v3.26.1
CONSOLIDATED STATEMENTS OF ASSETS AND LIABILITIES - USD ($)
Jun. 30, 2026
Dec. 31, 2025
ASSETS    
Fair value of investments $ 968,246,417 $ 1,007,623,395
Cash and cash equivalents 5,138,950 25,050,156
Receivable for sales and repayments of investments 2,166,620 581,509
Interest receivable 5,973,539 6,375,996
Income tax receivable   1,385,387
Deferred offering costs 75,000  
Prepaid expenses 457,821 150,843
Total Assets 982,124,777 1,041,252,306
LIABILITIES    
2030 Notes Payable 122,897,963 122,671,409
Credit Facility payable 219,221,522 233,167,360
SBA-guaranteed debentures 257,304,593 295,984,063
Dividends payable 3,248,641 3,858,669
Management fees payable 4,393,771 4,442,705
Income incentive fees payable 889,986 2,317,429
Interest payable 5,569,922 6,138,076
Unearned revenue 496,577 582,007
Administrative services payable 517,253 539,338
Income tax payable 56,518  
Other accrued expenses and liabilities 570,085 372,294
Total Liabilities 615,166,831 670,073,350
Commitments and contingencies (Note 7)
Net Assets 366,957,946 371,178,956
NET ASSETS    
Common stock, par value $0.001 per share (100,000,000 shares authorized; 28,672,911 and 28,947,254 shares issued and outstanding, respectively) 28,673 28,947
Paid-in capital 395,382,385 397,829,793
Total distributable loss (28,453,112) (26,679,784)
Net Assets 366,957,946 371,178,956
Total Liabilities and Net Assets $ 982,124,777 $ 1,041,252,306
Net Asset Value Per Share $ 12.8 $ 12.82
Related party    
ASSETS    
Other receivables   $ 20
LIABILITIES    
Related party payable $ 0 0
Nonrelated party    
ASSETS    
Other receivables 66,430 85,000
Controlled investments    
ASSETS    
Fair value of investments 11,573,435 14,953,132
Non-controlled/affiliated    
ASSETS    
Fair value of investments 32,257,658 3,750,674
Non-controlled/Unaffiliated    
ASSETS    
Fair value of investments $ 924,415,324 $ 988,919,589