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INVESTMENTS - Selected Balance Sheet Information For STRS JV (Details) - USD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Assets      
Investments, fair value $ 642,213 $ 696,168  
Cash and cash equivalents 12,424 10,749 $ 9,508
Total assets 676,821 730,751  
Liabilities      
Interest payable on credit facility 1,821 2,069  
Total liabilities 390,687 413,979  
Total liabilities and total net assets 676,821 730,751  
Investments, amortized cost 695,240 740,021  
Unamortized debt issuance costs 2,876 4,564  
STRS JV      
Assets      
Investments, fair value 294,957 312,217  
Cash and cash equivalents 12,454 14,625  
Interest receivable 1,427 2,540  
Amount receivable on unsettled investment transactions 143 2,687  
Unrealized appreciation on foreign currency forward contracts 64    
Other assets 32 91  
Total assets 309,077 332,160  
Liabilities      
Credit facility 141,057 163,394  
Note payable to members 128,459 128,459  
Interest payable on credit facility 807 1,013  
Interest payable on notes to members 3,589 3,799  
Unrealized depreciation on foreign currency forward contracts   172  
Other liabilities 558 657  
Total liabilities 274,470 297,494  
Members' equity 34,607 34,666  
Total liabilities and total net assets 309,077 332,160  
Investments, amortized cost 296,752 312,807  
Unamortized debt issuance costs $ 3,024 $ 1,850