v3.26.1
Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Cash flows provided by/(used in) operating activities:    
Net increase/(decrease) in net assets resulting from operations $ 74,237 $ 68,499
Adjustments to reconcile net increase/(decrease) in net assets resulting from operation to net cash provided by/(used in) operating activities:    
Purchase of investments, net of deferred fees (765,540) (579,821)
Proceeds from sales and paydowns of investments 467,558 352,098
Net change in unrealized (appreciation)/depreciation from investments 5,536 (11,730)
Net realized (gain)/loss from investments 10,704 10,416
Accretion of original issue discounts and end of term payments on investments (29,567) (23,406)
Amortization of deferred financing costs 2,982 2,384
Stock-based compensation 6,595 5,803
Change in operating assets and liabilities    
(Increase)/Decrease in interest receivable (228) (1,122)
(Increase)/Decrease in other assets (2,160) (707)
Increase/(Decrease) in security deposits (290) (2,554)
Increase/(Decrease) in accounts payable, accrued expenses and other liabilities (14,181) (6,733)
Net cash provided by/(used in) operating activities (244,354) (186,873)
Cash flows provided by/(used in) investing activities:    
Disposal/(Acquisition) of fixed assets (445) (286)
Net cash provided by/(used in) investing activities (445) (286)
Cash flows provided by/(used in) financing activities    
Issuance of common stock, net of issuance costs 177,764 111,981
Retirement of employee shares (2,586) (2,463)
Cash distributions paid (129,217) (63,430)
Issuance of Unsecured Notes, net of issuance costs 293,705 5,451
Repayment of Unsecured Notes   (217,756)
Borrowings under Credit Facility 915,800 727,200
Repayments under Credit Facility (1,007,600) (357,200)
Net cash provided by/(used in) financing activities 247,866 203,783
Net increase/(decrease) in cash, cash equivalents and restricted cash 3,067 16,624
Cash, cash equivalents and restricted cash at beginning of period 19,110 9,627
Cash, cash equivalents and restricted cash at end of period 22,177 26,251
Supplemental and non-cash investing and financing activities:    
Cash paid for interest 45,616 33,035
Income tax, including excise tax, paid 2,876 2,722
Non-cash purchase of investments through issuance of common stock 4,483  
Distribution payable   35,483
Distributions reinvested $ 1,184 $ 600