v3.26.1
CONSOLIDATED STATEMENTS OF ASSETS AND LIABILITIES - USD ($)
Mar. 31, 2026
Jun. 30, 2025
Assets    
Non-control/non-affiliate investments (amortized cost of $69,812,379 and $88,404,806, respectively) (Notes 7 and 8) $ 63,037,631 [1] $ 85,016,596 [2]
Cash and cash equivalents 23,292,770 16,499,200
Deferred financing costs (Note 10) 807,461 530,441
Interest receivable 662,202 564,755
Due from Adviser (Note 4) 305,792 0
Receivable for repayments of portfolio investments 220,434 74,284
Deferred offering costs 86,567 106,129
Prepaid expenses and other assets 20,338 133,985
Total Assets 88,433,195 102,925,390
Liabilities    
Senior Secured Revolving Credit Facility (Note 10) 0 45,500,000
OZK Credit Facility (Note 10) 35,178,847 0
Payable for open trades 14,989,596 14,988,042
Due to Administrator (Note 4) 1,815,286 2,015,442
Distributions payable 670,680 152,652
Accrued expenses 162,875 68,489
Accrued audit fees 136,250 133,750
Interest payable 102,952 29,810
Accrued legal fees $ 26,988 $ 49,068
Other Liability, Related Party [Extensible Enumeration] Related Party Related Party
Due to Affiliates (Note 4) $ 300 $ 0
Total Liabilities 53,083,774 62,937,253
Commitments and Contingencies (Note 9)
Net Assets 35,349,421 39,988,137
Components of Net Assets    
Common Stock, par value $0.001 per share (75,000,000 shares authorized; 9,281,506 and 8,895,933 Class A and Class I shares issued and outstanding, respectively) (Note 3) 9,282 8,897
Paid-in capital in excess of par (Note 3 and Note 6) 55,000,817 53,680,378
Distributions in excess of earnings (Note 6) (19,660,678) (13,701,138)
Net Assets $ 35,349,421 $ 39,988,137
[1] Fair value is determined by the Company’s Board of Directors (see Note 2).
[2] Fair value is determined by the Company’s Board of Directors (see Note 2).