v3.25.2
Financial Highlights - Schedule of Financial Highlights (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Mar. 31, 2025
Dec. 31, 2024
Mar. 31, 2024
Dec. 31, 2023
Investment Company, Financial Highlights [Line Items]                
Net asset value, beginning of period [1],[2]     $ 14.76 $ 14.64        
Net investment income [1],[2]     0.82 0.88        
Net realized gain (loss) and net change in unrealized appreciation (depreciation) [1],[2]     (0.35) (0.11)        
Total from operations [1],[2]     0.47 0.77        
Dividends declared from net investment income [1],[2]     (0.82) (0.7)        
Dividends declared from realized gains [1],[2]     0 0        
Total increase (decrease) in net assets [1],[2]     (0.35) 0.07        
Net asset value, end of period [1],[2] $ 14.41 $ 14.71 $ 14.41 $ 14.71        
Shares outstanding, end of period 37,566,942 36,907,451 37,566,942 36,907,451        
Total Return, based on net asset value     3.21% [1],[3] 5.30% [4],[5]        
Interest and financing related expenses [3],[6]     5.30% 6.62%        
Other operating expenses [3],[6],[7],[8]     2.23% 2.14%        
Other operating expenses to average net assets [3],[4],[6]     0.59% 0.92%        
Total expenses [9]     8.12% 9.68%        
Net investment income [10]     11.82% 12.97%        
Net assets, end of period $ 541,258,197 $ 542,897,723 $ 541,258,197 $ 542,897,723 $ 542,222,586 $ 544,912,994 $ 544,211,482 $ 540,425,212
Portfolio turnover rate [11]     16.49% 8.74%        
Weighted-average debt outstanding $ 460,175,000 $ 471,524,938 $ 455,753,563 $ 469,317,795        
Weighted-average interest rate on debt [12] 6.32% 7.66% 6.32% 7.66%        
Weighted-average shares outstanding 37,072,574 36,907,451 37,001,807 36,907,451        
[1] The per share data was derived by using the weighted average shares outstanding during the applicable period, except for net asset value and dividends declared which reflected the actual amount per share for the applicable period.
[2] Totals may not foot due to rounding.
[3] Annualized, except for incentive compensation and non-recurring expenses.
[4] Not annualized.
[5] Total return is calculated as the change in net asset value during the respective periods, assuming dividends and distributions, if any, are reinvested in accordance with the Fund’s dividend reinvestment plan, divided by the ending net asset value per share.
[6] The net investment income ratio is presented after the effects of expenses (including interest and financing related expenses, the management fee and Incentive Compensation, net of clawback).
[7] Other operating expenses exclude interest and financing related expenses and incentive compensation.
[8] Prior to any management fee waivers, the annualized other operating expenses to average net assets for the period ended June 30, 2025, was 2.32%.
[9] Prior to any management fee waivers, the annualized total expenses to average net assets for the period ended June 30, 2025, was 8.21%.
[10] Prior to any management fee waivers, the annualized net investment income to average net assets for the period ended June 30, 2025, was 11.74%.
[11] Portfolio turnover is calculated as the lesser of (i) purchases of portfolio investments or (ii) the aggregate total of sales of portfolio investments plus any prepayments received, divided by average fair value of portfolio investments during the period.
[12] Annualized.