Quarterly report pursuant to Section 13 or 15(d)

CONSOLIDATED SCHEDULE OF INVESTMENTS (Parenthetical)

v3.24.3
CONSOLIDATED SCHEDULE OF INVESTMENTS (Parenthetical) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2024
[5],[6],[7],[9],[15]
Sep. 30, 2024
Mar. 31, 2024
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   186.20% [1],[2],[3],[4] 186.80% [5],[6],[7],[8],[9]
Investments owned, fair value   $ 853,307 $ 920,504 [8]
Percentage threshold of qualified assets representing total assets in order to acquire non-qualified assets   70.00% 70.00%
Investment, interest rate, paid in cash   4.80% 5.30%
Cumulative net unrealized appreciation     $ 180,500
Cumulative gross unrealized depreciation     115,800
Cumulative gross unrealized appreciation for federal income tax purposes     64,700
Based on a tax cost     855,800
Cost   $ 840,147 $ 854,290 [8]
Funko Acquisition Holdings, LLC      
Schedule of Investments [Line Items]      
Percentage of acquired non-qualifying assets of total assets     0.10%
Collateral Pledged      
Schedule of Investments [Line Items]      
Investments owned, fair value   648,000 $ 717,300
Buildings and Real Estate      
Schedule of Investments [Line Items]      
Investments owned, fair value   61,749 60,431
Diversified/Conglomerate Services      
Schedule of Investments [Line Items]      
Investments owned, fair value   164,579 264,535
Healthcare, Education, and Childcare      
Schedule of Investments [Line Items]      
Investments owned, fair value   50,140 49,638
Home and Office Furnishings, Housewares, and Durable Consumer Products      
Schedule of Investments [Line Items]      
Investments owned, fair value   164,994 160,038
Hotels, Motels, Inns, and Gaming      
Schedule of Investments [Line Items]      
Investments owned, fair value   98,852 77,366
Leisure, Amusement, Motion Pictures, and Entertainment      
Schedule of Investments [Line Items]      
Investments owned, fair value   42,381 39,350
Oil and Gas      
Schedule of Investments [Line Items]      
Investments owned, fair value   56,379 51,171
Printing and Publishing      
Schedule of Investments [Line Items]      
Investments owned, fair value   13,500 14,238
Aerospace and Defense      
Schedule of Investments [Line Items]      
Investments owned, fair value   31,821 29,064
Cargo Transport      
Schedule of Investments [Line Items]      
Investments owned, fair value   12,408 13,500
Machinery (Non-Agriculture, Non-Construction, and Non-Electronic)      
Schedule of Investments [Line Items]      
Investments owned, fair value   92,474 92,781
Mining, Steel, Iron and Non-Precious Metals      
Schedule of Investments [Line Items]      
Investments owned, fair value   33,523 30,537
Telecommunications      
Schedule of Investments [Line Items]      
Investments owned, fair value   6,357 9,002
Chemicals, Plastics, and Rubber      
Schedule of Investments [Line Items]      
Investments owned, fair value   18,596 20,363
Secured First Lien Debt      
Schedule of Investments [Line Items]      
Investments owned, fair value   469,480 474,856
Cost   530,522 513,425
Secured Second Lien Debt      
Schedule of Investments [Line Items]      
Investments owned, fair value   111,344 138,703
Cost   119,958 144,958
Preferred Equity      
Schedule of Investments [Line Items]      
Investments owned, fair value   228,528 213,480
Cost   145,070 145,070
Common Equity/ Equivalents      
Schedule of Investments [Line Items]      
Investments owned, fair value   43,955 93,465
Cost   44,597 50,837
Investment, Identifier [Axis]: B+T Group Acquisition, Inc. – Common Stock Warrants      
Schedule of Investments [Line Items]      
Investments owned, fair value   0 [10],[11],[12] 0 [13],[14],[15]
Cost   $ 0 [10],[11],[12] $ 0 [13],[14],[15]
Investment, Identifier [Axis]: B+T Group Acquisition, Inc. – Line of Credit 1      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   2.00% [1],[2],[3],[4],[10],[11],[16] 2.00% [5],[6],[7],[9],[13],[15]
Investment interest rate   7.00% [1],[2],[3],[4],[10],[11],[16] 7.30% [5],[6],[7],[9],[13],[15]
Line of credit facility, available   $ 0 [1],[2],[3],[4],[10],[11],[16] $ 0 [5],[6],[7],[9],[13],[15]
Investments owned, fair value   3,080 [10],[11],[16] 3,080 [13],[15]
Principal amount   3,080 [10],[11],[16],[17],[18] 3,080 [13],[15],[19],[20]
Cost   $ 3,080 [10],[11],[16] $ 3,080 [13],[15]
Investment, Identifier [Axis]: B+T Group Acquisition, Inc. – Line of Credit 2      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   2.00% [1],[2],[3],[4],[10],[11],[16] 2.00% [5],[6],[7],[9],[13],[15]
Investment interest rate   7.00% [1],[2],[3],[4],[10],[11],[16] 7.30% [5],[6],[7],[9],[13],[15]
Line of credit facility, available   $ 297 [1],[2],[3],[4],[10],[11],[16] $ 394 [5],[6],[7],[9],[13],[15]
Investments owned, fair value   753 [10],[11],[16] 656 [13],[15]
Principal amount   753 [10],[11],[16],[17],[18] 656 [13],[15],[19],[20]
Cost   $ 753 [10],[11],[16] 656 [13],[15]
Investment, Identifier [Axis]: B+T Group Acquisition, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value [13],[14],[15]     0
Cost [13],[14],[15]     $ 4,722
Shares [13],[14],[15],[19],[20]     14,304
Investment, Identifier [Axis]: B+T Group Acquisition, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[13],[15]     2.00%
Investment interest rate [5],[6],[7],[9],[13],[15]     7.30%
Investments owned, fair value [13],[15]     $ 5,266
Principal amount [13],[15],[19],[20]     14,000
Cost [13],[15]     14,000
Investment, Identifier [Axis]: B+T Group Acquisition, Inc. – Term Debt 1      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[10],[11],[16]   2.00%  
Investment interest rate [1],[2],[3],[4],[10],[11],[16]   7.00%  
Investments owned, fair value [10],[11],[16]   $ 2,524  
Principal amount [10],[11],[16],[17],[18]   14,000  
Cost [10],[11],[16]   14,000  
Investment, Identifier [Axis]: B+T Group Acquisition, Inc.– Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value [10],[11],[12]   0  
Cost [10],[11],[12]   $ 4,722  
Shares [10],[11],[12],[17],[18]   14,304  
Investment, Identifier [Axis]: Brunswick Bowling Products, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   $ 46,594 [11],[12] 48,759 [14],[15]
Cost   $ 6,653 [11],[12] $ 6,653 [14],[15]
Shares   6,653 [11],[12],[17],[18] 6,653 [14],[15],[19],[20]
Investment, Identifier [Axis]: Brunswick Bowling Products, Inc. – Term Debt 1      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   10.00% [1],[2],[3],[4],[11] 10.00% [5],[6],[7],[9],[15]
Investment interest rate   14.80% [1],[2],[3],[4],[11] 15.30% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 17,700 [11] $ 17,700 [15]
Principal amount   17,700 [11],[17],[18] 17,700 [15],[19],[20]
Cost   $ 17,700 [11] $ 17,700 [15]
Investment, Identifier [Axis]: Brunswick Bowling Products, Inc. – Term Debt 2      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   10.00% [1],[2],[3],[4],[11] 10.00% [5],[6],[7],[9],[15]
Investment interest rate   14.80% [1],[2],[3],[4],[11] 15.30% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 6,850 [11] $ 6,850 [15]
Principal amount   6,850 [11],[17],[18] 6,850 [15],[19],[20]
Cost   6,850 [11] 6,850 [15]
Investment, Identifier [Axis]: Dema/Mai Holdings, Inc - Preferred Equity      
Schedule of Investments [Line Items]      
Investments owned, fair value [11],[12]   23,499  
Cost [11],[12]   $ 21,000  
Shares [11],[12],[17],[18]   21,000  
Investment, Identifier [Axis]: Dema/Mai Holdings, Inc – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11]   11.00%  
Investment interest rate [1],[2],[3],[4],[11]   15.80%  
Investments owned, fair value [11]   $ 38,250  
Principal amount [11],[17],[18]   38,250  
Cost [11]   38,250  
Investment, Identifier [Axis]: Dema/Mai Holdings, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value [14],[15]     22,181
Cost [14],[15]     $ 21,000
Shares [14],[15],[19],[20]     21,000
Investment, Identifier [Axis]: Dema/Mai Holdings, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15]     11.00%
Investment interest rate [5],[6],[7],[9],[15]     16.30%
Investments owned, fair value [15]     $ 38,250
Principal amount [15],[19],[20]     38,250
Cost [15]     38,250
Investment, Identifier [Axis]: Diligent Delivery Systems – Common Stock Warrants      
Schedule of Investments [Line Items]      
Investments owned, fair value   0 [11],[12] 500 [14],[21]
Cost   $ 500 [11],[12] $ 500 [14],[21]
Investment, Identifier [Axis]: Diligent Delivery Systems – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   9.00% [1],[2],[3],[4],[16],[22] 9.00% [5],[6],[7],[9],[21]
Investment interest rate   13.80% [1],[2],[3],[4],[16],[22] 14.30% [5],[6],[7],[9],[21]
Investments owned, fair value   $ 12,408 [16],[22] $ 13,000 [21]
Principal amount   13,000 [16],[17],[18],[22] 13,000 [19],[20],[21]
Cost   $ 13,000 [16],[22] 13,000 [21]
Investment, Identifier [Axis]: Edge Adhesives Holdings, Inc - Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[10],[11],[16]   5.50%  
Investment interest rate [1],[2],[3],[4],[10],[11],[16]   10.30%  
Investments owned, fair value [10],[11],[16]   $ 570  
Principal amount [10],[11],[16],[17],[18]   9,210  
Cost [10],[11],[16]   9,210  
Investment, Identifier [Axis]: Edge Adhesives Holdings, Inc. - Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value [10],[11],[12]   0  
Cost [10],[11],[12]   $ 8,199  
Shares [10],[11],[12],[17],[18]   8,199  
Investment, Identifier [Axis]: Edge Adhesives Holdings, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value [13],[14],[15]     0
Cost [13],[14],[15]     $ 8,199
Shares [13],[14],[15],[19],[20]     8,199
Investment, Identifier [Axis]: Edge Adhesives Holdings, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[13],[15],[23]     5.50%
Investment interest rate [5],[6],[7],[9],[13],[15],[23]     10.80%
Investments owned, fair value [13],[15],[23]     $ 2,905
Principal amount [13],[15],[19],[20],[23]     9,210
Cost [13],[15],[23]     9,210
Investment, Identifier [Axis]: Educators Resource, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   $ 30,140 [11],[12] 29,638 [14],[15]
Cost   $ 8,560 [11],[12] $ 8,560 [14],[15]
Shares   8,560 [11],[12],[17],[18] 8,560 [14],[15],[19],[20]
Investment, Identifier [Axis]: Educators Resource, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   10.50% [1],[2],[3],[4],[11] 10.50% [5],[6],[7],[9],[15]
Investment interest rate   15.30% [1],[2],[3],[4],[11] 15.80% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 20,000 [11] $ 20,000 [15]
Principal amount   20,000 [11],[17],[18] 20,000 [15],[19],[20]
Cost   20,000 [11] 20,000 [15]
Investment, Identifier [Axis]: Funko Acquisition Holdings, LLC – Common Units      
Schedule of Investments [Line Items]      
Investments owned, fair value [13],[14],[24]     18
Cost [13],[14],[24]     $ 21
Shares [13],[14],[19],[20],[24]     4,239
Investment, Identifier [Axis]: Galaxy Technologies Holdings, Inc. – Common Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   6,125 [11],[12] $ 3,368 [14],[15]
Cost   $ 11,513 [11],[12] $ 11,513 [14],[15]
Shares   16,957 [11],[12],[17],[18] 16,957 [14],[15],[19],[20]
Investment, Identifier [Axis]: Galaxy Technologies Holdings, Inc. – Term Debt 1      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   4.10% [1],[2],[3],[4],[11] 4.10% [5],[6],[7],[9],[15]
Investment interest rate   8.90% [1],[2],[3],[4],[11] 9.40% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 6,900 [11] $ 6,900 [15]
Principal amount   6,900 [11],[17],[18] 6,900 [15],[19],[20]
Cost   $ 6,900 [11] $ 6,900 [15]
Investment, Identifier [Axis]: Galaxy Technologies Holdings, Inc. – Term Debt 2      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   7.00% [1],[2],[3],[4],[11] 7.00% [5],[6],[7],[9],[15]
Investment interest rate   11.80% [1],[2],[3],[4],[11] 12.30% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 18,796 [11] $ 18,796 [15]
Principal amount   18,796 [11],[17],[18] 18,796 [15],[19],[20]
Cost   18,796 [11] 18,796 [15]
Investment, Identifier [Axis]: Ginsey Home Solutions, Inc. – Common Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   0 [11],[12] 0 [14],[15]
Cost   $ 8 [11],[12] $ 8 [14],[15]
Shares   63,747 [11],[12],[17],[18] 63,747 [14],[15],[19],[20]
Investment, Identifier [Axis]: Ginsey Home Solutions, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   $ 3,277 [11],[12] $ 891 [14],[15]
Cost   $ 9,583 [11],[12] $ 9,583 [14],[15]
Shares   19,280 [11],[12],[17],[18] 19,280 [14],[15],[19],[20]
Investment, Identifier [Axis]: Ginsey Home Solutions, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11]   10.00%  
Investment interest rate [1],[2],[3],[4],[11]   14.80%  
Investments owned, fair value [11]   $ 12,200  
Principal amount [11],[17],[18]   12,200  
Cost [11]   $ 12,200  
Investment, Identifier [Axis]: Ginsey Home Solutions, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15]     10.00%
Investment interest rate [5],[6],[7],[9],[15]     15.30%
Investments owned, fair value [15]     $ 12,200
Principal amount [15],[19],[20]     12,200
Cost [15]     $ 12,200
Investment, Identifier [Axis]: Home Concepts Acquisition, Inc. - Line of Credit      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11]   6.00%  
Investment interest rate [1],[2],[3],[4],[11]   10.80%  
Line of credit facility, available [1],[2],[3],[4],[11]   $ 500  
Investments owned, fair value [11]   1,500  
Principal amount [11],[17],[18]   1,500  
Cost [11]   $ 1,500  
Investment, Identifier [Axis]: Home Concepts Acquisition, Inc. - Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11]   9.00%  
Investment interest rate [1],[2],[3],[4],[11]   13.80%  
Investments owned, fair value [11]   $ 12,000  
Principal amount [11],[17],[18]   12,000  
Cost [11]   12,000  
Investment, Identifier [Axis]: Home Concepts Acquisition, Inc. – Line of Credit      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15]     6.00%
Investment interest rate [5],[6],[7],[9],[15]     11.30%
Line of credit facility, available [5],[6],[7],[9],[15]     $ 1,000
Investments owned, fair value [15]     1,000
Principal amount [15],[19],[20]     1,000
Cost [15]     1,000
Investment, Identifier [Axis]: Home Concepts Acquisition, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value [14],[15]     1,238
Cost [14],[15]     $ 3,275
Shares [14],[15],[19],[20]     3,275,000
Investment, Identifier [Axis]: Home Concepts Acquisition, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15]     9.00%
Investment interest rate [5],[6],[7],[9],[15]     14.30%
Investments owned, fair value [15]     $ 12,000
Principal amount [15],[19],[20]     12,000
Cost [15]     12,000
Investment, Identifier [Axis]: Home Concepts Acquisition, Inc.- Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value [11],[12]   0  
Cost [11],[12]   $ 3,275  
Shares [11],[12],[17],[18]   3,275,000  
Investment, Identifier [Axis]: Horizon Facilities Services, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   $ 0 [11],[12] 0 [14],[15]
Cost   $ 0 [11],[12] $ 0 [14],[15]
Shares   10,080 [11],[12],[17],[18] 10,080 [14],[15],[19],[20]
Investment, Identifier [Axis]: Horizon Facilities Services, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   7.50% [1],[2],[3],[4],[11] 7.50% [5],[6],[7],[9],[15]
Investment interest rate   12.30% [1],[2],[3],[4],[11] 12.80% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 39,536 [11] $ 57,700 [15]
Principal amount   57,700 [11],[17],[18] 57,700 [15],[19],[20]
Cost   57,700 [11] 57,700 [15]
Investment, Identifier [Axis]: ImageWorks Display and Marketing Group, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   3,269 [11],[12] 2,607 [14],[15]
Cost   $ 6,749 [11],[12] $ 6,749 [14],[15]
Shares   67,490 [11],[12],[17],[18] 67,490 [14],[15],[19],[20]
Investment, Identifier [Axis]: ImageWorks Display and Marketing Group, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   11.00% [1],[2],[3],[4],[11] 11.00% [5],[6],[7],[9],[15]
Investment interest rate   15.80% [1],[2],[3],[4],[11] 16.30% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 22,000 [11] $ 22,000 [15]
Principal amount   22,000 [11],[17],[18] 22,000 [15],[19],[20]
Cost   $ 22,000 [11] $ 22,000 [15]
Investment, Identifier [Axis]: J.R. Hobbs Co. - Atlanta, LLC - Line of Credit      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15],[23]     6.00%
Investment interest rate [5],[6],[7],[9],[15],[23]     11.30%
Line of credit facility, available [5],[6],[7],[9],[15],[23]     $ 0
Investments owned, fair value [15],[23]     2,682
Principal amount [15],[19],[20],[23]     5,000
Cost [15],[23]     $ 5,000
Investment, Identifier [Axis]: J.R. Hobbs Co. - Atlanta, LLC - Term Debt 1      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   6.00% [1],[2],[3],[4],[11],[16] 6.00% [5],[6],[7],[9],[15],[23]
Investment interest rate   10.80% [1],[2],[3],[4],[11],[16] 11.30% [5],[6],[7],[9],[15],[23]
Investments owned, fair value   $ 9,298 [11],[16] $ 8,852 [15],[23]
Principal amount   16,500 [11],[16],[17],[18] 16,500 [15],[19],[20],[23]
Cost   $ 16,500 [11],[16] $ 16,500 [15],[23]
Investment, Identifier [Axis]: J.R. Hobbs Co. - Atlanta, LLC - Term Debt 2      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15],[23]     10.30%
Investment interest rate [5],[6],[7],[9],[15],[23]     15.60%
Investments owned, fair value [15],[23]     $ 13,949
Principal amount [15],[19],[20],[23]     26,000
Cost [15],[23]     $ 26,000
Investment, Identifier [Axis]: J.R. Hobbs Co. - Atlanta, LLC - Term Debt 3      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15],[23]     6.00%
Investment interest rate [5],[6],[7],[9],[15],[23]     11.30%
Investments owned, fair value [15],[23]     $ 1,308
Principal amount [15],[19],[20],[23]     2,438
Cost [15],[23]     2,438
Investment, Identifier [Axis]: J.R. Hobbs Co. - Atlanta, LLC – Line of Credit      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11],[16]   6.00%  
Investment interest rate [1],[2],[3],[4],[11],[16]   10.80%  
Line of credit facility, available [1],[2],[3],[4],[11],[16]   $ 0  
Investments owned, fair value [11],[16]   2,818  
Principal amount [11],[16],[17],[18]   5,000  
Cost [11],[16]   $ 5,000  
Investment, Identifier [Axis]: J.R. Hobbs Co. - Atlanta, LLC – Term Debt 2      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11],[16]   10.30%  
Investment interest rate [1],[2],[3],[4],[11],[16]   15.10%  
Investments owned, fair value [11],[16]   $ 14,651  
Principal amount [11],[16],[17],[18]   26,000  
Cost [11],[16]   $ 26,000  
Investment, Identifier [Axis]: J.R. Hobbs Co. - Atlanta, LLC – Term Debt 3      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11],[16]   6.00%  
Investment interest rate [1],[2],[3],[4],[11],[16]   10.80%  
Investments owned, fair value [11],[16]   $ 1,375  
Principal amount [11],[16],[17],[18]   2,438  
Cost [11],[16]   2,438  
Investment, Identifier [Axis]: J.R. Hobbs Co. – Atlanta, LLC – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   0 [11],[12] 0 [14],[15]
Cost   $ 10,920 [11],[12] $ 10,920 [14],[15]
Shares   10,920 [11],[12],[17],[18] 10,920 [14],[15],[19],[20]
Investment, Identifier [Axis]: Mason West, LLC – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   $ 11,145 [11],[12] $ 19,759 [14],[15]
Cost   $ 11,206 [11],[12] $ 11,206 [14],[15]
Shares   11,206 [11],[12],[17],[18] 11,206 [14],[15],[19],[20]
Investment, Identifier [Axis]: Mason West, LLC – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   10.00% [1],[2],[3],[4],[11] 10.00% [5],[6],[7],[9],[15]
Investment interest rate   14.80% [1],[2],[3],[4],[11] 15.30% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 25,250 [11] $ 25,250 [15]
Principal amount   25,250 [11],[17],[18] 25,250 [15],[19],[20]
Cost   $ 25,250 [11] $ 25,250 [15]
Investment, Identifier [Axis]: Nocturne Luxury Villas, Inc. – Line of Credit      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   8.00% [1],[2],[3],[4],[11] 8.00% [5],[6],[7],[9],[15]
Investment interest rate   12.80% [1],[2],[3],[4],[11] 13.30% [5],[6],[7],[9],[15]
Line of credit facility, available   $ 4,000 [1],[2],[3],[4],[11] $ 0 [5],[6],[7],[9],[15]
Investments owned, fair value   2,000 [11] 4,000 [15]
Principal amount   2,000 [11],[17],[18] 4,000 [15],[19],[20]
Cost   2,000 [11] 4,000 [15]
Investment, Identifier [Axis]: Nocturne Luxury Villas, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   17,252 [11],[12] 12,266 [14],[15]
Cost   $ 6,600 [11],[12] $ 6,600 [14],[15]
Shares   6,600 [11],[12],[17],[18] 6,600 [14],[15],[19],[20]
Investment, Identifier [Axis]: Nocturne Luxury Villas, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   10.50% [1],[2],[3],[4],[11],[25] 10.50% [5],[6],[7],[9],[15],[26]
Investment interest rate   14.50% [1],[2],[3],[4],[11],[25] 14.50% [5],[6],[7],[9],[15],[26]
Investments owned, fair value   $ 79,600 [11],[25] $ 61,100 [15],[26]
Principal amount   79,600 [11],[17],[18],[25] 61,100 [15],[19],[20],[26]
Cost   79,600 [11],[25] 61,100 [15],[26]
Investment, Identifier [Axis]: Nth Degree Investment Group, LLC – Common Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value [14],[15]     51,442
Cost [14],[15]     $ 6,219
Shares [14],[15],[19],[20]     17,216,976
Investment, Identifier [Axis]: Nth Degree Investment Group, LLC – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[27]     8.50%
Investment interest rate [5],[6],[7],[9],[27]     13.80%
Investments owned, fair value [27]     $ 25,000
Principal amount [19],[20],[27]     25
Cost [27]     $ 25,000
Investment, Identifier [Axis]: Old World Christmas, Inc. – Term Loan      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15]     9.50%
Investment interest rate [5],[6],[7],[9],[15]     14.80%
Investments owned, fair value [15]     $ 43,000
Principal amount [15],[19],[20]     43,000
Cost [15]     43,000
Investment, Identifier [Axis]: Old World Christmas, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   35,373 [11],[12] 30,638 [14],[15]
Cost   $ 0 [11],[12] $ 0 [14],[15]
Shares   6,180 [11],[12],[17],[18] 6,180 [14],[15],[19],[20]
Investment, Identifier [Axis]: Old World Christmas, Inc. – Secured First Lien Term Loan      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11]   9.50%  
Investment interest rate [1],[2],[3],[4],[11]   14.30%  
Investments owned, fair value [11]   $ 43,000  
Principal amount [11],[17],[18]   43,000  
Cost [11]   43,000  
Investment, Identifier [Axis]: PSI Molded Plastics, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   0 [11],[12] $ 0 [14],[15]
Cost   $ 19,730 [11],[12] $ 19,730 [14],[15]
Shares   158,598 [11],[12],[17],[18] 158,598 [14],[15],[19],[20]
Investment, Identifier [Axis]: PSI Molded Plastics, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   5.50% [1],[2],[3],[4],[11] 5.50% [5],[6],[7],[9],[15]
Investment interest rate   10.30% [1],[2],[3],[4],[11] 10.80% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 18,596 [11] $ 20,363 [15]
Principal amount   26,618 [11],[17],[18] 26,618 [15],[19],[20]
Cost   $ 26,618 [11] $ 26,618 [15]
Investment, Identifier [Axis]: Phoenix Door Systems, Inc – Line of Credit      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   7.00% [1],[2],[3],[4],[11] 7.00% [5],[6],[7],[9],[15]
Investment interest rate   11.80% [1],[2],[3],[4],[11] 12.30% [5],[6],[7],[9],[15]
Line of credit facility, available   $ 200 [1],[2],[3],[4],[11] $ 0 [5],[6],[7],[9],[15]
Unused fee percentage 0.30% 0.30% [1],[2],[3],[4],[11]  
Investments owned, fair value   $ 2,750 [11] 2,750 [15]
Principal amount   2,750 [11],[17],[18] 2,750 [15],[19],[20]
Cost   2,750 [11] 2,750 [15]
Investment, Identifier [Axis]: Phoenix Door Systems, Inc. – Common Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   0 [11],[12] 0 [14],[15]
Cost   $ 1,830 [11],[12] $ 1,830 [14],[15]
Shares   4,221 [11],[12],[17],[18] 4,221 [14],[15],[19],[20]
Investment, Identifier [Axis]: Phoenix Door Systems, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   11.00% [1],[2],[3],[4],[11] 11.00% [5],[6],[7],[9],[15]
Investment interest rate   15.80% [1],[2],[3],[4],[11] 16.30% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 2,234 [11] $ 2,817 [15]
Principal amount   3,200 [11],[17],[18] 3,200 [15],[19],[20]
Cost   3,200 [11] 3,200 [15]
Investment, Identifier [Axis]: SFEG Holdings, Inc. – Common Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   37,830 [11],[12] 38,137 [14],[15]
Cost   $ 30,746 [11],[12] $ 30,746 [14],[15]
Shares   18,721 [11],[12],[17],[18] 18,721 [14],[15],[19],[20]
Investment, Identifier [Axis]: SFEG Holdings, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15]     7.00%
Investment interest rate [5],[6],[7],[9],[15]     12.50%
Investments owned, fair value [15]     $ 54,644
Principal amount [15],[19],[20]     54,644
Cost [15]     54,644
Investment, Identifier [Axis]: SFEG Holdings, Inc. – Term Debt 1      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11]   7.00%  
Investment interest rate [1],[2],[3],[4],[11]   12.50%  
Investments owned, fair value [11]   $ 54,644  
Principal amount [11],[17],[18]   54,644  
Cost [11]   54,644  
Investment, Identifier [Axis]: Schylling, Inc. – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   14,400 [11],[12] 11,369 [14],[15]
Cost   $ 4,000 [11],[12] $ 4,000 [14],[15]
Shares   4,000 [11],[12],[17],[18] 4,000 [14],[15],[19],[20]
Investment, Identifier [Axis]: Schylling, Inc. – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   11.00% [1],[2],[3],[4],[11] 11.00% [5],[6],[7],[9],[15]
Investment interest rate   15.80% [1],[2],[3],[4],[11] 16.30% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 27,981 [11] $ 27,981 [15]
Principal amount   27,981 [11],[17],[18] 27,981 [15],[19],[20]
Cost   $ 27,981 [11] $ 27,981 [15]
Investment, Identifier [Axis]: The E3 Company, LLC – Line of Credit      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   5.50% [1],[2],[3],[4],[11] 5.50% [5],[6],[7],[9],[15]
Investment interest rate   10.30% [1],[2],[3],[4],[11] 10.80% [5],[6],[7],[9],[15]
Line of credit facility, available   $ 1,000 [1],[2],[3],[4],[11] $ 1,000 [5],[6],[7],[9],[15]
Investments owned, fair value   1,000 [11] 1,000 [15]
Principal amount   1,000 [11],[17],[18] 1,000 [15],[19],[20]
Cost   1,000 [11] 1,000 [15]
Investment, Identifier [Axis]: The E3 Company, LLC – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   21,629 [11],[12] 16,421 [14],[15]
Cost   $ 11,233 [11],[12] $ 11,233 [14],[15]
Shares   11,233 [11],[12],[17],[18] 11,233 [14],[15],[19],[20]
Investment, Identifier [Axis]: The E3 Company, LLC – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread   9.00% [1],[2],[3],[4],[11] 9.00% [5],[6],[7],[9],[15]
Investment interest rate   13.80% [1],[2],[3],[4],[11] 14.30% [5],[6],[7],[9],[15]
Investments owned, fair value   $ 33,750 [11] $ 33,750 [15]
Principal amount   33,750 [11],[17],[18] 33,750 [15],[19],[20]
Cost   33,750 [11] 33,750 [15]
Investment, Identifier [Axis]: The Maids International, LLC – Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   6,677 [11],[12] 5,426 [14],[15]
Cost   $ 6,640 [11],[12] $ 6,640 [14],[15]
Shares   6,640 [11],[12],[17],[18] 6,640 [14],[15],[19],[20]
Investment, Identifier [Axis]: The Maids International, LLC – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15]     10.50%
Investment interest rate [5],[6],[7],[9],[15]     15.80%
Investments owned, fair value [15]     $ 28,560
Principal amount [15],[19],[20]     28,560
Cost [15]     28,560
Investment, Identifier [Axis]: The Maids International, LLC – Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11]   10.50%  
Investment interest rate [1],[2],[3],[4],[11]   15.30%  
Investments owned, fair value [11]   $ 28,560  
Principal amount [11],[17],[18]   28,560  
Cost [11]   28,560  
Investment, Identifier [Axis]: Utah Pacific Bridge & Steel, Ltd. - Preferred Stock      
Schedule of Investments [Line Items]      
Investments owned, fair value   15,273 [11],[12] 12,287 [14],[15]
Cost   $ 6,000 [11],[12] $ 6,000 [14],[15]
Shares   6,000 [11],[12],[17],[18] 6,000 [14],[15],[19],[20]
Investment, Identifier [Axis]: Utah Pacific Bridge & Steel, Ltd. - Term Debt      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [5],[6],[7],[9],[15]     10.00%
Investment interest rate [5],[6],[7],[9],[15]     15.30%
Investments owned, fair value [15]     $ 18,250
Principal amount [15],[19],[20]     18,250
Cost [15]     $ 18,250
Investment, Identifier [Axis]: Utah Pacific Bridge & Steel, Ltd., 2      
Schedule of Investments [Line Items]      
Investment, reference rate and spread [1],[2],[3],[4],[11]   10.00%  
Investment interest rate [1],[2],[3],[4],[11]   14.80%  
Investments owned, fair value [11]   $ 18,250  
Principal amount [11],[17],[18]   18,250  
Cost [11]   $ 18,250  
Non-Control/Non-Affiliate Investments      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   136.80% [1],[2],[3],[4],[28] 126.30% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 627,240 [28] $ 622,233 [29]
Cost   $ 561,778 [28] $ 544,799 [29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   70.40% [1],[2],[3],[4],[28] 65.90% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 322,601 [28] $ 324,348 [29]
Cost   $ 341,731 [28] $ 324,731 [29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt | Buildings and Real Estate      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   8.30% [1],[2],[3],[4],[28] 7.80% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt | Diversified/Conglomerate Manufacturing      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   1.10% [1],[2],[3],[4],[28] 1.10% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 4,984 [28] $ 5,567 [29]
Cost   $ 5,950 [28] $ 5,950 [29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt | Diversified/Conglomerate Services      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   14.10% [1],[2],[3],[4],[28] 16.80% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 64,786 [28] $ 82,950 [29]
Cost   $ 82,950 [28] $ 82,950 [29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt | Healthcare, Education, and Childcare      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   4.40% [1],[2],[3],[4],[28] 4.10% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt | Home and Office Furnishings, Housewares, and Durable Consumer Products      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   8.10% [1],[2],[3],[4],[28] 7.50% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 36,750 [28] $ 36,750 [29]
Cost   $ 36,750 [28] $ 36,750 [29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt | Hotels, Motels, Inns, and Gaming      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   17.80% [1],[2],[3],[4],[28] 13.20% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 81,600 [28] $ 65,100 [29]
Cost   $ 81,600 [28] $ 65,100 [29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt | Leisure, Amusement, Motion Pictures, and Entertainment      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   6.10% [1],[2],[3],[4],[28] 5.70% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt | Oil and Gas      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   7.60% [1],[2],[3],[4],[28] 7.10% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 34,750 [28] $ 34,750 [29]
Cost   $ 34,750 [28] $ 34,750 [29]
Non-Control/Non-Affiliate Investments | Secured First Lien Debt | Printing and Publishing      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   2.90% [1],[2],[3],[4],[28] 2.60% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 13,500 [28] $ 13,000 [29]
Cost   $ 13,500 [28] $ 13,000 [29]
Non-Control/Non-Affiliate Investments | Secured Second Lien Debt      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   20.20% [1],[2],[3],[4],[28] 18.90% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 92,748 [28] $ 93,340 [29]
Cost   $ 93,340 [28] $ 93,340 [29]
Non-Control/Non-Affiliate Investments | Secured Second Lien Debt | Aerospace and Defense      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   5.60% [1],[2],[3],[4],[28] 5.20% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 25,696 [28] $ 25,696 [29]
Cost   $ 25,696 [28] $ 25,696 [29]
Non-Control/Non-Affiliate Investments | Secured Second Lien Debt | Cargo Transport      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   2.70% [1],[2],[3],[4],[28] 2.60% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Secured Second Lien Debt | Machinery (Non-Agriculture, Non-Construction, and Non-Electronic)      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   11.90% [1],[2],[3],[4],[28] 11.10% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Preferred Equity      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   36.60% [1],[2],[3],[4],[28] 33.00% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 167,936 [28] $ 162,522 [29]
Cost   $ 82,110 [28] $ 82,110 [29]
Non-Control/Non-Affiliate Investments | Preferred Equity | Buildings and Real Estate      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   5.10% [1],[2],[3],[4],[28] 4.50% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Preferred Equity | Diversified/Conglomerate Services      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   2.40% [1],[2],[3],[4],[28] 4.00% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 11,145 [28] $ 19,759 [29]
Cost   $ 11,206 [28] $ 11,206 [29]
Non-Control/Non-Affiliate Investments | Preferred Equity | Healthcare, Education, and Childcare      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   6.60% [1],[2],[3],[4],[28] 6.00% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Preferred Equity | Home and Office Furnishings, Housewares, and Durable Consumer Products      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   10.90% [1],[2],[3],[4],[28] 10.10% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 49,871 [28] $ 49,650 [29]
Cost   $ 16,236 [28] $ 16,236 [29]
Non-Control/Non-Affiliate Investments | Preferred Equity | Hotels, Motels, Inns, and Gaming      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   3.80% [1],[2],[3],[4],[28] 2.50% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Preferred Equity | Leisure, Amusement, Motion Pictures, and Entertainment      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   3.10% [1],[2],[3],[4],[28] 2.30% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Preferred Equity | Oil and Gas      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   4.70% [1],[2],[3],[4],[28] 3.30% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Preferred Equity | Printing and Publishing      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.00% [1],[2],[3],[4],[28] 0.30% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Common Equity/ Equivalents      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   9.60% [1],[2],[3],[4],[28] 8.50% [5],[6],[7],[9],[29]
Investments owned, fair value   $ 43,955 [28] $ 42,023 [29]
Cost   $ 44,597 [28] $ 44,618 [29]
Non-Control/Non-Affiliate Investments | Common Equity/ Equivalents | Diversified/Conglomerate Manufacturing      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.00% [1],[2],[3],[4],[28] 0.00% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Common Equity/ Equivalents | Home and Office Furnishings, Housewares, and Durable Consumer Products      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.00% [1],[2],[3],[4],[28] 0.00% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Common Equity/ Equivalents | Aerospace and Defense      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   1.30% [1],[2],[3],[4],[28] 0.70% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Common Equity/ Equivalents | Cargo Transport      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.00% [1],[2],[3],[4],[28] 0.10% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Common Equity/ Equivalents | Machinery (Non-Agriculture, Non-Construction, and Non-Electronic)      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   8.30% [1],[2],[3],[4],[28] 7.70% [5],[6],[7],[9],[29]
Non-Control/Non-Affiliate Investments | Common Equity/ Equivalents | Personal and Non-Durable Consumer Products (Manufacturing Only)      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets [5],[6],[7],[9],[29]     0.00%
Affiliate Investments      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   49.30% [1],[2],[3],[4],[30] 59.90% [5],[6],[7],[9],[31]
Investments owned, fair value   $ 225,497 [30] $ 295,366 [31]
Cost   $ 260,960 [30] $ 292,082 [31]
Affiliate Investments | Secured First Lien Debt      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   32.00% [1],[2],[3],[4],[30] 30.00% [5],[6],[7],[9],[31]
Investments owned, fair value   $ 146,309 [30] $ 147,603 [31]
Cost   $ 179,581 [30] $ 179,484 [31]
Affiliate Investments | Secured First Lien Debt | Diversified/Conglomerate Services      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   17.10% [1],[2],[3],[4],[30] 15.70% [5],[6],[7],[9],[31]
Investments owned, fair value   $ 78,702 [30] $ 77,351 [31]
Cost   $ 100,498 [30] $ 100,498 [31]
Affiliate Investments | Secured First Lien Debt | Home and Office Furnishings, Housewares, and Durable Consumer Products      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   9.40% [1],[2],[3],[4],[30] 8.70% [5],[6],[7],[9],[31]
Affiliate Investments | Secured First Lien Debt | Mining, Steel, Iron and Non-Precious Metals      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   4.00% [1],[2],[3],[4],[30] 3.70% [5],[6],[7],[9],[31]
Affiliate Investments | Secured First Lien Debt | Telecommunications      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   1.50% [1],[2],[3],[4],[30] 1.90% [5],[6],[7],[9],[31]
Investments owned, fair value   $ 6,357 [30] $ 9,002 [31]
Cost   $ 17,833 [30] $ 17,736 [31]
Affiliate Investments | Secured Second Lien Debt      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   4.10% [1],[2],[3],[4],[30] 9.20% [5],[6],[7],[9],[31]
Investments owned, fair value   $ 18,596 [30] $ 45,363 [31]
Cost   $ 26,618 [30] $ 51,618 [31]
Affiliate Investments | Secured Second Lien Debt | Diversified/Conglomerate Services      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets [5],[6],[7],[9],[31]     5.10%
Affiliate Investments | Secured Second Lien Debt | Chemicals, Plastics, and Rubber      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   4.10% [1],[2],[3],[4],[30] 4.10% [5],[6],[7],[9],[31]
Affiliate Investments | Preferred Equity      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   13.20% [1],[2],[3],[4],[30] 10.30% [5],[6],[7],[9],[31]
Investments owned, fair value   $ 60,592 [30] $ 50,958 [31]
Cost   $ 54,761 [30] $ 54,761 [31]
Affiliate Investments | Preferred Equity | Diversified/Conglomerate Services      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   2.20% [1],[2],[3],[4],[30] 1.60% [5],[6],[7],[9],[31]
Investments owned, fair value   $ 9,946 [30] $ 8,033 [31]
Cost   $ 24,309 [30] $ 24,309 [31]
Affiliate Investments | Preferred Equity | Home and Office Furnishings, Housewares, and Durable Consumer Products      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   7.70% [1],[2],[3],[4],[30] 6.20% [5],[6],[7],[9],[31]
Affiliate Investments | Preferred Equity | Mining, Steel, Iron and Non-Precious Metals      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   3.30% [1],[2],[3],[4],[30] 2.50% [5],[6],[7],[9],[31]
Affiliate Investments | Preferred Equity | Telecommunications      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.00% [1],[2],[3],[4],[30] 0.00% [5],[6],[7],[9],[31]
Affiliate Investments | Preferred Equity | Chemicals, Plastics, and Rubber      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.00% [1],[2],[3],[4],[30] 0.00% [5],[6],[7],[9],[31]
Affiliate Investments | Common Equity/ Equivalents      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.00% [1],[2],[3],[4],[30] 10.40% [5],[6],[7],[9],[31]
Investments owned, fair value   $ 0 [30] $ 51,442 [31]
Cost   $ 0 [30] $ 6,219 [31]
Affiliate Investments | Common Equity/ Equivalents | Diversified/Conglomerate Services      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets [5],[6],[7],[9],[31]     10.40%
Affiliate Investments | Common Equity/ Equivalents | Telecommunications      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.00% [1],[2],[3],[4],[30] 0.00% [5],[6],[7],[9],[31]
Control Investments      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.10% [1],[2],[3],[4],[32] 0.60% [5],[6],[7],[9],[33]
Investments owned, fair value   $ 570 [32] $ 2,905 [33]
Cost   $ 17,409 [32] $ 17,409 [33]
Control Investments | Secured First Lien Debt      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.10% [1],[2],[3],[4],[32] 0.60% [5],[6],[7],[9],[33]
Investments owned, fair value   $ 570 [32] $ 2,905 [33]
Cost   $ 9,210 [32] $ 9,210 [33]
Control Investments | Secured First Lien Debt | Diversified/Conglomerate Manufacturing      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.10% [1],[2],[3],[4],[32] 0.60% [5],[6],[7],[9],[33]
Control Investments | Preferred Equity      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   [1],[2],[3],[4],[32] 0.00% [5],[6],[7],[9],[33]
Investments owned, fair value   $ 0 [32] $ 0 [33]
Cost   $ 8,199 [32] $ 8,199 [33]
Control Investments | Preferred Equity | Diversified/Conglomerate Manufacturing      
Schedule of Investments [Line Items]      
Investment owned, percent of net assets   0.00% [1],[2],[3],[4],[32] 0.00% [5],[6],[7],[9],[33]
[1] Category percentages represent the fair value of each category and subcategory as a percentage of net assets as of September 30, 2024.
[2] Certain of the securities listed are issued by affiliate(s) of the indicated portfolio company. The majority of the securities listed, totaling $648.0 million at fair value, are pledged as collateral to our revolving line of credit, as described further in Note 5—Borrowings in the accompanying Notes to Consolidated Financial Statements. Additionally, under Section 55 of the Investment Company Act of 1940, as amended (the "1940 Act"), we may not acquire any non-qualifying assets unless, at the time such acquisition is made, qualifying assets represent at least 70% of our total assets.
[3] Unless indicated otherwise, all cash interest rates are indexed to 30 day Secured Overnight Financing Rate ("SOFR"), which was 4.8% as of September 30, 2024. If applicable, paid-in-kind interest rates are noted separately from the cash interest rate. Certain securities are subject to an interest rate floor. The cash interest rate is the greater of the floor or the reference rate plus a spread. Due dates represent the contractual maturity date.
[4] Unless indicated otherwise, all of our investments are valued using Level 3 inputs within the Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820, "Fair Value Measurements and Disclosures" ("ASC 820") fair value hierarchy. Refer to Note 3—Investments in the accompanying Notes to Consolidated Financial Statements for additional information.
[5] Unless indicated otherwise, all cash interest rates are indexed to 30-day SOFR, which was 5.3% as of March 31, 2024. If applicable, paid-in-kind interest rates are noted separately from the cash interest rate. Certain securities are subject to an interest rate floor. The cash interest rate is the greater of the floor or reference rate plus a spread. Due dates represent the contractual maturity date.
[6] Category percentages represent the fair value of each category and subcategory as a percentage of net assets as of March 31, 2024.
[7] Certain of the securities listed are issued by affiliate(s) of the indicated portfolio company. The majority of the securities listed, totaling $717.3 million at fair value, are pledged as collateral to our revolving line of credit, as described further in Note 5—Borrowings in the accompanying Notes to Consolidated Financial Statements. Additionally, under Section 55 of the 1940 Act, we may not acquire any non-qualifying assets unless, at the time such acquisition is made, qualifying assets represent at least 70% of our total assets. As of March 31, 2024, our investment in Funko Acquisition Holdings, LLC ("Funko") was considered a non-qualifying asset under Section 55 of the 1940 Act and represented less than 0.1% of total investments, at fair value.
[8] Cumulative gross unrealized appreciation for federal income tax purposes is $180.5 million; cumulative gross unrealized depreciation for federal income tax purposes is $115.8 million. Cumulative net unrealized appreciation is $64.7 million, based on a tax cost of $855.8 million.
[9] Unless indicated otherwise, all of our investments are valued using Level 3 inputs within the FASB ASC 820 fair value hierarchy. Refer to Note 3—Investments in the accompanying Notes to Consolidated Financial Statements for additional information.
[10]
(K)One of our affiliated funds, Gladstone Capital Corporation, co-invested with us in this portfolio company pursuant to an exemptive order granted by the U.S. Securities and Exchange Commission.
[11] Fair value was based on the total enterprise value of the portfolio company, which is generally allocated to the portfolio company’s securities in order of their relative priority in the capital structure. Refer to Note 3—Investments in the accompanying Notes to Consolidated Financial Statements for additional information.
[12] Security is non-income producing
[13] One of our affiliated funds, Gladstone Capital Corporation, co-invested with us in this portfolio company pursuant to an exemptive order granted by the U.S. Securities and Exchange Commission.
[14] Security is non-income producing.
[15] Fair value was based on the total enterprise value of the portfolio company, which is generally allocated to the portfolio company’s securities in order of their relative priority in the capital structure. Refer to Note 3—Investments in the accompanying Notes to Consolidated Financial Statements for additional information.
[16] Debt security is on non-accrual status.
[17] Represents the principal balance, presented in thousands, for debt investments and the number of shares/units held for equity investments. Warrants are represented as a percentage of ownership, as applicable.
[18] Where applicable, aggregates all shares of a class of stock owned without regard to specific series owned within such class (some series of which may or may not be voting shares) or aggregates all warrants to purchase shares of a class of stock owned without regard to specific series of such class of stock such warrants allow us to purchase.
[19] Represents the principal balance, presented in thousands, for debt investments and the number of shares/units held for equity investments. Warrants are represented as a percentage of ownership, as applicable.
[20] Where applicable, aggregates all shares of a class of stock owned without regard to specific series owned within such class (some series of which may or may not be voting shares) or aggregates all warrants to purchase shares of a class of stock owned without regard to specific series of such class of stock such warrants allow us to purchase.
[21] Fair value was based on the expected exit or payoff amount, where such event has occurred or is expected to occur imminently.
[22] Fair value was based on an internal yield analysis or on estimates of value submitted by a third-party valuation firm. Refer to Note 3—Investments in the accompanying Notes to Consolidated Financial Statements for additional information.
[23] Debt security is on non-accrual status.
[24] Our investment in Funko was valued using Level 2 inputs within the ASC 820 fair value hierarchy. Our common units in Funko are convertible into class A common stock in Funko, Inc. upon meeting certain requirements. Fair value was based on the closing market price of shares of Funko, Inc. as of the reporting date, less a discount for lack of marketability. Funko, Inc. is traded on the Nasdaq Global Select Market under the trading symbol “FNKO.” Refer to Note 3—Investments in the accompanying Notes to Consolidated Financial Statements for additional information.
[25] Debt security is subject to an interest rate ceiling.
[26] Debt security is subject to an interest rate ceiling.
[27] Fair value was based on internal yield analysis or on estimates of value submitted by a third-party valuation firm. Refer to Note 3—Investments in the accompanying Notes to Consolidated Financial Statements for additional information.
[28] Non-Control/Non-Affiliate investments, as defined by the 1940 Act, are those that are neither Control nor Affiliate investments and in which we own less than 5.0% of the issued and outstanding voting securities.
[29] Non-Control/Non-Affiliate investments, as defined by the 1940 Act, are those that are neither Control nor Affiliate investments and in which we own less than 5.0% of the issued and outstanding voting securities.
[30] Affiliate investments, as defined by the 1940 Act, are those that are not Control investments and in which we own, with the power to vote, between and inclusive of 5.0% and 25.0% of the issued and outstanding voting securities.
[31] Affiliate investments, as defined by the 1940 Act, are those that are not Control investments and in which we own, with the power to vote, between and inclusive of 5.0% and 25.0% of the issued and outstanding voting securities.
[32] Control investments, as defined by the 1940 Act, are those where we have the power to exercise a controlling influence over the management or policies of the portfolio company, which may include owning, with the power to vote, more than 25.0% of the issued and outstanding voting securities.
[33] Control investments, as defined by the 1940 Act, are those where we have the power to exercise a controlling influence over the management or policies of the portfolio company, which may include owning, with the power to vote, more than 25.0% of the issued and outstanding voting securities.