v3.26.1
CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Dec. 31, 2024
Cash flows from operating activities:              
Net increase (decrease) in net assets resulting from operations   $ 55,663 $ 43,359 $ 93,511 $ 87,359    
Adjustments to reconcile net increase (decrease) in net assets resulting from operations to net cash provided by (used in) operating activities:              
Net realized (gain) loss on investments       40,649 1,640    
Net realized (gain) loss on foreign currency forward contracts       166 1,130    
Net realized (gain) loss on foreign currency and other transactions   1,171 (1,275) 1,095 (1,229)    
Net change in unrealized (gain) loss on investments       (2,567) 10,560    
Net change in unrealized (gain) loss on foreign currency forward contracts   (509) 2,086 (333) 2,833    
Net change in unrealized (gain) loss on foreign currency and other transactions   (963) 7,269 (1,548) 10,026    
Payment-in-kind interest capitalized       (10,455) (8,821)    
Net accretion of discounts and amortization of premiums       (7,843) (7,771)    
Purchases of investments       (902,080) (1,558,894)    
Proceeds from principal payments and sale of investments and settlement of forward contracts       744,373 484,706    
Amortization of debt issuance costs   2,764 2,289 5,202 5,142    
Changes in operating assets and liabilities:              
Interest and dividend receivable       (27,876) (17,394)    
Receivable for unsettled trades       23,443 (13,249)    
Other assets       (588) (870)    
Interest payable       6,242 4,158    
Payable for unsettled trades       (10,879) (39,869)    
Base management fees payable       (3,039) 3,107    
Incentive fees payable       (91) (750)    
Accounts payable and accrued expenses       (2,670) 3,628    
Net cash provided by (used in) operating activities       (55,288) (1,034,558)    
Cash flows from financing activities:              
Borrowings on debt       1,268,799 1,822,331    
Repayments of debt       (1,037,402) (1,240,520)    
Debt issuance costs capitalized       (7,779) (3,723)    
Proceeds from issuance of common stock       143,240 486,757    
Repurchases of common stock       (289,034) (22,410)    
Stockholder distributions paid       (68,634) (65,167)    
Net cash provided by (used in) financing activities       9,190 977,268    
Net increase (decrease) in cash and restricted cash and cash equivalents       (46,098) (57,290)    
Effect of foreign currency exchange rates       (23) 21    
Cash and restricted cash and cash equivalents, beginning of period       216,247 254,024 $ 254,024  
Cash and restricted cash and cash equivalents, end of period $ 196,755 170,126 196,755 170,126 196,755 216,247  
Supplemental disclosure of cash flow information:              
Cash interest paid during the period       97,482 74,565    
Cash paid for income taxes, including excise taxes, during the period       470 1,128    
Supplemental disclosure of non-cash activities:              
Stock issued in connection with dividend reinvestment plan 26,952 26,185 26,952 55,136 50,729    
Reconciliation of cash and restricted cash              
Cash and cash equivalents 53,298 34,672 53,298 34,672 53,298 69,216 $ 129,634
Restricted cash and cash equivalents 143,457 135,454 143,457 135,454 143,457 147,031 124,390
Total cash and restricted cash and cash equivalents shown on the Consolidated Statements of Cash Flows $ 196,755 $ 170,126 $ 196,755 $ 170,126 $ 196,755 $ 216,247 $ 254,024