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INVESTMENTS - Selected Balance Sheet Information For STRS JV (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Jun. 30, 2025
Assets      
Investments, fair value $ 569,202 $ 578,649  
Cash and cash equivalents 8,465 7,033 $ 10,533
Total assets 604,082 615,129  
Liabilities      
Interest payable on credit facility 1,323 1,392  
Total liabilities 351,270 355,337  
Total liabilities and total net assets 604,082 615,129  
Investments, amortized cost 594,296 607,574  
Unamortized debt issuance costs 4,051 4,666  
STRS JV      
Assets      
Investments, fair value 340,272 323,552  
Cash and cash equivalents 6,259 10,902  
Interest receivable 3,221 1,256  
Amount receivable on unsettled investment transactions 465 16  
Unrealized appreciation on foreign currency forward contracts 38    
Other assets 85 161  
Total assets 350,340 335,887  
Liabilities      
Credit facility 180,190 169,488  
Note payable to members 131,259 128,459  
Interest payable on credit facility 822 861  
Interest payable on notes to members 3,290 3,370  
Unrealized depreciation on foreign currency forward contracts   22  
Other liabilities 751 815  
Total liabilities 316,312 303,015  
Members' equity 34,028 32,872  
Total liabilities and total net assets 350,340 335,887  
Investments, amortized cost 339,859 323,601  
Unamortized debt issuance costs $ 2,118 $ 2,425