v3.25.2
Consolidated Statement of Cash Flows - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Dec. 31, 2024
Cash flows from operating activities          
Net increase (decrease) in net assets from operations $ 2,277,470 $ 2,355,513 $ 5,163,254 $ 4,720,785  
Adjustments to reconcile net increase (decrease) in net assets from operations to net cash provided by (used in) operating activities          
Long-term investments purchased     (61,595,570) (50,828,845)  
Long-term investments sold     8,314,063 1,277,178  
Net purchases and sales of short-term Investments     (1,955,092) 2,701,604  
Net amortization of premium (discount)     (497,616) (51,153)  
Amortization of deferred financing cost     229,848 79,639  
(Increase) decrease in assets:          
Receivable for investments sold     (5,169) 34,902  
Interest and dividends receivable     (407,422) (283,190)  
Receivable from affiliates     23,495 (207,456)  
Other assets     (250) 168,016  
Increase (decrease) in liabilities:          
Payable to affiliates     268,265 42,015  
Interest and credit facility expenses payable     (9,640) 0  
Other liabilities and accrued expenses     (146,707) (136,675)  
Net change in unrealized (appreciation) depreciation of:          
non-controlled/non-affiliated investments     490,407 (785,427) $ (2,371)
Net realized (gain) loss on:          
non-controlled/non-affiliated investments     (55,073) (6,492) (187,238)
Net cash provided by (used in) operating activities     (50,183,207) (43,275,099)  
Cash flows from financing activities          
Cash distributions to shareholders     (5,508,751) (2,582,203)  
Due to custodian     20,736 0  
Borrowings under the credit facility     41,000,000 5,000,000  
Repayments under the credit facility     (45,100,000) (3,000,000)  
Financing cost paid     (982,618) (1,163,646)  
Proceeds from Fund shares issued     60,000,000 45,000,000  
Net cash provided by (used in) financing activities     49,429,367 43,254,151  
Net increase (decrease) in cash     (753,840) 20,948  
Cash at beginning of period     753,840 95,039 95,039
Cash at end of period $ 0 $ 74,091 0 74,091 $ 753,840
Supplemental disclosure of cash flow information:          
Distributions declared for the period     5,411,043 3,250,408  
Interest paid for the period     $ 1,660,978 $ 41,352