — | — | $6.20M | $6.26M | -$61.0K | 10.83% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name EDS Buyer, LLC Maturity 1/10/2029 | Aerospace and Defense Current Coupon 11.08% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $6.08M | $6.11M | -$31.0K | 11.08% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC US Parent, LLC Maturity 11/22/2025 Food Current Coupon 10.93% Basis Point Spread Above Index 3M SOFR +560 | — | — | $5.99M | $5.92M | $68.0K | 10.93% | +5.60% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Cartessa Aesthetics, LLC Distribution | — | — | $5.97M | $3.56M | $2.41M | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Municipal Emergency Services, Inc. Maturity 10/01/2027 | Distribution Current Coupon 10.49% Basis Point Spread Above Index SOFR+515 | Common Equity—12.8% of Net Assets | $5.93M | $5.83M | $95.0K | 10.49% | +5.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Hancock Roofing and Construction L.L.C. Maturity 12/31/2026 | Insurance Current Coupon 10.93% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $5.78M | $6.15M | -$369.0K | 10.93% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name PCS Midco, Inc. Maturity 03/01/30 | Financial Services Current Coupon 11.10% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $5.77M | $5.75M | $23.0K | 11.10% | +5.75% | — |
Investments in Non-Controlled | — | Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% | $5.71M | $12.85M | -$7.13M | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Cowboy Parent LLC (Blackhawk Industrial Distribution, Inc.), | Distribution | — | $5.69M | $3.02M | $2.67M | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name DRI Holding Inc. Maturity 12/21/2028 | Media Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 | Common Equity—12.8% of Net Assets | $5.60M | $5.42M | $184.0K | 10.69% | +5.35% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Smartronix, LLC Maturity 11/23/2028 Aerospace and Defense Current Coupon 11.58% Basis Point Spread Above Index 3M SOFR+600 | — | — | $5.58M | $5.49M | $86.0K | 11.58% | +6.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Rancho Health MSO, Inc. Maturity 12/18/2025 | Healthcare, Education and Childcare Current Coupon 10.92% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $5.56M | $5.56M | $0.00 | 10.92% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Imagine Acquisitionco, LLC Maturity 11/15/2027 | Business Services Current Coupon 10.43% Basis Point Spread Above Index SOFR+510 | Common Equity—12.8% of Net Assets | $5.50M | $5.45M | $44.0K | 10.43% | +5.10% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, NORA Acquisition, LLC Maturity 08/31/2029 Healthcare, Education and Childcare Current Coupon 11.68% Basis Point Spread Above Index 3M SOFR+635 | — | — | $5.46M | $5.36M | $100.0K | 11.68% | +6.35% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Carisk Buyer, Inc Maturity 11/30/2029 | Education Current Coupon 10.84% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $5.46M | $5.41M | $47.0K | 11.08% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name TPC US Parent, LLC Maturity 11/24/2025 | Food Current Coupon 10.95% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $5.44M | $5.37M | $68.0K | 10.95% | +5.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PlayPower, Inc. Maturity 05/10/2026 Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 10.95% Basis Point Spread Above Index 3M SOFR+550 | — | — | $5.17M | $4.96M | $208.0K | 10.95% | +5.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% A1 Garage Merger Sub, LLC Maturity 12/22/2028 Personal, Food and Miscellaneous Services Current Coupon 11.44% Basis Point Spread Above Index 3M SOFR+610 | — | — | $5.11M | $5.04M | $63.0K | 11.44% | +6.10% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, NP Riverhead Industrial, LLC Maturity 05/24/2025 Buildings and Real Estate Current Coupon 14.50% | — | — | $4.97M | $4.98M | -$3.0K | 14.50% | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Loving Tan Intermediate II, Inc., Maturity 05/31/2028, | Consumer Products, Current Coupon 12.34%, Basis Point Spread Above Index 3M SOFR+700 | — | $4.91M | $4.86M | $49.0K | 12.34% | +7.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Ad.net Acquisition, LLC Maturity 5/7/2026 | Media Current Coupon 11.60% Basis Point Spread Above Index SOFR+600 | Common Equity—12.8% of Net Assets | $4.85M | $4.85M | $0.00 | 11.60% | +6.00% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Beta Plus Technologies, Inc. Maturity 07/01/2029 Business Services Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 | — | — | $4.83M | $4.86M | -$28.0K | 11.08% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TransGo, LLC Maturity 12/29/2028 Machinery Current Coupon 11.34% Basis Point Spread Above Index 3M SOFR +600 | — | — | $4.79M | $4.72M | $68.0K | 11.34% | +6.00% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Schlesinger Global, Inc. Maturity 07/14/2025 Business Services Current Coupon 13.69% (PIK 5.6%) Basis Point Spread Above Index 3M SOFR+835 | — | — | $4.74M | $4.79M | -$49.0K | 13.69% | +8.35% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Sargent & Greenleaf Inc. Maturity 12/20/2024 | Electronics Current Coupon 11.92% Basis Point Spread Above Index SOFR+650 | Common Equity—12.8% of Net Assets | $4.67M | $4.67M | $0.00 | 11.92% | +6.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Wildcat Buyerco, Inc. LLC Maturity 02/27/2027 Electronics Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 | — | — | $4.60M | $4.56M | $39.0K | 11.08% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name LAV Gear Holdings, Inc. Maturity 10/31/2025 | Leisure, Amusement, Motion Pictures, Entertainment Current Coupon 11.72% Basis Point Spread Above Index SOFR+640 | Common Equity—12.8% of Net Assets | $4.57M | $4.62M | -$46.0K | 11.72% | +6.40% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Seaway Buyer, LLC Maturity 06/13/2029 Chemicals, Plastics and Rubber Current Coupon 11.48% Basis Point Spread Above Index 3M SOFR+615 | — | — | $4.56M | $4.66M | -$97.0K | 11.48% | +6.15% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Lorient Peregrine Investment, LP Business Services | — | — | $4.45M | $4.53M | -$78.0K | — | — | — |
Investments in Controlled, Affiliated Portfolio Companies—75.8% Common Equity—21.7% AKW Holdings Limited | — | - Common Equity Healthcare, Education and Childcare | $4.42M | $132.0K | $4.29M | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Ox Two, LLC (New Issue) Maturity 5/18/2026 | Distribution Current Coupon 11.85% Basis Point Spread Above Index SOFR+651 | Common Equity—12.8% of Net Assets | $4.34M | $4.30M | $36.0K | 11.85% | +6.51% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name IG Investments Holdings, LLC Maturity 9/22/2028 | Business Services Current Coupon 11.43% Basis Point Spread Above Index SOFR+600 | Common Equity—12.8% of Net Assets | $4.32M | $4.33M | -$13.0K | 11.43% | +6.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Rural Sourcing Holdings, Inc. (HPA SPQ Merger Sub, Inc.) Maturity 6/16/2029 | Professional Services Current Coupon 11.02% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $4.30M | $4.28M | $27.0K | 11.02% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SSC Dominion Holdings, LLC | — | - Class B (US Dominion, Inc.) Electronics | $4.24M | $36.0K | $4.21M | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Five Star Buyer, Inc. Maturity 02/23/2028 | Hotels, Motels, Inns and Gaming Current Coupon 12.47% Basis Point Spread Above Index SOFR+700 | Common Equity—12.8% of Net Assets | $4.24M | $4.20M | $38.0K | 12.47% | +7.00% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name S101 Holdings Inc. Maturity 12/29/2026 | Electronics Current Coupon 11.45% Basis Point Spread Above Index SOFR+615 | Common Equity—12.8% of Net Assets | $4.18M | $4.16M | $20.0K | 11.45% | +6.15% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Berwick Industrial Park Maturity 05/02/2024 Buildings and Real Estate Current Coupon 11.50% | $3.97M | $4.06M | -$90.0K | 11.50% | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Reception Purchaser, LLC Maturity 4/28/2028 | Transportation Current Coupon 11.48% Basis Point Spread Above Index SOFR+615 | Common Equity—12.8% of Net Assets | $3.97M | $4.91M | -$940.0K | 11.48% | +6.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Riverpoint Medical, LLC Maturity 6/21/2025 | Healthcare Education and Childcare Current Coupon 10.78% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $3.95M | $3.92M | $21.0K | 10.78% | +5.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TPC Midco, LLC Maturity 06/26/2029 Diversified Conglomerate Service Current Coupon 11.09% Basis Point Spread Above Index 3M SOFR +575 | — | — | $3.94M | $3.94M | $0.00 | 11.09% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Owl Acquisition, LLC Maturity 2/4/2028 | Education Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 | Common Equity—12.8% of Net Assets | $3.83M | $3.81M | $27.0K | 10.69% | +5.35% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Urology Management Holdings, Inc. Maturity 06/15/2026 | Healthcare, Education and Childcare Current Coupon 11.76% Basis Point Spread Above Index SOFR+625 | Common Equity—12.8% of Net Assets | $3.80M | $3.78M | $24.0K | 11.76% | +6.25% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% GMP Hills, LP | — | - Common Equity Distribution | $3.79M | $3.75M | $38.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc., Maturity/Expiration 12/28/2028, | Personal, Food and Miscellaneous Services, Current Coupon 12.19%, Basis Point Spread Above Index 3M SOFR+685 | — | $3.75M | $3.74M | $10.0K | 12.19% | +6.85% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Quad (U.S.) Co-Invest, L.P. Business Services | — | — | $3.73M | $2.96M | $766.0K | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Gauge Lash Coinvest LLC Consumer Products | $3.63M | $651.0K | $2.98M | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name TWS Acquisition Corporation Maturity 06/06/2025 | Education Current Coupon 11.74% Basis Point Spread Above Index SOFR+625 | Common Equity—12.8% of Net Assets | $3.63M | $3.62M | $4.0K | 11.74% | +6.25% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Summit Behavioral Healthcare, LLC Maturity 11/24/2028 | Healthcare, Education and Childcare Current Coupon 9.60% Basis Point Spread Above Index SOFR+425 | Common Equity—12.8% of Net Assets | $3.57M | $3.39M | $175.0K | 9.60% | +4.25% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Fairbanks Morse Defense Maturity 6/17/2028 | Aerospace and Defense Current Coupon 10.35% Basis Point Spread Above Index SOFR+475 | Common Equity—12.8% of Net Assets | $3.49M | $3.41M | $81.0K | 10.35% | +4.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mineola 212, LLC, Maturity 06/04/2025, | Buildings and Real Estate, Current Coupon 13.00%, | — | $3.48M | $3.48M | $0.00 | 13.00% | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Omnia Exterior Solutions, LLC Maturity 12/29/2029 | Diversified Conglomerate Service Current Coupon 10.83% Basis Point Spread Above Index SOFR+550 | Common Equity—12.8% of Net Assets | $3.44M | $3.44M | -$4.0K | 10.83% | +5.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% WCP Ivyrehab QP CF Feeder, LP Healthcare, Education and Childcare | — | — | $3.42M | $3.79M | -$377.0K | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Simplicity Financial Marketing Group Holdings Inc. Maturity 12/02/2026 Financial Services Current Coupon 11.67% Basis Point Spread Above Index 3M SOFR+625 | $3.38M | $3.41M | -$34.0K | 11.67% | +6.25% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% MDI Aggregator, LP Chemical, Plastics and Rubber | — | — | $3.35M | $3.10M | $252.0K | — | — | — |
Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% Walker Edison Furniture Company LLC | — | - Junior Revolver Maturity 03/01/2029 Home and Office Furnishings | $3.33M | $3.33M | $0.00 | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Quantic Electronics, LLC Maturity 11/19/2026 | Aerospace and Defense Current Coupon 11.68% Basis Point Spread Above Index SOFR+635 | Common Equity—12.8% of Net Assets | $3.25M | $3.25M | $4.0K | 11.68% | +6.35% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ORL Acquisition, Inc. Maturity 09/3/2027 Business Services Current Coupon 14.73% (PIK 7.5%) Basis Point Spread Above Index 3M SOFR+940 | — | — | $3.20M | $4.06M | -$853.0K | 14.73% | +9.40% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Pragmatic Institute, LLC | — | - Revolver Maturity 07/06/2028 Business Services Current Coupon 12.85% (PIK 12.8%) Basis Point Spread Above Index 3M SOFR+750 | $3.17M | $4.91M | -$1.73M | 12.82% | +7.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Kinetic Purchaser, LLC, Maturity 11/10/2027, | Consumer Products, Current Coupon 11.48%, Basis Point Spread Above Index 3M SOFR+615 | — | $3.10M | $3.02M | $80.0K | 11.48% | +6.15% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Graffiti Buyer, Inc. Maturity 08/10/2027 | Distribution Current Coupon 10.93% Basis Point Spread Above Index SOFR+560 | Common Equity—12.8% of Net Assets | $3.10M | $3.09M | $8.0K | 10.93% | +5.60% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Subordinated Debt/Corporate Notes—5.4% Beacon Behavioral Holdings LLC Maturity 06/21/2030 Healthcare, Education and Childcare Current Coupon 15.00% | — | — | $3.06M | $3.06M | $0.00 | 15.00% | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Teneo Holdings LLC Maturity 03/13/2031 | Business Services Current Coupon 10.09% Basis Point Spread Above Index SOFR+475 | Common Equity—12.8% of Net Assets | $3.00M | $2.96M | $33.0K | 10.09% | +4.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AMCSI Crash Co-Invest, LP, | Auto Sector | — | $2.94M | $2.49M | $450.0K | — | — | — |
Investments in Non-Controlled | — | Affiliated Portfolio Companies—6.8% First Lien Secured Debt—1.2% Walker Edison Furniture Company LLC Maturity 03/01/2029 Home and Office Furnishings | $2.88M | $9.51M | -$6.63M | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Meadowlark Acquirer, LLC Maturity 12/10/2027 | Business Services Current Coupon 11.23% Basis Point Spread Above Index SOFR+575 | Common Equity—12.8% of Net Assets | $2.86M | $2.89M | -$32.0K | 11.23% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name CF512, Inc. Maturity 8/20/2026 | Media Current Coupon 11.54% Basis Point Spread Above Index SOFR+619 | Common Equity—12.8% of Net Assets | $2.85M | $2.88M | -$28.0K | 11.54% | +6.19% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lash OpCo, LLC, Maturity 02/18/2027, | Consumer Products, Current Coupon 13.18%, (PIK 5.1%) Basis Point Spread Above Index 1M SOFR+785 | — | $2.84M | $2.83M | $5.0K | 13.18% | +7.85% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mars Acquisition Holdings Corp., Maturity 05/14/2026, | Media, Current Coupon 10.98%, Basis Point Spread Above Index 3M SOFR+565 | — | $2.81M | $2.78M | $30.0K | 10.98% | +5.65% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infolinks Media Buyco, LLC, Maturity 11/01/2026, | Media, Current Coupon 10.84%, Basis Point Spread Above Index 3M SOFR+550 | — | $2.67M | $2.67M | $1.0K | 10.84% | +5.50% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Team Services Group, LLC Maturity 11/24/2028 | Healthcare, Education and Childcare Current Coupon 10.50% Basis Point Spread Above Index SOFR+515 | Common Equity—12.8% of Net Assets | $2.66M | $2.58M | $78.0K | 10.50% | +5.15% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% A1 Garage Equity, LLC Personal, Food and Miscellaneous Services | — | — | $2.64M | $2.19M | $446.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lash OpCo, LLC - Revolver, Maturity 08/16/2026, | Consumer Products, Current Coupon 13.18%, (PIK 5.1%) Basis Point Spread Above Index 1M SOFR+785 | — | $2.62M | $2.65M | -$26.0K | 13.18% | +7.85% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Ironclad Holdco, LLC (Applied Technical Services, LLC) Other Media | — | — | $2.55M | $2.04M | $514.0K | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Crane 1 Services, Inc. Maturity 08/16/2027 | Personal, Food and Miscellaneous Services Current Coupon 10.35% Basis Point Spread Above Index SOFR+551 | Common Equity—12.8% of Net Assets | $2.55M | $2.54M | $14.0K | 10.35% | +5.01% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Bluebird Group LLC Maturity 7/27/2026 Business Services Current Coupon 11.98% Basis Point Spread Above Index 3M SOFR +665 | $2.54M | $2.51M | $27.0K | 11.98% | +6.65% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ips Car Wash, LLC Maturity 12/31/2024 Auto Sector Current Coupon 12.68% (PIK 1.5%) Basis Point Spread Above Index 3M SOFR +735 | — | — | $2.50M | $2.59M | -$90.0K | 12.68% | +7.35% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name PlayPower, Inc. Maturity 05/08/26 | Consumer Products Current Coupon 10.96% Basis Point Spread Above Index SOFR+565 | Common Equity—12.8% of Net Assets | $2.49M | $2.48M | $14.0K | 10.96% | +5.65% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% eCommission Holding Corporation, | Financial Services | — | $2.44M | $1.00M | $1.44M | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Dr. Squatch, LLC | — | Funded Revolver Maturity 08/31/2027 Personal and Miscellaneous Services Current Coupon 11.19% Basis Point Spread Above Index 3M SOFR+585 | $2.33M | $2.33M | $0.00 | 11.19% | +5.85% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% | $2.31M | $1.65M | $667.0K | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name AFC - Dell Holding Corp Maturity 04/09/2027 | Distribution Current Coupon 11.75% Basis Point Spread Above Index SOFR+640 | Common Equity—12.8% of Net Assets | $2.26M | $2.26M | $4.0K | 11.75% | +6.40% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% S101 Holdings, Inc. | — | - Term Loan B Maturity 12/29/2026 Electronics Current Coupon 11.45% Basis Point Spread Above Index 3M SOFR+615 | $2.24M | $2.24M | -$1.0K | 11.45% | +6.15% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Lightspeed Buyer Inc., Maturity/Expiration 02/03/2026, | Healthcare, Education and Childcare, Current Coupon 10.69%, Basis Point Spread Above Index 1M SOFR+535 | — | $2.18M | $2.17M | $8.0K | 10.69% | +5.35% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Seaway Topco, LP Chemicals, Plastics and Rubber | — | — | $2.10M | $2.98M | -$884.0K | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Magenta Buyer, LLC Maturity 7/31/2028 | Software Current Coupon 10.59% Basis Point Spread Above Index SOFR+526 | Common Equity—12.8% of Net Assets | $2.07M | $3.55M | -$1.48M | 10.59% | +5.26% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LAV Gear Holdings, Inc., Maturity 10/31/2025, | Leisure, Amusement, Motion Pictures, Entertainment, Current Coupon 11.76%, Basis Point Spread Above Index 1M SOFR+643 | — | $2.01M | $2.04M | -$24.0K | 11.76% | +6.43% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% FedHC InvestCo II LP Aerospace and Defense | $1.99M | $2.17M | -$181.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Second Lien Secured Debt—13.3% Team Services Group, LLC Maturity 12/18/2028 Healthcare, Education and Childcare Current Coupon 14.58% Basis Point Spread Above Index 3M SOFR+943 | — | — | $1.99M | $2.00M | -$8.0K | 14.58% | +9.43% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Aftermarket Drivetrain Products Holdings, LLC Machinery | — | — | $1.99M | $1.65M | $343.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Confluent Health, LLC Maturity 11/30/2028 Healthcare, Education and Childcare Current Coupon 12.84% Basis Point Spread Above Index 3M SOFR+750 | — | — | $1.98M | $1.85M | $121.0K | 12.84% | +7.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC Maturity 12/29/2026 Environmental Services Current Coupon 11.23% Basis Point Spread Above Index 3M SOFR+585 | — | — | $1.96M | $1.98M | -$15.0K | 11.23% | +5.85% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Adweek Purchaser, LLC Maturity 05/30/2027 Printing and Publishing Current Coupon 12.33% Basis Point Spread Above Index 3M SOFR+700 | — | — | $1.96M | $1.96M | -$1.0K | 12.33% | +7.00% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Meadowlark Acquirer, LLC, Maturity 12/10/2027, | Business Services, Current Coupon 11.23%, Basis Point Spread Above Index 3M SOFR+590 | — | $1.88M | $1.91M | -$32.0K | 11.23% | +5.90% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Infinity Home Services Holdco, Inc. (CAD), Maturity/Expiration 12/28/2028, | Personal, Food and Miscellaneous Services, Current Coupon 10.96%, Basis Point Spread Above Index 3M SOFR+600 | — | $1.84M | $1.84M | $0.00 | 10.96% | +6.00% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Kentucky Racing Holdco, LLC | — | (Warrants) Hotels, Motels, Inns and Gaming | $1.84M | — | — | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Kinetic Purchaser, LLC Consumer Products | — | — | $1.84M | $1.31M | $527.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% New Medina Health, LLC Healthcare, Education and Childcare | — | — | $1.78M | $1.43M | $353.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sigma Defense Systems, LLC | — | - Revolver Maturity 12/18/2027 Telecommunications Current Coupon 12.49% Basis Point Spread Above Index 1M SOFR+715 | $1.68M | $1.70M | -$17.0K | 12.49% | +7.15% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Carnegie Holdco, LLC | — | - Common Equity Education | $1.68M | $1.66M | $17.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Magnolia Topco LP | — | - Class A Preferred Equity Auto Sector | $1.66M | $1.54M | $115.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Delta InvestCo LP (Sigma Defense Systems, LLC), | Telecommunications | — | $1.61M | $878.0K | $728.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Exigo, LLC, Business Services | — | — | $1.56M | $1.46M | $103.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% IHS Parent Holdings, L.P. Personal, Food and Miscellaneous Services | — | — | $1.53M | $1.22M | $316.0K | — | — | — |
Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Halo Buyer, Inc. Maturity 06/30/2025 Consumer Products Current Coupon 9.94% Basis Point Spread Above Index 3M SOFR+460 | — | — | $1.50M | $1.50M | -$4.0K | 9.94% | +4.60% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Blackhawk Industrial Distribution, Inc. | — | - Revolver Maturity 09/17/2026 Distribution Current Coupon 11.73% Basis Point Spread Above Index 3M SOFR+640 | $1.48M | $1.49M | -$7.0K | 11.73% | +6.40% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Quantic Electronics, LLC Maturity 11/19/2026 Aerospace and Defense Current Coupon 11.68% Basis Point Spread Above Index 3M SOFR+635 | — | — | $1.46M | $1.47M | -$8.0K | 11.68% | +6.35% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, MDI Buyer, Inc. - Revolver, Maturity 07/25/2028, | Chemicals, Plastics and Rubber, Current Coupon 10.82%, Basis Point Spread Above Index 3M SOFR+550 | — | $1.36M | $1.38M | -$21.0K | 10.82% | +5.50% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% FedHC InvestCo LP Aerospace and Defense | $1.32M | $489.0K | $829.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Anteriad Holdings, LP (f/k/a Merit Direct Holdings, LP) Media | — | — | $1.30M | $1.14M | $169.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Watchtower Holdings, LLC Electronics | — | — | $1.30M | $1.24M | $55.0K | — | — | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Skopima Consilio Parent, LLC Maturity 05/17/2028 | Business Service Current Coupon 9.96% Basis Point Spread Above Index SOFR+450 | Common Equity—12.8% of Net Assets | $1.29M | $1.27M | $24.0K | 9.96% | +4.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% RFMG Parent, LP (Rancho Health MSO, Inc.) Healthcare, Education and Childcare | — | — | $1.29M | $1.05M | $238.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% System Planning and Analysis, Inc. Maturity 08/16/2027 Aerospace and Defense Current Coupon 11.16% Basis Point Spread Above Index 3M SOFR+590 | — | — | $1.29M | $1.28M | $9.0K | 11.16% | +5.90% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% NORA Parent Holdings, LLC Healthcare, Education and Childcare | — | — | $1.28M | $1.25M | $32.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Cartessa Aesthetics, LLC | — | - Revolver Maturity 06/14/2028 Distribution Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 | $1.26M | $1.26M | $0.00 | 11.08% | +5.75% | — |
Investments in Non-Controlled, Affiliated Portfolio Companies—6.8% Preferred Equity/Partnership Interests—5.6% Cascade Environmental Holdings, LLC - Series B Environmental Services | — | — | $1.26M | $918.0K | $342.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ETE Intermediate II, LLC | — | (Revolver) Maturity 05/25/2029 Personal, Food and Miscellaneous Services Current Coupon 11.83% Basis Point Spread Above Index 3M SOFR+650 | $1.22M | $1.22M | $0.00 | 11.83% | +6.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% ACP Avenu Buyer, LLC Maturity 10/02/2029 Business Services Current Coupon 10.57% Basis Point Spread Above Index 3M SOFR+525 | — | — | $1.21M | $1.23M | -$21.0K | 10.57% | +5.25% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Anteriad, LLC (f/k/a MeritDirect, LLC) Maturity 06/30/2026 Media Current Coupon 11.23% Basis Point Spread Above Index 3M SOFR+590 | — | — | $1.19M | $1.18M | $5.0K | 11.23% | +5.90% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, ITI Holdings, Inc. - Revolver, Maturity 03/03/2028, | Business Services, Current Coupon 13.00%, Basis Point Spread Above Index 3M SOFR+450 | — | $1.18M | $1.18M | $0.00 | 13.00% | +4.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% EDS Topco, LP Aerospace and Defense | — | — | $1.17M | $938.0K | $236.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, HV Watterson Holdings, LLC - Revolver, Maturit 12/17/2026, | Business Services, Current Coupon 11.73%, Basis Point Spread Above Index 1M SOFR+640 | — | $1.15M | $1.20M | -$54.0K | 11.73% | +6.40% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rural Sourcing Holdings, Inc. Maturity 06/15/2029 Business Services Current Coupon 11.08% Basis Point Spread Above Index 3M SOFR+575 | — | — | $1.13M | $1.13M | $6.0K | 11.08% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Icon Partners V C, L.P. Business Services | — | — | $1.12M | $1.12M | $1.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% BlueHalo Financing Holdings, LLC Maturity 10/31/2025 Aerospace and Defense Current Coupon 10.08% Basis Point Spread Above Index 3M SOFR+475 | — | — | $1.10M | $1.10M | -$1.0K | 10.08% | +4.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% BioDerm, Inc. Healthcare, Education and Childcare | — | — | $1.09M | $1.31M | -$219.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Urology Partners Co., L.P. Healthcare, Education and Childcare | — | — | $1.08M | $1.11M | -$33.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TCG 3.0 Jogger Co-Invest, LP | — | - Common Equity Media | $1.07M | $1.25M | -$184.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Applied Technical Services, LLC | — | - Revolver Maturity 12/29/2026 Environmental Services Current Coupon 13.25% Basis Point Spread Above Index 3M SOFR+475 | $1.06M | $1.08M | -$16.0K | 13.25% | +4.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% RTIC Parent Holdings, LLC | — | - Class C Preferred Equity Consumer Products | $1.03M | $699.0K | $330.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% LJ Avalon, LP Environmental Services | — | — | $1.00M | $851.0K | $153.0K | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% AG Investco LP Business Services | $992.0K | $805.0K | $187.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% KL Stockton Co-Invest LP (Any Hour Services) Personal, Food and Miscellaneous Services | — | — | $957.0K | $385.0K | $572.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OceanSound Discovery Equity, LP (Holdco Sands Intermediate, LLC) Aerospace and Defense | — | — | $957.0K | $983.0K | -$26.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Compex Legal Services, Inc. Maturity 02/07/2025 Business Services Current Coupon 10.87% Basis Point Spread Above Index 3M SOFR+555 | — | — | $941.0K | $935.0K | $6.0K | 10.88% | +5.55% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% LEP Pequod Holdings, LP | — | - Common Equity Financial Services | $927.0K | $865.0K | $62.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% AFC Acquisitions, Inc. Distribution | — | — | $920.0K | $780.0K | $140.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Lightspeed Investment Holdco LLC Healthcare, Education and Childcare | — | — | $906.0K | $273.0K | $633.0K | — | — | — |
Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Graffiti Buyer, Inc. Maturity 08/10/2027 | Distribution Current Coupon 10.93% Basis Point Spread Above Index 3M SOFR+560 | — | $875.0K | $877.0K | -$2.0K | 10.93% | +5.60% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Burgess Point Purchaser Corporation Maturity 09/26/2029 | Auto Sector Current Coupon 10.69% Basis Point Spread Above Index SOFR+535 | Common Equity—12.8% of Net Assets | $857.0K | $834.0K | $23.0K | 10.69% | +5.35% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Tower Arch Infolinks Media, LP Media | — | — | $844.0K | $251.0K | $593.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OES Co-Invest, LP | — | Class A Diversified Conglomerate Service | $840.0K | $840.0K | $0.00 | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Imagine Topco, LP | — | Preferred Business Services Current Coupon 8.00% | $835.0K | $744.0K | $91.0K | 8.00% | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Wildcat Parent, LP (Wildcat Buyerco, Inc.) Electronics | — | — | $826.0K | $98.0K | $728.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% ACP Big Top Holdings, L.P. | — | - Common Equity Manufacturing/Basic Industry | $819.0K | $774.0K | $45.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Mars Acquisition Holdings Corp. - Revolver, Maturity 05/14/2026, | Media, Current Coupon 10.98%, Basis Point Spread Above Index 3M SOFR+565 | — | $806.0K | $806.0K | $0.00 | 10.98% | +5.65% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% of Net Assets, Municipal Emergency Services, Inc Maturity 09/28/2027 Distribution Current Coupon 10.50% Basis Point Spread Above Index 3M SOFR+515 | — | — | $786.0K | $786.0K | $0.00 | 10.50% | +5.15% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Consello Pacific Aggregator, LLC, | Business Services | — | $762.0K | $745.0K | $17.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Ironclad Holdco, LLC (Applied Technical Services, LLC) Healthcare, Education and Childcare | — | — | $758.0K | $504.0K | $254.0K | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% UniVista Insurance Business Services | $742.0K | $338.0K | $404.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Five Star Parent Holdings, LLC Leisure, Amusement, Motion Pictures, Entertainment | — | — | $715.0K | $656.0K | $59.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OSP Embedded Aggregator, LP Aerospace and Defense | — | — | $714.0K | $871.0K | -$157.0K | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% HPA SPQ Aggregator LP- Common Equity Business Services | $672.0K | $750.0K | -$78.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Atlas Purchaser, Inc. - Fourth Out Maturity 05/06/2028 Telecommunication Current Coupon 12.46% Basis Point Spread Above Index 3M SOFR+700 | — | — | $652.0K | $655.0K | -$3.0K | 12.46% | +7.00% | — |
Investments in Non-Controlled Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Hancock Roofing and Construction L.L.C. Maturity 12/31/2026 Insurance Current Coupon 10.94% Basis Point Spread Above Index 1M SOFR+560 | — | — | $639.0K | $680.0K | -$41.0K | 10.94% | +5.60% | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% TWS Acquisition Corporation Maturity 06/16/2025 Education Current Coupon 11.74% Basis Point Spread Above Index 3M SOFR +640 | $638.0K | $637.0K | $1.0K | 11.74% | +6.40% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% HV Watterson Holdings, LLC Business Services | — | — | $636.0K | $1.60M | -$964.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Ledge Lounger, Inc. - Revolver, Maturity 11/09/2026, | Consumer Products, Current Coupon 11.98%, Basis Point Spread Above Index 3M SOFR+665 | — | $631.0K | $644.0K | -$13.0K | 11.98% | +6.65% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Radius Aerospace, Inc. | — | - Revolver Maturity 03/31/2025 Aerospace and Defense Current Coupon 11.24% Basis Point Spread Above Index 3M SOFR+575 | $618.0K | $631.0K | -$13.0K | 11.24% | +5.75% | — |
Related Party PSLF First Lien Secured Debt - 803.6% Issuer Name Research Now Group, LLC and Dynata, LLC-DIP Maturity 08/06/24 | Business Services Current Coupon 14.21% Basis Point Spread Above Index SOFR+886 | Common Equity—12.8% of Net Assets | $617.0K | $570.0K | $47.0K | 14.21% | +8.86% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Burgess Point Holdings, LP Auto Sector | — | — | $609.0K | $680.0K | -$71.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Mars Intermediate Holdings II, Inc Media | — | — | $600.0K | $414.0K | $186.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% BioDerm, Inc. | — | - Revolver Maturity 01/31/2028 Healthcare, Education and Childcare Current Coupon 11.82% Basis Point Spread Above Index 3M SOFR+650 | $582.0K | $589.0K | -$7.0K | 11.82% | +6.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, LJ Avalon Holdings, LLC, Maturity 02/01/2030, | Environmental Services, Current Coupon 10.58%, Basis Point Spread Above Index 1M SOFR+525 | — | $569.0K | $561.0K | $8.0K | 10.58% | +5.25% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Spendmend Holdings LLC | — | - Revolver Maturity 03/01/2028 Business Services Current Coupon 10.98% Basis Point Spread Above Index 3M SOFR +565 | $561.0K | $561.0K | $0.00 | 10.98% | +5.65% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% OHCP V BC COI, L.P. Distribution | — | — | $551.0K | $695.0K | -$144.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% AH Newco Equity holdings, LLC Healthcare, Education and Childcare Current Coupon 6.00% | — | — | $505.0K | $500.0K | $5.0K | 6.00% | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% Megawatt Acquisition Partners, LLC | — | - Preferred A Electronics | $493.0K | $535.0K | -$42.0K | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% GCOM InvestCo LP Business Services | $476.0K | $1.00M | -$527.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TPCN Holding, LLC | — | - Common Equity Diversified Conglomerate Service | $473.0K | $473.0K | $0.00 | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% PCS MIDCO INC Maturity 03/01/2030 Financial Services Current Coupon 11.10% Basis Point Spread Above Index 1M SOFR+575 | $463.0K | $463.0K | $0.00 | 11.10% | +5.75% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Compex Legal Services, Inc. | — | - Revolver Maturity 02/07/2025 Business Services Current Coupon 10.88% Basis Point Spread Above Index 3M SOFR+555 | $459.0K | $459.0K | $0.00 | 10.88% | +5.55% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Sargent & Greenleaf Inc. | — | - Revolver Maturity 12/20/2024 Electronics Current Coupon 11.94% (PIK 1.0%) Basis Point Spread Above Index 3M SOFR+650 | $457.0K | $457.0K | $0.00 | 11.94% | +6.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% EvAL Home Health Solutions, LLC | — | - Preferred Equity Healthcare, Education and Childcare | $453.0K | $453.0K | $0.00 | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Gauge Loving Tan, LP | — | - Common Equity Consumer Products | $435.0K | $463.0K | -$28.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% TAC LifePort Holdings, LLC Aerospace and Defense | — | — | $434.0K | $239.0K | $195.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% North Haven Saints Equity Holdings, LP Business Services | — | — | $426.0K | $352.0K | $74.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% PCS Parent, LP Financial Services | — | — | $421.0K | $421.0K | $0.00 | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% QuantiTech InvestCo LP Aerospace and Defense | $402.0K | $68.0K | $334.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Megawatt Acquisitionco, Inc. - Revolver, Maturity 03/01/2030, | Electronics, Current Coupon 10.59%, Basis Point Spread Above Index 3M SOFR+525 | — | $390.0K | $390.0K | $0.00 | 10.59% | +5.25% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% Rancho Health MSO, Inc. Maturity 12/18/2025 Healthcare, Education and Childcare Current Coupon 10.90% Basis Point Spread Above Index 3M SOFR+550 | — | — | $362.0K | $362.0K | $0.00 | 10.90% | +5.50% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% The Vertex Companies, LLC | — | - Revolver Maturity 08/30/2027 Business Services Current Coupon 11.44% Basis Point Spread Above Index 3M SOFR +610 | $361.0K | $361.0K | $0.00 | 11.44% | +6.10% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% Connatix Parent, LLC, | Media | — | $359.0K | $632.0K | -$273.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% First Lien Secured Debt—115.7% S101 Holdings, Inc. | — | - Term Loan C Maturity 12/29/2026 Electronics Current Coupon 11.45% Basis Point Spread Above Index 3M SOFR+615 | $352.0K | $352.0K | $0.00 | 11.45% | +6.15% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Preferred Equity/Partnership Interests—3.0% TPC Holding Company, LP Food | — | — | $345.0K | $219.0K | $126.0K | — | — | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% of Net Assets, First Lien Secured Debt—115.7% of Net Assets, Loving Tan Intermediate II, Inc. - Revolver, Maturity 05/31/2028, | Consumer Products, Current Coupon 12.34%, Basis Point Spread Above Index 3M SOFR+700 | — | $344.0K | $347.0K | -$3.0K | 12.34% | +7.00% | — |
Investments in Non-Controlled, Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SV Aero Holdings, LLC Aerospace and Defense | — | — | $333.0K | $219.0K | $114.0K | — | — | — |
Investments in Non-Controlled | — | Non-Affiliated Portfolio Companies—173.9% Common Equity/Partnership Interests/Warrants—24.2% SBI Holdings Investments LLC (Sales Benchmark Index LLC) Business Services | $331.0K | $366.0K | -$35.0K | — | — | — |