v3.26.1
Debt (Tables)
6 Months Ended
Jun. 30, 2026
Debt Disclosure [Abstract]  
Schedule of Debt Securitization (Collateralized Loan Obligation Transaction)

The 2024 CLO consists of the following:

 

 

 

June 30, 2026

 

2024 CLO

 

Total Principal
Amount
Committed

 

 

Principal
Amount
Outstanding

 

 

Carrying Value(1)

 

 

Fair Value

 

 

Coupon

 

Interest Rate

 

Class A-1 Loans

 

$

100,000,000

 

 

$

100,000,000

 

 

$

99,529,112

 

 

$

100,180,000

 

 

S+1.72%

 

 

5.39

%

Class A-1a Notes

 

 

115,500,000

 

 

 

115,500,000

 

 

 

114,956,124

 

 

 

115,707,900

 

 

S+1.72%

 

 

5.39

%

Class A-1b Notes

 

 

16,500,000

 

 

 

16,500,000

 

 

 

16,422,303

 

 

 

16,467,000

 

 

5.10%

 

 

5.10

%

Class A-2 Notes

 

 

16,000,000

 

 

 

16,000,000

 

 

 

15,924,658

 

 

 

16,027,200

 

 

S+1.95%

 

 

5.62

%

Class B Notes

 

 

24,000,000

 

 

 

24,000,000

 

 

 

23,886,987

 

 

 

23,988,000

 

 

S+2.10%

 

 

5.77

%

Class C Notes

 

 

32,000,000

 

 

 

32,000,000

 

 

 

31,849,316

 

 

 

32,137,600

 

 

S+2.70%

 

 

6.37

%

Total 2024 CLO

 

$

304,000,000

 

 

$

304,000,000

 

 

$

302,568,500

 

 

$

304,507,700

 

 

 

 

 

5.52

%

 

 

 

December 31, 2025

 

2024 CLO

 

Total Principal
Amount
Committed

 

 

Principal
Amount
Outstanding

 

 

Carrying Value(1)

 

 

Fair Value

 

 

Coupon

 

Interest Rate

 

Class A-1 Loans

 

$

100,000,000

 

 

$

100,000,000

 

 

$

99,436,635

 

 

$

100,020,000

 

 

S+1.72%

 

 

5.62

%

Class A-1a Notes

 

 

115,500,000

 

 

 

115,500,000

 

 

 

114,849,313

 

 

 

115,523,100

 

 

S+1.72%

 

 

5.62

%

Class A-1b Notes

 

 

16,500,000

 

 

 

16,500,000

 

 

 

16,407,045

 

 

 

16,531,350

 

 

5.10%

 

 

5.10

%

Class A-2 Notes

 

 

16,000,000

 

 

 

16,000,000

 

 

 

15,909,862

 

 

 

16,046,400

 

 

S+1.95%

 

 

5.85

%

Class B Notes

 

 

24,000,000

 

 

 

24,000,000

 

 

 

23,864,792

 

 

 

24,072,000

 

 

S+2.10%

 

 

6.00

%

Class C Notes

 

 

32,000,000

 

 

 

32,000,000

 

 

 

31,819,723

 

 

 

32,112,000

 

 

S+2.70%

 

 

6.60

%

Total 2024 CLO

 

$

304,000,000

 

 

$

304,000,000

 

 

$

302,287,370

 

 

$

304,304,850

 

 

 

 

 

5.74

%

(1)
Carrying value represents aggregate principal amount outstanding less unamortized debt issuance costs.
Schedule of Details of Fund's Borrowings

The following tables present the details of the Fund’s borrowings as of June 30, 2026 and December 31, 2025:

 

 

 

June 30, 2026

Facility

 

Total Principal
Amount
Committed

 

 

Principal
Amount
Outstanding

 

 

Carrying Value

 

 

Fair Value

 

 

Coupon

 

Interest
Rate

 

Maturity
Date

Revolving Credit Facility(1)

 

$

250,000,000

 

 

$

105,500,000

 

 

$

105,500,000

 

 

$

105,500,000

 

 

S+1.70%

 

5.43%

 

4/17/2031

2024 CLO(2)(3)

 

 

304,000,000

 

 

 

304,000,000

 

 

 

302,568,500

 

 

 

304,507,700

 

 

Various

 

5.52%

 

10/15/2036

2026 Notes(3)(4)

 

 

145,000,000

 

 

 

145,000,000

 

 

 

144,811,530

 

 

 

143,912,500

 

 

4.00%

 

4.00%

 

11/4/2026

2055 Promissory Notes(3)

 

 

1,500,000

 

 

 

1,500,000

 

 

 

1,367,258

 

 

 

1,492,500

 

 

12.00%

 

12.00%

 

4/30/2055

Total

 

$

700,500,000

 

 

$

556,000,000

 

 

$

554,247,288

 

 

$

555,412,700

 

 

 

 

 

 

 

 

 

 

December 31, 2025

Facility

 

Total Principal
Amount
Committed

 

 

Principal
Amount
Outstanding

 

 

Carrying Value

 

 

Fair Value

 

 

Coupon

 

Interest
Rate

 

Maturity
Date

Revolving Credit Facility(1)

 

$

250,000,000

 

 

$

151,100,000

 

 

$

151,100,000

 

 

$

151,100,000

 

 

S+1.70%

 

5.37%

 

4/17/2031

2024 CLO(2)(3)

 

 

304,000,000

 

 

 

304,000,000

 

 

 

302,287,370

 

 

 

304,304,850

 

 

Various

 

5.74%

 

10/15/2036

2026 Notes(3)(4)

 

 

145,000,000

 

 

 

145,000,000

 

 

 

144,988,805

 

 

 

142,825,000

 

 

4.00%

 

4.00%

 

11/4/2026

2055 Promissory Notes(3)

 

 

1,500,000

 

 

 

1,500,000

 

 

 

1,367,047

 

 

 

1,492,625

 

 

12.00%

 

12.00%

 

4/30/2055

Total

 

$

700,500,000

 

 

$

601,600,000

 

 

$

599,743,222

 

 

$

599,722,475

 

 

 

 

 

 

 

(1)
Interest rate as of June 30, 2026 and December 31, 2025 was 3-Month SOFR+1.70%, respectively. The base interest rate is subject to monthly changes. Interest rate does not include the amortization of upfront fees, facility agent fee, unfunded fees and expenses that were incurred in connection with the Revolving Credit Facility.
(2)
Interest rates as of June 30, 2026 and December 31, 2025 were calculated using the weighted average interest rate based on the 2024 CLO. Interest rate does not include the amortization of upfront fees. Refer to 2024 CLO table above for the respective coupon rates.
(3)
Carrying value represents aggregate principal amount outstanding less unamortized debt issuance costs.
(4)
Carrying value includes the change in fair value of effective hedges. As of June 30, 2026 and December 31, 2025, carrying value of the 2026 Notes includes the change in fair value of effective hedges of $0.1 million and $0.6 million, respectively..
Schedule of Components of the Fund's Interest and Financing Expenses

The components of the Fund’s interest and financing expenses for the three and six months ended June 30, 2026 and June 30, 2025 were as follows:

 

 

 

For the Three Months Ended June 30,

 

 

For the Six Months Ended June 30,

 

 

 

2026

 

 

2025

 

 

2026

 

 

2025

 

Stated interest expense

 

$

7,388,520

 

 

$

6,481,474

 

 

$

15,288,365

 

 

$

13,159,049

 

Unfunded fees

 

 

140,564

 

 

 

163,158

 

 

 

371,807

 

 

 

338,058

 

Amortization of deferred financing costs and debt issuance costs

 

 

491,492

 

 

 

398,745

 

 

 

973,252

 

 

 

828,071

 

Net change in unrealized appreciation/(depreciation) on effectively hedged interest rate swaps and debt(1)

 

 

(6,223

)

 

 

(20,570

)

 

 

(15,856

)

 

 

(50,360

)

Total interest expense(2)

 

$

8,014,353

 

 

$

7,022,807

 

 

$

16,617,568

 

 

$

14,274,818

 

Weighted average interest rate(3)

 

 

5.63

%

 

 

6.12

%

 

 

5.65

%

 

 

6.32

%

Average borrowings

 

$

570,525,000

 

 

$

460,175,000

 

 

$

593,285,714

 

 

$

455,753,563

 

(1)
Refer to “2026 Notes” for details on designated hedge relationship with the interest rate swaps.
(2)
Interest expense includes the portion of the facility agent fee applicable to the drawn portion of the Revolving Credit Facility and the unfunded fee includes the portion of the facility agent fee applicable to the undrawn portion of the Revolving Credit Facility (see table above for details of the Fund’s borrowings).
(3)
Annualized.