Consolidated Schedule of Investments (Unaudited) - USD ($) $ in Thousands | Mar. 31, 2024 | Dec. 31, 2023 |
Schedule of Investments [Line Items] | | | | | |
Cost | | $ 116,541 | | $ 105,495 | |
Fair Value | | $ 117,762 | | $ 106,888 | |
% of Member's Capital | | 142.10% | | 130.70% | |
Investment, Identifier [Axis]: ASP Meteor Acquisition Co. LLC Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | $ (18) | [1] | $ (21) | [2] |
Investment, Identifier [Axis]: Aptean, Inc Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (8) | | | |
Investment, Identifier [Axis]: Aptean, Inc Investment Type First Lien Revolver | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (2) | | | |
Investment, Identifier [Axis]: Blackbird Purchaser, Inc. Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (32) | [1] | (40) | [2] |
Investment, Identifier [Axis]: Blackbird Purchaser, Inc. Investment Type First Lien Revolver | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (3) | [1] | (3) | [2] |
Investment, Identifier [Axis]: Brave Parent Holdings, Inc. Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (11) | [1] | (11) | [2] |
Investment, Identifier [Axis]: Brave Parent Holdings, Inc. Investment Type First Lien Revolver | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (2) | [1] | (2) | [2] |
Investment, Identifier [Axis]: Dwyer Instruments, LLC Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (57) | [1] | (66) | [2] |
Investment, Identifier [Axis]: Enverus Holdings, Inc. Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (6) | [1] | (6) | [2] |
Investment, Identifier [Axis]: Enverus Holdings, Inc. Investment Type First Lien Revolver | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (2) | [1] | (2) | [2] |
Investment, Identifier [Axis]: Foreside Financial Group, LLC Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (8) | [1] | 0 | [2] |
Investment, Identifier [Axis]: Foreside Financial Group, LLC Investment Type First Lien Delayed Draw Term Loan One | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (21) | | | |
Investment, Identifier [Axis]: GS AcquisitionCo, Inc. Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (16) | | | |
Investment, Identifier [Axis]: GS AcquisitionCo, Inc. Investment Type First Lien Revolver | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (1) | | | |
Investment, Identifier [Axis]: Galway Borrower, LLC Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (65) | | | |
Investment, Identifier [Axis]: Galway Borrower, LLC Investment Type First Lien Revolver | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (1) | | | |
Investment, Identifier [Axis]: Higginbotham Insurance Agency, Inc. Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (58) | | | |
Investment, Identifier [Axis]: Netwrix Corporation Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (5) | [1] | (175) | [2] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | 119,989 | [3],[4] | 108,829 | [5],[6] |
Cost | | 116,541 | [3],[4],[7] | 105,495 | [5],[6],[8] |
Fair Value | | $ 117,762 | [1],[3],[4] | $ 106,888 | [2],[5],[6] |
% of Member's Capital | | 142.10% | [3],[4] | 130.70% | [5],[6] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Aerospace & Defense | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | $ 1,437 | [4] | $ 1,440 | [6] |
Cost | | 1,294 | [4],[7] | 1,294 | [6],[8] |
Fair Value | | $ 1,437 | [1],[4] | $ 1,416 | [2],[6] |
% of Member's Capital | | 1.70% | [4] | 1.70% | [6] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Aerospace & Defense Qnnect, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+7.00% Maturity Date 11/2/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 7% | [4],[9],[10],[11] | 7% | [6],[12],[13],[14] |
Maturity Date | | Nov. 02, 2029 | [4],[9],[10] | Nov. 02, 2029 | [6],[12],[13] |
Principal | | $ 159 | [4],[9],[10] | $ 159 | [6],[12],[13] |
Cost | | 53 | [4],[7],[9],[10] | 51 | [6],[8],[12],[13] |
Fair Value | | $ 159 | [1],[4],[9],[10] | $ 141 | [2],[6],[12],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Aerospace & Defense Qnnect, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+7.00% Maturity Date 11/2/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 7% | [4],[10],[11] | 7% | [6],[13],[14] |
Maturity Date | | Nov. 02, 2029 | [4],[10] | Nov. 02, 2029 | [6],[13] |
Principal | | $ 1,278 | [4],[10] | $ 1,281 | [6],[13] |
Cost | | 1,241 | [4],[7],[10] | 1,243 | [6],[8],[13] |
Fair Value | | 1,278 | [1],[4],[10] | 1,275 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Banking, Finance, Insurance, and Real Estate | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | 5,739 | [4] | 5,725 | [6],[13] |
Cost | | 5,499 | [4],[7] | 5,538 | [6],[8],[13] |
Fair Value | | $ 5,614 | [1],[4] | $ 5,689 | [2],[6],[13] |
% of Member's Capital | | 6.80% | [4] | 7% | [6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Banking, Finance, Insurance, and Real Estate Galway Borrower, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.00% Maturity Date 9/29/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11] | 5% | | | |
Maturity Date | [4],[9] | Sep. 29, 2028 | | | |
Cost | [4],[7],[9] | $ (31) | | | |
Fair Value | [1],[4],[9] | $ (65) | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Banking, Finance, Insurance, and Real Estate Galway Borrower, LLC Investment Type First Lien Revolver Reference Rate and Spread S+5.25% Maturity Date 9/29/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11],[15] | 5.25% | | | |
Maturity Date | [4],[9],[15] | Sep. 29, 2028 | | | |
Principal | [4],[9],[15] | $ 25 | | | |
Cost | [4],[7],[9],[15] | 23 | | | |
Fair Value | [1],[4],[9],[15] | $ 23 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Banking, Finance, Insurance, and Real Estate Higginbotham Insurance Agency, Inc. Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+4.75% Maturity Date 11/24/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11] | 4.75% | | | |
Maturity Date | [4],[9] | Nov. 24, 2028 | | | |
Cost | [4],[7],[9] | $ (29) | | | |
Fair Value | [1],[4],[9] | $ (58) | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Banking, Finance, Insurance, and Real Estate Higginbotham Insurance Agency, Inc. Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.50% Maturity Date 11/24/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.50% | [4],[11],[16] | 5.50% | [6],[14],[17] |
Maturity Date | | Nov. 24, 2028 | [4],[16] | Nov. 24, 2028 | [6],[17] |
Principal | | $ 4,506 | [4],[16] | $ 4,517 | [6],[17] |
Cost | | 4,367 | [4],[7],[16] | 4,372 | [6],[8],[17] |
Fair Value | | $ 4,506 | [1],[4],[16] | $ 4,484 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Banking, Finance, Insurance, and Real Estate SG Acquisition, Inc. Investment Type First Lien Term Loan Reference Rate and Spread S+5.50% Maturity Date 1/27/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.50% | [4],[11],[15] | 5.50% | [6],[13],[14] |
Maturity Date | | Jan. 27, 2027 | [4],[15] | Jan. 27, 2027 | [6],[13] |
Principal | | $ 656 | [4],[15] | $ 656 | [6],[13] |
Cost | | 634 | [4],[7],[15] | 632 | [6],[8],[13] |
Fair Value | | $ 656 | [1],[4],[15] | $ 653 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Banking, Finance, Insurance, and Real Estate SitusAMC Holdings Corporation Investment Type First Lien Term Loan Reference Rate and Spread S+5.50% Maturity Date 12/22/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.50% | [4],[10],[11] | 5.50% | [6],[13],[14] |
Maturity Date | | Dec. 22, 2027 | [4],[10] | Dec. 22, 2027 | [6],[13] |
Principal | | $ 552 | [4],[10] | $ 552 | [6],[13] |
Cost | | 535 | [4],[7],[10] | 534 | [6],[8],[13] |
Fair Value | | 552 | [1],[4],[10] | 552 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Capital Equipment | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | 5,833 | [4] | 5,834 | [6] |
Cost | | 5,709 | [4],[7] | 5,702 | [6],[8] |
Fair Value | | $ 5,674 | [1],[4] | $ 5,652 | [2],[6] |
% of Member's Capital | | 6.80% | [4] | 6.90% | [6] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Capital Equipment Dwyer Instruments, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.75% Maturity Date 7/21/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.75% | [4],[11],[15] | 5.75% | [6],[13],[14] |
Maturity Date | | Jul. 21, 2027 | [4],[15] | Jul. 21, 2027 | [6],[13] |
Principal | | $ 2,121 | [4],[15] | $ 2,127 | [6],[13] |
Cost | | 2,092 | [4],[7],[15] | 2,095 | [6],[8],[13] |
Fair Value | | $ 2,084 | [1],[4],[15] | $ 2,084 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Capital Equipment Dwyer Instruments, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.75% Maturity Date 7/21/2027 One | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.75% | [4],[9],[11] | 5.75% | [6],[12],[14] |
Maturity Date | | Jul. 21, 2027 | [4],[9] | Jul. 21, 2027 | [6],[12] |
Cost | | $ (30) | [4],[7],[9] | $ (32) | [6],[8],[12] |
Fair Value | | $ (57) | [1],[4],[9] | $ (65) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Capital Equipment Dwyer Instruments, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+5.75% Maturity Date 7/21/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.75% | [4],[11],[15] | 5.75% | [6],[13],[14] |
Maturity Date | | Jul. 21, 2027 | [4],[15] | Jul. 21, 2027 | [6],[13] |
Principal | | $ 896 | [4],[15] | $ 898 | [6],[13] |
Cost | | 883 | [4],[7],[15] | 885 | [6],[8],[13] |
Fair Value | | $ 880 | [1],[4],[15] | $ 880 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Capital Equipment Dwyer Instruments, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+5.75% Maturity Date 7/21/2027 One | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.75% | [4],[11],[15] | 5.75% | [6],[13],[14] |
Maturity Date | | Jul. 21, 2027 | [4],[15] | Jul. 21, 2027 | [6],[13] |
Principal | | $ 2,816 | [4],[15] | $ 2,809 | [6],[13] |
Cost | | 2,764 | [4],[7],[15] | 2,754 | [6],[8],[13] |
Fair Value | | 2,767 | [1],[4],[15] | 2,753 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Chemicals, Plastic, & Rubber | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | 6,166 | [4] | 6,182 | [6] |
Cost | | 5,768 | [4],[7] | 5,768 | [6],[8] |
Fair Value | | $ 5,911 | [1],[4] | $ 5,880 | [2],[6] |
% of Member's Capital | | 7.10% | [4] | 7.20% | [6] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Chemicals, Plastic, & Rubber ASP Meteor Acquisition Co. LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+7.00% Maturity Date 9/1/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 7% | [4],[9],[11],[16] | 7% | [6],[12],[14],[17] |
Maturity Date | | Sep. 01, 2029 | [4],[9],[16] | Sep. 01, 2029 | [6],[12],[17] |
Principal | | $ 1,167 | [4],[9],[16] | $ 1,170 | [6],[12],[17] |
Cost | | 1,088 | [4],[7],[9],[16] | 1,089 | [6],[8],[12],[17] |
Fair Value | | $ 1,117 | [1],[4],[9],[16] | $ 1,111 | [2],[6],[12],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Chemicals, Plastic, & Rubber ASP Meteor Acquisition Co. LLC Investment Type First Lien Term Loan Reference Rate and Spread S+7.00% Maturity Date 9/1/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 7% | [4],[11],[16] | 7% | [6],[14],[17] |
Maturity Date | | Sep. 01, 2029 | [4],[16] | Sep. 01, 2029 | [6],[17] |
Principal | | $ 2,551 | [4],[16] | $ 2,558 | [6],[17] |
Cost | | 2,441 | [4],[7],[16] | 2,444 | [6],[8],[17] |
Fair Value | | $ 2,481 | [1],[4],[16] | $ 2,475 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Chemicals, Plastic, & Rubber Aurora Plastics, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+4.75% Maturity Date 8/10/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 4.75% | [4],[11],[16] | 4.75% | [6],[14],[17] |
Maturity Date | | Aug. 10, 2028 | [4],[16] | Aug. 10, 2028 | [6],[17] |
Principal | | $ 984 | [4],[16] | $ 986 | [6],[17] |
Cost | | 900 | [4],[7],[16] | 898 | [6],[8],[17] |
Fair Value | | $ 929 | [1],[4],[16] | $ 922 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Chemicals, Plastic, & Rubber Aurora Plastics, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+4.75% Maturity Date 8/10/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 4.75% | [4],[11],[16] | 4.75% | [6],[14],[17] |
Maturity Date | | Aug. 10, 2028 | [4],[16] | Aug. 10, 2028 | [6],[17] |
Principal | | $ 1,464 | [4],[16] | $ 1,468 | [6],[17] |
Cost | | 1,339 | [4],[7],[16] | 1,337 | [6],[8],[17] |
Fair Value | | 1,384 | [1],[4],[16] | 1,372 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Healthcare & Pharmaceuticals | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | 23,485 | [4] | 22,603 | [6] |
Cost | | 22,895 | [4],[7] | 22,042 | [6],[8] |
Fair Value | | $ 23,045 | [1],[4] | $ 22,319 | [2],[6] |
% of Member's Capital | | 27.80% | [4] | 27.30% | [6] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Healthcare & Pharmaceuticals PerkinElmer U.S. LLC Investment Type First Lien Term Loan Reference Rate and Spread S+6.75% Maturity Date 3/13/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 6.75% | [4],[11],[16] | 6.75% | [6],[14],[17] |
Maturity Date | | Mar. 13, 2029 | [4],[16] | Mar. 13, 2029 | [6],[17] |
Principal | | $ 6,672 | [4],[16] | $ 6,689 | [6],[17] |
Cost | | 6,449 | [4],[7],[16] | 6,458 | [6],[8],[17] |
Fair Value | | $ 6,672 | [1],[4],[16] | $ 6,689 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Healthcare & Pharmaceuticals Petvet Care Centers, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+6.00% Maturity Date 11/15/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 6% | [4],[9],[11] | 6% | [6],[12],[14] |
Maturity Date | | Nov. 15, 2030 | [4],[9] | Nov. 15, 2030 | [6],[12] |
Cost | | $ (12) | [4],[7],[9] | $ (13) | [6],[8],[12] |
Fair Value | | $ (25) | [1],[4],[9] | $ (25) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Healthcare & Pharmaceuticals Petvet Care Centers, LLC Investment Type First Lien Revolver Reference Rate and Spread S+6.00% Maturity Date 11/15/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 6% | [4],[9],[11] | 6% | [6],[12],[14] |
Maturity Date | | Nov. 15, 2029 | [4],[9] | Nov. 15, 2029 | [6],[12] |
Cost | | $ (3) | [4],[7],[9] | $ (3) | [6],[8],[12] |
Fair Value | | $ (3) | [1],[4],[9] | $ (3) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Healthcare & Pharmaceuticals Petvet Care Centers, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+6.00% Maturity Date 11/15/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 6% | [4],[11],[16] | 6% | [6],[14],[17] |
Maturity Date | | Nov. 15, 2030 | [4],[16] | Nov. 15, 2030 | [6],[17] |
Principal | | $ 9,726 | [4],[16] | $ 9,750 | [6],[17] |
Cost | | 9,537 | [4],[7],[16] | 9,557 | [6],[8],[17] |
Fair Value | | $ 9,531 | [1],[4],[16] | $ 9,555 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Healthcare & Pharmaceuticals The GI Alliance Management, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.50% Maturity Date 9/15/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11] | 5.50% | | | |
Maturity Date | [4],[9] | Sep. 15, 2028 | | | |
Cost | [4],[7],[9] | $ (37) | | | |
Fair Value | [1],[4],[9] | $ (75) | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Healthcare & Pharmaceuticals The GI Alliance Management, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+5.50% Maturity Date 9/15/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[11],[15] | 5.50% | | | |
Maturity Date | [4],[15] | Sep. 15, 2028 | | | |
Principal | [4],[15] | $ 6,149 | | | |
Cost | [4],[7],[15] | 6,032 | | | |
Fair Value | [1],[4],[15] | $ 6,026 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Healthcare & Pharmaceuticals The GI Alliance Management, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+5.50% Maturity Date 9/15/2028 One | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[11],[15] | 5.50% | | | |
Maturity Date | [4],[15] | Sep. 15, 2028 | | | |
Principal | [4],[15] | $ 938 | | | |
Cost | [4],[7],[15] | 929 | | | |
Fair Value | [1],[4],[15] | 919 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Healthcare & Pharmaceuticals The GI Alliance Management, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+6.25% Maturity Date 9/15/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [6],[13],[14] | | | 6.25% | |
Maturity Date | [6],[13] | | | Sep. 15, 2028 | |
Principal | [6],[13] | | | $ 6,164 | |
Cost | [6],[8],[13] | | | 6,043 | |
Fair Value | [2],[6],[13] | | | 6,103 | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | 42,058 | | 32,417 | [6] |
Cost | | 41,207 | [7] | 31,670 | [6],[8] |
Fair Value | | $ 41,454 | [1] | $ 31,902 | [2],[6] |
% of Member's Capital | | 50% | | 39% | [6] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Aptean, Inc Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.25% Maturity Date 1/30/2031 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11],[15] | 5.25% | | | |
Maturity Date | [4],[9],[15] | Jan. 30, 2031 | | | |
Principal | [4],[9],[15] | $ 40 | | | |
Cost | [4],[7],[9],[15] | 35 | | | |
Fair Value | [1],[4],[9],[15] | $ 32 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Aptean, Inc Investment Type First Lien Revolver Reference Rate and Spread S+5.25% Maturity Date 1/30/2031 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11] | 5.25% | | | |
Maturity Date | [4],[9] | Jan. 30, 2031 | | | |
Cost | [4],[7],[9] | $ (1) | | | |
Fair Value | [1],[4],[9] | $ (2) | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Aptean, Inc Investment Type First Lien Term Loan Reference Rate and Spread S+5.25% Maturity Date 1/30/2031 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[11],[15] | 5.25% | | | |
Maturity Date | [4],[15] | Jan. 30, 2031 | | | |
Principal | [4],[15] | $ 4,514 | | | |
Cost | [4],[7],[15] | 4,470 | | | |
Fair Value | [1],[4],[15] | $ 4,469 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Brave Parent Holdings, Inc. Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.00% Maturity Date 11/29/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5% | [4],[9],[11] | 5% | [6],[12],[14] |
Maturity Date | | Nov. 29, 2030 | [4],[9] | Nov. 29, 2030 | [6],[12] |
Cost | | $ (8) | [4],[7],[9] | $ (8) | [6],[8],[12] |
Fair Value | | $ (11) | [1],[4],[9] | $ (11) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Brave Parent Holdings, Inc. Investment Type First Lien Revolver Reference Rate and Spread S+5.00% Maturity Date 11/29/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5% | [4],[9],[11] | 5% | [6],[12],[14] |
Maturity Date | | Nov. 29, 2030 | [4],[9] | Nov. 29, 2030 | [6],[12] |
Cost | | $ (1) | [4],[7],[9] | $ (2) | [6],[8],[12] |
Fair Value | | $ (1) | [1],[4],[9] | $ (2) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Brave Parent Holdings, Inc. Investment Type First Lien Term Loan Reference Rate and Spread S+5.00% Maturity Date 11/29/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5% | [4],[11],[15] | 5% | [6],[14],[17] |
Maturity Date | | Nov. 29, 2030 | [4],[15] | Nov. 29, 2030 | [6],[17] |
Principal | | $ 9,435 | [4],[15] | $ 9,435 | [6],[17] |
Cost | | 9,344 | [4],[7],[15] | 9,342 | [6],[8],[17] |
Fair Value | | $ 9,341 | [1],[4],[15] | $ 9,341 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Enverus Holdings, Inc. Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.50% Maturity Date 12/24/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.50% | [4],[9],[11] | 5.50% | [6],[12],[14] |
Maturity Date | | Dec. 24, 2029 | [4],[9] | Dec. 24, 2029 | [6],[12] |
Cost | | $ (3) | [4],[7],[9] | $ (3) | [6],[8],[12] |
Fair Value | | $ (6) | [1],[4],[9] | $ (6) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Enverus Holdings, Inc. Investment Type First Lien Revolver Reference Rate and Spread S+5.50% Maturity Date 12/24/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.50% | [4],[9],[11] | 5.50% | [6],[12],[14] |
Maturity Date | | Dec. 24, 2029 | [4],[9] | Dec. 24, 2029 | [6],[12] |
Cost | | $ (2) | [4],[7],[9] | $ (2) | [6],[8],[12] |
Fair Value | | $ (2) | [1],[4],[9] | $ (2) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Enverus Holdings, Inc. Investment Type First Lien Term Loan Reference Rate and Spread S+5.50% Maturity Date 12/24/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.50% | [4],[11],[16] | 5.50% | [6],[14],[17] |
Maturity Date | | Dec. 24, 2029 | [4],[16] | Dec. 24, 2029 | [6],[17] |
Principal | | $ 7,461 | [4],[16] | $ 7,461 | [6],[17] |
Cost | | 7,353 | [4],[7],[16] | 7,350 | [6],[8],[17] |
Fair Value | | $ 7,349 | [1],[4],[16] | $ 7,349 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries GS AcquisitionCo, Inc. Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.00% Maturity Date 5/25/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11] | 5% | | | |
Maturity Date | [4],[9] | May 25, 2028 | | | |
Cost | [4],[7],[9] | $ (8) | | | |
Fair Value | [1],[4],[9] | $ (16) | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries GS AcquisitionCo, Inc. Investment Type First Lien Revolver Reference Rate and Spread S+5.00% Maturity Date 5/25/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11] | 5% | | | |
Maturity Date | [4],[9] | May 25, 2028 | | | |
Cost | [4],[7],[9] | $ (1) | | | |
Fair Value | [1],[4],[9] | $ (1) | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Netwrix Corporation Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.00% Maturity Date 6/11/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5% | [4],[9],[11] | 5% | [6],[12],[14] |
Maturity Date | | Jun. 11, 2029 | [4],[9] | Jun. 11, 2029 | [6],[12] |
Cost | | $ (5) | [4],[7],[9] | $ (172) | [6],[8],[12] |
Fair Value | | $ (5) | [1],[4],[9] | $ (174) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Netwrix Corporation Investment Type First Lien Term Loan Reference Rate and Spread S+5.00% Maturity Date 6/11/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5% | [4],[11],[18] | 5% | [6],[14],[19] |
Maturity Date | | Jun. 11, 2029 | [4],[18] | Jun. 11, 2029 | [6],[19] |
Principal | | $ 6,636 | [4],[18] | $ 2,138 | [6],[19] |
Cost | | 6,376 | [4],[7],[18] | 2,059 | [6],[8],[19] |
Fair Value | | $ 6,420 | [1],[4],[18] | $ 2,058 | [2],[6],[19] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Rally Buyer, Inc. Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.75% Maturity Date 7/19/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.75% | [4],[9],[11],[15] | 5.75% | [6],[12],[13],[14] |
Maturity Date | | Jul. 19, 2028 | [4],[9],[15] | Jul. 19, 2028 | [6],[12],[13] |
Principal | | $ 1,234 | [4],[9],[15] | $ 934 | [6],[12],[13] |
Cost | | 1,210 | [4],[7],[9],[15] | 912 | [6],[8],[12],[13] |
Fair Value | | $ 1,234 | [1],[4],[9],[15] | $ 927 | [2],[6],[12],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Rally Buyer, Inc. Investment Type First Lien Term Loan Reference Rate and Spread S+5.75% Maturity Date 7/19/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.75% | [4],[11],[15] | 5.75% | [6],[13],[14] |
Maturity Date | | Jul. 19, 2028 | [4],[15] | Jul. 19, 2028 | [6],[13] |
Principal | | $ 5,399 | [4],[15] | $ 5,412 | [6],[13] |
Cost | | 5,322 | [4],[7],[15] | 5,332 | [6],[8],[13] |
Fair Value | | $ 5,399 | [1],[4],[15] | $ 5,385 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Redwood Services Group, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.75% Maturity Date 6/15/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11],[15] | 5.75% | | | |
Maturity Date | [4],[9],[15] | Jun. 15, 2029 | | | |
Principal | [4],[9],[15] | $ 320 | | | |
Cost | [4],[7],[9],[15] | 275 | | | |
Fair Value | [1],[4],[9],[15] | $ 235 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Redwood Services Group, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+6.25% Maturity Date 6/15/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 6.25% | [4],[11],[15] | 6.25% | [6],[14],[17] |
Maturity Date | | Jun. 15, 2029 | [4],[15] | Jun. 15, 2029 | [6],[17] |
Principal | | $ 1,388 | [4],[15] | $ 1,392 | [6],[17] |
Cost | | 1,355 | [4],[7],[15] | 1,357 | [6],[8],[17] |
Fair Value | | $ 1,388 | [1],[4],[15] | $ 1,392 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments High Tech Industries Redwood Services Group, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+6.25% Maturity Date 6/15/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 6.25% | [4],[11],[15] | 6.25% | [6],[14],[17] |
Maturity Date | | Jun. 15, 2029 | [4],[15] | Jun. 15, 2029 | [6],[17] |
Principal | | $ 5,631 | [4],[15] | $ 5,645 | [6],[17] |
Cost | | 5,496 | [4],[7],[15] | 5,505 | [6],[8],[17] |
Fair Value | | 5,631 | [1],[4],[15] | 5,645 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Services: Business | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | 16,644 | [4] | 16,369 | [6] |
Cost | | 16,099 | [4],[7] | 15,810 | [6],[8] |
Fair Value | | $ 16,608 | [1],[4] | $ 16,260 | [2],[6] |
% of Member's Capital | | 20% | [4] | 19.90% | [6] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Services: Business Chartwell Cumming Holding Corporation Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.25% Maturity Date 11/16/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[11],[16] | 5.25% | | | |
Maturity Date | [4],[16] | Nov. 16, 2027 | | | |
Principal | [4],[16] | $ 449 | | | |
Cost | [4],[7],[16] | 432 | | | |
Fair Value | [1],[4],[16] | $ 449 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Services: Business Chartwell Cumming Holding Corporation Investment Type First Lien Term Loan Reference Rate and Spread S+5.25% Maturity Date 11/16/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[11],[16] | 5.25% | | | |
Maturity Date | [4],[16] | Nov. 16, 2027 | | | |
Principal | [4],[16] | $ 6,755 | | | |
Cost | [4],[7],[16] | 6,503 | | | |
Fair Value | [1],[4],[16] | $ 6,755 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Services: Business Foreside Financial Group, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.25% Maturity Date 9/30/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11] | 5.25% | | | |
Maturity Date | [4],[9] | Sep. 30, 2027 | | | |
Cost | [4],[7],[9] | $ (10) | | | |
Fair Value | [1],[4],[9] | $ (8) | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Services: Business Foreside Financial Group, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.25% Maturity Date 9/30/2027 One | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[9],[11] | 5.25% | | | |
Maturity Date | [4],[9] | Sep. 30, 2027 | | | |
Cost | [4],[7],[9] | $ (10) | | | |
Fair Value | [1],[4],[9] | $ (20) | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Services: Business Foreside Financial Group, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+5.25% Maturity Date 9/30/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[11],[15] | 5.25% | | | |
Maturity Date | [4],[15] | Sep. 30, 2027 | | | |
Principal | [4],[15] | $ 371 | | | |
Cost | [4],[7],[15] | 358 | | | |
Fair Value | [1],[4],[15] | $ 363 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Services: Business IG Investments Holdings, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+6.00% Maturity Date 9/22/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 6% | [4],[11],[15] | 6% | [6],[13],[14] |
Maturity Date | | Sep. 22, 2028 | [4],[15] | Sep. 22, 2028 | [6],[13] |
Principal | | $ 2,025 | [4],[15] | $ 2,030 | [6],[13] |
Cost | | 1,967 | [4],[7],[15] | 1,970 | [6],[8],[13] |
Fair Value | | $ 2,025 | [1],[4],[15] | $ 2,030 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Services: Business IG Investments Holdings, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+6.00% Maturity Date 9/22/2028 One | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 6% | [4],[11],[15] | 6% | [6],[13],[14] |
Maturity Date | | Sep. 22, 2028 | [4],[15] | Sep. 22, 2028 | [6],[13] |
Principal | | $ 74 | [4],[15] | $ 75 | [6],[13] |
Cost | | 72 | [4],[7],[15] | 72 | [6],[8],[13] |
Fair Value | | $ 74 | [1],[4],[15] | $ 75 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Services: Business IRI Group Holdings, Inc. (f/k/a The NPD Group L.P.) Investment Type First Lien Term Loan Reference Rate and Spread S+5.75% Maturity Date 12/1/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [4],[11],[15] | 5.75% | | | |
Maturity Date | [4],[15] | Dec. 01, 2028 | | | |
Principal | [4],[15] | $ 6,970 | | | |
Cost | [4],[7],[15] | 6,787 | | | |
Fair Value | [1],[4],[15] | 6,970 | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Transportation: Cargo | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | [4] | 8,191 | | | |
Cost | [4],[7] | 7,870 | | | |
Fair Value | [1],[4] | $ 7,826 | | | |
% of Member's Capital | [4] | 9.40% | | | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Transportation: Cargo Capstone Acquisition Holdings, Inc. Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+4.75% Maturity Date 11/12/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 4.75% | [4],[11],[16] | 4.75% | [6],[14],[17] |
Maturity Date | | Nov. 12, 2027 | [4],[16] | Nov. 12, 2027 | [6],[17] |
Principal | | $ 562 | [4],[16] | $ 564 | [6],[17] |
Cost | | 531 | [4],[7],[16] | 530 | [6],[8],[17] |
Fair Value | | $ 562 | [1],[4],[16] | $ 564 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Transportation: Cargo Capstone Acquisition Holdings, Inc. Investment Type First Lien Term Loan Reference Rate and Spread S+4.75% Maturity Date 11/12/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 4.75% | [4],[11],[16] | 4.75% | [6],[14],[17] |
Maturity Date | | Nov. 12, 2027 | [4],[16] | Nov. 12, 2027 | [6],[17] |
Principal | | $ 654 | [4],[16] | $ 656 | [6],[17] |
Cost | | 618 | [4],[7],[16] | 617 | [6],[8],[17] |
Fair Value | | $ 655 | [1],[4],[16] | $ 656 | [2],[6],[17] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Transportation: Cargo Seko Global Logistics Network, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.00% Maturity Date 12/30/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5% | [4],[11],[15] | 5% | [6],[14],[19] |
Maturity Date | | Dec. 30, 2026 | [4],[15] | Dec. 30, 2026 | [6],[19] |
Principal | | $ 6,384 | [4],[15] | $ 6,400 | [6],[19] |
Cost | | 6,152 | [4],[7],[15] | 6,150 | [6],[8],[19] |
Fair Value | | $ 6,049 | [1],[4],[15] | $ 6,176 | [2],[6],[19] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Transportation: Cargo Seko Global Logistics Network, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+5.00% Maturity Date 12/30/2026 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5% | [4],[11],[15] | 5% | [6],[14],[19] |
Maturity Date | | Dec. 30, 2026 | [4],[15] | Dec. 30, 2026 | [6],[19] |
Principal | | $ 591 | [4],[15] | $ 592 | [6],[19] |
Cost | | 569 | [4],[7],[15] | 569 | [6],[8],[19] |
Fair Value | | 560 | [1],[4],[15] | 571 | [2],[6],[19] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Wholesale | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | | 10,436 | [4] | 10,047 | [6] |
Cost | | 10,200 | [4],[7] | 9,805 | [6],[8] |
Fair Value | | $ 10,193 | [1],[4] | $ 9,803 | [2],[6] |
% of Member's Capital | | 12.30% | [4] | 12% | [6] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Wholesale Blackbird Purchaser, Inc. Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.50% Maturity Date 12/19/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.50% | [4],[9],[11],[15] | 5.50% | [6],[12],[14] |
Maturity Date | | Dec. 19, 2030 | [4],[9],[15] | Dec. 19, 2030 | [6],[12] |
Principal | [4],[9],[15] | $ 396 | | | |
Cost | | 358 | [4],[7],[9],[15] | $ (39) | [6],[8],[12] |
Fair Value | | $ 356 | [1],[4],[9],[15] | $ (40) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Wholesale Blackbird Purchaser, Inc. Investment Type First Lien Revolver Reference Rate and Spread S+5.50% Maturity Date 12/19/2029 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.50% | [4],[9],[11],[16] | 5.50% | [6],[12],[14] |
Maturity Date | | Dec. 19, 2029 | [4],[9],[16] | Dec. 19, 2029 | [6],[12] |
Principal | [4],[9],[16] | $ 18 | | | |
Cost | | 15 | [4],[7],[9],[16] | $ (3) | [6],[8],[12] |
Fair Value | | $ 15 | [1],[4],[9],[16] | $ (3) | [2],[6],[12] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments First Lien Debt Investments Wholesale Blackbird Purchaser, Inc. Investment Type First Lien Term Loan Reference Rate and Spread S+5.50% Maturity Date 12/19/2030 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | | 5.50% | [4],[11],[15] | 5.50% | [6],[13],[14] |
Maturity Date | | Dec. 19, 2030 | [4],[15] | Dec. 19, 2030 | [6],[13] |
Principal | | $ 10,022 | [4],[15] | $ 10,047 | [6],[13] |
Cost | | 9,827 | [4],[7],[15] | 9,847 | [6],[8],[13] |
Fair Value | | 9,822 | [1],[4],[15] | $ 9,846 | [2],[6],[13] |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments Services: Business Foreside Financial Group, LLC Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.50% Maturity Date 9/30/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [6],[12],[14] | | | 5.50% | |
Maturity Date | [6],[12] | | | Sep. 30, 2027 | |
Cost | [6],[8],[12] | | | $ (19) | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments Services: Business Foreside Financial Group, LLC Investment Type First Lien Term Loan Reference Rate and Spread S+5.50% Maturity Date 9/30/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [6],[13],[14] | | | 5.50% | |
Maturity Date | [6],[13] | | | Sep. 30, 2027 | |
Principal | [6],[13] | | | $ 54 | |
Cost | [6],[8],[13] | | | 52 | |
Fair Value | [2],[6],[13] | | | $ 54 | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments Services: Business The NPD Group L.P. Investment Type First Lien Term Loan Reference Rate and Spread S+5.75% Maturity Date 12/1/2028 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [6],[14],[17] | | | 5.75% | |
Maturity Date | [6],[17] | | | Dec. 01, 2028 | |
Principal | [6],[17] | | | $ 6,987 | |
Cost | [6],[8],[17] | | | 6,797 | |
Fair Value | [2],[6],[17] | | | $ 6,987 | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments Services: Business, Chartwell Cumming Holding Corporation Investment Type First Lien Delayed Draw Term Loan Reference Rate and Spread S+5.75% Maturity Date 11/16/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [6],[14],[17] | | | 5.75% | |
Maturity Date | [6],[17] | | | Nov. 16, 2027 | |
Principal | [6],[17] | | | $ 450 | |
Cost | [6],[8],[17] | | | 432 | |
Fair Value | [2],[6],[17] | | | $ 443 | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments Services: Business, Chartwell Cumming Holding Corporation Investment Type First Lien Term Loan Reference Rate and Spread S+5.75% Maturity Date 11/16/2027 | | | | | |
Schedule of Investments [Line Items] | | | | | |
Reference Rate and Spread | [6],[14],[17] | | | 5.75% | |
Maturity Date | [6],[17] | | | Nov. 16, 2027 | |
Principal | [6],[17] | | | $ 6,773 | |
Cost | [6],[8],[17] | | | 6,506 | |
Fair Value | [2],[6],[17] | | | 6,671 | |
Investment, Identifier [Axis]: Non-Controlled/Non-Affiliated Portfolio Company Investments Transportation: Cargo | | | | | |
Schedule of Investments [Line Items] | | | | | |
Principal | [6] | | | 8,212 | |
Cost | [6],[8] | | | 7,866 | |
Fair Value | [2],[6] | | | $ 7,967 | |
% of Member's Capital | [6] | | | 9.70% | |
Investment, Identifier [Axis]: Petvet Care Centers, LLC Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (25) | [1] | $ (25) | [2] |
Investment, Identifier [Axis]: Petvet Care Centers, LLC Investment Type First Lien Revolver | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | (3) | [1] | (3) | [2] |
Investment, Identifier [Axis]: Qnnect, LLC Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [2] | | | (17) | |
Investment, Identifier [Axis]: Rally Buyer, Inc. Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [2] | | | (3) | |
Investment, Identifier [Axis]: Redwood Services Group, LLC Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (79) | | | |
Investment, Identifier [Axis]: The GI Alliance Management, LLC Investment Type First Lien Delayed Draw Term Loan | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | [1] | (75) | | | |
Investment, Identifier [Axis]: Unfunded Portfolio Company Commitments | | | | | |
Schedule of Investments [Line Items] | | | | | |
Fair Value | | $ (498) | [1] | $ (374) | [2] |
| |
[1] These investments were valued using unobservable inputs and are considered Level 3 investments. These investments were valued using unobservable inputs and are considered Level 3 investments. All funded debt investments are income producing. As of March 31, 2024 , there were no investments on non-accrual. Unless otherwise indicated, all investments are non-controlled, non-affiliated investments. Non-controlled, non-affiliated investments are defined as investments in which the Company owns less than 5 % of the portfolio company’s outstanding voting securities and does not have the power to exercise control over the management or policies of such portfolio company. As of March 31, 2024, all of the Company’s investments were non-controlled, non-affiliated All funded debt investments are income producing. As of December 31, 2023 , there were no investments on non-accrual. Unless otherwise indicated, all investments are non-controlled, non-affiliated investments. Non-controlled, non-affiliated investments are defined as investments in which the Company owns less than 5 % of the portfolio company’s outstanding voting securities and does not have the power to exercise control over the management or policies of such portfolio company. As of December 31, 2023, all of the Company’s investments were non-controlled, non-affiliated. Cost represents the original cost adjusted for the amortization of discounts and premiums, as applicable, on debt investments using the effective interest method. Cost represents the original cost adjusted for the amortization of discounts and premiums, as applicable, on debt investments using the effective interest method. All or a portion of the position is an unfunded loan commitment, and no interest is being earned on the unfunded portion, although the investment may be subject to unused commitment fees. The unfunded loan commitment may be subject to a commitment termination date that may expire prior to the maturity date stated. For investments in delayed draw term loans and revolvers, the cost basis is adjusted for any market discount or original issue discount received on the total balance committed. As a result, the purchase of commitments not fully funded may result in a negative cost and fair value until funded. See below for more information on the Company’s unfunded commitments: The interest rate on these loans is subject to 6-month SOFR, which as of March 31, 2024 was 5.22 % . Unless otherwise indicated, loan contains a variable rate structure, and may be subject to an interest rate floor. Variable rate loans bear interest at a rate that may be determined by reference to either the Secured Overnight Financing Rate (“SOFR” or “S”) or an alternate base rate (which can include the Federal Funds Effective Rate or the Prime Rate), at the borrower’s option, and which reset periodically based on the terms of the loan agreement. SOFR based contracts may include a credit spread adjustment that is charged in addition to the base rate and the stated spread. The terms in the Consolidated Schedule of Investments disclose the actual interest rate in effect as of the reporting period. All or a portion of the position is an unfunded loan commitment, and no interest is being earned on the unfunded portion, although the investment may be subject to unused commitment fees. The unfunded loan commitment may be subject to a commitment termination date that may expire prior to the maturity date stated. For investments in delayed draw term loans and revolvers, the cost basis is adjusted for any market discount or original issue discount received on the total balance committed. As a result, the purchase of commitments not fully funded may result in a negative cost and fair value until funded. See below for more information on the Company’s unfunded commitments: The interest rate on these loans is subject to 3-month SOFR, which as of December 31, 2023 was 5.33 %. Unless otherwise indicated, loan contains a variable rate structure, and may be subject to an interest rate floor. Variable rate loans bear interest at a rate that may be determined by reference to either SOFR or an alternate base rate (which can include the Federal Funds Effective Rate or the Prime Rate), at the borrower’s option, and which reset periodically based on the terms of the loan agreement. SOFR based contracts may include a credit spread adjustment that is charged in addition to the base rate and the stated spread. The terms in the Consolidated Schedule of Investments disclose the actual interest rate in effect as of the reporting period. The interest rate on these loans is subject to 3-month SOFR, which as of March 31, 2024 was 5.30 % The interest rate on these loans is subject to 1-month SOFR, which as of March 31, 2024 was 5.33 % The interest rate on these loans is subject to 1-month SOFR, which as of December 31, 2023 was 5.35 %. The interest rate on $ 5.2 million of principal loans is subject to 6-month SOFR, which as of March 31, 2024 was 5.22 % and the interest rate on $ 1.4 million of principal loans is subject to 3-month SOFR, which as of March 31, 2024 was 5.30 %. The interest rate on these loans is subject to 6-month SOFR, which as of December 31, 2023 w as 5.16 %. | |