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Investments - Schedule of Financial Information for Blue Owl Credit SLF LLC (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Mar. 31, 2026
Dec. 31, 2025
Mar. 31, 2025
Dec. 31, 2024
Consolidated Balance Sheet Data                
Cash $ 237,438,000   $ 237,438,000     $ 558,703,000    
Fair Value 14,955,049,000 [1],[2]   14,955,049,000 [1],[2]     16,470,893,000 [3],[4]    
Total Assets 15,354,604,000   15,354,604,000     17,186,365,000    
Total Debt (net of unamortized debt issuance costs) 7,903,533,000   7,903,533,000     9,300,076,000    
Total Liabilities 8,322,845,000   8,322,845,000     9,789,086,000    
Total Credit SLF Members’ Equity 7,031,759,000 $ 7,682,397,000 7,031,759,000 $ 7,682,397,000 $ 7,154,000,000 7,397,279,000 $ 7,739,089,000 $ 5,952,841,000
Statement of Operations                
Investment income 401,342,000 485,843,000 798,116,000 950,489,000        
Net operating expenses 224,457,000 266,849,000 459,614,000 526,447,000        
Net Investment Income (Loss) Before Taxes 176,885,000 218,994,000 338,502,000 424,042,000        
Total net realized and unrealized gain (loss) (110,434,000) (79,202,000) (293,986,000) (37,873,000)        
Net Increase (Decrease) in Net Assets Resulting from Operations 65,739,000 137,506,000 41,357,000 380,137,000        
Blue Owl Credit SLF LLC                
Consolidated Balance Sheet Data                
Cash 258,490,000   258,490,000     124,718,000    
Fair Value 2,624,338,000   2,624,338,000     2,343,367,000    
Total Assets 2,903,962,000   2,903,962,000     2,477,523,000    
Total Debt (net of unamortized debt issuance costs) 2,069,196,000   2,069,196,000     1,728,363,000    
Total Liabilities 2,296,807,000   2,296,807,000     1,863,454,000    
Total Credit SLF Members’ Equity 607,155,000   607,155,000     614,069,000    
Statement of Operations                
Investment income 42,053,000 31,420,000 83,057,000 55,117,000        
Net operating expenses 26,186,000 18,482,000 51,216,000 32,139,000        
Net Investment Income (Loss) Before Taxes 15,867,000 12,938,000 31,841,000 22,978,000        
Total net realized and unrealized gain (loss) (7,626,000) 9,319,000 (59,616,000) (6,785,000)        
Net Increase (Decrease) in Net Assets Resulting from Operations 8,241,000 22,257,000 (27,775,000) 16,193,000        
Dividend income 10,390,000 $ 10,034,000 19,253,000 $ 18,687,000        
Blue Owl Leasing JV LLC                
Consolidated Balance Sheet Data                
Cash 3,344,000   3,344,000     34,555,000    
Fair Value 39,680,000   39,680,000     39,628,000    
Total Assets 43,407,000   43,407,000     74,531,000    
Total Debt (net of unamortized debt issuance costs) 2,512,000   2,512,000     9,754,000    
Total Liabilities 3,486,000   3,486,000     10,076,000    
Total Credit SLF Members’ Equity 39,921,000   39,921,000     $ 64,455,000    
Statement of Operations                
Investment income 1,044,000   2,087,000          
Net operating expenses 785,000   1,656,000          
Net Investment Income (Loss) Before Taxes 259,000   431,000          
Total net realized and unrealized gain (loss) 132,000   (107,000)          
Net Increase (Decrease) in Net Assets Resulting from Operations 391,000   324,000          
Dividend income $ 4,000   $ 4,000          
[1] Certain portfolio company investments are subject to contractual restrictions on sales. Refer to footnote 30 for additional information on the Company’s restricted securities.
[2] Unless otherwise indicated, the Company’s portfolio companies are pledged as collateral supporting the amounts outstanding under the Revolving Credit Facility, SPV Asset Facilities and CLOs. See “Note 5Debt.”
[3] Certain portfolio company investments are subject to contractual restrictions on sales. Refer to footnote 30 for additional information on the Company’s restricted securities.
[4] Unless otherwise indicated, the Company’s portfolio companies are pledged as collateral supporting the amounts outstanding under the Revolving Credit Facility, SPV Asset Facilities and CLOs. See “Note 5Debt.”