| Financial Highlights The following are the financial highlights of the Fund attributed to each Class of Units from Inception to December 31, 2025. | | | | | | | | | | | | | | | | | | | | | May 21, 2025 (Inception) to December 31, 2025 (d) | | | Class I Units | Class S Units | Class D Units | Class B-1 Units | Class B-2 Units | | Per Unit Data | | | | | | | | Net Asset Value per Unit, Beginning of Period | | $ | — | $ | — | $ | — | $ | — | $ | — | | Proceeds from Contribution of Investments | | — | — | — | 25.00 | — | | Deferred Tax Liability on Contributed Investments | | — | — | — | (0.50) | — | | Proceeds from Units Issued | | 25.00 | 25.00 | — | 24.50 | 25.00 | | Net Investment Income (Loss) | | (0.04) | (0.04) | — | (0.20) | (0.01) | | Net Change in Unrealized Gain (Loss) on Investments and Derivative Instruments | | 0.19 | 0.19 | — | 0.35 | 0.19 | | Net Increase in Net Assets Resulting from Investment Operations | | 0.15 | 0.15 | — | 0.15 | 0.18 | | Servicing Fees | | — | (0.43) | — | — | — | | Redemption of Units | | — | — | — | (0.01) | — | | Allocation of Discount on Redemption | | 0.04 | 0.04 | — | 0.00 | 0.04 | | Net Increase (Decrease) in Net Assets | | 0.19 | (0.24) | — | 0.14 | 0.22 | | Net Asset Value per Unit, End of Period | | $ | 25.19 | $ | 24.76 | $ | — | $ | 24.64 | $ | 25.22 | | | | | | | | | | | | | | | | Units Outstanding at End of Period | | 291,600 | 398,100 | — | 28,478,474 | 11,600 | | Total Return Based on Net Asset Value (a)(b) | | 0.77 | % | (0.96 | %) | — | | 0.56 | % | 0.88 | % | | | | | | | | | Ratios to Weighted-Average Net Assets (a) | | | | | | | | Total Expenses (c) | | 0.15 | % | 0.16 | % | — | % | 0.91 | % | 0.05 | % | | Management Fees Waived | | (0.10 | %) | (0.11 | %) | — | % | — | % | — | % | | Expense Support | | (0.01 | %) | (0.01 | %) | — | % | (0.23 | %) | (0.01 | %) | | Performance Participation Allocation | | 0.12 | % | 0.12 | % | — | % | — | % | — | % | | Total Expenses after Management Fees Waived and Expense Support | | 0.15 | % | 0.15 | % | — | % | 0.68 | % | 0.04 | % | | Net Investment Income (Loss) | | (0.15 | %) | (0.15 | %) | — | % | (0.83 | %) | (0.04 | %) |
(a) Percentages are not annualized (b) Total return is calculated for each Unit class as the change in the net asset value per each Unit class during the period, plus any distributions per Unit declared in the period, and assumes any distributions are reinvested in accordance with the Fund’s distribution reinvestment plan. Total return does not include upfront transaction fees, if any. Total return calculated on the Transactional NAV (see Performance Summary Section of “Part II. Item 7. Management’s Discussion and Analysis of Financial Condition and Results of Operations”) for the same period was 0.81% for Class I and 0.74% for Class S, and 1.60% for Class B-1 and 0.93% for Class B-2 respectively. (c) Total expenses ratio does not include the impact of tax expenses. (d) Amounts may not add due to rounding.
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