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Consolidated Schedule of Investments
€ in Thousands, £ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2022
USD ($)
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Dec. 31, 2021
USD ($)
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Dec. 31, 2022
GBP (£)
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Dec. 31, 2022
EUR (€)
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Jun. 30, 2022
USD ($)
Dec. 31, 2021
GBP (£)
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Sep. 30, 2021
USD ($)
Mar. 31, 2021
USD ($)
May 03, 2013
USD ($)
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Cost $ 3,259,967 [1] $ 3,126,492 [2]              
Fair Value $ 3,221,247 [1] $ 3,174,364 [2]              
Percent of Net Assets 242.89% 236.43% 242.89% 242.89%   236.43%      
Percent of Total Investments at Fair Value 100.00% 100.00%              
Software                  
Cost $ 916,259 $ 782,714              
Fair Value $ 897,008 $ 781,304              
Software | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 27.85% 24.61%              
Business Services                  
Cost $ 661,079 $ 578,635              
Fair Value $ 592,868 $ 514,013              
Business Services | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 18.39% 16.19%              
Healthcare                  
Cost $ 586,311 $ 510,832              
Fair Value $ 548,383 $ 509,941              
Healthcare | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 17.01% 16.07%              
Investment Funds (includes investments in joint ventures)                  
Cost $ 252,400 $ 252,400              
Fair Value $ 252,400 $ 252,400              
Investment Funds (includes investments in joint ventures) | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 7.84% 7.95%              
Education                  
Cost $ 200,117 $ 200,895              
Fair Value $ 239,301 $ 250,351              
Education | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 7.43% 7.89%              
Consumer Services                  
Cost $ 126,392 $ 111,464              
Fair Value $ 123,880 $ 111,140              
Consumer Services | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 3.85% 3.50%              
Net Lease                  
Cost $ 96,041 $ 150,603              
Fair Value $ 120,986 $ 229,253              
Net Lease | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 3.76% 7.22%              
Distribution & Logistics                  
Cost $ 111,096 $ 106,211              
Fair Value $ 102,410 $ 104,112              
Distribution & Logistics | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 3.18% 3.28%              
Insurance Services                  
Cost   $ 76,307              
Fair Value   $ 75,094              
Insurance Services | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value   2.37%              
Financial Services                  
Cost $ 96,021 $ 55,424              
Fair Value $ 95,839 $ 55,745              
Financial Services | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 2.98% 1.76%              
Healthcare Information Technology                  
Cost   $ 52,804              
Fair Value   $ 52,946              
Healthcare Information Technology | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value   1.67%              
Energy                  
Cost $ 55,507 $ 47,702              
Fair Value $ 61,564 $ 38,759              
Energy | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 1.91% 1.22%              
Specialty Chemicals & Materials                  
Cost $ 25,363 $ 60,295              
Fair Value $ 60,268 $ 60,367              
Specialty Chemicals & Materials | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 1.87% 1.90%              
Information Technology                  
Cost $ 58,638 $ 58,570              
Fair Value $ 58,165 $ 58,553              
Information Technology | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 1.81% 1.85%              
Packaging                  
Cost $ 43,124 $ 34,763              
Fair Value $ 40,547 $ 33,723              
Packaging | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 1.26% 1.06%              
Consumer Products                  
Cost $ 20,850 $ 10,218              
Fair Value $ 20,624 $ 10,206              
Consumer Products | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 0.64% 0.32%              
Federal Services                  
Cost   $ 12,797              
Fair Value   $ 12,790              
Federal Services | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value   0.40%              
Business Products                  
Cost $ 10,769 $ 10,764              
Fair Value $ 7,004 $ 10,586              
Business Products | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value 0.22% 0.33%              
Industrial Services                  
Cost   $ 7,368              
Fair Value   $ 7,362              
Industrial Services | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value   0.23%              
Information Services                  
Cost   $ 5,726              
Fair Value   $ 5,719              
Information Services | Investments at fair value | Industry Type                  
Percent of Total Investments at Fair Value   0.18%              
Non-controlled/Non-affiliated                  
Cost $ 2,523,522 $ 2,323,224              
Fair Value $ 2,400,425 $ 2,283,779              
Percent of Net Assets 181.00% 170.10% 181.00% 181.00%   170.10%      
Non-controlled/Affiliated                  
Cost $ 85,971 [3] $ 80,801 [4]              
Fair Value $ 130,787 [3] $ 134,775 [4]              
Percent of Net Assets 9.86% 10.04% 9.86% 9.86%   10.04%      
Controlled                  
Cost $ 650,474 [5] $ 722,467 [6]              
Fair Value $ 690,035 [5] $ 755,810 [6]              
Percent of Net Assets 52.03% 56.29% 52.03% 52.03%   56.29%      
Funded Debt Investments | Non-controlled/Non-affiliated                  
Cost $ 2,354,769 $ 2,181,727              
Fair Value $ 2,236,956 $ 2,143,373              
Percent of Net Assets 168.68% 159.64% 168.68% 168.68%   159.64%      
Funded Debt Investments | Non-controlled/Non-affiliated | United States                  
Cost $ 2,194,600 $ 2,042,136              
Fair Value $ 2,081,746 $ 2,003,901              
Percent of Net Assets 156.97% 149.25% 156.97% 156.97%   149.25%      
Funded Debt Investments | Non-controlled/Non-affiliated | Netherlands                  
Cost $ 58,682 $ 58,614              
Fair Value $ 58,236 $ 58,597              
Percent of Net Assets 4.39% 4.36% 4.39% 4.39%   4.36%      
Funded Debt Investments | Non-controlled/Non-affiliated | United Kingdom                  
Cost $ 50,387 $ 34,241              
Fair Value $ 48,089 $ 34,459              
Percent of Net Assets 3.63% 2.57% 3.63% 3.63%   2.57%      
Funded Debt Investments | Non-controlled/Non-affiliated | Jersey                  
Cost $ 47,698 $ 36,240              
Fair Value $ 45,483 $ 35,827              
Percent of Net Assets 3.43% 2.67% 3.43% 3.43%   2.67%      
Funded Debt Investments | Non-controlled/Non-affiliated | Australia                  
Cost $ 3,402                
Fair Value $ 3,402                
Percent of Net Assets 0.26%   0.26% 0.26%          
Funded Debt Investments | Non-controlled/Non-affiliated | United Arab Emirates                  
Cost   $ 10,496              
Fair Value   $ 10,589              
Percent of Net Assets   0.79%       0.79%      
Funded Debt Investments | Non-controlled/Affiliated | United States                  
Cost $ 16,367 $ 15,307              
Fair Value $ 16,473 $ 15,841              
Percent of Net Assets 1.24% 1.18% 1.24% 1.24%   1.18%      
Funded Debt Investments | Controlled | United States                  
Cost $ 164,702 $ 186,498              
Fair Value $ 141,741 $ 178,142              
Percent of Net Assets 10.69% 13.27% 10.69% 10.69%   13.27%      
Equity | Non-controlled/Non-affiliated                  
Cost $ 169,736 $ 142,122              
Fair Value $ 166,806 $ 141,849              
Percent of Net Assets 12.58% 10.56% 12.58% 12.58%   10.56%      
Equity | Non-controlled/Non-affiliated | United States                  
Cost $ 158,954 $ 132,597              
Fair Value $ 156,058 $ 132,148              
Percent of Net Assets 11.77% 9.84% 11.77% 11.77%   9.84%      
Equity | Non-controlled/Non-affiliated | Hong Kong                  
Cost $ 10,782 $ 9,525              
Fair Value $ 10,748 $ 9,701              
Percent of Net Assets 0.81% 0.72% 0.81% 0.81%   0.72%      
Equity | Non-controlled/Affiliated | United States                  
Cost $ 69,604 $ 65,494              
Fair Value $ 114,314 $ 118,934              
Percent of Net Assets 8.62% 8.86% 8.62% 8.62%   8.86%      
Equity | Controlled                  
Cost $ 484,772 $ 534,969              
Fair Value $ 511,614 $ 564,087              
Percent of Net Assets 38.58% 42.01% 38.58% 38.58%   42.01%      
Equity | Controlled | United States                  
Cost $ 484,772 $ 527,624              
Fair Value $ 511,614 $ 554,665              
Percent of Net Assets 38.58% 41.31% 38.58% 38.58%   41.31%      
Equity | Controlled | Canada                  
Cost $ 0 $ 7,345              
Fair Value $ 0 $ 9,422 [7]              
Percent of Net Assets 0.00% 0.70% 0.00% 0.00%   0.70%      
Funded Investments | Non-controlled/Non-affiliated                  
Cost $ 2,524,505 $ 2,323,849              
Fair Value $ 2,403,762 $ 2,285,222              
Percent of Net Assets 181.25% 170.20% 181.25% 181.25%   170.20%      
Funded Investments | Controlled                  
Cost $ 650,474 $ 722,467              
Fair Value $ 690,035 $ 755,810              
Percent of Net Assets 52.03% 56.29% 52.03% 52.03%   56.29%      
Unfunded Debt Investments | Non-controlled/Non-affiliated                  
Cost $ (983) $ (625)              
Fair Value $ (3,337) $ (1,443)              
Percent of Net Assets (0.25%) (0.10%) (0.25%) (0.25%)   (0.10%)      
Unfunded Debt Investments | Non-controlled/Non-affiliated | United States                  
Cost $ (934) $ (581)              
Fair Value $ (3,261) $ (1,256)              
Percent of Net Assets (0.25%) (0.09%) (0.25%) (0.25%)   (0.09%)      
Unfunded Debt Investments | Non-controlled/Non-affiliated | Netherlands                  
Cost $ (44) $ (44)              
Fair Value $ (71) $ (44)              
Percent of Net Assets (0.01%) (0.00%) (0.01%) (0.01%)   (0.00%)      
Unfunded Debt Investments | Non-controlled/Non-affiliated | Jersey                  
Cost   $ 0              
Fair Value [7]   $ (143)              
Percent of Net Assets   (0.01%)       (0.01%)      
Unfunded Debt Investments | Non-controlled/Non-affiliated | Australia                  
Cost $ (5)                
Fair Value $ (5)                
Percent of Net Assets 0.00%   0.00% 0.00%          
Unfunded Debt Investments | Controlled | United States                  
Cost $ 0 $ 0              
Fair Value $ 0 $ 0              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Warrants | Controlled | United States                  
Cost $ 1,000 $ 1,000              
Fair Value $ 36,680 $ 13,581              
Percent of Net Assets 2.77% 1.01% 2.77% 2.77%   1.01%      
First lien                  
Cost $ 1,816,091 $ 1,682,541              
Fair Value $ 1,753,967 $ 1,657,815              
First lien | Investments at fair value | Investment Type                  
Percent of Total Investments at Fair Value 54.45% 52.23%              
Second lien                  
Cost $ 632,990 $ 645,370              
Fair Value $ 561,207 $ 627,356              
Second lien | Investments at fair value | Investment Type                  
Percent of Total Investments at Fair Value 17.42% 19.76%              
Subordinated                  
Cost $ 85,774 $ 54,996              
Fair Value $ 76,659 $ 50,742              
Subordinated | Investments at fair value | Investment Type                  
Percent of Total Investments at Fair Value 2.38% 1.60%              
Equity and other                  
Cost $ 725,112 $ 743,585              
Fair Value $ 829,414 $ 838,451              
Equity and other | Investments at fair value | Investment Type                  
Percent of Total Investments at Fair Value 25.75% 26.41%              
Floating rates | Investments at fair value | Interest Rate Type                  
Percent of Total Investments at Fair Value 88.53% 88.54%              
Fixed rates | Investments at fair value | Interest Rate Type                  
Percent of Total Investments at Fair Value 11.47% 11.46%              
GS Acquisitionco, Inc | Funded Debt Investments                  
Cost $ 88,757 $ 92,397              
Fair Value $ 88,226 $ 92,745              
Percent of Net Assets 6.65% 6.91% 6.65% 6.65%   6.91%      
PhyNet Dermatology LLC | Funded Debt Investments                  
Cost $ 67,779 $ 68,222              
Fair Value $ 67,996 $ 68,583              
Percent of Net Assets 5.13% 5.11% 5.13% 5.13%   5.11%      
Associations, Inc. | Funded Debt Investments                  
Cost $ 62,721 $ 56,421              
Fair Value $ 62,960 $ 56,407              
Percent of Net Assets 4.75% 4.20% 4.75% 4.75%   4.20%      
AAH Topco, LLC | Funded Debt Investments                  
Cost $ 63,727 $ 31,579              
Fair Value $ 62,795 $ 31,578              
Percent of Net Assets 4.73% 2.36% 4.73% 4.73%   2.36%      
AAH Topco, LLC | Unfunded Debt Investments                  
Cost $ (209) $ (37)              
Fair Value $ (259) $ (291)              
Percent of Net Assets (0.02%) (0.02%) (0.02%) (0.02%)   (0.02%)      
GC Waves Holdings, Inc. | Funded Debt Investments                  
Cost $ 62,823 $ 40,831              
Fair Value $ 62,486 $ 41,096 [7]              
Percent of Net Assets 4.71% 3.06% 4.71% 4.71%   3.06%      
GC Waves Holdings, Inc. | Unfunded Debt Investments                  
Cost $ (22) $ (30)              
Fair Value $ (45) $ 0 [7]              
Percent of Net Assets (0.00%) 0.00% (0.00%) (0.00%)   0.00%      
iCIMS, Inc. | Funded Debt Investments                  
Cost $ 51,220 $ 52,917              
Fair Value $ 51,212 $ 53,217              
Percent of Net Assets 3.86% 3.97% 3.86% 3.86%   3.97%      
iCIMS, Inc. | Unfunded Debt Investments                  
Cost $ (37)                
Fair Value $ (37)                
Percent of Net Assets (0.00%)   (0.00%) (0.00%)          
CentralSquare Technologies, LLC | Funded Debt Investments                  
Cost $ 54,953 $ 54,867              
Fair Value $ 47,360 $ 50,081              
Percent of Net Assets 3.57% 3.73% 3.57% 3.57%   3.73%      
Infogain Corporation | Funded Debt Investments                  
Cost $ 44,728                
Fair Value $ 44,214                
Percent of Net Assets 3.33%   3.33% 3.33%          
Brave Parent Holdings, Inc. | Funded Debt Investments                  
Cost $ 44,953 $ 44,910              
Fair Value $ 43,715 $ 45,350              
Percent of Net Assets 3.30% 3.38% 3.30% 3.30%   3.38%      
Deca Dental Holdings LLC | Funded Debt Investments                  
Cost $ 44,088 $ 41,862              
Fair Value $ 42,556 $ 41,846              
Percent of Net Assets 3.21% 3.13% 3.21% 3.21%   3.13%      
Deca Dental Holdings LLC | Unfunded Debt Investments                  
Cost $ (4) $ (30)              
Fair Value $ (407) $ (121)              
Percent of Net Assets (0.03%) (0.01%) (0.03%) (0.03%)   (0.01%)      
Recorded Future, Inc. | Funded Debt Investments                  
Cost $ 36,940 $ 10,949              
Fair Value $ 36,809 $ 10,940              
Percent of Net Assets 2.78% 0.81% 2.78% 2.78%   0.81%      
Auctane, Inc. | Funded Debt Investments                  
Cost $ 36,677                
Fair Value $ 36,365                
Percent of Net Assets 2.74%   2.74% 2.74%          
Avalara, Inc. | Funded Debt Investments                  
Cost $ 34,949                
Fair Value $ 35,076                
Percent of Net Assets 2.64%   2.64% 2.64%          
OEConnection LLC | Funded Debt Investments                  
Cost $ 35,169 [8] $ 35,123 [9]              
Fair Value $ 34,361 [8] $ 35,095 [9]              
Percent of Net Assets 2.59% 2.62% 2.59% 2.59%   2.62%      
Diligent Corporation | Funded Debt Investments                  
Cost $ 34,191 [10] $ 33,410 [11]              
Fair Value $ 33,973 [10] $ 33,473 [11]              
Percent of Net Assets 2.56% 2.49% 2.56% 2.56%   2.49%      
IG Investments Holdings, LLC | Funded Debt Investments                  
Cost $ 34,032 $ 30,281              
Fair Value $ 33,835 $ 30,270              
Percent of Net Assets 2.55% 2.25% 2.55% 2.55%   2.25%      
Foreside Financial Group | Funded Debt Investments                  
Cost $ 33,730                
Fair Value $ 33,699                
Percent of Net Assets 2.54%   2.54% 2.54%          
Foreside Financial Group | Unfunded Debt Investments                  
Cost $ (21)                
Fair Value $ (70)                
Percent of Net Assets (0.01%)   (0.01%) (0.01%)          
MRI Software LLC | Funded Debt Investments                  
Cost $ 34,049 $ 29,338              
Fair Value $ 33,367 $ 29,446              
Percent of Net Assets 2.52% 2.19% 2.52% 2.52%   2.19%      
MRI Software LLC | Unfunded Debt Investments                  
Cost $ (10) $ (10)              
Fair Value $ (137) $ 0              
Percent of Net Assets (0.01%) 0.00% (0.01%) (0.01%)   0.00%      
Granicus, Inc. | Funded Debt Investments                  
Cost $ 32,434 $ 30,018              
Fair Value $ 32,630 $ 29,994              
Percent of Net Assets 2.46% 2.23% 2.46% 2.46%   2.23%      
Granicus, Inc. | Unfunded Debt Investments                  
Cost   $ (18)              
Fair Value   $ (36)              
Percent of Net Assets   (0.00%)       (0.00%)      
DCA Investment Holding, LLC | Funded Debt Investments                  
Cost $ 32,635 $ 21,651              
Fair Value $ 32,177 $ 21,715              
Percent of Net Assets 2.43% 1.62% 2.43% 2.43%   1.62%      
DCA Investment Holding, LLC | Unfunded Debt Investments                  
Cost $ 0                
Fair Value $ (68)                
Percent of Net Assets (0.01%)   (0.01%) (0.01%)          
KAMC Holdings, Inc | Funded Debt Investments                  
Cost $ 37,314 $ 37,284              
Fair Value $ 31,875 $ 32,704              
Percent of Net Assets 2.40% 2.44% 2.40% 2.40%   2.44%      
OA Buyer, Inc. | Funded Debt Investments                  
Cost [12] $ 29,497                
Fair Value [12] $ 29,520                
Percent of Net Assets 2.23%   2.23% 2.23%          
TigerConnect, Inc. | Funded Debt Investments                  
Cost $ 29,881                
Fair Value $ 29,421                
Percent of Net Assets 2.22%   2.22% 2.22%          
TigerConnect, Inc. | Unfunded Debt Investments                  
Cost $ (43)                
Fair Value $ (125)                
Percent of Net Assets (0.01%)   (0.01%) (0.01%)          
Wealth Enhancement Group, LLC | Funded Debt Investments                  
Cost $ 28,453 $ 9,791              
Fair Value $ 28,338 $ 9,815 [7]              
Percent of Net Assets 2.14% 0.73% 2.14% 2.14%   0.73%      
Wealth Enhancement Group, LLC | Unfunded Debt Investments                  
Cost $ (27) $ (2)              
Fair Value $ (66) $ 0 [7]              
Percent of Net Assets (0.00%) 0.00% (0.00%) (0.00%)   0.00%      
Fortis Solutions Group, LLC | Funded Debt Investments                  
Cost $ 28,726 $ 20,396              
Fair Value $ 28,303 $ 20,390              
Percent of Net Assets 2.13% 1.52% 2.13% 2.13%   1.52%      
Fortis Solutions Group, LLC | Unfunded Debt Investments                  
Cost $ (25) $ (29)              
Fair Value $ (174) $ (112)              
Percent of Net Assets (0.01%) (0.01%) (0.01%) (0.01%)   (0.01%)      
Foundational Education Group, Inc. | Funded Debt Investments                  
Cost $ 29,388 $ 27,376              
Fair Value $ 27,293 $ 27,509              
Percent of Net Assets 2.06% 2.05% 2.06% 2.06%   2.05%      
Syndigo LLC | Funded Debt Investments                  
Cost $ 28,073                
Fair Value $ 26,401                
Percent of Net Assets 1.99%   1.99% 1.99%          
AmeriVet Partners Management, Inc. | Funded Debt Investments                  
Cost $ 26,227                
Fair Value $ 25,818                
Percent of Net Assets 1.95%   1.95% 1.95%          
AmeriVet Partners Management, Inc. | Unfunded Debt Investments                  
Cost $ (10)                
Fair Value $ (273)                
Percent of Net Assets (0.02%)   (0.02%) (0.02%)          
NMC Crimson Holdings, Inc. | Funded Debt Investments                  
Cost $ 25,499 $ 23,844              
Fair Value $ 25,627 $ 23,809              
Percent of Net Assets 1.93% 1.77% 1.93% 1.93%   1.77%      
VT Topco, Inc. | Funded Debt Investments                  
Cost $ 26,124 $ 26,111              
Fair Value $ 25,419 $ 26,249              
Percent of Net Assets 1.92% 1.96% 1.92% 1.92%   1.96%      
HS Purchaser, LLC / Help/Systems Holdings, Inc. | Funded Debt Investments                  
Cost $ 26,596 $ 26,578              
Fair Value $ 25,413 $ 26,719              
Percent of Net Assets 1.92% 1.99% 1.92% 1.92%   1.99%      
DOCS, MSO, LLC | Funded Debt Investments                  
Cost $ 25,785                
Fair Value $ 25,079                
Percent of Net Assets 1.89%   1.89% 1.89%          
DOCS, MSO, LLC | Unfunded Debt Investments                  
Cost $ 0                
Fair Value $ (313)                
Percent of Net Assets (0.02%)   (0.02%) (0.02%)          
CRCI Longhorn Holdings, Inc. | Funded Debt Investments                  
Cost $ 25,714 $ 25,702              
Fair Value $ 24,557 $ 25,766              
Percent of Net Assets 1.85% 1.92% 1.85% 1.85%   1.92%      
ACI Group Holdings, Inc. | Funded Debt Investments                  
Cost $ 24,967 [13] $ 22,152 [14]              
Fair Value $ 24,332 [13] $ 22,141 [14]              
Percent of Net Assets 1.83% 1.65% 1.83% 1.83%   1.65%      
ACI Group Holdings, Inc. | Unfunded Debt Investments                  
Cost $ (21) [13] $ (24) [14]              
Fair Value $ (252) [13] $ (106) [14]              
Percent of Net Assets (0.02%) (0.01%) (0.02%) (0.02%)   (0.01%)      
Idera, Inc. | Funded Debt Investments                  
Cost $ 25,229 $ 25,198              
Fair Value $ 23,990 $ 25,628              
Percent of Net Assets 1.81% 1.91% 1.81% 1.81%   1.91%      
Bullhorn, Inc. | Funded Debt Investments                  
Cost $ 21,794 $ 19,210              
Fair Value $ 21,884 $ 19,311              
Percent of Net Assets 1.65% 1.44% 1.65% 1.65%   1.44%      
Bullhorn, Inc. | Unfunded Debt Investments                  
Cost   $ (12)              
Fair Value   $ 0              
Percent of Net Assets   0.00%       0.00%      
Convey Health Solutions, Inc. | Funded Debt Investments                  
Cost $ 22,260                
Fair Value $ 21,751                
Percent of Net Assets 1.64%   1.64% 1.64%          
TMK Hawk Parent, Corp. | Funded Debt Investments                  
Cost $ 30,161 $ 29,340              
Fair Value $ 20,934 $ 27,441              
Percent of Net Assets 1.58% 2.04% 1.58% 1.58%   2.04%      
Cardinal Parent, Inc. | Funded Debt Investments                  
Cost $ 21,597 $ 21,696              
Fair Value $ 20,922 $ 21,947              
Percent of Net Assets 1.58% 1.63% 1.58% 1.58%   1.63%      
Notorious Topco, LLC | Funded Debt Investments                  
Cost $ 20,863 $ 10,224              
Fair Value $ 20,646 $ 10,223              
Percent of Net Assets 1.56% 0.76% 1.56% 1.56%   0.76%      
Notorious Topco, LLC | Unfunded Debt Investments                  
Cost $ (13) $ (6)              
Fair Value $ (22) $ (17)              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
YLG Holdings, Inc. | Funded Debt Investments                  
Cost $ 20,640 $ 20,324              
Fair Value $ 20,140 $ 20,395              
Percent of Net Assets 1.52% 1.52% 1.52% 1.52%   1.52%      
YLG Holdings, Inc. | Unfunded Debt Investments                  
Cost $ (36) $ (20) [11]              
Fair Value $ (145) $ 0 [11]              
Percent of Net Assets (0.01%) 0.00% (0.01%) (0.01%)   0.00%      
American Achievement Corporation (aka AAC Holding Corp.) | Funded Debt Investments                  
Cost $ 30,314 [15] $ 29,086 [16]              
Fair Value $ 20,599 [15] $ 17,386 [16]              
Percent of Net Assets 1.55% 1.29% 1.55% 1.55%   1.29%      
Xactly Corporation | Funded Debt Investments                  
Cost $ 20,012                
Fair Value $ 20,039                
Percent of Net Assets 1.51%   1.51% 1.51%          
Ansira Holdings, Inc. | Funded Debt Investments                  
Cost $ 41,680 $ 39,772              
Fair Value $ 18,884 $ 30,096              
Percent of Net Assets 1.42% 2.24% 1.42% 1.42%   2.24%      
Bluefin Holding, LLC | Funded Debt Investments                  
Cost $ 19,194 $ 19,463              
Fair Value $ 18,515 $ 19,485              
Percent of Net Assets 1.40% 1.45% 1.40% 1.40%   1.45%      
Trinity Air Consultants Holdings Corporation | Funded Debt Investments                  
Cost $ 18,123 $ 16,427              
Fair Value $ 18,122 $ 16,417              
Percent of Net Assets 1.37% 1.22% 1.37% 1.37%   1.22%      
Trinity Air Consultants Holdings Corporation | Unfunded Debt Investments                  
Cost $ (15) $ (3)              
Fair Value $ (31) $ (56)              
Percent of Net Assets (0.00%) (0.01%) (0.00%) (0.00%)   (0.01%)      
FS WhiteWater Borrower, LLC | Funded Debt Investments                  
Cost $ 18,319 [17] $ 12,987 [18]              
Fair Value $ 17,936 [17] $ 12,987 [18]              
Percent of Net Assets 1.35% 0.97% 1.35% 1.35%   0.97%      
FS WhiteWater Borrower, LLC | Unfunded Debt Investments                  
Cost $ (61) [17] $ (14) [18]              
Fair Value $ (77) [17] $ (58) [18]              
Percent of Net Assets (0.01%) (0.01%) (0.01%) (0.01%)   (0.01%)      
Pioneer Buyer I, LLC | Funded Debt Investments                  
Cost [19] $ 16,807                
Fair Value [19] $ 16,722                
Percent of Net Assets 1.26%   1.26% 1.26%          
Coyote Buyer, LLC | Funded Debt Investments                  
Cost $ 16,221 $ 16,373              
Fair Value $ 16,277 $ 16,444              
Percent of Net Assets 1.23% 1.22% 1.23% 1.23%   1.22%      
Daxko Acquisition Corporation | Funded Debt Investments                  
Cost $ 14,161                
Fair Value $ 13,884                
Percent of Net Assets 1.05%   1.05% 1.05%          
Daxko Acquisition Corporation | Unfunded Debt Investments                  
Cost $ (10) $ (10)              
Fair Value $ (42) $ (26)              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
CFS Management, LLC | Funded Debt Investments                  
Cost $ 14,758 $ 14,879              
Fair Value $ 13,805 $ 14,922              
Percent of Net Assets 1.04% 1.11% 1.04% 1.04%   1.11%      
Calabrio, Inc. | Funded Debt Investments                  
Cost $ 13,120                
Fair Value $ 13,197                
Percent of Net Assets 1.00%   1.00% 1.00%          
IMO Investor Holdings, Inc. | Funded Debt Investments                  
Cost $ 13,145                
Fair Value $ 13,136                
Percent of Net Assets 0.99%   0.99% 0.99%          
IMO Investor Holdings, Inc. | Unfunded Debt Investments                  
Cost $ (13)                
Fair Value $ (44)                
Percent of Net Assets (0.00%)   (0.00%) (0.00%)          
Apptio, Inc. | Funded Debt Investments                  
Cost $ 12,329 $ 11,885              
Fair Value $ 12,443 $ 12,030              
Percent of Net Assets 0.94% 0.90% 0.94% 0.94%   0.90%      
USRP Holdings, Inc. | Funded Debt Investments                  
Cost $ 12,682 $ 12,806              
Fair Value $ 12,370 $ 12,799              
Percent of Net Assets 0.93% 0.95% 0.93% 0.93%   0.95%      
CHA Holdings, Inc. | Funded Debt Investments                  
Cost $ 11,406 $ 11,391              
Fair Value $ 11,319 $ 11,465              
Percent of Net Assets 0.85% 0.85% 0.85% 0.85%   0.85%      
Specialtycare, Inc. | Funded Debt Investments                  
Cost $ 10,625                
Fair Value $ 10,298                
Percent of Net Assets 0.78%   0.78% 0.78%          
Specialtycare, Inc. | Unfunded Debt Investments                  
Cost $ (5) $ (8)              
Fair Value $ (51) $ (18)              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
CG Group Holdings, LLC | Funded Debt Investments                  
Cost $ 9,150 $ 9,109              
Fair Value $ 8,228 $ 9,105              
Percent of Net Assets 0.62% 0.68% 0.62% 0.62%   0.68%      
KPSKY Acquisition Inc. | Funded Debt Investments                  
Cost $ 7,846 $ 7,368              
Fair Value $ 7,567 $ 7,366              
Percent of Net Assets 0.57% 0.55% 0.57% 0.57%   0.55%      
Sun Acquirer Corp. | Funded Debt Investments                  
Cost $ 6,713 $ 5,561              
Fair Value $ 6,661 $ 5,555              
Percent of Net Assets 0.50% 0.41% 0.50% 0.50%   0.41%      
Sun Acquirer Corp. | Unfunded Debt Investments                  
Cost $ (6) $ (15)              
Fair Value $ (12) $ (20)              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
PPV Intermediate Holdings LLC | Funded Debt Investments                  
Cost $ 6,699                
Fair Value $ 6,629                
Percent of Net Assets 0.50%   0.50% 0.50%          
PPV Intermediate Holdings LLC | Unfunded Debt Investments                  
Cost $ (7)                
Fair Value $ (24)                
Percent of Net Assets (0.00%)   (0.00%) (0.00%)          
Pye-Barker Fire & Safety, LLC | Funded Debt Investments                  
Cost $ 5,533                
Fair Value $ 5,424                
Percent of Net Assets 0.41%   0.41% 0.41%          
Pye-Barker Fire & Safety, LLC | Unfunded Debt Investments                  
Cost   $ (9)              
Fair Value   $ 0              
Percent of Net Assets   0.00%       0.00%      
Education Management II LLC | Funded Debt Investments                  
Cost $ 953 [20] $ 957 [21]              
Fair Value $ 0 [20] $ 0 [21]              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Tahoe Finco, LLC | Funded Debt Investments                  
Cost $ 58,682 $ 58,614              
Fair Value $ 58,236 [22] $ 58,597 [7]              
Percent of Net Assets 4.39% 4.36% 4.39% 4.39%   4.36%      
Integro Parent Inc. | Funded Debt Investments                  
Cost $ 16,116 $ 50,625              
Fair Value $ 13,733 $ 49,458              
Percent of Net Assets 1.04% 3.69% 1.04% 1.04%   3.69%      
Tennessee Bidco Limited | Funded Debt Investments                  
Cost $ 47,698 $ 36,240              
Fair Value $ 45,483 [22] $ 35,827 [7]              
Percent of Net Assets 3.43% 2.67% 3.43% 3.43%   2.67%      
Symplr Software Intermediate Holdings, Inc. | Equity                  
Cost $ 16,118 [23] $ 14,264 [24]              
Fair Value $ 15,325 [23] $ 14,414 [24]              
Percent of Net Assets 1.16% 1.08% 1.16% 1.16%   1.08%      
Education Management Corporation | Equity                  
Cost $ 469 [20] $ 469              
Fair Value $ 0 [20] $ 0              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Community Brands ParentCo, LLC | Unfunded Debt Investments                  
Cost $ (4)                
Fair Value $ (42)                
Percent of Net Assets (0.00%)   (0.00%) (0.00%)          
Knockout Intermediate Holdings I Inc. | Unfunded Debt Investments                  
Cost [25] $ (29)                
Fair Value [25] $ (112)                
Percent of Net Assets (0.01%)   (0.01%) (0.01%)          
Permian Trust | Funded Debt Investments                  
Cost $ 0 $ 0              
Fair Value $ 0 $ 0              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Sierra Hamilton Holdings Corporation | Non-controlled/Affiliated                  
Fair Value $ 4,000 $ 4,000              
Sierra Hamilton Holdings Corporation | Equity                  
Cost 12,783 12,783              
Fair Value $ 4,000 $ 4,000              
Percent of Net Assets 0.30% 0.30% 0.30% 0.30%   0.30%      
New Benevis Holdco, Inc. | Funded Debt Investments                  
Cost $ 65,417 [26] $ 59,504 [27]              
Fair Value $ 63,493 [26] $ 58,857 [27]              
Percent of Net Assets 4.79% 4.39% 4.79% 4.79%   4.39%      
UniTek Global Services, Inc. | Controlled                  
Fair Value $ 103,770 $ 67,635              
UniTek Global Services, Inc. | Funded Debt Investments                  
Cost 42,445 34,977              
Fair Value $ 41,303 $ 35,858              
Percent of Net Assets 3.11% 2.67% 3.11% 3.11%   2.67%      
UniTek Global Services, Inc. | Equity                  
Cost $ 81,254 $ 76,890              
Fair Value $ 25,787 $ 18,696              
Percent of Net Assets 1.94% 1.39% 1.94% 1.94%   1.39%      
New Permian Holdco, L.L.C. | Funded Debt Investments                  
Cost $ 31,564 $ 23,759              
Fair Value $ 31,564 $ 23,759              
Percent of Net Assets 2.38% 1.77% 2.38% 2.38%   1.77%      
National HME, Inc. | Funded Debt Investments                  
Cost $ 25,276 [28] $ 33,437 [29]              
Fair Value $ 5,381 [28] $ 24,847 [29]              
Percent of Net Assets 0.41% 1.85% 0.41% 0.41%   1.85%      
New Benevis Topco, LLC | Equity                  
Cost $ 39,922 [26] $ 39,921 [27]              
Fair Value $ 50,653 [26] $ 50,738 [27]              
Percent of Net Assets 3.82% 3.78% 3.82% 3.82%   3.78%      
Haven Midstream Holdings LLC | Equity                  
Cost [30] $ 0                
Fair Value [30] $ 35,788                
Percent of Net Assets 2.70%   2.70% 2.70%          
Frontline Technologies Group Holdings, LLC | Funded Debt Investments                  
Cost   $ 52,500              
Fair Value   $ 52,607              
Percent of Net Assets   3.92%       3.92%      
NM GRC Holdco, LLC | Funded Debt Investments                  
Cost   $ 49,180              
Fair Value   $ 49,279              
Percent of Net Assets   3.67%       3.67%      
Affinity Dental Management, Inc. | Funded Debt Investments                  
Cost   $ 45,458              
Fair Value   $ 45,501              
Percent of Net Assets   3.39%       3.39%      
Kaseya Inc | Funded Debt Investments                  
Cost   $ 41,567              
Fair Value   $ 41,835              
Percent of Net Assets   3.12%       3.12%      
Kaseya Inc | Unfunded Debt Investments                  
Cost   $ (42)              
Fair Value   $ 0              
Percent of Net Assets   0.00%       0.00%      
Keystone Acquisition Corp. | Funded Debt Investments                  
Cost   $ 28,394              
Fair Value   $ 28,361              
Percent of Net Assets   2.11%       2.11%      
Galway Borrower LLC | Funded Debt Investments                  
Cost   $ 25,701              
Fair Value   $ 25,694              
Percent of Net Assets   1.91%       1.91%      
Galway Borrower LLC | Unfunded Debt Investments                  
Cost   $ (19)              
Fair Value   $ (58)              
Percent of Net Assets   (0.01%)       (0.01%)      
Kele Holdco, Inc. | Funded Debt Investments                  
Cost   $ 16,517              
Fair Value   $ 16,497              
Percent of Net Assets   1.23%       1.23%      
Community Brands ParentCo, LLC (f.k.a Ministry Brands, LLC) | Funded Debt Investments                  
Cost   $ 12,848              
Fair Value   $ 12,872              
Percent of Net Assets   0.96%       0.96%      
Safety Borrower Holdings LLC | Unfunded Debt Investments                  
Cost   $ (3)              
Fair Value   $ (9)              
Percent of Net Assets   (0.00%)       (0.00%)      
Tenawa Resource Management LLC | Funded Debt Investments                  
Cost [31]   $ 34,821              
Fair Value [31]   $ 34,821              
Percent of Net Assets   2.59%       2.59%      
Tenawa Resource Holdings LLC | Equity                  
Cost [31]   $ 0              
Fair Value [31]   $ 0              
Percent of Net Assets   0.00%       0.00%      
Investment, Identifier [Axis]: AAC Lender Holdings, LLC, Ordinary shares                  
Principal Amount, Shares (in shares) | shares 758 [15],[32],[33],[34] 758 [16],[35],[36],[37] 758 [15],[32],[33],[34] 758 [15],[32],[33],[34]   758 [16],[35],[36],[37]      
Cost $ 0 [15],[32],[33] $ 0 [16],[35],[36]              
Fair Value $ 0 [15],[32],[33] $ 0 [16],[35],[36]              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Investment, Identifier [Axis]: AAH Topco, LLC, First lien                  
Spread [38],[39]   5.50%       5.50%      
Interest Rate [38],[39]   6.25%       6.25%      
Principal Amount, Par Value [37],[38]   $ 20,843              
Cost [38]   20,635              
Fair Value [38]   20,634              
Investment, Identifier [Axis]: AAH Topco, LLC, First lien - Drawn 1                  
Spread [32],[33],[40] 5.50%   5.50% 5.50%          
Interest Rate [32],[33],[40],[41] 9.82%   9.82% 9.82%          
Principal Amount, Par Value [32],[33],[34],[40] $ 12,357                
Cost [32],[33],[40] 12,369                
Fair Value [32],[33],[40] $ 12,204                
Investment, Identifier [Axis]: AAH Topco, LLC, First lien - Drawn 2                  
Spread [32],[40],[42] 5.50%   5.50% 5.50%          
Interest Rate [32],[40],[41],[42] 9.82%   9.82% 9.82%          
Principal Amount, Par Value [32],[34],[40],[42] $ 4,009                
Cost [32],[40],[42] 4,013                
Fair Value [32],[40],[42] 3,959                
Investment, Identifier [Axis]: AAH Topco, LLC, First lien - Undrawn                  
Principal Amount, Par Value [32],[34],[40],[42] 4,231                
Cost [32],[40],[42] (42)                
Fair Value [32],[40],[42] (52)                
Investment, Identifier [Axis]: AAH Topco, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value 3,659 [32],[33],[34],[40] 3,659 [36],[37],[43]              
Cost (37) [32],[33],[40] (37) [36],[43]              
Fair Value (45) [32],[33],[40] (37) [36],[43]              
Investment, Identifier [Axis]: AAH Topco, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value 13,041 [32],[33],[34],[40] 25,420 [36],[37],[43]              
Cost (130) [32],[33],[40] 0 [36],[43]              
Fair Value $ (162) [32],[33],[40] $ (254) [36],[43]              
Investment, Identifier [Axis]: AAH Topco, LLC, First lien 1                  
Spread [32],[44] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[44] 9.89%   9.89% 9.89%          
Principal Amount, Par Value [32],[34],[44] $ 20,634                
Cost [32],[44] 20,457                
Fair Value [32],[44] $ 20,378                
Investment, Identifier [Axis]: AAH Topco, LLC, First lien 2                  
Spread [32],[42] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[42] 9.89%   9.89% 9.89%          
Principal Amount, Par Value [32],[34],[42] $ 9,797                
Cost [32],[42] 9,713                
Fair Value [32],[42] $ 9,676                
Investment, Identifier [Axis]: AAH Topco, LLC, Subordinated                  
Interest Rate [36],[39],[45]   11.50%       11.50%      
Principal Amount, Par Value [36],[37]   $ 11,110              
Cost [36]   10,944              
Fair Value [36]   $ 10,944              
Investment, Identifier [Axis]: AAH Topco, LLC, Subordinated 1                  
PIK [32],[33],[46] 11.50%   11.50% 11.50%          
Interest Rate [32],[33],[41] 11.50%   11.50% 11.50%          
Principal Amount, Par Value [32],[33],[34] $ 12,494                
Cost [32],[33] 12,337                
Fair Value [32],[33] $ 11,908                
Investment, Identifier [Axis]: AAH Topco, LLC, Subordinated 2                  
PIK [32],[42],[46] 11.50%   11.50% 11.50%          
Interest Rate [32],[41],[42] 11.50%   11.50% 11.50%          
Principal Amount, Par Value [32],[34],[42] $ 4,900                
Cost [32],[42] 4,838                
Fair Value [32],[42] $ 4,670                
Investment, Identifier [Axis]: ACI Group Holdings, Inc., First lien                  
Spread 4.50% [32],[46],[47] 5.50% [35],[39],[48] 4.50% [32],[46],[47] 4.50% [32],[46],[47]   5.50% [35],[39],[48]      
PIK [32],[46],[47] 1.25%   1.25% 1.25%          
Interest Rate 10.13% [32],[41],[47] 6.25% [35],[39],[48] 10.13% [32],[41],[47] 10.13% [32],[41],[47]   6.25% [35],[39],[48]      
Principal Amount, Par Value $ 22,082 [32],[34],[47] $ 22,306 [35],[37],[48]              
Cost 21,898 [32],[47] 22,094 [35],[48]              
Fair Value $ 21,338 [32],[47] $ 22,083 [35],[48]              
Investment, Identifier [Axis]: ACI Group Holdings, Inc., First lien - Drawn                  
Spread [35],[36],[39],[43]   5.50%       5.50%      
Interest Rate [35],[36],[39],[43]   6.25%       6.25%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 59              
Cost [35],[36],[43]   58              
Fair Value [35],[36],[43]   58              
Investment, Identifier [Axis]: ACI Group Holdings, Inc., First lien - Drawn 1                  
Spread [32],[33],[40],[46] 4.50%   4.50% 4.50%          
PIK [32],[33],[40],[46] 1.25%   1.25% 1.25%          
Interest Rate [32],[33],[40],[41] 10.13%   10.13% 10.13%          
Principal Amount, Par Value [32],[33],[34],[40] $ 2,840                
Cost [32],[33],[40] 2,813                
Fair Value [32],[33],[40] $ 2,744                
Investment, Identifier [Axis]: ACI Group Holdings, Inc., First lien - Drawn 2                  
Spread [32],[33],[40] 5.50%   5.50% 5.50%          
Interest Rate [32],[33],[40],[41] 9.88%   9.88% 9.88%          
Principal Amount, Par Value [32],[33],[34],[40] $ 259                
Cost [32],[33],[40] 256                
Fair Value [32],[33],[40] 250                
Investment, Identifier [Axis]: ACI Group Holdings, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value 2,095 [32],[33],[34],[40] 2,354 [35],[36],[37],[43]              
Cost (21) [32],[33],[40] (24) [35],[36],[43]              
Fair Value (71) [32],[33],[40] (24) [35],[36],[43]              
Investment, Identifier [Axis]: ACI Group Holdings, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value 5,386 [32],[33],[34],[40] 8,180 [35],[36],[37],[43]              
Cost 0 [32],[33],[40] 0 [35],[36],[43]              
Fair Value $ (181) [32],[33],[40] $ (82) [35],[36],[43]              
Investment, Identifier [Axis]: ACI Parent Inc., Preferred shares                  
Principal Amount, Shares (in shares) | shares 12,500 [13],[32],[33],[34] 12,500 [14],[35],[36],[37] 12,500 [13],[32],[33],[34] 12,500 [13],[32],[33],[34]   12,500 [14],[35],[36],[37]      
Cost $ 14,605 [13],[32],[33] $ 12,994 [14],[35],[36]              
Fair Value $ 14,068 [13],[32],[33] $ 12,989 [14],[35],[36]              
Percent of Net Assets 1.06% 0.97% 1.06% 1.06%   0.97%      
Investment, Identifier [Axis]: ADG, LLC, Second lien                  
Spread 10.00% [32],[33],[46] 10.00% [35],[36],[39] 10.00% [32],[33],[46] 10.00% [32],[33],[46]   10.00% [35],[36],[39]      
Interest Rate 14.38% [32],[33],[41] 11.00% [35],[36],[39] 14.38% [32],[33],[41] 14.38% [32],[33],[41]   11.00% [35],[36],[39]      
Principal Amount, Par Value $ 7,430 [32],[33],[34] $ 6,591 [35],[36],[37]              
Cost 7,413 [32],[33] 6,562 [35],[36]              
Fair Value $ 4,984 [32],[33] $ 6,082 [35],[36]              
Percent of Net Assets 0.38% 0.45% 0.38% 0.38%   0.45%      
Investment, Identifier [Axis]: Affinity Dental Management, Inc., First lien - Drawn                  
Spread [35],[36],[39],[43]   6.00%       6.00%      
Interest Rate [35],[36],[39],[43]   7.00%       7.00%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 1,738              
Cost [35],[36],[43]   1,720              
Fair Value [35],[36],[43]   $ 1,738              
Investment, Identifier [Axis]: Affinity Dental Management, Inc., First lien 1                  
Spread [35],[39],[48]   6.00%       6.00%      
Interest Rate [35],[39],[48]   7.00%       7.00%      
Principal Amount, Par Value [35],[37],[48]   $ 33,281              
Cost [35],[48]   33,256              
Fair Value [35],[48]   $ 33,281              
Investment, Identifier [Axis]: Affinity Dental Management, Inc., First lien 2                  
Spread [35],[39],[49]   6.00%       6.00%      
Interest Rate [35],[39],[49]   7.00%       7.00%      
Principal Amount, Par Value [35],[37],[49]   $ 10,482              
Cost [35],[49]   10,482              
Fair Value [35],[49]   $ 10,482              
Investment, Identifier [Axis]: AgKnowledge Holdings Company, Inc., First lien                  
Spread [35],[39],[48]   4.75%       4.75%      
Interest Rate [35],[39],[48]   5.75%       5.75%      
Principal Amount, Par Value [35],[37],[48]   $ 9,166              
Cost [35],[48]   9,149              
Fair Value [35],[48]   $ 9,166              
Percent of Net Assets   0.68%       0.68%      
Investment, Identifier [Axis]: AgKnowledge Holdings Company, Inc., First lien - Undrawn                  
Principal Amount, Par Value [35],[36],[37],[43]   $ 526              
Cost [35],[36],[43]   (3)              
Fair Value [35],[36],[43]   $ 0              
Percent of Net Assets   0.00%       0.00%      
Investment, Identifier [Axis]: Alegeus Technologies Holding Corp., First lien                  
Spread [35],[38],[39]   8.25%       8.25%      
Interest Rate [35],[38],[39]   9.25%       9.25%      
Principal Amount, Par Value [35],[37],[38]   $ 13,443              
Cost [35],[38]   13,409              
Fair Value [35],[38]   $ 13,443              
Percent of Net Assets   1.00%       1.00%      
Investment, Identifier [Axis]: Alegeus Technologies Holdings Corp., First lien                  
Spread [32],[44] 8.25%   8.25% 8.25%          
Interest Rate [32],[41],[44] 10.95%   10.95% 10.95%          
Principal Amount, Par Value [32],[34],[44] $ 13,444                
Cost [32],[44] 13,421                
Fair Value [32],[44] $ 13,444                
Percent of Net Assets 1.01%   1.01% 1.01%          
Investment, Identifier [Axis]: AmeriVet Partners Management, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value [32],[33],[34],[40] $ 1,969                
Cost [32],[33],[40] (10)                
Fair Value [32],[33],[40] (39)                
Investment, Identifier [Axis]: AmeriVet Partners Management, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value [32],[33],[34],[40] 11,718                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] $ (234)                
Investment, Identifier [Axis]: AmeriVet Partners Management, Inc., First lien 1                  
Spread [32],[47] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[47] 10.23%   10.23% 10.23%          
Principal Amount, Par Value [32],[34],[47] $ 22,321                
Cost [32],[47] 22,223                
Fair Value [32],[47] $ 21,875                
Investment, Identifier [Axis]: AmeriVet Partners Management, Inc., First lien 2                  
Spread [32],[47] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[47] 10.23%   10.23% 10.23%          
Principal Amount, Par Value [32],[34],[47] $ 4,024                
Cost [32],[47] 4,004                
Fair Value [32],[47] 3,943                
Investment, Identifier [Axis]: American Achievement Corporation (aka AAC Holding Corp.), First lien                  
Principal Amount, Par Value 30,356                
Investment, Identifier [Axis]: American Achievement Corporation (aka AAC Holding Corp.), First lien - Undrawn                  
Principal Amount, Par Value 2,652 [15],[32],[33],[34],[40] $ 2,652 [16],[35],[36],[37],[43]              
Cost 0 [15],[32],[33],[40] 0 [16],[35],[36],[43]              
Fair Value $ 0 [15],[32],[33],[40] $ 0 [16],[35],[36],[43]              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Investment, Identifier [Axis]: American Achievement Corporation (aka AAC Holding Corp.), First lien 1                  
Spread 5.75% [32],[46],[47] 5.75% [35],[39],[45],[48] 5.75% [32],[46],[47] 5.75% [32],[46],[47]   5.75% [35],[39],[45],[48]      
PIK 0.50% [32],[46],[47] 0.50% [35],[39],[45],[48] 0.50% [32],[46],[47] 0.50% [32],[46],[47]   0.50% [35],[39],[45],[48]      
Interest Rate 10.38% [32],[41],[47] 7.25% [35],[39],[45],[48] 10.38% [32],[41],[47] 10.38% [32],[41],[47]   7.25% [35],[39],[45],[48]      
Principal Amount, Par Value $ 28,829 [32],[34],[47] $ 27,610 [35],[37],[48]              
Cost 28,787 [32],[47] 27,559 [35],[48]              
Fair Value $ 20,599 [32],[47] $ 17,386 [35],[48]              
Investment, Identifier [Axis]: American Achievement Corporation (aka AAC Holding Corp.), First lien 2                  
Spread 13.50% [32],[33],[46] 13.50% [35],[36],[39],[45] 13.50% [32],[33],[46] 13.50% [32],[33],[46]   13.50% [35],[36],[39],[45]      
PIK 0.50% [32],[33],[46] 0.50% [35],[36],[39],[45] 0.50% [32],[33],[46] 0.50% [32],[33],[46]   0.50% [35],[36],[39],[45]      
Interest Rate 18.13% [32],[33],[41] 15.00% [35],[36],[39],[45] 18.13% [32],[33],[41] 18.13% [32],[33],[41]   15.00% [35],[36],[39],[45]      
Principal Amount, Par Value $ 1,527 [32],[33],[34] $ 1,527 [35],[36],[37]              
Cost 1,527 [32],[33] 1,527 [35],[36]              
Fair Value 0 [32],[33] $ 0 [35],[36]              
Investment, Identifier [Axis]: American Achievement Corporation (aka AAC Holding Corp.), First lien, Non-accrual status                  
Principal Amount, Par Value             $ 13,059    
Investment, Identifier [Axis]: American Achievement Corporation (aka AAC Holding Corp.), Non-accrual status                  
Cost 13,042                
Fair Value $ 8,240                
Investment, Identifier [Axis]: American Achievement Corporation (aka AAC Holding Corp.), Subordinated                  
Spread 1.00% [32],[33],[46],[50] 1.00% [35],[36],[39],[45] 1.00% [32],[33],[46],[50] 1.00% [32],[33],[46],[50]   1.00% [35],[36],[39],[45]      
Interest Rate 4.75% [32],[33],[41] 2.00% [35],[36],[39],[45] 4.75% [32],[33],[41] 4.75% [32],[33],[41]   2.00% [35],[36],[39],[45]      
Principal Amount, Par Value $ 5,230 [32],[33],[34] $ 5,230 [35],[36],[37]              
Cost 0 [32],[33] 0 [35],[36]              
Fair Value $ 0 [32],[33] $ 0 [35],[36]              
Investment, Identifier [Axis]: American Achievement Corporation (aka AAC Holding Corp.), Subordinated, Non-accrual status                  
Principal Amount, Par Value               $ 5,230  
Investment, Identifier [Axis]: Anaplan, Inc., First lien                  
Spread [32],[47] 6.50%   6.50% 6.50%          
Interest Rate [32],[41],[47] 10.82%   10.82% 10.82%          
Principal Amount, Par Value [32],[34],[47] $ 33,618                
Cost [32],[47] 33,300                
Fair Value [32],[47] $ 33,282                
Percent of Net Assets 2.51%   2.51% 2.51%          
Investment, Identifier [Axis]: Ancora Acquisition LLC, Preferred shares                  
Principal Amount, Shares (in shares) | shares 372 [32],[34],[51] 372 [37] 372 [32],[34],[51] 372 [32],[34],[51]   372 [37]      
Cost $ 83 [32],[51] $ 83              
Fair Value $ 158 [32],[51] $ 158              
Percent of Net Assets 0.01% 0.01% 0.01% 0.01%   0.01%      
Investment, Identifier [Axis]: Ansira Holdings, Inc, First lien - Undrawn                  
Principal Amount, Par Value [32],[33],[34],[40] $ 1,161                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] $ 0                
Percent of Net Assets 0.00%   0.00% 0.00%          
Investment, Identifier [Axis]: Ansira Holdings, Inc.                  
Cost $ 41,367                
Fair Value $ 18,571                
Investment, Identifier [Axis]: Ansira Holdings, Inc., First lien - Drawn                  
Spread [32],[33],[40],[46] 2.00%   2.00% 2.00%          
PIK [32],[33],[40],[46] 8.00%   8.00% 8.00%          
Interest Rate [32],[33],[40],[41] 14.42%   14.42% 14.42%          
Principal Amount, Par Value [32],[33],[34],[40] $ 313                
Cost [32],[33],[40] 313                
Fair Value [32],[33],[40] $ 313                
Investment, Identifier [Axis]: Ansira Holdings, Inc., First lien 1                  
Spread [35],[38] 6.50% [46],[52] 6.50% [39],[45] 6.50% [46],[52] 6.50% [46],[52]   6.50% [39],[45]      
Interest Rate 10.91% [32],[41],[44] 7.50% [35],[38],[39],[45] 10.91% [32],[41],[44] 10.91% [32],[41],[44]   7.50% [35],[38],[39],[45]      
Principal Amount, Par Value $ 32,953 [32],[34],[44] $ 31,793 [35],[37],[38]              
Cost 33,059 [32],[44] 31,748 [35],[38]              
Fair Value $ 14,829 [32],[44] $ 24,025 [35],[38]              
Investment, Identifier [Axis]: Ansira Holdings, Inc., First lien 2                  
Spread 6.50% [32],[33],[46],[50] 6.50% [35],[36],[39],[45] 6.50% [32],[33],[46],[50] 6.50% [32],[33],[46],[50]   6.50% [35],[36],[39],[45]      
Interest Rate 11.15% [32],[33],[41] 7.50% [35],[36],[39],[45] 11.15% [32],[33],[41] 11.15% [32],[33],[41]   7.50% [35],[36],[39],[45]      
Principal Amount, Par Value $ 8,316 [32],[33],[34] $ 8,033 [35],[36],[37]              
Cost 8,308 [32],[33] 8,024 [35],[36]              
Fair Value $ 3,742 [32],[33] $ 6,071 [35],[36]              
Investment, Identifier [Axis]: Appriss Health Intermediate Holdings, Inc., Preferred shares                  
Principal Amount, Shares (in shares) | shares 2,333 [32],[33],[34] 2,333 [35],[36],[37],[53] 2,333 [32],[33],[34] 2,333 [32],[33],[34]   2,333 [35],[36],[37],[53]      
Cost $ 2,755 [32],[33] $ 2,468 [35],[36],[53]              
Fair Value $ 2,628 [32],[33] $ 2,466 [35],[36],[53]              
Percent of Net Assets 0.20% 0.18% 0.20% 0.20%   0.18%      
Investment, Identifier [Axis]: Appriss Health, LLC, First lien                  
Spread 7.25% [32],[44],[54] 7.25% [35],[38],[39] 7.25% [32],[44],[54] 7.25% [32],[44],[54]   7.25% [35],[38],[39]      
Interest Rate 11.54% [32],[41],[44],[54] 8.25% [35],[38],[39] 11.54% [32],[41],[44],[54] 11.54% [32],[41],[44],[54]   8.25% [35],[38],[39]      
Principal Amount, Par Value $ 6,234 [32],[34],[44],[54] $ 6,250 [35],[37],[38],[53]              
Cost 6,186 [32],[44],[54] 6,192 [35],[38],[53]              
Fair Value $ 6,234 [32],[44],[54] $ 6,187 [35],[38],[53]              
Percent of Net Assets 0.47% 0.46% 0.47% 0.47%   0.46%      
Investment, Identifier [Axis]: Appriss Health, LLC, First lien - Undrawn                  
Principal Amount, Par Value $ 417 [32],[33],[34],[40],[54] $ 417 [35],[36],[37],[43],[53]              
Cost (4) [32],[33],[40],[54] (4) [35],[36],[43],[53]              
Fair Value $ 0 [32],[33],[40],[54] $ (4) [35],[36],[43],[53]              
Percent of Net Assets 0.00% (0.00%) 0.00% 0.00%   (0.00%)      
Investment, Identifier [Axis]: Apptio, Inc., First lien                  
Spread [35],[38],[39]   7.25%       7.25%      
Interest Rate [35],[38],[39]   8.25%       8.25%      
Principal Amount, Par Value [35],[37],[38]   $ 11,203              
Cost [35],[38]   11,075              
Fair Value [35],[38]   $ 11,203              
Investment, Identifier [Axis]: Apptio, Inc., First lien - Drawn                  
Spread 6.00% [32],[33],[40] 7.25% [35],[36],[39],[43] 6.00% [32],[33],[40] 6.00% [32],[33],[40]   7.25% [35],[36],[39],[43]      
Interest Rate 9.94% [32],[33],[40],[41] 8.25% [35],[36],[39],[43] 9.94% [32],[33],[40],[41] 9.94% [32],[33],[40],[41]   8.25% [35],[36],[39],[43]      
Principal Amount, Par Value $ 1,240 [32],[33],[34],[40] $ 827 [35],[36],[37],[43]              
Cost 1,215 [32],[33],[40] 810 [35],[36],[43]              
Fair Value 1,240 [32],[33],[40] 827 [35],[36],[43]              
Investment, Identifier [Axis]: Apptio, Inc., First lien - Undrawn                  
Principal Amount, Par Value 827 [32],[33],[34],[40] 1,240 [35],[36],[37],[43]              
Cost (17) [32],[33],[40] (25) [35],[36],[43]              
Fair Value $ 0 [32],[33],[40] $ 0 [35],[36],[43]              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Investment, Identifier [Axis]: Apptio, Inc., First lien 1                  
Spread [32],[44] 6.00%   6.00% 6.00%          
Interest Rate [32],[41],[44] 9.94%   9.94% 9.94%          
Principal Amount, Par Value [32],[34],[44] $ 5,703                
Cost [32],[44] 5,658                
Fair Value [32],[44] $ 5,703                
Investment, Identifier [Axis]: Apptio, Inc., First lien 2                  
Spread [32],[47] 6.00%   6.00% 6.00%          
Interest Rate [32],[41],[47] 9.94%   9.94% 9.94%          
Principal Amount, Par Value [32],[34],[47] $ 5,500                
Cost [32],[47] 5,456                
Fair Value [32],[47] 5,500                
Investment, Identifier [Axis]: Associations, Inc., First lien 3                  
Spread [35],[38],[39],[45]   4.00%       4.00%      
PIK [35],[38],[39],[45]   2.50%       2.50%      
Interest Rate [35],[38],[39],[45]   7.50%       7.50%      
Principal Amount, Par Value [35],[37],[38]   $ 8,590              
Cost [35],[38]   8,548              
Fair Value [35],[38]   8,547              
Investment, Identifier [Axis]: Associations, Inc., First lien - Undrawn                  
Principal Amount, Par Value 3,543 [32],[33],[34],[40] 3,543 [35],[36],[37],[43]              
Cost (18) [32],[33],[40] (18) [35],[36],[43]              
Fair Value $ 0 [32],[33],[40] $ (18) [35],[36],[43]              
Percent of Net Assets 0.00% (0.00%) 0.00% 0.00%   (0.00%)      
Investment, Identifier [Axis]: Associations, Inc., First lien 1                  
Spread 4.00% [32],[46],[47] 4.00% [35],[39],[45],[48] 4.00% [32],[46],[47] 4.00% [32],[46],[47]   4.00% [35],[39],[45],[48]      
PIK 2.50% [32],[46],[47] 2.50% [35],[39],[45],[48] 2.50% [32],[46],[47] 2.50% [32],[46],[47]   2.50% [35],[39],[45],[48]      
Interest Rate 10.36% [32],[41],[47] 7.50% [35],[39],[45],[48] 10.36% [32],[41],[47] 10.36% [32],[41],[47]   7.50% [35],[39],[45],[48]      
Principal Amount, Par Value $ 35,786 [32],[34],[47] $ 30,196 [35],[37],[48]              
Cost 35,657 [32],[47] 30,056 [35],[48]              
Fair Value $ 35,786 [32],[47] $ 30,045 [35],[48]              
Investment, Identifier [Axis]: Associations, Inc., First lien 2                  
Spread 4.00% [32],[44],[46] 4.00% [35],[36],[39],[45] 4.00% [32],[44],[46] 4.00% [32],[44],[46]   4.00% [35],[36],[39],[45]      
PIK 2.50% [32],[44],[46] 2.50% [35],[36],[39],[45] 2.50% [32],[44],[46] 2.50% [32],[44],[46]   2.50% [35],[36],[39],[45]      
Interest Rate 11.26% [32],[41],[44] 7.50% [35],[36],[39],[45] 11.26% [32],[41],[44] 11.26% [32],[41],[44]   7.50% [35],[36],[39],[45]      
Principal Amount, Par Value $ 8,810 [32],[34],[44] $ 8,590 [35],[36],[37]              
Cost 8,774 [32],[44] 8,547 [35],[36]              
Fair Value $ 8,810 [32],[44] $ 8,547 [35],[36]              
Investment, Identifier [Axis]: Associations, Inc., First lien 3                  
Spread [32],[46],[47] 4.00%   4.00% 4.00%          
PIK [32],[46],[47] 2.50%   2.50% 2.50%          
Interest Rate [32],[41],[47] 11.29%   11.29% 11.29%          
Principal Amount, Par Value [32],[34],[47] $ 8,810                
Cost [32],[47] 8,773                
Fair Value [32],[47] $ 8,810                
Investment, Identifier [Axis]: Associations, Inc., First lien 4                  
Spread 4.00% [32],[44],[46] 4.00% [35],[38],[39],[45] 4.00% [32],[44],[46] 4.00% [32],[44],[46]   4.00% [35],[38],[39],[45]      
PIK 2.50% [32],[44],[46] 2.50% [35],[38],[39],[45] 2.50% [32],[44],[46] 2.50% [32],[44],[46]   2.50% [35],[38],[39],[45]      
Interest Rate 10.97% [32],[41],[44] 7.50% [35],[38],[39],[45] 10.97% [32],[41],[44] 10.97% [32],[41],[44]   7.50% [35],[38],[39],[45]      
Principal Amount, Par Value $ 5,321 [32],[34],[44] $ 5,188 [35],[37],[38]              
Cost 5,300 [32],[44] 5,163 [35],[38]              
Fair Value $ 5,321 [32],[44] $ 5,162 [35],[38]              
Investment, Identifier [Axis]: Associations, Inc., First lien 5                  
Spread 4.00% [32],[44],[46] 4.00% [35],[38],[39],[45] 4.00% [32],[44],[46] 4.00% [32],[44],[46]   4.00% [35],[38],[39],[45]      
PIK 2.50% [32],[44],[46] 2.50% [35],[38],[39],[45] 2.50% [32],[44],[46] 2.50% [32],[44],[46]   2.50% [35],[38],[39],[45]      
Interest Rate 10.36% [32],[41],[44] 7.50% [35],[38],[39],[45] 10.36% [32],[41],[44] 10.36% [32],[41],[44]   7.50% [35],[38],[39],[45]      
Principal Amount, Par Value $ 4,233 [32],[34],[44] $ 4,127 [35],[37],[38]              
Cost 4,217 [32],[44] 4,107 [35],[38]              
Fair Value $ 4,233 [32],[44] $ 4,106 [35],[38]              
Investment, Identifier [Axis]: Aston FinCo S.a r.l. / Aston US Finco, LLC, Second lien                  
Spread 8.25% [32],[44] 8.25% [35],[38],[39] 8.25% [32],[44] 8.25% [32],[44]   8.25% [35],[38],[39]      
Interest Rate 12.63% [32],[41],[44] 8.35% [35],[38],[39] 12.63% [32],[41],[44] 12.63% [32],[41],[44]   8.35% [35],[38],[39]      
Principal Amount, Par Value $ 34,459 [32],[34],[44] $ 34,459 [35],[37],[38]              
Cost 34,271 [32],[44] 34,241 [35],[38]              
Fair Value $ 34,356 [22],[32],[44] $ 34,459 [7],[35],[38]              
Percent of Net Assets 2.59% 2.57% 2.59% 2.59%   2.57%      
Investment, Identifier [Axis]: Atlas AU Bidco Pty Ltd, First lien                  
Spread [47] 7.25%   7.25% 7.25%          
Interest Rate [41],[47] 11.48%   11.48% 11.48%          
Principal Amount, Par Value [34],[47] $ 3,454                
Cost [47] 3,402                
Fair Value [47] $ 3,402                
Percent of Net Assets 0.26%   0.26% 0.26%          
Investment, Identifier [Axis]: Atlas AU Bidco Pty Ltd, First lien - Undrawn                  
Principal Amount, Par Value [33],[34],[40] $ 320                
Cost [33],[40] (5)                
Fair Value [22],[33],[40] $ (5)                
Percent of Net Assets 0.00%   0.00% 0.00%          
Investment, Identifier [Axis]: Auctane Inc. (fka Stamps.com Inc.), First lien 1                  
Spread [32],[44] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[44] 10.13%   10.13% 10.13%          
Principal Amount, Par Value [32],[34],[44] $ 22,069                
Cost [32],[44] 21,880                
Fair Value [32],[44] $ 21,694                
Investment, Identifier [Axis]: Auctane Inc. (fka Stamps.com Inc.), First lien 2                  
Spread [32],[47] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[47] 10.13%   10.13% 10.13%          
Principal Amount, Par Value [32],[34],[47] $ 14,925                
Cost [32],[47] 14,797                
Fair Value [32],[47] 14,671                
Investment, Identifier [Axis]: Avalara, Inc., First lien - Undrawn                  
Principal Amount, Par Value [32],[33],[34],[40] 3,538                
Cost [32],[33],[40] (44)                
Fair Value [32],[33],[40] $ (30)                
Percent of Net Assets (0.00%)   (0.00%) (0.00%)          
Investment, Identifier [Axis]: Avalara, Inc., First lien 1                  
Spread [32],[44] 7.25%   7.25% 7.25%          
Interest Rate [32],[41],[44] 11.83%   11.83% 11.83%          
Principal Amount, Par Value [32],[34],[44] $ 22,500                
Cost [32],[44] 22,226                
Fair Value [32],[44] $ 22,307                
Investment, Identifier [Axis]: Avalara, Inc., First lien 2                  
Spread [32],[47] 7.25%   7.25% 7.25%          
Interest Rate [32],[41],[47] 11.83%   11.83% 11.83%          
Principal Amount, Par Value [32],[34],[47] $ 12,880                
Cost [32],[47] 12,723                
Fair Value [32],[47] $ 12,769                
Investment, Identifier [Axis]: Bach Special Limited (Bach Preference Limited), Preferred shares                  
Principal Amount, Shares (in shares) | shares 108,620 [32],[33],[34],[55] 96,052 [35],[36],[37],[56] 108,620 [32],[33],[34],[55] 108,620 [32],[33],[34],[55]   96,052 [35],[36],[37],[56]      
Cost $ 10,782 [32],[33],[55] $ 9,525 [35],[36],[56]              
Fair Value $ 10,748 [22],[32],[33],[55] $ 9,701 [7],[35],[36],[56]              
Percent of Net Assets 0.81% 0.72% 0.81% 0.81%   0.72%      
Investment, Identifier [Axis]: Bluefin Holding, LLC, First lien - Drawn                  
Spread 5.75% [32],[33],[40] 4.25% [35],[36],[39],[43] 5.75% [32],[33],[40] 5.75% [32],[33],[40]   4.25% [35],[36],[39],[43]      
Interest Rate 9.93% [32],[33],[40],[41] 4.41% [35],[36],[39],[43] 9.93% [32],[33],[40],[41] 9.93% [32],[33],[40],[41]   4.41% [35],[36],[39],[43]      
Principal Amount, Par Value $ 1,212 [32],[33],[34],[40] $ 1,485 [35],[36],[37],[43]              
Cost 1,194 [32],[33],[40] 1,463 [35],[36],[43]              
Fair Value 1,177 [32],[33],[40] 1,485 [35],[36],[43]              
Investment, Identifier [Axis]: Bluefin Holding, LLC, First lien - Undrawn                  
Principal Amount, Par Value 303 [32],[33],[34],[40] 30 [35],[36],[37],[43]              
Cost (5) [32],[33],[40] 0 [35],[36],[43]              
Fair Value $ (9) [32],[33],[40] $ 0 [35],[36],[43]              
Percent of Net Assets (0.00%) 0.00% (0.00%) (0.00%)   0.00%      
Investment, Identifier [Axis]: Bluefin Holding, LLC, Second lien                  
Spread 7.75% [32],[44] 7.75% [35],[38],[39] 7.75% [32],[44] 7.75% [32],[44]   7.75% [35],[38],[39]      
Interest Rate 12.48% [32],[41],[44] 7.93% [35],[38],[39] 12.48% [32],[41],[44] 12.48% [32],[41],[44]   7.93% [35],[38],[39]      
Principal Amount, Par Value $ 18,000 [32],[34],[44] $ 18,000 [35],[37],[38]              
Cost 18,000 [32],[44] 18,000 [35],[38]              
Fair Value $ 17,338 [32],[44] $ 18,000 [35],[38]              
Investment, Identifier [Axis]: Brave Parent Holdings, Inc., Second lien 1                  
Spread 7.50% [32],[57] 7.50% [39],[58] 7.50% [32],[57] 7.50% [32],[57]   7.50% [39],[58]      
Interest Rate 11.88% [32],[41],[57] 7.60% [39],[58] 11.88% [32],[41],[57] 11.88% [32],[41],[57]   7.60% [39],[58]      
Principal Amount, Par Value $ 22,500 [32],[34],[57] $ 22,500 [37],[58]              
Cost 22,443 [32],[57] 22,430 [58]              
Fair Value $ 21,798 [32],[57] $ 22,613 [58]              
Investment, Identifier [Axis]: Brave Parent Holdings, Inc., Second lien 2                  
Spread 7.50% [32],[47] 7.50% [39],[48] 7.50% [32],[47] 7.50% [32],[47]   7.50% [39],[48]      
Interest Rate 11.88% [32],[41],[47] 7.60% [39],[48] 11.88% [32],[41],[47] 11.88% [32],[41],[47]   7.60% [39],[48]      
Principal Amount, Par Value $ 16,624 [32],[34],[47] $ 16,624 [37],[48]              
Cost 16,540 [32],[47] 16,518 [48]              
Fair Value $ 16,104 [32],[47] $ 16,707 [48]              
Investment, Identifier [Axis]: Brave Parent Holdings, Inc., Second lien 3                  
Spread 7.50% [32],[44] 7.50% [38],[39] 7.50% [32],[44] 7.50% [32],[44]   7.50% [38],[39]      
Interest Rate 11.88% [32],[41],[44] 7.60% [38],[39] 11.88% [32],[41],[44] 11.88% [32],[41],[44]   7.60% [38],[39]      
Principal Amount, Par Value $ 6,000 [32],[34],[44] $ 6,000 [37],[38]              
Cost 5,970 [32],[44] 5,962 [38]              
Fair Value $ 5,813 [32],[44] 6,030 [38]              
Investment, Identifier [Axis]: Bullhorn, Inc., First lien - Drawn                  
Spread [32],[33],[40] 5.75%   5.75% 5.75%          
Interest Rate [32],[33],[40],[41] 10.48%   10.48% 10.48%          
Principal Amount, Par Value [32],[33],[34],[40] $ 392                
Cost [32],[33],[40] 389                
Fair Value [32],[33],[40] 392                
Investment, Identifier [Axis]: Bullhorn, Inc., First lien - Undrawn                  
Principal Amount, Par Value [32],[33],[34],[40] 460                
Cost [32],[33],[40] (3)                
Fair Value [32],[33],[40] $ 0                
Percent of Net Assets 0.00%   0.00% 0.00%          
Investment, Identifier [Axis]: Bullhorn, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value [35],[36],[37],[43]   2,395              
Cost [35],[36],[43]   (6)              
Fair Value [35],[36],[43]   0              
Investment, Identifier [Axis]: Bullhorn, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value [35],[36],[37],[43]   852              
Cost [35],[36],[43]   (6)              
Fair Value [35],[36],[43]   $ 0              
Investment, Identifier [Axis]: Bullhorn, Inc., First lien 1                  
Spread 5.75% [32],[47] 5.75% [35],[39],[48] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[39],[48]      
Interest Rate 10.48% [32],[41],[47] 6.75% [35],[39],[48] 10.48% [32],[41],[47] 10.48% [32],[41],[47]   6.75% [35],[39],[48]      
Principal Amount, Par Value $ 16,659 [32],[34],[47] $ 16,830 [35],[37],[48]              
Cost 16,586 [32],[47] 16,741 [35],[48]              
Fair Value $ 16,659 [32],[47] $ 16,830 [35],[48]              
Investment, Identifier [Axis]: Bullhorn, Inc., First lien 2                  
Spread 5.75% [32],[47] 5.75% [35],[39],[48] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[39],[48]      
Interest Rate 10.48% [32],[41],[47] 6.75% [35],[39],[48] 10.48% [32],[41],[47] 10.48% [32],[41],[47]   6.75% [35],[39],[48]      
Principal Amount, Par Value $ 3,442 [32],[34],[47] $ 1,075 [35],[37],[48]              
Cost 3,435 [32],[47] 1,072 [35],[48]              
Fair Value $ 3,442 [32],[47] $ 1,075 [35],[48]              
Investment, Identifier [Axis]: Bullhorn, Inc., First lien 3                  
Spread 5.75% [32],[47] 5.75% [35],[36],[39] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[36],[39]      
Interest Rate 10.48% [32],[41],[47] 6.75% [35],[36],[39] 10.48% [32],[41],[47] 10.48% [32],[41],[47]   6.75% [35],[36],[39]      
Principal Amount, Par Value $ 771 [32],[34],[47] $ 779 [35],[36],[37]              
Cost 766 [32],[47] 773 [35],[36]              
Fair Value $ 771 [32],[47] $ 779 [35],[36]              
Investment, Identifier [Axis]: Bullhorn, Inc., First lien 4                  
Spread 5.75% [32],[47] 5.75% [35],[36],[39] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[36],[39]      
Interest Rate 10.48% [32],[41],[47] 6.75% [35],[36],[39] 10.48% [32],[41],[47] 10.48% [32],[41],[47]   6.75% [35],[36],[39]      
Principal Amount, Par Value $ 345 [32],[34],[47] $ 349 [35],[36],[37]              
Cost 344 [32],[47] 347 [35],[36]              
Fair Value $ 345 [32],[47] $ 349 [35],[36]              
Investment, Identifier [Axis]: Bullhorn, Inc., First lien 5                  
Spread 5.75% [32],[47] 5.75% [35],[36],[39] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[36],[39]      
Interest Rate 10.48% [32],[41],[47] 6.75% [35],[36],[39] 10.48% [32],[41],[47] 10.48% [32],[41],[47]   6.75% [35],[36],[39]      
Principal Amount, Par Value $ 275 [32],[34],[47] $ 278 [35],[36],[37]              
Cost 274 [32],[47] 277 [35],[36]              
Fair Value $ 275 [32],[47] $ 278 [35],[36]              
Investment, Identifier [Axis]: CFS Management, LLC, First lien 1                  
Spread 6.25% [32],[46],[47] 5.50% [35],[39],[48] 6.25% [32],[46],[47] 6.25% [32],[46],[47]   5.50% [35],[39],[48]      
PIK [32],[46],[47] 0.75%   0.75% 0.75%          
Interest Rate 11.84% [32],[41],[47] 6.50% [35],[39],[48] 11.84% [32],[41],[47] 11.84% [32],[41],[47]   6.50% [35],[39],[48]      
Principal Amount, Par Value $ 11,392 [32],[34],[47] $ 11,497 [35],[37],[48]              
Cost 11,372 [32],[47] 11,466 [35],[48]              
Fair Value $ 10,637 [32],[47] $ 11,497 [35],[48]              
Investment, Identifier [Axis]: CFS Management, LLC, First lien 2                  
Spread 6.25% [32],[46],[47] 5.50% [35],[36],[39] 6.25% [32],[46],[47] 6.25% [32],[46],[47]   5.50% [35],[36],[39]      
PIK [32],[46],[47] 0.75%   0.75% 0.75%          
Interest Rate 11.84% [32],[41],[47] 6.50% [35],[36],[39] 11.84% [32],[41],[47] 11.84% [32],[41],[47]   6.50% [35],[36],[39]      
Principal Amount, Par Value $ 3,393 [32],[34],[47] $ 3,425 [35],[36],[37]              
Cost 3,386 [32],[47] 3,413 [35],[36]              
Fair Value $ 3,168 [32],[47] $ 3,425 [35],[36]              
Investment, Identifier [Axis]: CG Group Holdings, LLC, First lien                  
Spread 5.25% [32],[46],[47] 5.25% [35],[39],[48] 5.25% [32],[46],[47] 5.25% [32],[46],[47]   5.25% [35],[39],[48]      
PIK [32],[46],[47] 2.00%   2.00% 2.00%          
Interest Rate 11.98% [32],[41],[47] 6.25% [35],[39],[48] 11.98% [32],[41],[47] 11.98% [32],[41],[47]   6.25% [35],[39],[48]      
Principal Amount, Par Value $ 8,317 [32],[34],[47] $ 8,302 [35],[37],[48]              
Cost 8,244 [32],[47] 8,214 [35],[48]              
Fair Value $ 7,411 [32],[47] $ 8,209 [35],[48]              
Investment, Identifier [Axis]: CG Group Holdings, LLC, First lien - Drawn                  
Spread 5.25% [32],[33],[40],[46] 5.25% [35],[36],[39],[43] 5.25% [32],[33],[40],[46] 5.25% [32],[33],[40],[46]   5.25% [35],[36],[39],[43]      
PIK [32],[33],[40],[46] 2.00%   2.00% 2.00%          
Interest Rate 11.63% [32],[33],[40],[41] 6.25% [35],[36],[39],[43] 11.63% [32],[33],[40],[41] 11.63% [32],[33],[40],[41]   6.25% [35],[36],[39],[43]      
Principal Amount, Par Value $ 916 [32],[33],[34],[40] $ 906 [35],[36],[37],[43]              
Cost 906 [32],[33],[40] 895 [35],[36],[43]              
Fair Value 817 [32],[33],[40] 896 [35],[36],[43]              
Investment, Identifier [Axis]: CG Group Holdings, LLC, First lien - Undrawn                  
Principal Amount, Par Value 226 [32],[33],[34],[40] 226 [35],[36],[37],[43]              
Cost (3) [32],[33],[40] (3) [35],[36],[43]              
Fair Value $ (25) [32],[33],[40] $ (3) [35],[36],[43]              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
Investment, Identifier [Axis]: CHA Holdings, Inc., Second lien 1                  
Spread 8.75% [32],[42] 8.75% [35],[39],[49] 8.75% [32],[42] 8.75% [32],[42]   8.75% [35],[39],[49]      
Interest Rate 13.48% [32],[41],[42] 9.75% [35],[39],[49] 13.48% [32],[41],[42] 13.48% [32],[41],[42]   9.75% [35],[39],[49]      
Principal Amount, Par Value $ 7,012 [32],[34],[42] $ 7,012 [35],[37],[49]              
Cost 6,976 [32],[42] 6,967 [35],[49]              
Fair Value $ 6,923 [32],[42] $ 7,012 [35],[49]              
Investment, Identifier [Axis]: CHA Holdings, Inc., Second lien 2                  
Spread 8.75% [32],[33] 8.75% [35],[36],[39] 8.75% [32],[33] 8.75% [32],[33]   8.75% [35],[36],[39]      
Interest Rate 13.48% [32],[33],[41] 9.75% [35],[36],[39] 13.48% [32],[33],[41] 13.48% [32],[33],[41]   9.75% [35],[36],[39]      
Principal Amount, Par Value $ 4,453 [32],[33],[34] $ 4,453 [35],[36],[37]              
Cost 4,430 [32],[33] 4,424 [35],[36]              
Fair Value $ 4,396 [32],[33] $ 4,453 [35],[36]              
Investment, Identifier [Axis]: CRCI Longhorn Holdings, Inc., Second lien 1                  
Spread 7.25% [32],[33] 7.25% [35],[36],[39] 7.25% [32],[33] 7.25% [32],[33]   7.25% [35],[36],[39]      
Interest Rate 11.63% [32],[33],[41] 7.35% [35],[36],[39] 11.63% [32],[33],[41] 11.63% [32],[33],[41]   7.35% [35],[36],[39]      
Principal Amount, Par Value $ 18,266 [32],[33],[34] $ 18,266 [35],[36],[37]              
Cost 18,229 [32],[33] 18,221 [35],[36]              
Fair Value $ 17,409 [32],[33] $ 18,266 [35],[36]              
Investment, Identifier [Axis]: CRCI Longhorn Holdings, Inc., Second lien 2                  
Spread 7.25% [32],[44] 7.25% [35],[38],[39] 7.25% [32],[44] 7.25% [32],[44]   7.25% [35],[38],[39]      
Interest Rate 11.63% [32],[41],[44] 7.35% [35],[38],[39] 11.63% [32],[41],[44] 11.63% [32],[41],[44]   7.35% [35],[38],[39]      
Principal Amount, Par Value $ 7,500 [32],[34],[44] $ 7,500 [35],[37],[38]              
Cost 7,485 [32],[44] 7,481 [35],[38]              
Fair Value $ 7,148 [32],[44] $ 7,500 [35],[38]              
Investment, Identifier [Axis]: Calabrio, Inc., First lien                  
Spread 7.00% [32],[57] 7.00% [35],[39],[58] 7.00% [32],[57] 7.00% [32],[57]   7.00% [35],[39],[58]      
Interest Rate 11.73% [32],[41],[57] 8.00% [35],[39],[58] 11.73% [32],[41],[57] 11.73% [32],[41],[57]   8.00% [35],[39],[58]      
Principal Amount, Par Value $ 12,347 [32],[34],[57] $ 12,347 [35],[37],[58]              
Cost 12,277 [32],[57] 12,263 [35],[58]              
Fair Value $ 12,347 [32],[57] $ 12,271 [35],[58]              
Percent of Net Assets   0.91%       0.91%      
Investment, Identifier [Axis]: Calabrio, Inc., First lien - Drawn                  
Spread [32],[33],[40] 7.00%   7.00% 7.00%          
Interest Rate [32],[33],[40],[41] 11.75%   11.75% 11.75%          
Principal Amount, Par Value [32],[33],[34],[40] $ 850                
Cost [32],[33],[40] 843                
Fair Value [32],[33],[40] 850                
Investment, Identifier [Axis]: Calabrio, Inc., First lien - Undrawn                  
Principal Amount, Par Value 637 [32],[33],[34],[40] $ 1,487 [35],[36],[37],[43]              
Cost (5) [32],[33],[40] (11) [35],[36],[43]              
Fair Value $ 0 [32],[33],[40] $ (9) [35],[36],[43]              
Percent of Net Assets 0.00% (0.00%) 0.00% 0.00%   (0.00%)      
Investment, Identifier [Axis]: Cardinal Parent, Inc., First lien                  
Spread 4.50% [32],[42] 4.50% [39],[49] 4.50% [32],[42] 4.50% [32],[42]   4.50% [39],[49]      
Interest Rate 9.23% [32],[41],[42] 5.25% [39],[49] 9.23% [32],[41],[42] 9.23% [32],[41],[42]   5.25% [39],[49]      
Principal Amount, Par Value $ 11,974 [32],[34],[42] $ 12,096 [37],[49]              
Cost 11,908 [32],[42] 12,017 [49]              
Fair Value $ 11,490 [32],[42] $ 12,083 [49]              
Investment, Identifier [Axis]: Cardinal Parent, Inc., Second lien                  
Spread 7.75% [32],[42] 7.75% [35],[39],[49] 7.75% [32],[42] 7.75% [32],[42]   7.75% [35],[39],[49]      
Interest Rate 12.46% [32],[41],[42] 8.50% [35],[39],[49] 12.46% [32],[41],[42] 12.46% [32],[41],[42]   8.50% [35],[39],[49]      
Principal Amount, Par Value $ 9,767 [32],[34],[42] $ 9,767 [35],[37],[49]              
Cost 9,689 [32],[42] 9,679 [35],[49]              
Fair Value $ 9,432 [32],[42] $ 9,864 [35],[49]              
Investment, Identifier [Axis]: Castle Management Borrower LLC, First lien                  
Spread 2.19% [32],[44] 2.19% [35],[39],[48] 2.19% [32],[44] 2.19% [32],[44]   2.19% [35],[39],[48]      
Interest Rate 3.19% [32],[41],[44] 3.19% [35],[39],[48] 3.19% [32],[41],[44] 3.19% [32],[41],[44]   3.19% [35],[39],[48]      
Principal Amount, Par Value $ 14,288 [32],[34],[44] $ 14,590 [35],[37],[48]              
Cost 14,269 [32],[44] 14,561 [35],[48]              
Fair Value $ 13,605 [32],[44] $ 12,794 [35],[48]              
Percent of Net Assets 1.03% 0.95% 1.03% 1.03%   0.95%      
Investment, Identifier [Axis]: CentralSquare Technologies, LLC, Second lien 1                  
Spread 7.50% [33] 7.50% [36],[39] 7.50% [33] 7.50% [33]   7.50% [36],[39]      
Interest Rate 12.23% [33],[41] 7.72% [36],[39] 12.23% [33],[41] 12.23% [33],[41]   7.72% [36],[39]      
Principal Amount, Par Value $ 47,838 [33],[34] $ 47,838 [36],[37]              
Cost 47,505 [33] 47,431 [36]              
Fair Value $ 40,941 [33] $ 43,293 [36]              
Investment, Identifier [Axis]: CentralSquare Technologies, LLC, Second lien 2                  
Spread 7.50% [44] 7.50% [38],[39] 7.50% [44] 7.50% [44]   7.50% [38],[39]      
Interest Rate 12.23% [41],[44] 7.72% [38],[39] 12.23% [41],[44] 12.23% [41],[44]   7.72% [38],[39]      
Principal Amount, Par Value $ 7,500 [34],[44] $ 7,500 [37],[38]              
Cost 7,448 [44] 7,436 [38]              
Fair Value $ 6,419 [44] $ 6,788 [38]              
Investment, Identifier [Axis]: Community Brands ParentCo, LLC (f.k.a Ministry Brands, LLC), First lien                  
Spread [35],[39],[48]   4.00%       4.00%      
Interest Rate [35],[39],[48]   5.00%       5.00%      
Principal Amount, Par Value [35],[37],[48]   $ 2,872              
Cost [35],[48]   2,869              
Fair Value [35],[48]   2,872              
Investment, Identifier [Axis]: Community Brands ParentCo, LLC (f.k.a Ministry Brands, LLC), First lien - Undrawn                  
Principal Amount, Par Value [35],[36],[37],[43]   1,000              
Cost [35],[36],[43]   (5)              
Fair Value [35],[36],[43]   $ 0              
Percent of Net Assets   0.00%       0.00%      
Investment, Identifier [Axis]: Community Brands ParentCo, LLC (f.k.a Ministry Brands, LLC), Second lien 1                  
Spread [35],[38],[39]   9.25%       9.25%      
Interest Rate [35],[38],[39]   10.25%       10.25%      
Principal Amount, Par Value [35],[37],[38]   $ 7,840              
Cost [35],[38]   7,824              
Fair Value [35],[38]   $ 7,840              
Investment, Identifier [Axis]: Community Brands ParentCo, LLC (f.k.a Ministry Brands, LLC), Second lien 2                  
Spread [35],[36],[39]   9.25%       9.25%      
Interest Rate [35],[36],[39]   10.25%       10.25%      
Principal Amount, Par Value [35],[36],[37]   $ 2,160              
Cost [35],[36]   2,155              
Fair Value [35],[36]   $ 2,160              
Investment, Identifier [Axis]: Community Brands ParentCo, LLC, First lien                  
Spread [32],[47] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[47] 10.17%   10.17% 10.17%          
Principal Amount, Par Value [32],[34],[47] $ 7,163                
Cost [32],[47] 7,100                
Fair Value [32],[47] $ 6,928                
Percent of Net Assets 0.52%   0.52% 0.52%          
Investment, Identifier [Axis]: Community Brands ParentCo, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [32],[33],[34],[40] $ 425                
Cost [32],[33],[40] (4)                
Fair Value [32],[33],[40] (14)                
Investment, Identifier [Axis]: Community Brands ParentCo, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value [32],[33],[34],[40] 849                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] $ (28)                
Investment, Identifier [Axis]: Convey Health Solutions, Inc., First lien                  
Spread [35],[39],[49]   4.75%       4.75%      
Interest Rate [35],[39],[49]   5.50%       5.50%      
Principal Amount, Par Value [35],[37],[49]   $ 19,263              
Cost [35],[49]   19,108              
Fair Value [7],[35],[49]   $ 19,263              
Percent of Net Assets   1.43%       1.43%      
Investment, Identifier [Axis]: Convey Health Solutions, Inc., First lien 1                  
Spread [32],[42] 5.25%   5.25% 5.25%          
Interest Rate [32],[41],[42] 9.93%   9.93% 9.93%          
Principal Amount, Par Value [32],[34],[42] $ 19,215                
Cost [32],[42] 19,091                
Fair Value [32],[42] $ 18,639                
Investment, Identifier [Axis]: Convey Health Solutions, Inc., First lien 2                  
Spread [32],[42] 5.25%   5.25% 5.25%          
Interest Rate [32],[41],[42] 9.93%   9.93% 9.93%          
Principal Amount, Par Value [32],[34],[42] $ 3,208                
Cost [32],[42] 3,169                
Fair Value [32],[42] 3,112                
Investment, Identifier [Axis]: Coyote Buyer, LLC, First lien - Undrawn                  
Principal Amount, Par Value 1,013 [32],[33],[34],[40] $ 1,013 [35],[36],[37],[43]              
Cost (5) [32],[33],[40] (5) [35],[36],[43]              
Fair Value $ 0 [32],[33],[40] $ 0 [35],[36],[43]              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Investment, Identifier [Axis]: Coyote Buyer, LLC, First lien 1                  
Spread 6.00% [32],[57] 6.00% [35],[39],[58] 6.00% [32],[57] 6.00% [32],[57]   6.00% [35],[39],[58]      
Interest Rate 10.41% [32],[41],[57] 7.00% [35],[39],[58] 10.41% [32],[41],[57] 10.41% [32],[41],[57]   7.00% [35],[39],[58]      
Principal Amount, Par Value $ 13,795 [32],[34],[57] $ 13,937 [35],[37],[58]              
Cost 13,755 [32],[57] 13,885 [35],[58]              
Fair Value $ 13,795 [32],[57] $ 13,937 [35],[58]              
Investment, Identifier [Axis]: Coyote Buyer, LLC, First lien 2                  
Spread 8.00% [32],[57] 8.00% [35],[39],[58] 8.00% [32],[57] 8.00% [32],[57]   8.00% [35],[39],[58]      
Interest Rate 12.73% [32],[41],[57] 9.00% [35],[39],[58] 12.73% [32],[41],[57] 12.73% [32],[41],[57]   9.00% [35],[39],[58]      
Principal Amount, Par Value $ 2,482 [32],[34],[57] $ 2,507 [35],[37],[58]              
Cost 2,466 [32],[57] 2,488 [35],[58]              
Fair Value $ 2,482 [32],[57] $ 2,507 [35],[58]              
Investment, Identifier [Axis]: DCA Investment Holding, LLC, First lien                  
Spread [39],[48]   6.25%       6.25%      
Interest Rate [39],[48]   7.00%       7.00%      
Principal Amount, Par Value [37],[48]   $ 19,878              
Cost [48]   19,746              
Fair Value [48]   $ 19,803              
Investment, Identifier [Axis]: DCA Investment Holding, LLC, First lien - Drawn                  
Spread 6.41% [32],[33],[40] 6.25% [39] 6.41% [32],[33],[40] 6.41% [32],[33],[40]   6.25% [39]      
Interest Rate 10.39% [32],[33],[40],[41] 7.00% [39] 10.39% [32],[33],[40],[41] 10.39% [32],[33],[40],[41]   7.00% [39]      
Principal Amount, Par Value $ 2,836 [32],[33],[34],[40] $ 1,919 [37]              
Cost 2,823 [32],[33],[40] 1,905              
Fair Value 2,781 [32],[33],[40] 1,912              
Investment, Identifier [Axis]: DCA Investment Holding, LLC, First lien - Undrawn                  
Principal Amount, Par Value [36],[37],[43]   3,005              
Cost [36],[43]   0              
Fair Value [36],[43]   $ (11)              
Percent of Net Assets   (0.00%)       (0.00%)      
Investment, Identifier [Axis]: DCA Investment Holding, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [32],[33],[34],[40] 450                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] (9)                
Investment, Identifier [Axis]: DCA Investment Holding, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value [32],[33],[34],[40] 3,936                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] $ (59)                
Investment, Identifier [Axis]: DCA Investment Holding, LLC, First lien 1                  
Spread [32],[47] 6.41%   6.41% 6.41%          
Interest Rate [32],[41],[47] 10.39%   10.39% 10.39%          
Principal Amount, Par Value [32],[34],[47] $ 19,660                
Cost [32],[47] 19,546                
Fair Value [32],[47] $ 19,278                
Investment, Identifier [Axis]: DCA Investment Holding, LLC, First lien 2                  
Spread [32],[47] 6.41%   6.41% 6.41%          
Interest Rate [32],[41],[47] 10.39%   10.39% 10.39%          
Principal Amount, Par Value [32],[34],[47] $ 7,046                
Cost [32],[47] 7,014                
Fair Value [32],[47] $ 6,909                
Investment, Identifier [Axis]: DCA Investment Holding, LLC, First lien 3                  
Spread [32],[33] 6.41%   6.41% 6.41%          
Interest Rate [32],[33],[41] 10.39%   10.39% 10.39%          
Principal Amount, Par Value [32],[33],[34] $ 3,273                
Cost [32],[33] 3,252                
Fair Value [32],[33] $ 3,209                
Investment, Identifier [Axis]: DG Investment Intermediate Holdings 2, Inc., Second lien                  
Spread 6.75% [33] 6.75% [36],[39] 6.75% [33] 6.75% [33]   6.75% [36],[39]      
Interest Rate 11.07% [33],[41] 7.50% [36],[39] 11.07% [33],[41] 11.07% [33],[41]   7.50% [36],[39]      
Principal Amount, Par Value $ 20,313 [33],[34] $ 20,313 [36],[37]              
Cost 20,270 [33] 20,265 [36]              
Fair Value $ 18,053 [33] $ 20,465 [36]              
Percent of Net Assets 1.36% 1.52% 1.36% 1.36%   1.52%      
Investment, Identifier [Axis]: DOCS, MSO, LLC, First lien - Undrawn                  
Principal Amount, Par Value [32],[34],[40],[42] $ 2,457                
Cost [32],[40],[42] 0                
Fair Value [32],[40],[42] (67)                
Investment, Identifier [Axis]: DOCS, MSO, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [32],[33],[34],[40] 2,405                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] (66)                
Investment, Identifier [Axis]: DOCS, MSO, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value [32],[33],[34],[40] 6,561                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] $ (180)                
Investment, Identifier [Axis]: DOCS, MSO, LLC, First lien 1                  
Spread [32],[44] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[44] 10.54%   10.54% 10.54%          
Principal Amount, Par Value [32],[34],[44] $ 18,760                
Cost [32],[44] 18,760                
Fair Value [32],[44] $ 18,246                
Investment, Identifier [Axis]: DOCS, MSO, LLC, First lien 2                  
Spread [32],[42] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[42] 10.54%   10.54% 10.54%          
Principal Amount, Par Value [32],[34],[42] $ 7,025                
Cost [32],[42] 7,025                
Fair Value [32],[42] $ 6,833                
Investment, Identifier [Axis]: DS Admiral Bidco, LLC, First lien                  
Spread [47] 7.00%   7.00% 7.00%          
Interest Rate [41],[47] 11.51%   11.51% 11.51%          
Principal Amount, Par Value [34],[47] $ 7,547                
Cost [47] 7,434                
Fair Value [47] $ 7,434                
Percent of Net Assets 0.56%   0.56% 0.56%          
Investment, Identifier [Axis]: Daxko Acquisition Corporation, First lien                  
Spread [35],[38],[39]   5.50%       5.50%      
Interest Rate [35],[38],[39]   6.25%       6.25%      
Principal Amount, Par Value [35],[37],[38]   $ 13,277              
Cost [35],[38]   13,147              
Fair Value [35],[38]   $ 13,144              
Percent of Net Assets   0.98%       0.98%      
Investment, Identifier [Axis]: Daxko Acquisition Corporation, First lien - Drawn                  
Spread [32],[33],[40] 4.50%   4.50% 4.50%          
Interest Rate [32],[33],[40],[41] 12.00%   12.00% 12.00%          
Principal Amount, Par Value [32],[33],[34],[40] $ 33                
Cost [32],[33],[40] 33                
Fair Value [32],[33],[40] 32                
Investment, Identifier [Axis]: Daxko Acquisition Corporation, First lien - Undrawn 1                  
Principal Amount, Par Value 524 [32],[33],[34],[40] $ 986 [35],[36],[37],[43]              
Cost 0 [32],[33],[40] (10) [35],[36],[43]              
Fair Value (15) [32],[33],[40] (10) [35],[36],[43]              
Investment, Identifier [Axis]: Daxko Acquisition Corporation, First lien - Undrawn 2                  
Principal Amount, Par Value 953 [32],[33],[34],[40] 1,638 [35],[36],[37],[43]              
Cost (10) [32],[33],[40] 0 [35],[36],[43]              
Fair Value $ (27) [32],[33],[40] $ (16) [35],[36],[43]              
Investment, Identifier [Axis]: Daxko Acquisition Corporation, First lien 1                  
Spread [32],[44] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[44] 9.88%   9.88% 9.88%          
Principal Amount, Par Value [32],[34],[44] $ 13,144                
Cost [32],[44] 13,031                
Fair Value [32],[44] $ 12,776                
Investment, Identifier [Axis]: Daxko Acquisition Corporation, First lien 2                  
Spread [32],[47] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[47] 9.88%   9.88% 9.88%          
Principal Amount, Par Value [32],[34],[47] $ 1,107                
Cost [32],[47] 1,097                
Fair Value [32],[47] $ 1,076                
Investment, Identifier [Axis]: Dealer Tire Holdings, LLC, Preferred shares                  
Principal Amount, Shares (in shares) | shares 56,271 [32],[33],[34],[59] 56,271 [35],[36],[37],[60] 56,271 [32],[33],[34],[59] 56,271 [32],[33],[34],[59]   56,271 [35],[36],[37],[60]      
Cost $ 65,202 [32],[33],[59] $ 60,360 [35],[36],[60]              
Fair Value $ 65,688 [32],[33],[59] $ 60,180 [35],[36],[60]              
Percent of Net Assets 4.95% 4.48% 4.95% 4.95%   4.48%      
Investment, Identifier [Axis]: Deca Dental Holdings LLC, First lien - Drawn                  
Spread [35],[36],[39],[43]   5.75%       5.75%      
Interest Rate [35],[36],[39],[43]   6.50%       6.50%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 4,026              
Cost [35],[36],[43]   3,985              
Fair Value [35],[36],[43]   $ 3,985              
Investment, Identifier [Axis]: Deca Dental Holdings LLC, First lien                  
Spread 5.75% [32],[47] 5.75% [35],[39],[48] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[39],[48]      
Interest Rate 10.48% [32],[41],[47] 6.50% [35],[39],[48] 10.48% [32],[41],[47] 10.48% [32],[41],[47]   6.50% [35],[39],[48]      
Principal Amount, Par Value $ 37,860 [32],[34],[47] $ 38,244 [35],[37],[48]              
Cost 37,541 [32],[47] 37,877 [35],[48]              
Fair Value $ 36,232 [32],[47] 37,861 [35],[48]              
Investment, Identifier [Axis]: Deca Dental Holdings LLC, First lien - Drawn 1                  
Spread [32],[33],[40] 5.75%   5.75% 5.75%          
Interest Rate [32],[33],[40],[41] 10.48%   10.48% 10.48%          
Principal Amount, Par Value [32],[33],[34],[40] $ 3,985                
Cost [32],[33],[40] 3,950                
Fair Value [32],[33],[40] $ 3,814                
Investment, Identifier [Axis]: Deca Dental Holdings LLC, First lien - Drawn 2                  
Spread [32],[33],[40] 5.75%   5.75% 5.75%          
Interest Rate [32],[33],[40],[41] 10.48%   10.48% 10.48%          
Principal Amount, Par Value [32],[33],[34],[40] $ 2,623                
Cost [32],[33],[40] 2,597                
Fair Value [32],[33],[40] 2,510                
Investment, Identifier [Axis]: Deca Dental Holdings LLC, First lien - Undrawn 1                  
Principal Amount, Par Value 404 [32],[33],[34],[40] 3,027 [35],[36],[37],[43]              
Cost (4) [32],[33],[40] (30) [35],[36],[43]              
Fair Value (17) [32],[33],[40] (30) [35],[36],[43]              
Investment, Identifier [Axis]: Deca Dental Holdings LLC, First lien - Undrawn 2                  
Principal Amount, Par Value 9,080 [32],[33],[34],[40] 9,080 [35],[36],[37],[43]              
Cost 0 [32],[33],[40] 0 [35],[36],[43]              
Fair Value $ (390) [32],[33],[40] (91) [35],[36],[43]              
Investment, Identifier [Axis]: Diligent Corporation, First lien - Drawn                  
Spread [32],[33],[40] 6.25%   6.25% 6.25%          
Interest Rate [32],[33],[40],[41] 10.63%   10.63% 10.63%          
Principal Amount, Par Value [32],[33],[34],[40] $ 1,087                
Cost [32],[33],[40] 1,082                
Fair Value [32],[33],[40] 1,087                
Investment, Identifier [Axis]: Diligent Corporation, First lien - Undrawn                  
Principal Amount, Par Value 2,537 [10],[32],[33],[34],[40] 3,624 [35],[36],[37],[43]              
Cost (13) [10],[32],[33],[40] (18) [35],[36],[43]              
Fair Value $ 0 [10],[32],[33],[40] $ 0 [35],[36],[43]              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Investment, Identifier [Axis]: Diligent Corporation, First lien 1                  
Spread 5.75% [32],[47] 5.75% [35],[39],[48] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[39],[48]      
Interest Rate 10.13% [32],[41],[47] 6.75% [35],[39],[48] 10.13% [32],[41],[47] 10.13% [32],[41],[47]   6.75% [35],[39],[48]      
Principal Amount, Par Value $ 17,583 [32],[34],[47] $ 17,762 [35],[37],[48]              
Cost 17,528 [32],[47] 17,687 [35],[48]              
Fair Value $ 17,371 [32],[47] $ 17,673 [35],[48]              
Investment, Identifier [Axis]: Diligent Corporation, First lien 2                  
Spread 5.75% [32],[47] 5.75% [35],[39],[48] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[39],[48]      
Interest Rate 10.13% [32],[41],[47] 6.75% [35],[39],[48] 10.13% [32],[41],[47] 10.13% [32],[41],[47]   6.75% [35],[39],[48]      
Principal Amount, Par Value $ 9,805 [32],[34],[47] $ 9,905 [35],[37],[48]              
Cost 9,774 [32],[47] 9,863 [35],[48]              
Fair Value $ 9,688 [32],[47] $ 9,855 [35],[48]              
Investment, Identifier [Axis]: Diligent Corporation, First lien 3                  
Spread 6.25% [32],[33] 6.25% [35],[36],[39] 6.25% [32],[33] 6.25% [32],[33]   6.25% [35],[36],[39]      
Interest Rate 10.63% [32],[33],[41] 7.25% [35],[36],[39] 10.63% [32],[33],[41] 10.63% [32],[33],[41]   7.25% [35],[36],[39]      
Principal Amount, Par Value $ 5,827 [32],[33],[34] $ 5,887 [35],[36],[37]              
Cost 5,807 [32],[33] 5,860 [35],[36]              
Fair Value $ 5,827 [32],[33] $ 5,945 [35],[36]              
Investment, Identifier [Axis]: Diligent Preferred Issuer, Inc., Preferred shares                  
Principal Amount, Shares (in shares) | shares 10,000 [32],[33],[34] 10,000 [11],[35],[36],[37] 10,000 [32],[33],[34] 10,000 [32],[33],[34]   10,000 [11],[35],[36],[37]      
Cost $ 11,518 [32],[33] $ 10,386 [11],[35],[36]              
Fair Value $ 11,304 [32],[33] $ 10,379 [11],[35],[36]              
Percent of Net Assets 0.85% 0.77% 0.85% 0.85%   0.77%      
Investment, Identifier [Axis]: EAB Global, Inc., Second lien                  
Spread 6.50% [32],[47] 6.50% [35],[39],[48] 6.50% [32],[47] 6.50% [32],[47]   6.50% [35],[39],[48]      
Interest Rate 10.69% [32],[41],[47] 7.00% [35],[39],[48] 10.69% [32],[41],[47] 10.69% [32],[41],[47]   7.00% [35],[39],[48]      
Principal Amount, Par Value $ 33,452 [32],[34],[47] $ 33,452 [35],[37],[48]              
Cost 33,017 [32],[47] 32,969 [35],[48]              
Fair Value $ 32,392 [32],[47] $ 32,951 [35],[48]              
Percent of Net Assets 2.44% 2.46% 2.44% 2.44%   2.46%      
Investment, Identifier [Axis]: Edmentum Ultimate Holdings, LLC, Subordinated                  
Spread 6.50% [46] 6.50% [39] 6.50% [46] 6.50% [46]   6.50% [39]      
PIK 6.50% [46] 6.50% [39] 6.50% [46] 6.50% [46]   6.50% [39]      
Interest Rate 13.00% [32],[33],[41] 13.00% [39] 13.00% [32],[33],[41] 13.00% [32],[33],[41]   13.00% [39]      
Principal Amount, Par Value $ 16,473 [32],[33],[34] $ 15,434 [35],[36],[37],[61]              
Cost 16,362 [32],[33] 15,302 [35],[36],[61]              
Fair Value $ 16,473 [32],[33] $ 15,841 [35],[36],[61]              
Percent of Net Assets 1.24% 1.18% 1.24% 1.24%   1.18%      
Investment, Identifier [Axis]: Education Management Corporation, Ordinary shares 1                  
Principal Amount, Shares (in shares) | shares 2,994,065 [34],[47] 2,994,065 [37] 2,994,065 [34],[47] 2,994,065 [34],[47]   2,994,065 [37]      
Cost $ 100 [47] $ 100              
Fair Value $ 0 [47] $ 0              
Investment, Identifier [Axis]: Education Management Corporation, Ordinary shares 2                  
Principal Amount, Shares (in shares) | shares 1,688,976 [33],[34] 1,688,976 [37] 1,688,976 [33],[34] 1,688,976 [33],[34]   1,688,976 [37]      
Cost $ 56 [33] $ 56              
Fair Value $ 0 [33] $ 0              
Investment, Identifier [Axis]: Education Management Corporation, Preferred shares 1                  
Principal Amount, Shares (in shares) | shares 3,331 [34],[47] 3,331 [37] 3,331 [34],[47] 3,331 [34],[47]   3,331 [37]      
Cost $ 200 [47] $ 200              
Fair Value $ 0 [47] $ 0              
Investment, Identifier [Axis]: Education Management Corporation, Preferred shares 2                  
Principal Amount, Shares (in shares) | shares 1,879 [33],[34] 1,879 [37] 1,879 [33],[34] 1,879 [33],[34]   1,879 [37]      
Cost $ 113 [33] $ 113              
Fair Value $ 0 [33] $ 0              
Investment, Identifier [Axis]: Education Management II LLC, First lien 1                  
Spread 7.50% [47],[50] 7.50% [39],[48] 7.50% [47],[50] 7.50% [47],[50]   7.50% [39],[48]      
Interest Rate 13.00% [41],[47],[50] 13.00% [39],[48] 13.00% [41],[47],[50] 13.00% [41],[47],[50]   13.00% [39],[48]      
Principal Amount, Par Value $ 300 [34],[47],[50] $ 300 [37],[48]              
Cost 292 [47],[50] 292 [48]              
Fair Value $ 0 [47],[50] $ 0 [48]              
Investment, Identifier [Axis]: Education Management II LLC, First lien 2                  
Spread 7.50% [33],[50] 7.50% [36],[39] 7.50% [33],[50] 7.50% [33],[50]   7.50% [36],[39]      
Interest Rate 13.00% [33],[41],[50] 13.00% [36],[39] 13.00% [33],[41],[50] 13.00% [33],[41],[50]   13.00% [36],[39]      
Principal Amount, Par Value $ 169 [33],[34],[50] $ 169 [36],[37]              
Cost 165 [33],[50] 165 [36]              
Fair Value $ 0 [33],[50] $ 0 [36]              
Investment, Identifier [Axis]: Education Management II LLC, First lien 3                  
Spread 6.50% [47],[50] 6.50% [39],[48] 6.50% [47],[50] 6.50% [47],[50]   6.50% [39],[48]      
Interest Rate 9.75% [41],[47],[50] 9.75% [39],[48] 9.75% [41],[47],[50] 9.75% [41],[47],[50]   9.75% [39],[48]      
Principal Amount, Par Value $ 205 [34],[47],[50] $ 206 [37],[48]              
Cost 199 [47],[50] 201 [48]              
Fair Value $ 0 [47],[50] $ 0 [48]              
Investment, Identifier [Axis]: Education Management II LLC, First lien 4                  
Spread 6.50% [33],[50] 6.50% [36],[39] 6.50% [33],[50] 6.50% [33],[50]   6.50% [36],[39]      
Interest Rate 9.75% [33],[41],[50] 9.75% [36],[39] 9.75% [33],[41],[50] 9.75% [33],[41],[50]   9.75% [36],[39]      
Principal Amount, Par Value $ 115 [33],[34],[50] $ 116 [36],[37]              
Cost 112 [33],[50] 113 [36]              
Fair Value $ 0 [33],[50] $ 0 [36]              
Investment, Identifier [Axis]: Education Management II LLC, First lien 5                  
Spread 8.50% [47],[50] 8.50% [39],[48] 8.50% [47],[50] 8.50% [47],[50]   8.50% [39],[48]      
Interest Rate 11.75% [41],[47],[50] 11.75% [39],[48] 11.75% [41],[47],[50] 11.75% [41],[47],[50]   11.75% [39],[48]      
Principal Amount, Par Value $ 139 [34],[47],[50] $ 140 [37],[48]              
Cost 115 [47],[50] 116 [48]              
Fair Value $ 0 [47],[50] $ 0 [48]              
Investment, Identifier [Axis]: Education Management II LLC, First lien 6                  
Spread 8.50% [33],[50] 8.50% [36],[39] 8.50% [33],[50] 8.50% [33],[50]   8.50% [36],[39]      
Interest Rate 11.75% [33],[41],[50] 11.75% [36],[39] 11.75% [33],[41],[50] 11.75% [33],[41],[50]   11.75% [36],[39]      
Principal Amount, Par Value $ 79 [33],[34],[50] $ 79 [36],[37]              
Cost 65 [33],[50] 65 [36]              
Fair Value $ 0 [33],[50] $ 0 [36]              
Investment, Identifier [Axis]: Education Management II LLC, First lien 7                  
Spread 8.50% [47],[50] 8.50% [39],[48] 8.50% [47],[50] 8.50% [47],[50]   8.50% [39],[48]      
Interest Rate 11.75% [41],[47],[50] 11.75% [39],[48] 11.75% [41],[47],[50] 11.75% [41],[47],[50]   11.75% [39],[48]      
Principal Amount, Par Value $ 4 [34],[47],[50] $ 4 [37],[48]              
Cost 3 [47],[50] 3 [48]              
Fair Value $ 0 [47],[50] $ 0 [48]              
Investment, Identifier [Axis]: Education Management II LLC, First lien 8                  
Spread 8.50% [33],[50] 8.50% [36],[39] 8.50% [33],[50] 8.50% [33],[50]   8.50% [36],[39]      
Interest Rate 11.75% [33],[41],[50] 11.75% [36],[39] 11.75% [33],[41],[50] 11.75% [33],[41],[50]   11.75% [36],[39]      
Principal Amount, Par Value $ 2 [33],[34],[50] $ 2 [36],[37]              
Cost 2 [33],[50] 2 [36]              
Fair Value 0 [33],[50] $ 0 [36]              
Investment, Identifier [Axis]: Education Management II LLC, First lien, Non-accrual status                  
Cost 953                
Fair Value $ 0                
Investment, Identifier [Axis]: Energize Holdco LLC, Second lien                  
Spread [39],[48]   6.75%       6.75%      
Interest Rate [39],[48]   7.25%       7.25%      
Principal Amount, Par Value [37],[48]   $ 7,950              
Cost [48]   7,910              
Fair Value [48]   $ 7,910              
Percent of Net Assets   0.59%       0.59%      
Investment, Identifier [Axis]: FR Arsenal Holdings II Corp., First lien                  
Spread 7.50% [32],[46],[47] 7.50% [35],[39],[48] 7.50% [32],[46],[47] 7.50% [32],[46],[47]   7.50% [35],[39],[48]      
PIK [32],[46],[47] 2.00%   2.00% 2.00%          
Interest Rate 13.88% [32],[41],[47] 8.50% [35],[39],[48] 13.88% [32],[41],[47] 13.88% [32],[41],[47]   8.50% [35],[39],[48]      
Principal Amount, Par Value $ 14,582 [32],[34],[47] $ 14,884 [35],[37],[48]              
Cost 14,579 [32],[47] 14,861 [35],[48]              
Fair Value $ 13,123 [32],[47] $ 14,520 [35],[48]              
Percent of Net Assets 0.99% 1.08% 0.99% 0.99%   1.08%      
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien                  
Spread [39],[58]   5.75%       5.75%      
Interest Rate [39],[58]   6.50%       6.50%      
Principal Amount, Par Value [37],[58]   $ 10,500              
Cost [58]   10,395              
Fair Value [58]   $ 10,395              
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien - Drawn                  
Spread [39],[43],[58]   5.75%       5.75%      
Interest Rate [39],[43],[58]   6.50%       6.50%      
Principal Amount, Par Value [37],[43],[58]   $ 2,618              
Cost [43],[58]   2,592              
Fair Value [43],[58]   2,592              
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien - Drawn 1                  
Spread [32],[33],[40] 5.75%   5.75% 5.75%          
Interest Rate [32],[33],[40],[41] 10.50%   10.50% 10.50%          
Principal Amount, Par Value [32],[33],[34],[40] $ 490                
Cost [32],[33],[40] 485                
Fair Value [32],[33],[40] $ 477                
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien - Drawn 2                  
Spread [32],[33],[40] 6.00%   6.00% 6.00%          
Interest Rate [32],[33],[40],[41] 10.53%   10.53% 10.53%          
Principal Amount, Par Value [32],[33],[34],[40] $ 589                
Cost [32],[33],[40] 635                
Fair Value [32],[33],[40] 584                
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value 910 [32],[33],[34],[40] 882 [37],[43],[58]              
Cost (9) [32],[33],[40] 0 [43],[58]              
Fair Value (25) [32],[33],[40] (9) [43],[58]              
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value 5,165 [32],[33],[34],[40] 1,400 [36],[37],[43]              
Cost (52) [32],[33],[40] (14) [36],[43]              
Fair Value $ (52) [32],[33],[40] (14) [36],[43]              
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien - Undrawn 3                  
Principal Amount, Par Value [37],[43],[58]   3,500              
Cost [43],[58]   0              
Fair Value [43],[58]   $ (35)              
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien 1                  
Spread [32],[57] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[57] 10.48%   10.48% 10.48%          
Principal Amount, Par Value [32],[34],[57] $ 10,395                
Cost [32],[57] 10,306                
Fair Value [32],[57] $ 10,110                
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien 2                  
Spread [32],[57] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[57] 10.48%   10.48% 10.48%          
Principal Amount, Par Value [32],[34],[57] $ 3,489                
Cost [32],[57] 3,456                
Fair Value [32],[57] $ 3,393                
Investment, Identifier [Axis]: FS WhiteWater Borrower, LLC, First lien 3                  
Spread [32],[57] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[57] 10.48%   10.48% 10.48%          
Principal Amount, Par Value [32],[34],[57] $ 3,467                
Cost [32],[57] 3,437                
Fair Value [32],[57] $ 3,372                
Investment, Identifier [Axis]: FS WhiteWater Holdings, LLC, Ordinary shares                  
Principal Amount, Shares (in shares) | shares 50,000 [32],[34],[57] 50,000 [18],[37],[58] 50,000 [32],[34],[57] 50,000 [32],[34],[57]   50,000 [18],[37],[58]      
Cost $ 5,000 [32],[57] $ 5,000 [18],[58]              
Fair Value $ 4,686 [32],[57] $ 5,000 [18],[58]              
Percent of Net Assets 0.35% 0.37% 0.35% 0.35%   0.37%      
Investment, Identifier [Axis]: Foreside Financial Group, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [32],[33],[34],[40] $ 2,095                
Cost [32],[33],[40] (21)                
Fair Value [32],[33],[40] (21)                
Investment, Identifier [Axis]: Foreside Financial Group, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value [32],[33],[34],[40] 4,907                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] $ (49)                
Investment, Identifier [Axis]: Foreside Financial Group, LLC, First lien 1                  
Spread [32],[47] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[47] 9.88%   9.88% 9.88%          
Principal Amount, Par Value [32],[34],[47] $ 31,968                
Cost [32],[47] 31,678                
Fair Value [32],[47] $ 31,648                
Investment, Identifier [Axis]: Foreside Financial Group, LLC, First lien 2                  
Spread [32],[33] 5.50%   5.50% 5.50%          
Interest Rate [32],[33],[41] 9.88%   9.88% 9.88%          
Principal Amount, Par Value [32],[33],[34] $ 2,072                
Cost [32],[33] 2,052                
Fair Value [32],[33] $ 2,051                
Investment, Identifier [Axis]: Fortis Solutions Group, LLC, First lien - Drawn                  
Spread [32],[33],[40] 5.50%   5.50% 5.50%          
Interest Rate [32],[33],[40],[41] 9.67%   9.67% 9.67%          
Principal Amount, Par Value [32],[33],[34],[40] $ 381                
Cost [32],[33],[40] 378                
Fair Value [32],[33],[40] 372                
Investment, Identifier [Axis]: Fortis Solutions Group, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value 81 [32],[33],[34],[40] $ 2,861 [35],[36],[37],[43]              
Cost 0 [32],[33],[40] (29) [35],[36],[43]              
Fair Value (2) [32],[33],[40] (29) [35],[36],[43]              
Investment, Identifier [Axis]: Fortis Solutions Group, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value 2,479 [32],[33],[34],[40] 8,343 [35],[36],[37],[43]              
Cost (25) [32],[33],[40] 0 [35],[36],[43]              
Fair Value (58) [32],[33],[40] $ (83) [35],[36],[43]              
Investment, Identifier [Axis]: Fortis Solutions Group, LLC, First lien - Undrawn 3                  
Principal Amount, Par Value [32],[33],[34],[40] 4,886                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] $ (114)                
Investment, Identifier [Axis]: Fortis Solutions Group, LLC, First lien 1                  
Spread 5.50% [32],[47] 5.50% [35],[38],[39] 5.50% [32],[47] 5.50% [32],[47]   5.50% [35],[38],[39]      
Interest Rate 10.23% [32],[41],[47] 6.25% [35],[38],[39] 10.23% [32],[41],[47] 10.23% [32],[41],[47]   6.25% [35],[38],[39]      
Principal Amount, Par Value $ 17,529 [32],[34],[47] $ 10,298 [35],[37],[38]              
Cost 17,374 [32],[47] 10,198 [35],[38]              
Fair Value $ 17,119 [32],[47] $ 10,195 [35],[38]              
Investment, Identifier [Axis]: Fortis Solutions Group, LLC, First lien 2                  
Spread 5.50% [32],[44] 5.50% [39] 5.50% [32],[44] 5.50% [32],[44]   5.50% [39]      
Interest Rate 10.23% [32],[41],[44] 6.25% [39] 10.23% [32],[41],[44] 10.23% [32],[41],[44]   6.25% [39]      
Principal Amount, Par Value $ 10,195 [32],[34],[44] $ 10,298 [37]              
Cost 10,108 [32],[44] 10,198              
Fair Value $ 9,957 [32],[44] $ 10,195              
Investment, Identifier [Axis]: Fortis Solutions Group, LLC, First lien 3                  
Spread [32],[33] 5.50%   5.50% 5.50%          
Interest Rate [32],[33],[41] 10.23%   10.23% 10.23%          
Principal Amount, Par Value [32],[33],[34] $ 875                
Cost [32],[33] 866                
Fair Value [32],[33] $ 855                
Investment, Identifier [Axis]: Foundational Education Group, Inc., Second lien 1                  
Spread 6.50% [32],[57] 6.50% [39],[58] 6.50% [32],[57] 6.50% [32],[57]   6.50% [39],[58]      
Interest Rate 11.34% [32],[41],[57] 7.00% [39],[58] 11.34% [32],[41],[57] 11.34% [32],[41],[57]   7.00% [39],[58]      
Principal Amount, Par Value $ 22,500 [32],[34],[57] $ 22,500 [37],[58]              
Cost 22,401 [32],[57] 22,391 [58]              
Fair Value $ 20,810 [32],[57] $ 22,500 [58]              
Investment, Identifier [Axis]: Foundational Education Group, Inc., Second lien 2                  
Spread 6.50% [32],[47] 6.50% [39],[48] 6.50% [32],[47] 6.50% [32],[47]   6.50% [39],[48]      
Interest Rate 11.34% [32],[41],[47] 7.00% [39],[48] 11.34% [32],[41],[47] 11.34% [32],[41],[47]   7.00% [39],[48]      
Principal Amount, Par Value $ 7,009 [32],[34],[47] $ 5,009 [37],[48]              
Cost 6,987 [32],[47] 4,985 [48]              
Fair Value $ 6,483 [32],[47] $ 5,009 [48]              
Investment, Identifier [Axis]: Frontline Technologies Group Holdings, LLC, First lien 1                  
Spread [35],[39],[49]   5.25%       5.25%      
Interest Rate [35],[39],[49]   6.25%       6.25%      
Principal Amount, Par Value [35],[37],[49]   $ 21,718              
Cost [35],[49]   21,664              
Fair Value [35],[49]   $ 21,718              
Investment, Identifier [Axis]: Frontline Technologies Group Holdings, LLC, First lien 2                  
Spread [35],[39],[48]   5.25%       5.25%      
Interest Rate [35],[39],[48]   6.25%       6.25%      
Principal Amount, Par Value [35],[37],[48]   $ 18,303              
Cost [35],[48]   18,275              
Fair Value [35],[48]   $ 18,303              
Investment, Identifier [Axis]: Frontline Technologies Group Holdings, LLC, First lien 3                  
Spread [35],[39],[48]   5.25%       5.25%      
Interest Rate [35],[39],[48]   6.25%       6.25%      
Principal Amount, Par Value [35],[37],[48]   $ 7,555              
Cost [35],[48]   7,530              
Fair Value [35],[48]   $ 7,555              
Investment, Identifier [Axis]: Frontline Technologies Group Holdings, LLC, First lien 4                  
Spread [35],[39],[48]   5.25%       5.25%      
Interest Rate [35],[39],[48]   6.25%       6.25%      
Principal Amount, Par Value [35],[37],[48]   $ 5,031              
Cost [35],[48]   5,031              
Fair Value [35],[48]   $ 5,031              
Investment, Identifier [Axis]: GC Waves Holdings, Inc., First lien - Drawn                  
Spread [35],[39],[43],[48]   5.50%       5.50%      
Interest Rate [35],[39],[43],[48]   6.25%       6.25%      
Principal Amount, Par Value [35],[37],[43],[48]   $ 5,643              
Cost [35],[43],[48]   5,588              
Fair Value [35],[43],[48]   5,643              
Investment, Identifier [Axis]: GC Waves Holdings, Inc., First lien - Drawn 1                  
Spread [32],[40],[47] 5.50%   5.50% 5.50%          
Interest Rate [32],[40],[41],[47] 9.88%   9.88% 9.88%          
Principal Amount, Par Value [32],[34],[40],[47] $ 16,611                
Cost [32],[40],[47] 16,450                
Fair Value [32],[40],[47] $ 16,411                
Investment, Identifier [Axis]: GC Waves Holdings, Inc., First lien - Drawn 2                  
Spread [32],[33],[40] 5.50%   5.50% 5.50%          
Interest Rate [32],[33],[40],[41] 9.88%   9.88% 9.88%          
Principal Amount, Par Value [32],[33],[34],[40] $ 988                
Cost [32],[33],[40] 980                
Fair Value [32],[33],[40] 976                
Investment, Identifier [Axis]: GC Waves Holdings, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value 757 [32],[34],[40],[47] 4,991 [35],[37],[43],[48]              
Cost 0 [32],[40],[47] 0 [35],[43],[48]              
Fair Value (9) [32],[40],[47] 0 [35],[43],[48]              
Investment, Identifier [Axis]: GC Waves Holdings, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value 2,963 [32],[33],[34],[40] 3,951 [35],[36],[37],[43]              
Cost (22) [32],[33],[40] (30) [35],[36],[43]              
Fair Value $ (36) [32],[33],[40] $ 0 [35],[36],[43]              
Investment, Identifier [Axis]: GC Waves Holdings, Inc., First lien 1                  
Spread 5.50% [32],[57] 5.50% [35],[39],[58] 5.50% [32],[57] 5.50% [32],[57]   5.50% [35],[39],[58]      
Interest Rate 9.88% [32],[41],[57] 6.25% [35],[39],[58] 9.88% [32],[41],[57] 9.88% [32],[41],[57]   6.25% [35],[39],[58]      
Principal Amount, Par Value $ 21,885 [32],[34],[57] $ 22,108 [35],[37],[58]              
Cost 21,793 [32],[57] 21,993 [35],[58]              
Fair Value $ 21,623 [32],[57] $ 22,108 [35],[58]              
Investment, Identifier [Axis]: GC Waves Holdings, Inc., First lien 2                  
Spread 5.50% [32],[47] 5.50% [35],[39],[48] 5.50% [32],[47] 5.50% [32],[47]   5.50% [35],[39],[48]      
Interest Rate 9.88% [32],[41],[47] 6.25% [35],[39],[48] 9.88% [32],[41],[47] 9.88% [32],[41],[47]   6.25% [35],[39],[48]      
Principal Amount, Par Value $ 13,211 [32],[34],[47] $ 13,345 [35],[37],[48]              
Cost 13,135 [32],[47] 13,250 [35],[48]              
Fair Value $ 13,052 [32],[47] $ 13,345 [35],[48]              
Investment, Identifier [Axis]: GC Waves Holdings, Inc., First lien 3                  
Spread [32],[47] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[47] 9.88%   9.88% 9.88%          
Principal Amount, Par Value [32],[34],[47] $ 10,551                
Cost [32],[47] 10,465                
Fair Value [32],[47] 10,424                
Investment, Identifier [Axis]: GEMS Menasa (Cayman) Limited, First lien                  
Spread [38],[39]   5.00%       5.00%      
Interest Rate [38],[39]   6.00%       6.00%      
Principal Amount, Par Value [37],[38]   $ 10,534              
Cost [38]   10,496              
Fair Value [7],[38]   $ 10,589              
Percent of Net Assets   0.79%       0.79%      
Investment, Identifier [Axis]: GS Acquisitionco, Inc., First lien - Drawn                  
Spread [35],[36],[39],[43]   5.75%       5.75%      
Interest Rate [35],[36],[39],[43]   6.75%       6.75%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 2,811              
Cost [35],[36],[43]   2,793              
Fair Value [35],[36],[43]   2,811              
Investment, Identifier [Axis]: GS Acquisitionco, Inc., First lien - Undrawn                  
Principal Amount, Par Value 5,917 [32],[33],[34],[40] 3,106 [35],[36],[37],[43]              
Cost (36) [32],[33],[40] (19) [35],[36],[43]              
Fair Value $ (53) [32],[33],[40] $ 0 [35],[36],[43]              
Percent of Net Assets (0.00%) 0.00% (0.00%) (0.00%)   0.00%      
Investment, Identifier [Axis]: GS Acquisitionco, Inc., First lien 1                  
Spread 5.75% [32],[47] 5.75% [35],[39],[48] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[39],[48]      
Interest Rate 9.92% [32],[41],[47] 6.75% [35],[39],[48] 9.92% [32],[41],[47] 9.92% [32],[41],[47]   6.75% [35],[39],[48]      
Principal Amount, Par Value $ 67,275 [32],[34],[47] $ 67,966 [35],[37],[48]              
Cost 67,074 [32],[47] 67,713 [35],[48]              
Fair Value $ 66,675 [32],[47] $ 67,966 [35],[48]              
Investment, Identifier [Axis]: GS Acquisitionco, Inc., First lien 2                  
Spread 5.75% [32],[57] 5.75% [35],[39],[58] 5.75% [32],[57] 5.75% [32],[57]   5.75% [35],[39],[58]      
Interest Rate 9.92% [32],[41],[57] 6.75% [35],[39],[58] 9.92% [32],[41],[57] 9.92% [32],[41],[57]   6.75% [35],[39],[58]      
Principal Amount, Par Value $ 21,745 [32],[34],[57] $ 21,968 [35],[37],[58]              
Cost 21,683 [32],[57] 21,891 [35],[58]              
Fair Value $ 21,551 [32],[57] 21,968 [35],[58]              
Investment, Identifier [Axis]: Galway Borrower LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [35],[36],[37],[43]   1,865              
Cost [35],[36],[43]   (19)              
Fair Value [35],[36],[43]   (19)              
Investment, Identifier [Axis]: Galway Borrower LLC, First lien - Undrawn 2                  
Principal Amount, Par Value [35],[36],[37],[43]   3,917              
Cost [35],[36],[43]   0              
Fair Value [35],[36],[43]   $ (39)              
Investment, Identifier [Axis]: Galway Borrower LLC, First lien 1                  
Spread [35],[39],[48]   5.25%       5.25%      
Interest Rate [35],[39],[48]   6.00%       6.00%      
Principal Amount, Par Value [35],[37],[48]   $ 24,279              
Cost [35],[48]   24,043              
Fair Value [35],[48]   $ 24,036              
Investment, Identifier [Axis]: Galway Borrower LLC, First lien 2                  
Spread [35],[36],[39]   5.25%       5.25%      
Interest Rate [35],[36],[39]   6.00%       6.00%      
Principal Amount, Par Value [35],[36],[37]   $ 1,674              
Cost [35],[36]   1,658              
Fair Value [35],[36]   $ 1,658              
Investment, Identifier [Axis]: Geo Parent Corporation, First lien                  
Spread [39],[48]   5.25%       5.25%      
Interest Rate [39],[48]   5.35%       5.35%      
Principal Amount, Par Value [37],[48]   $ 9,810              
Cost [48]   9,780              
Fair Value [48]   $ 9,761              
Percent of Net Assets   0.73%       0.73%      
Investment, Identifier [Axis]: Granicus, Inc., First lien - Drawn                  
Spread 6.50% [32],[33],[40] 6.00% [35],[36],[39],[43] 6.50% [32],[33],[40] 6.50% [32],[33],[40]   6.00% [35],[36],[39],[43]      
Interest Rate 10.69% [32],[33],[40],[41] 7.00% [35],[36],[39],[43] 10.69% [32],[33],[40],[41] 10.69% [32],[33],[40],[41]   7.00% [35],[36],[39],[43]      
Principal Amount, Par Value $ 810 [32],[33],[34],[40] $ 2,778 [35],[36],[37],[43]              
Cost 804 [32],[33],[40] 2,752 [35],[36],[43]              
Fair Value 810 [32],[33],[40] 2,751 [35],[36],[43]              
Investment, Identifier [Axis]: Granicus, Inc., First lien - Undrawn                  
Principal Amount, Par Value [32],[33],[34],[40] 1,604                
Cost [32],[33],[40] (12)                
Fair Value [32],[33],[40] $ 0                
Percent of Net Assets 0.00%   0.00% 0.00%          
Investment, Identifier [Axis]: Granicus, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value [35],[36],[37],[43]   2,414              
Cost [35],[36],[43]   (18)              
Fair Value [35],[36],[43]   (18)              
Investment, Identifier [Axis]: Granicus, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value [35],[36],[37],[43]   1,822              
Cost [35],[36],[43]   0              
Fair Value [35],[36],[43]   $ (18)              
Investment, Identifier [Axis]: Granicus, Inc., First lien 1                  
Spread 5.50% [32],[42],[46] 6.50% [35],[39],[49] 5.50% [32],[42],[46] 5.50% [32],[42],[46]   6.50% [35],[39],[49]      
PIK [32],[42],[46] 1.50%   1.50% 1.50%          
Interest Rate 11.14% [32],[41],[42] 7.50% [35],[39],[49] 11.14% [32],[41],[42] 11.14% [32],[41],[42]   7.50% [35],[39],[49]      
Principal Amount, Par Value $ 15,405 [32],[34],[42] $ 15,522 [35],[37],[49]              
Cost 15,320 [32],[42] 15,420 [35],[49]              
Fair Value $ 15,405 [32],[42] $ 15,406 [35],[49]              
Investment, Identifier [Axis]: Granicus, Inc., First lien 2                  
Spread 5.50% [32],[44],[46] 6.50% [35],[36],[39] 5.50% [32],[44],[46] 5.50% [32],[44],[46]   6.50% [35],[36],[39]      
PIK [32],[44],[46] 1.50%   1.50% 1.50%          
Interest Rate 11.14% [32],[41],[44] 7.50% [35],[36],[39] 11.14% [32],[41],[44] 11.14% [32],[41],[44]   7.50% [35],[36],[39]      
Principal Amount, Par Value $ 5,959 [32],[34],[44] $ 6,004 [35],[36],[37]              
Cost 5,925 [32],[44] 5,963 [35],[36]              
Fair Value $ 5,959 [32],[44] $ 5,959 [35],[36]              
Investment, Identifier [Axis]: Granicus, Inc., First lien 3                  
Spread 5.50% [32],[46],[47] 6.50% [35],[39],[48] 5.50% [32],[46],[47] 5.50% [32],[46],[47]   6.50% [35],[39],[48]      
PIK [32],[46],[47] 1.50%   1.50% 1.50%          
Interest Rate 11.14% [32],[41],[47] 7.50% [35],[39],[48] 11.14% [32],[41],[47] 11.14% [32],[41],[47]   7.50% [35],[39],[48]      
Principal Amount, Par Value $ 5,877 [32],[34],[47] $ 5,922 [35],[37],[48]              
Cost 5,845 [32],[47] 5,883 [35],[48]              
Fair Value $ 5,877 [32],[47] $ 5,878 [35],[48]              
Investment, Identifier [Axis]: Granicus, Inc., First lien 4                  
Spread [32],[47] 6.00%   6.00% 6.00%          
Interest Rate [32],[41],[47] 10.14%   10.14% 10.14%          
Principal Amount, Par Value [32],[34],[47] $ 4,579                
Cost [32],[47] 4,540                
Fair Value [32],[47] $ 4,579                
Investment, Identifier [Axis]: HB Wealth Management, LLC, Preferred shares                  
Principal Amount, Shares (in shares) | shares 48,303 [32],[34],[62],[63] 48,303 [35],[37],[64],[65] 48,303 [32],[34],[62],[63] 48,303 [32],[34],[62],[63]   48,303 [35],[37],[64],[65]      
Cost $ 4,794 [32],[62],[63] $ 4,834 [35],[64],[65]              
Fair Value $ 5,126 [32],[62],[63] $ 4,834 [7],[35],[64],[65]              
Percent of Net Assets 0.39% 0.36% 0.39% 0.39%   0.36%      
Investment, Identifier [Axis]: HS Purchaser, LLC / Help/Systems Holdings, Inc., Second lien 1                  
Spread 6.75% [32],[57] 6.75% [39],[58] 6.75% [32],[57] 6.75% [32],[57]   6.75% [39],[58]      
Interest Rate 10.94% [32],[41],[57] 7.50% [39],[58] 10.94% [32],[41],[57] 10.94% [32],[41],[57]   7.50% [39],[58]      
Principal Amount, Par Value $ 22,500 [32],[34],[57] $ 22,500 [37],[58]              
Cost 22,417 [32],[57] 22,404 [58]              
Fair Value $ 21,409 [32],[57] $ 22,509 [58]              
Investment, Identifier [Axis]: HS Purchaser, LLC / Help/Systems Holdings, Inc., Second lien 2                  
Spread 6.75% [32],[47] 6.75% [39],[48] 6.75% [32],[47] 6.75% [32],[47]   6.75% [39],[48]      
Interest Rate 10.94% [32],[41],[47] 7.50% [39],[48] 10.94% [32],[41],[47] 10.94% [32],[41],[47]   7.50% [39],[48]      
Principal Amount, Par Value $ 4,208 [32],[34],[47] $ 4,208 [37],[48]              
Cost 4,179 [32],[47] 4,174 [48]              
Fair Value $ 4,004 [32],[47] $ 4,210 [48]              
Investment, Identifier [Axis]: Haven Midstream Holdings LLC, Ordinary shares                  
Principal Amount, Shares (in shares) | shares [32],[34],[66] 80   80 80          
Cost [32],[66] $ 0                
Fair Value [32],[66] $ 35,679                
Investment, Identifier [Axis]: Haven Midstream Holdings LLC, Profit Interest                  
Principal Amount, Shares (in shares) | shares [32],[34],[67] 5   5 5          
Cost [32],[67] $ 0                
Fair Value [32],[67] 109                
Investment, Identifier [Axis]: Haven Midstream LLC, First lien - Undrawn                  
Principal Amount, Par Value [32],[33],[34],[40] 8,000                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] $ 0                
Percent of Net Assets 0.00%   0.00% 0.00%          
Investment, Identifier [Axis]: Hill International, Inc., First lien                  
Spread [35],[39],[48]   5.75%       5.75%      
Interest Rate [35],[39],[48]   6.75%       6.75%      
Principal Amount, Par Value [35],[37],[48]   $ 15,089              
Cost [35],[48]   15,067              
Fair Value [35],[48]   $ 15,089              
Percent of Net Assets   1.12%       1.12%      
Investment, Identifier [Axis]: IG Investments Holdings, LLC, First lien                  
Spread [35],[39],[48]   6.00%       6.00%      
Interest Rate [35],[39],[48]   6.75%       6.75%      
Principal Amount, Par Value [35],[37],[48]   $ 29,429              
Cost [35],[48]   29,144              
Fair Value [35],[48]   $ 29,133              
Investment, Identifier [Axis]: IG Investments Holdings, LLC, First lien - Drawn                  
Spread 6.00% [32],[33],[40] 6.00% [35],[36],[39],[43] 6.00% [32],[33],[40] 6.00% [32],[33],[40]   6.00% [35],[36],[39],[43]      
Interest Rate 10.39% [32],[33],[40],[41] 6.75% [35],[36],[39],[43] 10.39% [32],[33],[40],[41] 10.39% [32],[33],[40],[41]   6.75% [35],[36],[39],[43]      
Principal Amount, Par Value $ 919 [32],[33],[34],[40] $ 1,149 [35],[36],[37],[43]              
Cost 910 [32],[33],[40] 1,137 [35],[36],[43]              
Fair Value 906 [32],[33],[40] 1,137 [35],[36],[43]              
Investment, Identifier [Axis]: IG Investments Holdings, LLC, First lien - Undrawn                  
Principal Amount, Par Value 1,379 [32],[33],[34],[40] 1,149 [35],[36],[37],[43]              
Cost (14) [32],[33],[40] (11) [35],[36],[43]              
Fair Value $ (19) [32],[33],[40] $ (11) [35],[36],[43]              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
Investment, Identifier [Axis]: IG Investments Holdings, LLC, First lien 1                  
Spread [32],[47] 6.00%   6.00% 6.00%          
Interest Rate [32],[41],[47] 10.38%   10.38% 10.38%          
Principal Amount, Par Value [32],[34],[47] $ 29,134                
Cost [32],[47] 28,884                
Fair Value [32],[47] $ 28,731                
Investment, Identifier [Axis]: IG Investments Holdings, LLC, First lien 2                  
Spread [32],[47] 6.00%   6.00% 6.00%          
Interest Rate [32],[41],[47] 10.38%   10.38% 10.38%          
Principal Amount, Par Value [32],[34],[47] $ 4,257                
Cost [32],[47] 4,238                
Fair Value [32],[47] $ 4,198                
Investment, Identifier [Axis]: IMO Investor Holdings, Inc., First lien                  
Spread [32],[47] 6.00%   6.00% 6.00%          
Interest Rate [32],[41],[47] 10.62%   10.62% 10.62%          
Principal Amount, Par Value [32],[34],[47] $ 12,974                
Cost [32],[47] 12,854                
Fair Value [32],[47] $ 12,845                
Investment, Identifier [Axis]: IMO Investor Holdings, Inc., First lien - Drawn                  
Spread [32],[33],[40] 6.00%   6.00% 6.00%          
Interest Rate [32],[33],[40],[41] 10.61%   10.61% 10.61%          
Principal Amount, Par Value [32],[33],[34],[40] $ 294                
Cost [32],[33],[40] 291                
Fair Value [32],[33],[40] 291                
Investment, Identifier [Axis]: IMO Investor Holdings, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value [32],[33],[34],[40] 1,254                
Cost [32],[33],[40] (13)                
Fair Value [32],[33],[40] (13)                
Investment, Identifier [Axis]: IMO Investor Holdings, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value [32],[33],[34],[40] 3,097                
Cost [32],[33],[40] 0                
Fair Value [32],[33],[40] $ (31)                
Investment, Identifier [Axis]: Idera, Inc., Second lien 1                  
Spread 6.75% [32],[42] 6.75% [39],[49] 6.75% [32],[42] 6.75% [32],[42]   6.75% [39],[49]      
Interest Rate 10.50% [32],[41],[42] 7.50% [39],[49] 10.50% [32],[41],[42] 10.50% [32],[41],[42]   7.50% [39],[49]      
Principal Amount, Par Value $ 22,500 [32],[34],[42] $ 22,500 [37],[49]              
Cost 22,243 [32],[42] 22,212 [49]              
Fair Value $ 21,168 [32],[42] $ 22,613 [49]              
Investment, Identifier [Axis]: Idera, Inc., Second lien 2                  
Spread 6.75% [32],[33] 6.75% [36],[39] 6.75% [32],[33] 6.75% [32],[33]   6.75% [36],[39]      
Interest Rate 10.50% [32],[33],[41] 7.50% [36],[39] 10.50% [32],[33],[41] 10.50% [32],[33],[41]   7.50% [36],[39]      
Principal Amount, Par Value $ 3,000 [32],[33],[34] $ 3,000 [36],[37]              
Cost 2,986 [32],[33] 2,986 [36]              
Fair Value $ 2,822 [32],[33] $ 3,015 [36]              
Investment, Identifier [Axis]: Infogain Corporation, First lien                  
Spread [35],[39],[48]   5.75%       5.75%      
Interest Rate [35],[39],[48]   6.75%       6.75%      
Principal Amount, Par Value [35],[37],[48]   $ 19,090              
Cost [35],[48]   18,953              
Fair Value [35],[48]   $ 18,946              
Percent of Net Assets   1.41%       1.41%      
Investment, Identifier [Axis]: Infogain Corporation, First lien - Drawn                  
Spread [32],[33],[40] 5.75%   5.75% 5.75%          
Interest Rate [32],[33],[40],[41] 10.17%   10.17% 10.17%          
Principal Amount, Par Value [32],[33],[34],[40] $ 1,068                
Cost [32],[33],[40] 1,060                
Fair Value [32],[33],[40] 1,048                
Investment, Identifier [Axis]: Infogain Corporation, First lien - Undrawn                  
Principal Amount, Par Value 2,759 [32],[33],[34],[40] $ 3,827 [35],[36],[37],[43]              
Cost (21) [32],[33],[40] (29) [35],[36],[43]              
Fair Value $ (52) [32],[33],[40] $ (29) [35],[36],[43]              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
Investment, Identifier [Axis]: Infogain Corporation, First lien 1                  
Spread [32],[47] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[47] 10.17%   10.17% 10.17%          
Principal Amount, Par Value [32],[34],[47] $ 18,898                
Cost [32],[47] 18,780                
Fair Value [32],[47] $ 18,545                
Investment, Identifier [Axis]: Infogain Corporation, First lien 2                  
Spread [32],[44] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[44] 10.17%   10.17% 10.17%          
Principal Amount, Par Value [32],[34],[44] $ 7,923                
Cost [32],[44] 7,849                
Fair Value [32],[44] $ 7,775                
Investment, Identifier [Axis]: Infogain Corporation, Subordinated                  
Spread [32],[33] 8.25%   8.25% 8.25%          
Interest Rate [32],[33],[41] 12.93%   12.93% 12.93%          
Principal Amount, Par Value [32],[33],[34] $ 17,245                
Cost [32],[33] 17,039                
Fair Value [32],[33] $ 16,846                
Investment, Identifier [Axis]: Integro Parent Inc., First lien                  
Spread [35],[39],[48]   5.75%       5.75%      
Interest Rate [35],[39],[48]   6.75%       6.75%      
Principal Amount, Par Value [35],[37],[48]   $ 33,986              
Cost [35],[48]   33,947              
Fair Value [35],[48]   $ 33,239              
Investment, Identifier [Axis]: Integro Parent Inc., First lien - Drawn                  
Spread [35],[36],[39],[43]   4.50%       4.50%      
Interest Rate [35],[36],[39],[43]   4.80%       4.80%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 6,743              
Cost [35],[36],[43]   6,709              
Fair Value [35],[36],[43]   $ 6,685              
Investment, Identifier [Axis]: Integro Parent Inc., First lien 1                  
Spread [32],[46],[47] 12.25%   12.25% 12.25%          
Interest Rate [32],[41],[47] 16.83%   16.83% 16.83%          
Principal Amount, Par Value [32],[34],[47] $ 4,187                
Cost [32],[47] 4,184                
Fair Value [32],[47] $ 4,187                
Investment, Identifier [Axis]: Integro Parent Inc., First lien 2                  
Spread [32],[33],[46] 12.25%   12.25% 12.25%          
Interest Rate [32],[33],[41] 16.83%   16.83% 16.83%          
Principal Amount, Par Value [32],[33],[34] $ 827                
Cost [32],[33] 823                
Fair Value [32],[33] $ 828                
Investment, Identifier [Axis]: Integro Parent Inc., Second lien                  
Spread 12.25% [32],[33],[46] 9.25% [35],[38],[39] 12.25% [32],[33],[46] 12.25% [32],[33],[46]   9.25% [35],[38],[39]      
Interest Rate 16.83% [32],[33],[41] 10.25% [35],[38],[39] 16.83% [32],[33],[41] 16.83% [32],[33],[41]   10.25% [35],[38],[39]      
Principal Amount, Par Value $ 11,510 [32],[33],[34] $ 10,000 [35],[37],[38]              
Cost 11,109 [32],[33] 9,969 [35],[38]              
Fair Value 8,718 [32],[33] $ 9,534 [35],[38]              
Investment, Identifier [Axis]: Integro Parent Inc., Second lien, Non-accrual status                  
Principal Amount, Par Value         $ 4,029        
Cost 3,888                
Fair Value $ 3,051                
Investment, Identifier [Axis]: KAMC Holdings, Inc, Second lien 1                  
Spread [35],[39],[48]   8.00%       8.00%      
Interest Rate [35],[39],[48]   8.16%       8.16%      
Principal Amount, Par Value [35],[37],[48]   $ 18,750              
Cost [35],[48]   18,642              
Fair Value [35],[48]   $ 16,352              
Investment, Identifier [Axis]: KAMC Holdings, Inc, Second lien 2                  
Spread [35],[38],[39]   8.00%       8.00%      
Interest Rate [35],[38],[39]   8.16%       8.16%      
Principal Amount, Par Value [35],[37],[38]   $ 18,750              
Cost [35],[38]   18,642              
Fair Value [35],[38]   $ 16,352              
Investment, Identifier [Axis]: KAMC Holdings, Inc., Second lien 1                  
Spread [32],[47] 8.00%   8.00% 8.00%          
Interest Rate [32],[41],[47] 12.65%   12.65% 12.65%          
Principal Amount, Par Value [32],[34],[47] $ 18,750                
Cost [32],[47] 18,657                
Fair Value [32],[47] $ 15,938                
Investment, Identifier [Axis]: KAMC Holdings, Inc., Second lien 2                  
Spread [32],[44] 8.00%   8.00% 8.00%          
Interest Rate [32],[41],[44] 12.65%   12.65% 12.65%          
Principal Amount, Par Value [32],[34],[44] $ 18,750                
Cost [32],[44] 18,657                
Fair Value [32],[44] $ 15,937                
Investment, Identifier [Axis]: KPSKY Acquisition Inc., First lien                  
Spread [35],[38],[39]   5.50%       5.50%      
Interest Rate [35],[38],[39]   6.25%       6.25%      
Principal Amount, Par Value [35],[37],[38]   $ 7,039              
Cost [35],[38]   6,970              
Fair Value [35],[38]   $ 6,968              
Investment, Identifier [Axis]: KPSKY Acquisition Inc., First lien - Drawn                  
Spread 4.50% [32],[40],[47] 4.50% [35],[36],[39],[43] 4.50% [32],[40],[47] 4.50% [32],[40],[47]   4.50% [35],[36],[39],[43]      
Interest Rate 12.00% [32],[40],[41],[47] 7.75% [35],[36],[39],[43] 12.00% [32],[40],[41],[47] 12.00% [32],[40],[41],[47]   7.75% [35],[36],[39],[43]      
Principal Amount, Par Value $ 145 [32],[34],[40],[47] $ 402 [35],[36],[37],[43]              
Cost 144 [32],[40],[47] 398 [35],[36],[43]              
Fair Value 139 [32],[40],[47] 398 [35],[36],[43]              
Investment, Identifier [Axis]: KPSKY Acquisition Inc., First lien - Undrawn                  
Principal Amount, Par Value 1,022 [32],[34],[40],[47] 403 [35],[36],[37],[43]              
Cost 0 [32],[40],[47] 0 [35],[36],[43]              
Fair Value $ (45) [32],[40],[47] $ (4) [35],[36],[43]              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
Investment, Identifier [Axis]: KPSKY Acquisition Inc., First lien 1                  
Spread [32],[44] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[44] 9.89%   9.89% 9.89%          
Principal Amount, Par Value [32],[34],[44] $ 6,968                
Cost [32],[44] 6,908                
Fair Value [32],[44] $ 6,662                
Investment, Identifier [Axis]: KPSKY Acquisition Inc., First lien 2                  
Spread [32],[47] 4.50%   4.50% 4.50%          
Interest Rate [32],[41],[47] 12.00%   12.00% 12.00%          
Principal Amount, Par Value [32],[34],[47] $ 801                
Cost [32],[47] 794                
Fair Value [32],[47] $ 766                
Investment, Identifier [Axis]: Kaseya Inc., First lien                  
Spread [32],[47] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[47] 10.33%   10.33% 10.33%          
Principal Amount, Par Value [25],[32],[34],[47] $ 63,093                
Cost [25],[32],[47] 62,647                
Fair Value [25],[32],[47] $ 62,172                
Percent of Net Assets 4.69%   4.69% 4.69%          
Investment, Identifier [Axis]: Kaseya Inc., First lien - Drawn                  
Spread [35],[36],[39],[43],[45]   5.50%       5.50%      
PIK [35],[36],[39],[43],[45]   1.00%       1.00%      
Interest Rate [35],[36],[39],[43],[45]   7.50%       7.50%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 1,541              
Cost [35],[36],[43]   1,528              
Fair Value [35],[36],[43]   1,541              
Investment, Identifier [Axis]: Kaseya Inc., First lien - Undrawn 1                  
Principal Amount, Par Value $ 3,851 [32],[33],[34],[40] 2,129 [35],[36],[37],[43]              
Cost 0 [32],[33],[40] (19) [35],[36],[43]              
Fair Value (56) [32],[33],[40] 0 [35],[36],[43]              
Investment, Identifier [Axis]: Kaseya Inc., First lien - Undrawn 2                  
Principal Amount, Par Value 3,851 [32],[33],[34],[40] 2,312 [35],[36],[37],[43]              
Cost (29) [32],[33],[40] (23) [35],[36],[43]              
Fair Value $ (56) [32],[33],[40] $ 0 [35],[36],[43]              
Investment, Identifier [Axis]: Kaseya Inc., First lien 1                  
Spread [35],[38],[39],[45]   5.50%       5.50%      
PIK [35],[38],[39],[45]   1.00%       1.00%      
Interest Rate [35],[38],[39],[45]   7.50%       7.50%      
Principal Amount, Par Value [35],[37],[38]   $ 29,094              
Cost [35],[38]   28,926              
Fair Value [35],[38]   $ 29,094              
Investment, Identifier [Axis]: Kaseya Inc., First lien 2                  
Spread [35],[38],[39],[45]   5.50%       5.50%      
PIK [35],[38],[39],[45]   1.00%       1.00%      
Interest Rate [35],[38],[39],[45]   7.50%       7.50%      
Principal Amount, Par Value [35],[37],[38]   $ 7,795              
Cost [35],[38]   7,733              
Fair Value [35],[38]   $ 7,795              
Investment, Identifier [Axis]: Kaseya Inc., First lien 3                  
Spread [35],[36],[39],[45]   5.50%       5.50%      
PIK [35],[36],[39],[45]   1.00%       1.00%      
Interest Rate [35],[36],[39],[45]   7.50%       7.50%      
Principal Amount, Par Value [35],[36],[37]   $ 3,405              
Cost [35],[36]   3,380              
Fair Value [35],[36]   $ 3,405              
Investment, Identifier [Axis]: Kele Holdco, Inc., First lien                  
Spread 5.25% [32],[57] 6.00% [39],[58] 5.25% [32],[57] 5.25% [32],[57]   6.00% [39],[58]      
Interest Rate 9.42% [32],[41],[57] 7.00% [39],[58] 9.42% [32],[41],[57] 9.42% [32],[41],[57]   7.00% [39],[58]      
Principal Amount, Par Value $ 15,788 [32],[34],[57] $ 15,949 [37],[58]              
Cost 15,742 [32],[57] 15,890 [58]              
Fair Value $ 15,788 [32],[57] $ 15,870 [58]              
Percent of Net Assets 1.19%   1.19% 1.19%          
Investment, Identifier [Axis]: Kele Holdco, Inc., First lien - Drawn                  
Spread [36],[39],[43]   6.00%       6.00%      
Interest Rate [36],[39],[43]   7.00%       7.00%      
Principal Amount, Par Value [36],[37],[43]   $ 630              
Cost [36],[43]   627              
Fair Value [36],[43]   627              
Investment, Identifier [Axis]: Kele Holdco, Inc., First lien - Undrawn                  
Principal Amount, Par Value $ 1,799 [32],[33],[34],[40] 1,169 [36],[37],[43]              
Cost (9) [32],[33],[40] (6) [36],[43]              
Fair Value $ 0 [32],[33],[40] $ (6) [36],[43]              
Percent of Net Assets 0.00% (0.00%) 0.00% 0.00%   (0.00%)      
Investment, Identifier [Axis]: Keystone Acquisition Corp., First lien                  
Spread [39],[48]   5.25%       5.25%      
Interest Rate [39],[48]   6.25%       6.25%      
Principal Amount, Par Value [37],[48]   $ 23,981              
Cost [48]   23,918              
Fair Value [48]   $ 23,861              
Investment, Identifier [Axis]: Keystone Acquisition Corp., Second lien                  
Spread [35],[39],[48]   9.25%       9.25%      
Interest Rate [35],[39],[48]   10.25%       10.25%      
Principal Amount, Par Value [35],[37],[48]   $ 4,500              
Cost [35],[48]   4,476              
Fair Value [35],[48]   $ 4,500              
Investment, Identifier [Axis]: Knockout Intermediate Holdings I Inc., Preferred shares                  
Principal Amount, Shares (in shares) | shares [25],[32],[33],[34] 15,150   15,150 15,150          
Cost [25],[32],[33] $ 14,961                
Fair Value [25],[32],[33] $ 14,661                
Percent of Net Assets 1.11%   1.11% 1.11%          
Investment, Identifier [Axis]: MED Parentco, LP, Second lien                  
Spread 8.25% [44] 8.25% [38],[39] 8.25% [44] 8.25% [44]   8.25% [38],[39]      
Interest Rate 12.63% [41],[44] 8.35% [38],[39] 12.63% [41],[44] 12.63% [41],[44]   8.35% [38],[39]      
Principal Amount, Par Value $ 20,857 [34],[44] $ 20,857 [37],[38]              
Cost 20,752 [44] 20,735 [38]              
Fair Value $ 15,726 [44] $ 20,883 [38]              
Percent of Net Assets 1.19% 1.56% 1.19% 1.19%   1.56%      
Investment, Identifier [Axis]: MRI Software LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [32],[33],[34],[40] $ 2,002                
Cost [32],[33],[40] (10)                
Fair Value [32],[33],[40] (45)                
Investment, Identifier [Axis]: MRI Software LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [35],[37],[43],[48]   $ 9,364              
Cost [35],[43],[48]   0              
Fair Value [35],[43],[48]   0              
Investment, Identifier [Axis]: MRI Software LLC, First lien - Undrawn 2                  
Principal Amount, Par Value 4,074 [32],[33],[34],[40] 2,002 [35],[36],[37],[43]              
Cost 0 [32],[33],[40] (10) [35],[36],[43]              
Fair Value $ (92) [32],[33],[40] $ 0 [35],[36],[43]              
Investment, Identifier [Axis]: MRI Software LLC, First lien 1                  
Spread 5.50% [32],[57] 5.50% [35],[39],[58] 5.50% [32],[57] 5.50% [32],[57]   5.50% [35],[39],[58]      
Interest Rate 10.23% [32],[41],[57] 6.50% [35],[39],[58] 10.23% [32],[41],[57] 10.23% [32],[41],[57]   6.50% [35],[39],[58]      
Principal Amount, Par Value $ 21,879 [32],[34],[57] $ 22,104 [35],[37],[58]              
Cost 21,817 [32],[57] 22,024 [35],[58]              
Fair Value $ 21,383 [32],[57] $ 22,104 [35],[58]              
Investment, Identifier [Axis]: MRI Software LLC, First lien 2                  
Spread 5.50% [32],[47] 5.50% [35],[39],[48] 5.50% [32],[47] 5.50% [32],[47]   5.50% [35],[39],[48]      
Interest Rate 10.23% [32],[41],[47] 6.50% [35],[39],[48] 10.23% [32],[41],[47] 10.23% [32],[41],[47]   6.50% [35],[39],[48]      
Principal Amount, Par Value $ 4,615 [32],[34],[47] $ 6,205 [35],[37],[48]              
Cost 4,606 [32],[47] 6,182 [35],[48]              
Fair Value $ 4,511 [32],[47] $ 6,205 [35],[48]              
Investment, Identifier [Axis]: MRI Software LLC, First lien 3                  
Spread 5.50% [32],[47] 5.50% [35],[36],[39] 5.50% [32],[47] 5.50% [32],[47]   5.50% [35],[36],[39]      
Interest Rate 10.23% [32],[41],[47] 6.50% [35],[36],[39] 10.23% [32],[41],[47] 10.23% [32],[41],[47]   6.50% [35],[36],[39]      
Principal Amount, Par Value $ 3,173 [32],[34],[47] $ 818 [35],[36],[37]              
Cost 3,163 [32],[47] 814 [35],[36]              
Fair Value $ 3,101 [32],[47] $ 818 [35],[36]              
Investment, Identifier [Axis]: MRI Software LLC, First lien 4                  
Spread 5.50% [32],[33] 5.50% [35],[39],[48] 5.50% [32],[33] 5.50% [32],[33]   5.50% [35],[39],[48]      
Interest Rate 10.23% [32],[33],[41] 6.50% [35],[39],[48] 10.23% [32],[33],[41] 10.23% [32],[33],[41]   6.50% [35],[39],[48]      
Principal Amount, Par Value $ 3,664 [32],[33],[34] $ 319 [35],[37],[48]              
Cost 3,656 [32],[33] 318 [35],[48]              
Fair Value $ 3,581 [32],[33] $ 319 [35],[48]              
Investment, Identifier [Axis]: MRI Software LLC, First lien 5                  
Spread [32],[33] 5.50%   5.50% 5.50%          
Interest Rate [32],[33],[41] 10.23%   10.23% 10.23%          
Principal Amount, Par Value [32],[33],[34] $ 810                
Cost [32],[33] 807                
Fair Value [32],[33] $ 791                
Investment, Identifier [Axis]: NHME Holdings Corp., Ordinary shares                  
Principal Amount, Shares (in shares) | shares 640,000 [28],[34] 640,000 [29],[35],[36],[37] 640,000 [28],[34] 640,000 [28],[34]   640,000 [29],[35],[36],[37]      
Cost $ 4,000 [28] $ 4,000 [29],[35],[36]              
Fair Value $ 0 [28] $ 2,000 [29],[35],[36]              
Percent of Net Assets 0.00% 0.15% 0.00% 0.00%   0.15%      
Investment, Identifier [Axis]: NHME Holdings Corp., Warrants                  
Principal Amount, Shares (in shares) | shares 160,000 [32],[33],[34] 160,000 [29],[35],[36],[37] 160,000 [32],[33],[34] 160,000 [32],[33],[34]   160,000 [29],[35],[36],[37]      
Cost $ 1,000 [32],[33] $ 1,000 [29],[35],[36]              
Fair Value $ 0 [32],[33] $ 500 [29],[35],[36]              
Percent of Net Assets 0.00% 0.04% 0.00% 0.00%   0.04%      
Investment, Identifier [Axis]: NM APP Canada Corp., Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 0 [32],[68] $ 7,345 [35],[69]              
Fair Value $ 0 [32],[68] $ 9,422 [35],[69]              
Percent of Net Assets 0.00% 0.70% 0.00% 0.00%   0.70%      
Investment, Identifier [Axis]: NM APP US LLC, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 0 [32],[68] $ 5,080 [35],[69]              
Fair Value $ 0 [32],[68] $ 14,891 [35],[69]              
Percent of Net Assets 0.00% 1.11% 0.00% 0.00%   1.11%      
Investment, Identifier [Axis]: NM CLFX LP, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 12,538 [32],[68] $ 12,538 [35],[69]              
Fair Value $ 16,172 [32],[68] $ 24,676 [35],[69]              
Percent of Net Assets 1.22% 1.84% 1.22% 1.22%   1.84%      
Investment, Identifier [Axis]: NM DRVT LLC, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 0 [32],[68] $ 5,152 [35],[69]              
Fair Value $ 0 [32],[68] $ 7,984 [35],[69]              
Percent of Net Assets 0.00% 0.59% 0.00% 0.00%   0.59%      
Investment, Identifier [Axis]: NM GLCR LP, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 0 [32],[68] $ 14,750 [35],[69]              
Fair Value $ 0 [32],[68] $ 50,687 [35],[69]              
Percent of Net Assets 0.00% 3.77% 0.00% 0.00%   3.77%      
Investment, Identifier [Axis]: NM GP Holdco, LLC, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 861 [32],[68] $ 998 [35],[69]              
Fair Value $ 1,028 [22],[32],[68] $ 1,197 [7],[35],[69]              
Percent of Net Assets 0.08% 0.09% 0.08% 0.08%   0.09%      
Investment, Identifier [Axis]: NM GRC Holdco, LLC, First lien 1                  
Spread [35],[39],[45],[48]   6.00%       6.00%      
PIK [35],[39],[45],[48]   1.50%       1.50%      
Interest Rate [35],[39],[45],[48]   8.50%       8.50%      
Principal Amount, Par Value [35],[37],[48]   $ 38,561              
Cost [35],[48]   38,485              
Fair Value [35],[48]   $ 38,561              
Investment, Identifier [Axis]: NM GRC Holdco, LLC, First lien 2                  
Spread [35],[39],[45],[48]   6.00%       6.00%      
PIK [35],[39],[45],[48]   1.50%       1.50%      
Interest Rate [35],[39],[45],[48]   8.50%       8.50%      
Principal Amount, Par Value [35],[37],[48]   $ 10,718              
Cost [35],[48]   10,695              
Fair Value [35],[48]   $ 10,718              
Investment, Identifier [Axis]: NM JRA LLC, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 0 [32],[68] $ 2,043 [35],[69]              
Fair Value $ 0 [32],[68] $ 3,996 [35],[69]              
Percent of Net Assets 0.00% 0.30% 0.00% 0.00%   0.30%      
Investment, Identifier [Axis]: NM KRLN LLC, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 0 [32],[68] $ 9,222 [35],[69]              
Fair Value $ 0 [32],[68] $ 244 [35],[69]              
Percent of Net Assets 0.00% 0.02% 0.00% 0.00%   0.02%      
Investment, Identifier [Axis]: NM NL Holdings, L.P., Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 76,370 [32],[68] $ 87,203 [35],[69]              
Fair Value $ 94,305 [22],[32],[68] $ 107,870 [7],[35],[69]              
Percent of Net Assets 7.11% 8.03% 7.11% 7.11%   8.03%      
Investment, Identifier [Axis]: NM YI, LLC, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[34],[68] 0 [35],[37],[69] 0 [32],[34],[68] 0 [32],[34],[68]   0 [35],[37],[69]      
Cost $ 6,272 [32],[68] $ 6,272 [35],[69]              
Fair Value $ 9,481 [32],[68] $ 8,286 [35],[69]              
Percent of Net Assets 0.71% 0.62% 0.71% 0.71%   0.62%      
Investment, Identifier [Axis]: NMC Crimson Holdings, Inc., First lien - Drawn                  
Spread [32],[33],[40] 6.00%   6.00% 6.00%          
Interest Rate [32],[33],[40],[41] 10.39%   10.39% 10.39%          
Principal Amount, Par Value [32],[33],[34],[40] $ 1,635                
Cost [32],[33],[40] 1,611                
Fair Value [32],[33],[40] 1,624                
Investment, Identifier [Axis]: NMC Crimson Holdings, Inc., First lien - Undrawn                  
Principal Amount, Par Value 9,029 [32],[33],[34],[40] $ 10,664 [35],[36],[37],[43]              
Cost 0 [32],[33],[40] 0 [35],[36],[43]              
Fair Value $ (63) [32],[33],[40] $ (160) [35],[36],[43]              
Percent of Net Assets (0.00%) (0.01%) (0.00%) (0.00%)   (0.01%)      
Investment, Identifier [Axis]: NMC Crimson Holdings, Inc., First lien 1                  
Spread 6.00% [32],[44] 6.00% [35],[38],[39] 6.00% [32],[44] 6.00% [32],[44]   6.00% [35],[38],[39]      
Interest Rate 9.74% [32],[41],[44] 6.75% [35],[38],[39] 9.74% [32],[41],[44] 9.74% [32],[41],[44]   6.75% [35],[38],[39]      
Principal Amount, Par Value $ 19,259 [32],[34],[44] $ 19,259 [35],[37],[38]              
Cost 19,033 [32],[44] 18,998 [35],[38]              
Fair Value $ 19,124 [32],[44] $ 18,970 [35],[38]              
Investment, Identifier [Axis]: NMC Crimson Holdings, Inc., First lien 2                  
Spread 6.00% [32],[47] 6.00% [35],[39],[48] 6.00% [32],[47] 6.00% [32],[47]   6.00% [35],[39],[48]      
Interest Rate 9.74% [32],[41],[47] 6.75% [35],[39],[48] 9.74% [32],[41],[47] 9.74% [32],[41],[47]   6.75% [35],[39],[48]      
Principal Amount, Par Value $ 4,913 [32],[34],[47] $ 4,913 [35],[37],[48]              
Cost 4,855 [32],[47] 4,846 [35],[48]              
Fair Value $ 4,879 [32],[47] $ 4,839 [35],[48]              
Investment, Identifier [Axis]: NMFC Senior Loan Program III LLC, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[33],[34] 0 [35],[36],[37] 0 [32],[33],[34] 0 [32],[33],[34]   0 [35],[36],[37]      
Cost $ 140,000 [32],[33] $ 140,000 [35],[36]              
Fair Value $ 140,000 [22],[32],[33] $ 140,000 [7],[35],[36]              
Percent of Net Assets 10.56% 10.43% 10.56% 10.56%   10.43%      
Investment, Identifier [Axis]: NMFC Senior Loan Program IV LLC, Membership interest                  
Principal Amount, Shares (in shares) | shares 0 [32],[33],[34] 0 [35],[36],[37] 0 [32],[33],[34] 0 [32],[33],[34]   0 [35],[36],[37]      
Cost $ 112,400 [32],[33] $ 112,400 [35],[36]              
Fair Value $ 112,400 [22],[32],[33] $ 112,400 [7],[35],[36]              
Percent of Net Assets 8.48% 8.37% 8.48% 8.48%   8.37%      
Investment, Identifier [Axis]: National HME, Inc., Second lien                  
Cost $ 25,276                
Fair Value $ 5,381                
Investment, Identifier [Axis]: National HME, Inc., Second lien 1                  
PIK [32],[33],[46],[50] 12.00%   12.00% 12.00%          
Interest Rate 12.00% [32],[33],[41] 12.00% [35],[36],[39],[45] 12.00% [32],[33],[41] 12.00% [32],[33],[41]   12.00% [35],[36],[39],[45]      
Principal Amount, Par Value $ 13,013 [32],[33],[34] $ 21,016 [35],[36],[37]              
Cost 12,583 [32],[33] 18,816 [35],[36]              
Fair Value $ 5,381 [32],[33] $ 13,030 [35],[36]              
Investment, Identifier [Axis]: National HME, Inc., Second lien 2                  
PIK [32],[33],[46],[50] 12.00%   12.00% 12.00%          
Interest Rate 12.00% [32],[33],[41] 12.00% [35],[36],[39],[45] 12.00% [32],[33],[41] 12.00% [32],[33],[41]   12.00% [35],[36],[39],[45]      
Principal Amount, Par Value $ 14,500 [32],[33],[34] $ 15,148 [35],[36],[37]              
Cost 12,693 [32],[33] 14,621 [35],[36]              
Fair Value $ 0 [32],[33] $ 11,817 [35],[36]              
Investment, Identifier [Axis]: New Benevis Holdco, Inc., First lien 3                  
Spread [35],[36],[39],[45]   2.50%       2.50%      
PIK [35],[36],[39],[45]   7.00%       7.00%      
Interest Rate [35],[36],[39],[45]   10.50%       10.50%      
Principal Amount, Par Value [35],[36],[37]   $ 3,992              
Cost [35],[36]   3,992              
Fair Value [35],[36]   $ 3,992              
Investment, Identifier [Axis]: New Benevis Holdco, Inc., First lien 1                  
Spread 2.50% [32],[46],[47] 2.50% [35],[39],[45],[48] 2.50% [32],[46],[47] 2.50% [32],[46],[47]   2.50% [35],[39],[45],[48]      
PIK 7.00% [32],[46],[47] 7.00% [35],[39],[45],[48] 7.00% [32],[46],[47] 7.00% [32],[46],[47]   7.00% [35],[39],[45],[48]      
Interest Rate 14.23% [32],[41],[47] 10.50% [35],[39],[45],[48] 14.23% [32],[41],[47] 14.23% [32],[41],[47]   10.50% [35],[39],[45],[48]      
Principal Amount, Par Value $ 35,541 [32],[34],[47] $ 33,133 [35],[37],[48]              
Cost 35,541 [32],[47] 33,133 [35],[48]              
Fair Value $ 35,541 [32],[47] $ 33,133 [35],[48]              
Investment, Identifier [Axis]: New Benevis Holdco, Inc., First lien 2                  
Spread 2.50% [46] 2.50% [35],[38],[39],[45] 2.50% [46] 2.50% [46]   2.50% [35],[38],[39],[45]      
PIK 7.00% [46] 7.00% [35],[38],[39],[45] 7.00% [46] 7.00% [46]   7.00% [35],[38],[39],[45]      
Interest Rate 14.23% [32],[41],[44] 10.50% [35],[38],[39],[45] 14.23% [32],[41],[44] 14.23% [32],[41],[44]   10.50% [35],[38],[39],[45]      
Principal Amount, Par Value $ 8,720 [32],[34],[44] $ 8,129 [35],[37],[38]              
Cost 8,720 [32],[44] 8,129 [35],[38]              
Fair Value $ 8,720 [32],[44] $ 8,129 [35],[38]              
Investment, Identifier [Axis]: New Benevis Holdco, Inc., First lien 3                  
Spread [32],[33],[46] 2.50%   2.50% 2.50%          
PIK [32],[33],[46] 7.00%   7.00% 7.00%          
Interest Rate [32],[33],[41] 14.23%   14.23% 14.23%          
Principal Amount, Par Value [32],[33],[34] $ 4,282                
Cost [32],[33] 4,282                
Fair Value [32],[33] $ 4,282                
Investment, Identifier [Axis]: New Benevis Holdco, Inc., Subordinated                  
PIK [32],[33],[46] 12.00%   12.00% 12.00%          
Interest Rate 12.00% [32],[33],[41] 12.00% [35],[36],[39] 12.00% [32],[33],[41] 12.00% [32],[33],[41]   12.00% [35],[36],[39]      
Principal Amount, Par Value $ 18,687 [32],[33],[34] $ 16,556 [35],[36],[37]              
Cost 16,874 [32],[33] 14,250 [35],[36]              
Fair Value $ 14,950 [32],[33] $ 13,603 [35],[36]              
Investment, Identifier [Axis]: New Benevis Topco, LLC, Ordinary shares 1                  
Principal Amount, Shares (in shares) | shares 269,027 [32],[34],[47] 269,027 [35],[37],[48] 269,027 [32],[34],[47] 269,027 [32],[34],[47]   269,027 [35],[37],[48]      
Cost $ 27,154 [32],[47] $ 27,154 [35],[48]              
Fair Value $ 34,490 [32],[47] $ 34,548 [35],[48]              
Investment, Identifier [Axis]: New Benevis Topco, LLC, Ordinary shares 2                  
Principal Amount, Shares (in shares) | shares 66,007 [32],[34],[44] 66,007 [35],[37],[38] 66,007 [32],[34],[44] 66,007 [32],[34],[44]   66,007 [35],[37],[38]      
Cost $ 6,662 [32],[44] $ 6,662 [35],[38]              
Fair Value $ 8,462 [32],[44] $ 8,476 [35],[38]              
Investment, Identifier [Axis]: New Benevis Topco, LLC, Ordinary shares 3                  
Principal Amount, Shares (in shares) | shares 60,068 [32],[33],[34] 60,068 [35],[36],[37] 60,068 [32],[33],[34] 60,068 [32],[33],[34]   60,068 [35],[36],[37]      
Cost $ 6,106 [32],[33] $ 6,105 [35],[36]              
Fair Value $ 7,701 [32],[33] $ 7,714 [35],[36]              
Investment, Identifier [Axis]: New Permian Holdco, Inc., Ordinary shares                  
Principal Amount, Shares (in shares) | shares 100 [32],[33],[34] 100 [35],[36],[37] 100 [32],[33],[34] 100 [32],[33],[34]   100 [35],[36],[37]      
Cost $ 11,155 [32],[33] $ 11,155 [35],[36]              
Fair Value $ 26,000 [32],[33] $ 11,000 [35],[36]              
Percent of Net Assets 1.96% 0.82% 1.96% 1.96%   0.82%      
Investment, Identifier [Axis]: New Permian Holdco, L.L.C., First lien                  
PIK [32],[33],[46] 18.00%   18.00% 18.00%          
Interest Rate 18.00% [32],[33],[41] 18.00% [35],[36],[39],[45] 18.00% [32],[33],[41] 18.00% [32],[33],[41]   18.00% [35],[36],[39],[45]      
Principal Amount, Par Value $ 21,779 [32],[33],[34] $ 18,216 [35],[36],[37]              
Cost 21,779 [32],[33] 18,216 [35],[36]              
Fair Value $ 21,779 [32],[33] $ 18,216 [35],[36]              
Investment, Identifier [Axis]: New Permian Holdco, L.L.C., First lien - Drawn                  
Spread 9.00% [32],[33],[40],[46] 9.00% [35],[36],[39],[43],[45] 9.00% [32],[33],[40],[46] 9.00% [32],[33],[40],[46]   9.00% [35],[36],[39],[43],[45]      
Interest Rate 13.12% [32],[33],[40],[41] 10.00% [35],[36],[39],[43],[45] 13.12% [32],[33],[40],[41] 13.12% [32],[33],[40],[41]   10.00% [35],[36],[39],[43],[45]      
Principal Amount, Par Value $ 9,785 [32],[33],[34],[40] $ 5,543 [35],[36],[37],[43]              
Cost 9,785 [32],[33],[40] 5,543 [35],[36],[43]              
Fair Value 9,785 [32],[33],[40] 5,543 [35],[36],[43]              
Investment, Identifier [Axis]: New Permian Holdco, L.L.C., First lien - Undrawn                  
Principal Amount, Par Value 1,577 [32],[33],[34],[40] 4,977 [35],[36],[37],[43]              
Cost 0 [32],[33],[40] 0 [35],[36],[43]              
Fair Value $ 0 [32],[33],[40] $ 0 [35],[36],[43]              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Investment, Identifier [Axis]: New Trojan Parent, Inc., Second lien                  
Spread 7.25% [32],[47] 7.25% [39],[48] 7.25% [32],[47] 7.25% [32],[47]   7.25% [39],[48]      
Interest Rate 11.63% [32],[41],[47] 7.75% [39],[48] 11.63% [32],[41],[47] 11.63% [32],[41],[47]   7.75% [39],[48]      
Principal Amount, Par Value $ 26,762 [32],[34],[47] $ 26,762 [37],[48]              
Cost 26,653 [32],[47] 26,640 [48]              
Fair Value $ 20,101 [32],[47] $ 26,762 [48]              
Percent of Net Assets 1.52% 1.99% 1.52% 1.52%   1.99%      
Investment, Identifier [Axis]: Notorious Topco, LLC, First lien                  
Spread [35],[38],[39]   6.50%       6.50%      
Interest Rate [35],[38],[39]   7.50%       7.50%      
Principal Amount, Par Value [35],[37],[38]   $ 10,153              
Cost [35],[38]   10,078              
Fair Value [35],[38]   $ 10,077              
Investment, Identifier [Axis]: Notorious Topco, LLC, First lien - Drawn                  
Spread [35],[36],[39],[43]   6.50%       6.50%      
Interest Rate [35],[36],[39],[43]   7.50%       7.50%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 147              
Cost [35],[36],[43]   146              
Fair Value [35],[36],[43]   146              
Investment, Identifier [Axis]: Notorious Topco, LLC, First lien - Drawn 1                  
Spread [32],[33],[40] 6.75%   6.75% 6.75%          
Interest Rate [32],[33],[40],[41] 10.99%   10.99% 10.99%          
Principal Amount, Par Value [32],[33],[34],[40] $ 876                
Cost [32],[33],[40] 873                
Fair Value [32],[33],[40] $ 861                
Investment, Identifier [Axis]: Notorious Topco, LLC, First lien - Drawn 2                  
Spread [32],[33],[40] 6.75%   6.75% 6.75%          
Interest Rate [32],[33],[40],[41] 10.99%   10.99% 10.99%          
Principal Amount, Par Value [32],[33],[34],[40] $ 147                
Cost [32],[33],[40] 146                
Fair Value [32],[33],[40] 145                
Investment, Identifier [Axis]: Notorious Topco, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value 587 [32],[33],[34],[40] 734 [35],[36],[37],[43]              
Cost (7) [32],[33],[40] (6) [35],[36],[43]              
Fair Value (10) [32],[33],[40] (6) [35],[36],[43]              
Investment, Identifier [Axis]: Notorious Topco, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value 734 [32],[33],[34],[40] 1,467 [35],[36],[37],[43]              
Cost (6) [32],[33],[40] 0 [35],[36],[43]              
Fair Value $ (12) [32],[33],[40] $ (11) [35],[36],[43]              
Investment, Identifier [Axis]: Notorious Topco, LLC, First lien 1                  
Spread [32],[44] 6.75%   6.75% 6.75%          
Interest Rate [32],[41],[44] 10.99%   10.99% 10.99%          
Principal Amount, Par Value [32],[34],[44] $ 10,051                
Cost [32],[44] 9,987                
Fair Value [32],[44] $ 9,882                
Investment, Identifier [Axis]: Notorious Topco, LLC, First lien 2                  
Spread [32],[44] 6.75%   6.75% 6.75%          
Interest Rate [32],[41],[44] 10.99%   10.99% 10.99%          
Principal Amount, Par Value [32],[34],[44] $ 9,925                
Cost [32],[44] 9,857                
Fair Value [32],[44] 9,758                
Investment, Identifier [Axis]: OA Buyer, Inc., First lien                  
Spread [39],[48]   6.00%       6.00%      
Interest Rate [39],[48]   6.75%       6.75%      
Principal Amount, Par Value [37],[48],[70]   $ 28,201              
Cost [48],[70]   27,920              
Fair Value [48],[70]   $ 27,919              
Percent of Net Assets   2.08%       2.08%      
Investment, Identifier [Axis]: OA Buyer, Inc., First lien - Undrawn                  
Principal Amount, Par Value 3,600 [12],[32],[33],[34],[40] $ 3,600 [36],[37],[43],[70]              
Cost (36) [12],[32],[33],[40] (36) [36],[43],[70]              
Fair Value $ (29) [12],[32],[33],[40] $ (36) [36],[43],[70]              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
Investment, Identifier [Axis]: OA Buyer, Inc., First lien 1                  
Spread [32],[47] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[47] 10.13%   10.13% 10.13%          
Principal Amount, Par Value [32],[34],[47] $ 27,989                
Cost [32],[47] 27,742                
Fair Value [32],[47] $ 27,763                
Investment, Identifier [Axis]: OA Buyer, Inc., First lien 2                  
Spread [32],[47] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[47] 10.13%   10.13% 10.13%          
Principal Amount, Par Value [32],[34],[47] $ 1,772                
Cost [32],[47] 1,755                
Fair Value [32],[47] $ 1,757                
Investment, Identifier [Axis]: OA Topco, L.P., Ordinary shares                  
Principal Amount, Shares (in shares) | shares 2,000,000 [12],[32],[33],[34] 2,000,000 [36],[37],[70] 2,000,000 [12],[32],[33],[34] 2,000,000 [12],[32],[33],[34]   2,000,000 [36],[37],[70]      
Cost $ 2,000 [12],[32],[33] $ 2,000 [36],[70]              
Fair Value $ 2,000 [12],[32],[33] $ 2,000 [36],[70]              
Percent of Net Assets 0.15% 0.15% 0.15% 0.15%   0.15%      
Investment, Identifier [Axis]: OEC Holdco, LLC, Preferred shares                  
Principal Amount, Shares (in shares) | shares 7,214 [8],[32],[34],[71] 7,214 [9],[37],[72] 7,214 [8],[32],[34],[71] 7,214 [8],[32],[34],[71]   7,214 [9],[37],[72]      
Cost $ 7,565 [8],[32],[71] $ 7,142 [9],[72]              
Fair Value $ 7,214 [8],[32],[71] $ 7,142 [9],[72]              
Percent of Net Assets 0.54% 0.53% 0.54% 0.54%   0.53%      
Investment, Identifier [Axis]: OEConnection LLC, Second lien 1                  
Spread 7.00% [32],[47] 7.00% [39],[48] 7.00% [32],[47] 7.00% [32],[47]   7.00% [39],[48]      
Interest Rate 11.42% [32],[41],[47] 7.50% [39],[48] 11.42% [32],[41],[47] 11.42% [32],[41],[47]   7.50% [39],[48]      
Principal Amount, Par Value $ 23,406 [32],[34],[47] $ 23,406 [37],[48]              
Cost 23,206 [32],[47] 23,173 [48]              
Fair Value $ 22,687 [32],[47] $ 23,171 [48]              
Investment, Identifier [Axis]: OEConnection LLC, Second lien 2                  
Spread 7.00% [32],[47] 7.00% [39],[48] 7.00% [32],[47] 7.00% [32],[47]   7.00% [39],[48]      
Interest Rate 11.42% [32],[41],[47] 7.50% [39],[48] 11.42% [32],[41],[47] 11.42% [32],[41],[47]   7.50% [39],[48]      
Principal Amount, Par Value $ 12,044 [32],[34],[47] $ 12,044 [37],[48]              
Cost 11,963 [32],[47] 11,950 [48]              
Fair Value $ 11,674 [32],[47] 11,924 [48]              
Investment, Identifier [Axis]: PPV Intermediate Holdings, LLC, First lien                  
Spread [32],[42] 5.75%   5.75% 5.75%          
Interest Rate [32],[41],[42] 9.12%   9.12% 9.12%          
Principal Amount, Par Value [32],[34],[42] $ 6,629                
Cost [32],[42] 6,565                
Fair Value [32],[42] $ 6,500                
Investment, Identifier [Axis]: PPV Intermediate Holdings, LLC, First lien - Drawn                  
Spread [32],[33],[40] 5.75%   5.75% 5.75%          
Interest Rate [32],[33],[40],[41] 10.03%   10.03% 10.03%          
Principal Amount, Par Value [32],[33],[34],[40] $ 131                
Cost [32],[33],[40] 134                
Fair Value [32],[33],[40] 129                
Investment, Identifier [Axis]: PPV Intermediate Holdings, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [32],[33],[34],[40] 355                
Cost [32],[33],[40] (7)                
Fair Value [32],[33],[40] (7)                
Investment, Identifier [Axis]: PPV Intermediate Holdings, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value [32],[34],[40],[42] 885                
Cost [32],[40],[42] 0                
Fair Value [32],[40],[42] $ (17)                
Investment, Identifier [Axis]: PPVA Black Elk (Equity) LLC, Subordinated                  
Spread [32],[33] 0.00%   0.00% 0.00%          
Interest Rate [32],[33],[41] 0.00%   0.00% 0.00%          
Principal Amount, Par Value $ 14,500 [32],[33],[34] 14,500 [35],[36],[37]             $ 20,000
Principal Amount, Shares (in shares) | shares                 20,000,000
Cost 14,500 [32],[33] 14,500 [35],[36]              
Fair Value $ 7,995 [32],[33] $ 10,354 [35],[36]              
Percent of Net Assets 0.60% 0.77% 0.60% 0.60%   0.77%      
Investment, Identifier [Axis]: PPVA Fund, L.P., Collateralized Financing                  
Spread [50],[73] 0.00%   0.00% 0.00%          
Interest Rate [41],[50],[73] 0.00%   0.00% 0.00%          
Principal Amount, Par Value $ 0 [34],[50],[73] $ 0 [37],[52],[74]              
Cost 0 [50],[73] 0 [52],[74]              
Fair Value $ 0 [50],[73] $ 0 [52],[74]              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Investment, Identifier [Axis]: Permian Trust, First lien 1                  
PIK [32],[46],[50],[75] 10.00%   10.00% 10.00%          
Interest Rate 10.00% [32],[41],[75] 10.00% [39] 10.00% [32],[41],[75] 10.00% [32],[41],[75]   10.00% [39]      
Principal Amount, Par Value $ 247 [32],[34],[75] $ 247 [35],[37],[76]              
Cost 0 [32],[75] 0 [35],[76]              
Fair Value $ 0 [32],[75] $ 0 [35],[76]              
Investment, Identifier [Axis]: Permian Trust, First lien 2                  
Spread 10.00% [32],[33],[46],[50] 10.00% [39] 10.00% [32],[33],[46],[50] 10.00% [32],[33],[46],[50]   10.00% [39]      
Interest Rate 11.00% [32],[33],[41] 11.00% [39] 11.00% [32],[33],[41] 11.00% [32],[33],[41]   11.00% [39]      
Principal Amount, Par Value $ 3,409 [32],[33],[34] $ 3,409 [35],[36],[37]              
Cost 0 [32],[33] 0 [35],[36]              
Fair Value $ 0 [32],[33] $ 0 [35],[36]              
Investment, Identifier [Axis]: PhyNet Dermatology LLC, First lien 1                  
Spread 6.25% [32],[47] 5.50% [35],[39],[45],[48] 6.25% [32],[47] 6.25% [32],[47]   5.50% [35],[39],[45],[48]      
PIK [35],[39],[45],[48]   0.50%       0.50%      
Interest Rate 10.80% [32],[41],[47] 7.00% [35],[39],[45],[48] 10.80% [32],[41],[47] 10.80% [32],[41],[47]   7.00% [35],[39],[45],[48]      
Principal Amount, Par Value $ 49,270 [32],[34],[47] $ 49,617 [35],[37],[48]              
Cost 49,116 [32],[47] 49,374 [35],[48]              
Fair Value $ 49,270 [32],[47] $ 49,617 [35],[48]              
Investment, Identifier [Axis]: PhyNet Dermatology LLC, First lien 2                  
Spread 6.25% [32],[47] 5.50% [35],[36],[39],[45] 6.25% [32],[47] 6.25% [32],[47]   5.50% [35],[36],[39],[45]      
PIK [35],[36],[39],[45]   0.50%       0.50%      
Interest Rate 10.80% [32],[41],[47] 7.00% [35],[36],[39],[45] 10.80% [32],[41],[47] 10.80% [32],[41],[47]   7.00% [35],[36],[39],[45]      
Principal Amount, Par Value $ 18,726 [32],[34],[47] $ 18,966 [35],[36],[37]              
Cost 18,663 [32],[47] 18,848 [35],[36]              
Fair Value 18,726 [32],[47] $ 18,966 [35],[36]              
Investment, Identifier [Axis]: Pioneer Buyer I, LLC, First lien                  
Spread [35],[38],[39],[45]   7.00%       7.00%      
Interest Rate [35],[38],[39],[45]   7.75%       7.75%      
Principal Amount, Par Value [35],[37],[38],[77]   $ 13,628              
Cost [35],[38],[77]   13,496              
Fair Value [35],[38],[77]   $ 13,492              
Percent of Net Assets   1.00%       1.00%      
Investment, Identifier [Axis]: Pioneer Buyer I, LLC, First lien - Undrawn                  
Principal Amount, Par Value 2,446 [19],[32],[33],[34],[40] $ 2,446 [35],[36],[37],[43],[77]              
Cost (24) [19],[32],[33],[40] (24) [35],[36],[43],[77]              
Fair Value $ (32) [19],[32],[33],[40] $ (24) [35],[36],[43],[77]              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
Investment, Identifier [Axis]: Pioneer Buyer I, LLC, First lien 1                  
Spread [32],[44],[46] 7.00%   7.00% 7.00%          
Interest Rate [32],[41],[44] 11.73%   11.73% 11.73%          
Principal Amount, Par Value [32],[34],[44] $ 14,900                
Cost [32],[44] 14,782                
Fair Value [32],[44] $ 14,706                
Investment, Identifier [Axis]: Pioneer Buyer I, LLC, First lien 2                  
Spread [32],[44],[46] 7.00%   7.00% 7.00%          
Interest Rate [32],[41],[44] 11.73%   11.73% 11.73%          
Principal Amount, Par Value [32],[34],[44] $ 2,042                
Cost [32],[44] 2,025                
Fair Value [32],[44] $ 2,016                
Investment, Identifier [Axis]: Pioneer Topco I, L.P., Ordinary shares                  
Principal Amount, Shares (in shares) | shares 199,980 [19],[32],[34],[78] 199,980 [35],[36],[37],[77] 199,980 [19],[32],[34],[78] 199,980 [19],[32],[34],[78]   199,980 [35],[36],[37],[77]      
Cost $ 1,999 [19],[32],[78] $ 2,000 [35],[36],[77]              
Fair Value $ 1,631 [19],[32],[78] $ 2,000 [35],[36],[77]              
Percent of Net Assets 0.12% 0.15% 0.12% 0.12%   0.15%      
Investment, Identifier [Axis]: Project Essential Super Parent, Inc., Preferred shares                  
Principal Amount, Shares (in shares) | shares 10,000 [32],[33],[34],[79] 10,000 [35],[36],[37],[80] 10,000 [32],[33],[34],[79] 10,000 [32],[33],[34],[79]   10,000 [35],[36],[37],[80]      
Cost $ 11,885 [32],[33],[79] $ 10,597 [35],[36],[80]              
Fair Value $ 11,569 [32],[33],[79] $ 10,586 [35],[36],[80]              
Percent of Net Assets 0.87% 0.79% 0.87% 0.87%   0.79%      
Investment, Identifier [Axis]: Pye-Barker Fire & Safety, LLC, First lien                  
Spread [32],[47] 5.50%   5.50% 5.50%          
Interest Rate [32],[41],[47] 10.23%   10.23% 10.23%          
Principal Amount, Par Value [32],[34],[47] $ 5,161                
Cost [32],[47] 5,115                
Fair Value [32],[47] $ 5,014                
Investment, Identifier [Axis]: Pye-Barker Fire & Safety, LLC, First lien - Drawn                  
Spread 5.50% [32],[33],[40] 5.50% [35],[36],[39],[43] 5.50% [32],[33],[40] 5.50% [32],[33],[40]   5.50% [35],[36],[39],[43]      
Interest Rate 10.23% [32],[33],[40],[41] 6.25% [35],[36],[39],[43] 10.23% [32],[33],[40],[41] 10.23% [32],[33],[40],[41]   6.25% [35],[36],[39],[43]      
Principal Amount, Par Value $ 422 [32],[33],[34],[40] $ 2,394 [35],[36],[37],[43]              
Cost 418 [32],[33],[40] 2,370 [35],[36],[43]              
Fair Value 410 [32],[33],[40] $ 2,394 [35],[36],[43]              
Percent of Net Assets   0.18%       0.18%      
Investment, Identifier [Axis]: Pye-Barker Fire & Safety, LLC, First lien - Undrawn                  
Principal Amount, Par Value [32],[33],[34],[40] 483                
Cost [32],[33],[40] (5)                
Fair Value [32],[33],[40] $ (14)                
Percent of Net Assets (0.00%)   (0.00%) (0.00%)          
Investment, Identifier [Axis]: Pye-Barker Fire & Safety, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [35],[36],[37],[43]   $ 2,810              
Cost [35],[36],[43]   0              
Fair Value [35],[36],[43]   0              
Investment, Identifier [Axis]: Pye-Barker Fire & Safety, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value [35],[36],[37],[43]   905              
Cost [35],[36],[43]   (9)              
Fair Value [35],[36],[43]   $ 0              
Investment, Identifier [Axis]: Quartz Holding Company, Second lien                  
Spread 8.00% [32],[33] 8.00% [35],[36],[39] 8.00% [32],[33] 8.00% [32],[33]   8.00% [35],[36],[39]      
Interest Rate 12.38% [32],[33],[41] 8.10% [35],[36],[39] 12.38% [32],[33],[41] 12.38% [32],[33],[41]   8.10% [35],[36],[39]      
Principal Amount, Par Value $ 10,000 [32],[33],[34] $ 10,000 [35],[36],[37]              
Cost 9,877 [32],[33] 9,854 [35],[36]              
Fair Value $ 9,802 [32],[33] $ 10,000 [35],[36]              
Percent of Net Assets 0.74% 0.74% 0.74% 0.74%   0.74%      
Investment, Identifier [Axis]: Recorded Future, Inc., First lien - Undrawn                  
Principal Amount, Par Value $ 2,981 [32],[33],[34],[40] $ 750 [36],[37],[43]              
Cost (20) [32],[33],[40] (4) [36],[43]              
Fair Value $ (25) [32],[33],[40] $ (4) [36],[43]              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
Investment, Identifier [Axis]: Recorded Future, Inc., First lien 1                  
Spread 5.25% [32],[44] 6.00% [38],[39] 5.25% [32],[44] 5.25% [32],[44]   6.00% [38],[39]      
Interest Rate 9.98% [32],[41],[44] 7.00% [38],[39] 9.98% [32],[41],[44] 9.98% [32],[41],[44]   7.00% [38],[39]      
Principal Amount, Par Value $ 24,469 [32],[34],[44] $ 6,219 [37],[38]              
Cost 24,351 [32],[44] 6,199 [38]              
Fair Value $ 24,263 [32],[44] $ 6,188 [38]              
Investment, Identifier [Axis]: Recorded Future, Inc., First lien 2                  
Spread 5.25% [32],[47] 6.00% [38],[39] 5.25% [32],[47] 5.25% [32],[47]   6.00% [38],[39]      
Interest Rate 9.98% [32],[41],[47] 7.00% [38],[39] 9.98% [32],[41],[47] 9.98% [32],[41],[47]   7.00% [38],[39]      
Principal Amount, Par Value $ 12,652 [32],[34],[47] $ 4,776 [37],[38]              
Cost 12,589 [32],[47] 4,750 [38]              
Fair Value $ 12,546 [32],[47] $ 4,752 [38]              
Investment, Identifier [Axis]: Restaurant Technologies, Inc., Second lien                  
Spread [39],[49]   6.50%       6.50%      
Interest Rate [39],[49]   6.60%       6.60%      
Principal Amount, Par Value [37],[49]   $ 6,722              
Cost [49]   6,711              
Fair Value [49]   $ 6,722              
Percent of Net Assets   0.50%       0.50%      
Investment, Identifier [Axis]: Safety Borrower Holdings LLC, First lien                  
Spread 5.25% [32],[47] 5.75% [35],[39],[48] 5.25% [32],[47] 5.25% [32],[47]   5.75% [35],[39],[48]      
Interest Rate 10.41% [32],[41],[47] 6.75% [35],[39],[48] 10.41% [32],[41],[47] 10.41% [32],[41],[47]   6.75% [35],[39],[48]      
Principal Amount, Par Value $ 6,975 [32],[34],[47] $ 5,756 [35],[37],[48]              
Cost 6,946 [32],[47] 5,729 [35],[48]              
Fair Value $ 6,861 [32],[47] $ 5,728 [35],[48]              
Percent of Net Assets 0.52% 0.43% 0.52% 0.52%   0.43%      
Investment, Identifier [Axis]: Safety Borrower Holdings LLC, First lien - Undrawn                  
Principal Amount, Par Value [32],[33],[34],[40] $ 512                
Cost [32],[33],[40] (3)                
Fair Value [32],[33],[40] $ (8)                
Percent of Net Assets (0.00%)   (0.00%) (0.00%)          
Investment, Identifier [Axis]: Safety Borrower Holdings LLC, First lien - Undrawn 1                  
Principal Amount, Par Value [35],[36],[37],[43]   $ 512              
Cost [35],[36],[43]   (3)              
Fair Value [35],[36],[43]   (3)              
Investment, Identifier [Axis]: Safety Borrower Holdings LLC, First lien - Undrawn 2                  
Principal Amount, Par Value [35],[36],[37],[43]   1,279              
Cost [35],[36],[43]   0              
Fair Value [35],[36],[43]   $ (6)              
Investment, Identifier [Axis]: Sierra Hamilton Holdings Corporation, Ordinary shares 1                  
Principal Amount, Shares (in shares) | shares 25,000,000 [32],[34],[47] 25,000,000 [35],[37],[48] 25,000,000 [32],[34],[47] 25,000,000 [32],[34],[47]   25,000,000 [35],[37],[48]      
Cost $ 11,501 [32],[47] $ 11,501 [35],[48]              
Fair Value $ 3,599 [32],[47] $ 3,599 [35],[48]              
Investment, Identifier [Axis]: Sierra Hamilton Holdings Corporation, Ordinary shares 2                  
Principal Amount, Shares (in shares) | shares 2,786,000 [32],[33],[34] 2,786,000 [35],[36],[37] 2,786,000 [32],[33],[34] 2,786,000 [32],[33],[34]   2,786,000 [35],[36],[37]      
Cost $ 1,282 [32],[33] $ 1,282 [35],[36]              
Fair Value $ 401 [32],[33] $ 401 [35],[36]              
Investment, Identifier [Axis]: Sierra Hamilton Holdings Corporation, Second lien                  
PIK [32],[33],[46],[50] 15.00%   15.00% 15.00%          
Interest Rate 15.00% [32],[33],[41] 15.00% [39] 15.00% [32],[33],[41] 15.00% [32],[33],[41]   15.00% [39]      
Principal Amount, Par Value $ 5 [32],[33],[34] $ 5 [35],[36],[37]              
Cost 5 [32],[33] 5 [35],[36]              
Fair Value $ 0 [32],[33] $ 0 [35],[36]              
Percent of Net Assets 0.00% 0.00% 0.00% 0.00%   0.00%      
Investment, Identifier [Axis]: Specialtycare, Inc., First lien                  
Spread 5.75% [32],[47] 5.75% [35],[39],[48] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[39],[48]      
Interest Rate 9.49% [32],[41],[47] 6.75% [35],[39],[48] 9.49% [32],[41],[47] 9.49% [32],[41],[47]   6.75% [35],[39],[48]      
Principal Amount, Par Value $ 10,458 [32],[34],[47] $ 7,224 [35],[37],[48]              
Cost 10,341 [32],[47] 7,122 [35],[48]              
Fair Value $ 10,019 [32],[47] $ 7,115 [35],[48]              
Percent of Net Assets   0.53%       0.53%      
Investment, Identifier [Axis]: Specialtycare, Inc., First lien - Drawn 1                  
Spread [32],[33],[40] 4.00%   4.00% 4.00%          
Interest Rate [32],[33],[40],[41] 8.29%   8.29% 8.29%          
Principal Amount, Par Value [32],[33],[34],[40] $ 212                
Cost [32],[33],[40] 209                
Fair Value [32],[33],[40] $ 204                
Investment, Identifier [Axis]: Specialtycare, Inc., First lien - Drawn 2                  
Spread [32],[33],[40] 5.75%   5.75% 5.75%          
Interest Rate [32],[33],[40],[41] 9.76%   9.76% 9.76%          
Principal Amount, Par Value [32],[33],[34],[40] $ 79                
Cost [32],[33],[40] 75                
Fair Value [32],[33],[40] 75                
Investment, Identifier [Axis]: Specialtycare, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value 347 [32],[33],[34],[40] $ 559 [35],[36],[37],[43]              
Cost (5) [32],[33],[40] (8) [35],[36],[43]              
Fair Value (15) [32],[33],[40] (8) [35],[36],[43]              
Investment, Identifier [Axis]: Specialtycare, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value 868 [32],[33],[34],[40] 671 [35],[36],[37],[43]              
Cost 0 [32],[33],[40] 0 [35],[36],[43]              
Fair Value $ (36) [32],[33],[40] $ (10) [35],[36],[43]              
Investment, Identifier [Axis]: Spring Education Group, Inc (fka SSH Group Holdings, Inc.), Second lien                  
Spread 8.25% [32],[47] 8.25% [39],[48] 8.25% [32],[47] 8.25% [32],[47]   8.25% [39],[48]      
Interest Rate 12.98% [32],[41],[47] 8.47% [39],[48] 12.98% [32],[41],[47] 12.98% [32],[41],[47]   8.47% [39],[48]      
Principal Amount, Par Value $ 21,959 [32],[34],[47] $ 21,959 [37],[48]              
Cost 21,928 [32],[47] 21,921 [48]              
Fair Value $ 21,324 [32],[47] $ 21,282 [48]              
Percent of Net Assets 1.61% 1.59% 1.61% 1.61%   1.59%      
Investment, Identifier [Axis]: Stamps.com Inc., First lien                  
Spread [35],[38],[39]   5.75%       5.75%      
Interest Rate [35],[38],[39]   6.50%       6.50%      
Principal Amount, Par Value [35],[37],[38]   $ 37,273              
Cost [35],[38]   36,911              
Fair Value [35],[38]   $ 36,900              
Percent of Net Assets   2.75%       2.75%      
Investment, Identifier [Axis]: Sun Acquirer Corp., First lien                  
Spread 5.75% [32],[47] 5.75% [35],[39],[48] 5.75% [32],[47] 5.75% [32],[47]   5.75% [35],[39],[48]      
Interest Rate 10.13% [32],[41],[47] 6.50% [35],[39],[48] 10.13% [32],[41],[47] 10.13% [32],[41],[47]   6.50% [35],[39],[48]      
Principal Amount, Par Value $ 3,985 [32],[34],[47] $ 4,025 [35],[37],[48]              
Cost 3,956 [32],[47] 3,991 [35],[48]              
Fair Value $ 3,917 [32],[47] $ 3,985 [35],[48]              
Investment, Identifier [Axis]: Sun Acquirer Corp., First lien - Drawn                  
Spread 5.75% [32],[40],[47] 5.75% [35],[36],[39],[43] 5.75% [32],[40],[47] 5.75% [32],[40],[47]   5.75% [35],[36],[39],[43]      
Interest Rate 10.13% [32],[40],[41],[47] 6.50% [35],[36],[39],[43] 10.13% [32],[40],[41],[47] 10.13% [32],[40],[41],[47]   6.50% [35],[36],[39],[43]      
Principal Amount, Par Value $ 2,791 [32],[34],[40],[47] $ 1,585 [35],[36],[37],[43]              
Cost 2,757 [32],[40],[47] 1,570 [35],[36],[43]              
Fair Value 2,744 [32],[40],[47] 1,570 [35],[36],[43]              
Investment, Identifier [Axis]: Sun Acquirer Corp., First lien - Undrawn 1                  
Principal Amount, Par Value 559 [32],[33],[34],[40] 559 [35],[36],[37],[43]              
Cost (5) [32],[33],[40] (5) [35],[36],[43]              
Fair Value (9) [32],[33],[40] (6) [35],[36],[43]              
Investment, Identifier [Axis]: Sun Acquirer Corp., First lien - Undrawn 2                  
Principal Amount, Par Value 152 [32],[34],[40],[47] 1,378 [35],[36],[37],[43]              
Cost (1) [32],[40],[47] (10) [35],[36],[43]              
Fair Value $ (3) [32],[40],[47] $ (14) [35],[36],[43]              
Investment, Identifier [Axis]: Symplr Software Intermediate Holdings, Inc., Preferred shares 1                  
Principal Amount, Shares (in shares) | shares 7,500 [32],[34],[42] 7,500 [35],[37],[49] 7,500 [32],[34],[42] 7,500 [32],[34],[42]   7,500 [35],[37],[49]      
Cost $ 11,986 [32],[42] $ 10,607 [35],[49]              
Fair Value $ 11,396 [32],[42] $ 10,719 [35],[49]              
Investment, Identifier [Axis]: Symplr Software Intermediate Holdings, Inc., Preferred shares 2                  
Principal Amount, Shares (in shares) | shares 2,586 [32],[33],[34] 2,586 [35],[36],[37] 2,586 [32],[33],[34] 2,586 [32],[33],[34]   2,586 [35],[36],[37]      
Cost $ 4,132 [32],[33] $ 3,657 [35],[36]              
Fair Value $ 3,929 [32],[33] $ 3,695 [35],[36]              
Investment, Identifier [Axis]: Syndigo LLC, Second lien                  
Spread [39],[49]   8.00%       8.00%      
Interest Rate [39],[49]   8.75%       8.75%      
Principal Amount, Par Value [37],[49]   $ 22,500              
Cost [49]   22,347              
Fair Value [49]   $ 22,528              
Percent of Net Assets   1.68%       1.68%      
Investment, Identifier [Axis]: Syndigo LLC, Second lien 1                  
Spread [32],[42] 8.00%   8.00% 8.00%          
Interest Rate [32],[41],[42] 13.21%   13.21% 13.21%          
Principal Amount, Par Value [32],[34],[42] $ 22,500                
Cost [32],[42] 22,363                
Fair Value [32],[42] $ 21,067                
Investment, Identifier [Axis]: Syndigo LLC, Second lien 2                  
Spread [32],[47] 8.00%   8.00% 8.00%          
Interest Rate [32],[41],[47] 13.21%   13.21% 13.21%          
Principal Amount, Par Value [32],[34],[47] $ 5,697                
Cost [32],[47] 5,710                
Fair Value [32],[47] $ 5,334                
Investment, Identifier [Axis]: TMK Hawk Parent, Corp., First lien 1                  
Spread [35],[39],[48]   3.50%       3.50%      
Interest Rate [35],[39],[48]   3.60%       3.60%      
Principal Amount, Par Value [35],[37],[48]   $ 16,563              
Cost [35],[48]   15,121              
Fair Value [35],[48]   $ 13,968              
Investment, Identifier [Axis]: TMK Hawk Parent, Corp., First lien 1                  
Spread [32],[47] 3.50%   3.50% 3.50%          
Interest Rate [32],[41],[47] 8.26%   8.26% 8.26%          
Principal Amount, Par Value [32],[34],[47] $ 16,395                
Cost [32],[47] 15,474                
Fair Value [32],[47] $ 10,657                
Investment, Identifier [Axis]: TMK Hawk Parent, Corp., First lien 2                  
Spread 3.50% [32],[44] 3.50% [35],[38],[39] 3.50% [32],[44] 3.50% [32],[44]   3.50% [35],[38],[39]      
Interest Rate 8.26% [32],[41],[44] 3.60% [35],[38],[39] 8.26% [32],[41],[44] 8.26% [32],[41],[44]   3.60% [35],[38],[39]      
Principal Amount, Par Value $ 15,813 [32],[34],[44] $ 15,975 [35],[37],[38]              
Cost 14,687 [32],[44] 14,219 [35],[38]              
Fair Value $ 10,277 [32],[44] $ 13,473 [35],[38]              
Investment, Identifier [Axis]: TRC Companies L.L.C. (fka Energize Holdco LLC), Second lien                  
Spread [32],[47] 6.75%   6.75% 6.75%          
Interest Rate [32],[41],[47] 11.13%   11.13% 11.13%          
Principal Amount, Par Value [32],[34],[47] $ 7,950                
Cost [32],[47] 7,914                
Fair Value [32],[47] $ 7,488                
Percent of Net Assets 0.56%   0.56% 0.56%          
Investment, Identifier [Axis]: TVG-Edmentum Holdings, LLC, Ordinary shares                  
Principal Amount, Shares (in shares) | shares 48,899 [32],[33],[34] 48,899 [35],[36],[37],[61] 48,899 [32],[33],[34] 48,899 [32],[33],[34]   48,899 [35],[36],[37],[61]      
Cost $ 56,821 [32],[33] $ 52,711 [35],[36],[61]              
Fair Value $ 110,314 [32],[33] $ 114,934 [35],[36],[61]              
Percent of Net Assets 8.32% 8.56% 8.32% 8.32%   8.56%      
Investment, Identifier [Axis]: Tahoe Finco, LLC, First lien - Undrawn                  
Principal Amount, Par Value $ 4,439 [32],[33],[34],[40] $ 4,439 [35],[36],[37],[43]              
Cost (44) [32],[33],[40] (44) [35],[36],[43]              
Fair Value $ (71) [22],[32],[33],[40] $ (44) [7],[35],[36],[43]              
Percent of Net Assets (0.01%) (0.00%) (0.01%) (0.01%)   (0.00%)      
Investment, Identifier [Axis]: Tahoe Finco, LLC, First lien 1                  
Spread 6.00% [32],[47] 6.00% [35],[39],[48] 6.00% [32],[47] 6.00% [32],[47]   6.00% [35],[39],[48]      
Interest Rate 10.29% [32],[41],[47] 6.75% [35],[39],[48] 10.29% [32],[41],[47] 10.29% [32],[41],[47]   6.75% [35],[39],[48]      
Principal Amount, Par Value $ 35,000 [32],[34],[47] $ 35,000 [35],[37],[48]              
Cost 34,700 [32],[47] 34,660 [35],[48]              
Fair Value $ 34,436 [32],[47] $ 34,650 [35],[48]              
Investment, Identifier [Axis]: Tahoe Finco, LLC, First lien 2                  
Spread 6.00% [32],[44] 6.00% [35],[38],[39] 6.00% [32],[44] 6.00% [32],[44]   6.00% [35],[38],[39]      
Interest Rate 10.29% [32],[41],[44] 6.75% [35],[38],[39] 10.29% [32],[41],[44] 10.29% [32],[41],[44]   6.75% [35],[38],[39]      
Principal Amount, Par Value $ 24,189 [32],[34],[44] $ 24,189 [35],[37],[38]              
Cost 23,982 [32],[44] 23,954 [35],[38]              
Fair Value $ 23,800 [32],[44] $ 23,947 [35],[38]              
Investment, Identifier [Axis]: Tenawa Resource Holdings LLC, Ordinary shares                  
Principal Amount, Shares (in shares) | shares [35],[37],[81]   80       80      
Cost [35],[81]   $ 0              
Fair Value [35],[81]   $ 0              
Investment, Identifier [Axis]: Tenawa Resource Holdings LLC, Profit Interest                  
Principal Amount, Shares (in shares) | shares [35],[37],[82]   5       5      
Cost [35],[82]   $ 0              
Fair Value [35],[82]   0              
Investment, Identifier [Axis]: Tenawa Resource Management LLC, First lien - Undrawn                  
Principal Amount, Par Value [35],[36],[37],[43]   8,000              
Cost [35],[36],[43]   0              
Fair Value [35],[36],[43]   $ 0              
Percent of Net Assets   0.00%       0.00%      
Investment, Identifier [Axis]: Tenawa Resource Management LLC, First lien 1                  
Interest Rate [35],[36],[39],[45]   14.00%       14.00%      
Principal Amount, Par Value [35],[36],[37]   $ 31,624              
Cost [35],[36]   18,821              
Fair Value [35],[36]   $ 18,821              
Investment, Identifier [Axis]: Tenawa Resource Management LLC, First lien 2                  
Spread [35],[36],[39]   8.50%       8.50%      
Interest Rate [35],[36],[39]   10.50%       10.50%      
Principal Amount, Par Value [35],[36],[37]   $ 16,000              
Cost [35],[36]   16,000              
Fair Value [35],[36]   $ 16,000              
Investment, Identifier [Axis]: Tennessee Bidco Limited, First lien - Drawn 1                  
Spread [35],[36],[39],[43],[83]   7.00%       7.00%      
Interest Rate [35],[36],[39],[43],[83]   7.47%       7.47%      
Principal Amount, Par Value   $ 5,103       £ 3,771 [35],[36],[37],[43],[83]      
Cost [35],[36],[43],[83]   4,943              
Fair Value [35],[36],[43],[83]   $ 4,976              
Investment, Identifier [Axis]: Tennessee Bidco Limited, First lien - Drawn 2                  
Spread [35],[36],[39],[43]   7.00%       7.00%      
Interest Rate [35],[36],[39],[43]   7.29%       7.29%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 3,708              
Cost [35],[36],[43]   3,652              
Fair Value [35],[36],[43]   3,652              
Investment, Identifier [Axis]: Tennessee Bidco Limited, First lien - Undrawn                  
Principal Amount, Par Value   12,884       £ 9,521 [35],[36],[37],[43],[83]      
Cost [35],[36],[43],[83]   0              
Fair Value [35],[36],[43],[83]   $ (143)              
Percent of Net Assets   (0.01%)       (0.01%)      
Investment, Identifier [Axis]: Tennessee Bidco Limited, First lien 1                  
Spread 7.00% [32],[33],[84] 7.00% [35],[36],[39],[83] 7.00% [32],[33],[84] 7.00% [32],[33],[84]   7.00% [35],[36],[39],[83]      
Interest Rate 10.95% [32],[33],[41],[84] 7.47% [35],[36],[39],[83] 10.95% [32],[33],[41],[84] 10.95% [32],[33],[41],[84]   7.47% [35],[36],[39],[83]      
Principal Amount, Par Value $ 15,562 $ 17,428 £ 12,879 [32],[33],[34],[84]     £ 12,879 [35],[36],[37],[83]      
Cost 17,634 [32],[33],[84] 17,608 [35],[36],[83]              
Fair Value $ 15,562 [32],[33],[84] $ 17,167 [35],[36],[83]              
Investment, Identifier [Axis]: Tennessee Bidco Limited, First lien 2                  
Spread 7.00% [32],[33],[84] 7.00% [39] 7.00% [32],[33],[84] 7.00% [32],[33],[84]   7.00% [39]      
Interest Rate 10.95% [32],[33],[41],[84] 7.15% [39] 10.95% [32],[33],[41],[84] 10.95% [32],[33],[41],[84]   7.15% [39]      
Principal Amount, Par Value   $ 10,184 [37] £ 10,538 [32],[33],[34],[84]            
Cost $ 13,133 [32],[33],[84] 10,037              
Fair Value 12,734 [32],[33],[84] $ 10,032              
Investment, Identifier [Axis]: Tennessee Bidco Limited, First lien 2 and Tennessee Bidco Limited, First lien 5                  
Principal Amount, Par Value $ 13,941                
Investment, Identifier [Axis]: Tennessee Bidco Limited, First lien 3                  
Spread [32],[33] 7.00%   7.00% 7.00%          
Interest Rate [32],[33],[41] 10.38%   10.38% 10.38%          
Principal Amount, Par Value [32],[33],[34] $ 10,184                
Cost [32],[33] 10,055                
Fair Value [32],[33] $ 10,184                
Investment, Identifier [Axis]: Tennessee Bidco Limited, First lien 4                  
Spread [32],[33] 7.00%   7.00% 7.00%          
Interest Rate [32],[33],[41] 11.78%   11.78% 11.78%          
Principal Amount, Par Value [32],[33],[34] $ 6,246                
Cost [32],[33] 6,162                
Fair Value [32],[33] $ 6,246                
Investment, Identifier [Axis]: Tennessee Bidco Limited, First lien 5                  
Spread [32],[33],[84] 7.00%   7.00% 7.00%          
Interest Rate [32],[33],[41],[84] 7.63%   7.63% 7.63%          
Principal Amount, Par Value | € [32],[33],[34],[84]       € 708          
Cost [32],[33],[84] $ 714                
Fair Value [32],[33],[84] $ 757                
Investment, Identifier [Axis]: The Kleinfelder Group, Inc., First lien                  
Spread 5.25% [32],[42] 5.25% [35],[39],[49] 5.25% [32],[42] 5.25% [32],[42]   5.25% [35],[39],[49]      
Interest Rate 9.98% [32],[41],[42] 6.25% [35],[39],[49] 9.98% [32],[41],[42] 9.98% [32],[41],[42]   6.25% [35],[39],[49]      
Principal Amount, Par Value $ 16,533 [32],[34],[42] $ 16,708 [35],[37],[49]              
Cost 16,503 [32],[42] 16,663 [35],[49]              
Fair Value $ 16,241 [32],[42] $ 16,708 [35],[49]              
Percent of Net Assets 1.22% 1.24% 1.22% 1.22%   1.24%      
Investment, Identifier [Axis]: TigerConnect, Inc., First lien                  
Spread [32],[44],[46] 3.63%   3.63% 3.63%          
PIK [32],[44],[46] 3.63%   3.63% 3.63%          
Interest Rate [32],[41],[44] 11.49%   11.49% 11.49%          
Principal Amount, Par Value [32],[34],[44] $ 29,868                
Cost [32],[44] 29,604                
Fair Value [32],[44] $ 29,151                
Investment, Identifier [Axis]: TigerConnect, Inc., First lien - Drawn                  
Spread [32],[40],[46],[47] 3.63%   3.63% 3.63%          
PIK [32],[40],[46],[47] 3.63%   3.63% 3.63%          
Interest Rate [32],[40],[41],[47] 11.49%   11.49% 11.49%          
Principal Amount, Par Value [32],[34],[40],[47] $ 277                
Cost [32],[40],[47] 277                
Fair Value [32],[40],[47] 270                
Investment, Identifier [Axis]: TigerConnect, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value [34] 955                
Cost 0                
Fair Value (23)                
Investment, Identifier [Axis]: TigerConnect, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value [32],[33],[34],[40] 4,267                
Cost [32],[33],[40] (43)                
Fair Value [32],[33],[40] $ (102)                
Investment, Identifier [Axis]: Transcendia Holdings, Inc., Second lien                  
Spread 8.00% [32],[44] 8.00% [35],[38],[39] 8.00% [32],[44] 8.00% [32],[44]   8.00% [35],[38],[39]      
Interest Rate 12.38% [32],[41],[44] 9.00% [35],[38],[39] 12.38% [32],[41],[44] 12.38% [32],[41],[44]   9.00% [35],[38],[39]      
Principal Amount, Par Value $ 14,500 [32],[34],[44] $ 14,500 [35],[37],[38]              
Cost 14,423 [32],[44] 14,396 [35],[38]              
Fair Value $ 12,418 [32],[44] $ 13,445 [35],[38]              
Percent of Net Assets 0.94% 1.00% 0.94% 0.94%   1.00%      
Investment, Identifier [Axis]: Trinity Air Consultants Holdings Corporation, First lien                  
Spread 5.25% [32],[47] 5.25% [35],[39],[48] 5.25% [32],[47] 5.25% [32],[47]   5.25% [35],[39],[48]      
Interest Rate 10.18% [32],[41],[47] 6.00% [35],[39],[48] 10.18% [32],[41],[47] 10.18% [32],[41],[47]   6.00% [35],[39],[48]      
Principal Amount, Par Value $ 15,382 [32],[34],[47] $ 15,382 [35],[37],[48]              
Cost 15,260 [32],[47] 15,238 [35],[48]              
Fair Value $ 15,257 [32],[47] $ 15,228 [35],[48]              
Investment, Identifier [Axis]: Trinity Air Consultants Holdings Corporation, First lien - Drawn                  
Spread [35] 5.25% [32],[47] 5.25% [36],[39],[43] 5.25% [32],[47] 5.25% [32],[47]   5.25% [36],[39],[43]      
Interest Rate [35] 9.40% [32],[41],[47] 6.00% [36],[39],[43] 9.40% [32],[41],[47] 9.40% [32],[41],[47]   6.00% [36],[39],[43]      
Principal Amount, Par Value [35] $ 2,889 [32],[34],[47] $ 1,201 [36],[37],[43]              
Cost [35] 2,863 [32],[47] 1,189 [36],[43]              
Fair Value [35] 2,865 [32],[47] 1,189 [36],[43]              
Investment, Identifier [Axis]: Trinity Air Consultants Holdings Corporation, First lien - Undrawn 1                  
Principal Amount, Par Value 1,501 [32],[33],[34],[40] 300 [35],[36],[37],[43]              
Cost (15) [32],[33],[40] (3) [35],[36],[43]              
Fair Value (12) [32],[33],[40] (3) [35],[36],[43]              
Investment, Identifier [Axis]: Trinity Air Consultants Holdings Corporation, First lien - Undrawn 2                  
Principal Amount, Par Value 2,364 [32],[34],[40],[47] 5,252 [35],[36],[37],[43]              
Cost 0 [32],[40],[47] 0 [35],[36],[43]              
Fair Value (19) [32],[40],[47] $ (53) [35],[36],[43]              
Investment, Identifier [Axis]: USRP Holdings, Inc., First lien - Drawn                  
Spread [36],[39],[43]   5.50%       5.50%      
Interest Rate [36],[39],[43]   6.25%       6.25%      
Principal Amount, Par Value [36],[37],[43]   $ 15              
Cost [36],[43]   15              
Fair Value [36],[43]   15              
Investment, Identifier [Axis]: USRP Holdings, Inc., First lien - Undrawn                  
Principal Amount, Par Value 893 [32],[33],[34],[40] 878 [36],[37],[43]              
Cost (9) [32],[33],[40] (9) [36],[43]              
Fair Value $ (29) [32],[33],[40] $ (9) [36],[43]              
Percent of Net Assets (0.00%) (0.00%) (0.00%) (0.00%)   (0.00%)      
Investment, Identifier [Axis]: USRP Holdings, Inc., First lien 1                  
Spread 5.50% [32],[47] 5.50% [39],[48] 5.50% [32],[47] 5.50% [32],[47]   5.50% [39],[48]      
Interest Rate 10.23% [32],[41],[47] 6.25% [39],[48] 10.23% [32],[41],[47] 10.23% [32],[41],[47]   6.25% [39],[48]      
Principal Amount, Par Value $ 11,311 [32],[34],[47] $ 11,426 [37],[48]              
Cost 11,222 [32],[47] 11,318 [48]              
Fair Value $ 10,945 [32],[47] $ 11,311 [48]              
Investment, Identifier [Axis]: USRP Holdings, Inc., First lien 2                  
Spread 5.50% [32],[33] 5.50% [36],[39] 5.50% [32],[33] 5.50% [32],[33]   5.50% [36],[39]      
Interest Rate 10.23% [32],[33],[41] 6.25% [36],[39] 10.23% [32],[33],[41] 10.23% [32],[33],[41]   6.25% [36],[39]      
Principal Amount, Par Value $ 1,473 [32],[33],[34] $ 1,488 [36],[37]              
Cost 1,460 [32],[33] 1,473 [36]              
Fair Value $ 1,425 [32],[33] $ 1,473 [36]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., First lien 1                  
Spread 5.50% [32],[46],[47] 5.50% [35],[39],[45],[48] 5.50% [32],[46],[47] 5.50% [32],[46],[47]   5.50% [35],[39],[45],[48]      
PIK 2.00% [32],[46],[47] 2.00% [35],[39],[45],[48] 2.00% [32],[46],[47] 2.00% [32],[46],[47]   2.00% [35],[39],[45],[48]      
Interest Rate 10.76% [32],[41],[47] 8.50% [35],[39],[45],[48] 10.76% [32],[41],[47] 10.76% [32],[41],[47]   8.50% [35],[39],[45],[48]      
Principal Amount, Par Value $ 22,367 [32],[34],[47] $ 12,643 [35],[37],[48]              
Cost 21,885 [32],[47] 12,643 [35],[48]              
Fair Value $ 22,367 [32],[47] $ 12,643 [35],[48]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., First lien 2                  
Spread 5.50% [32],[46],[47] 5.50% [35],[36],[39],[45] 5.50% [32],[46],[47] 5.50% [32],[46],[47]   5.50% [35],[36],[39],[45]      
PIK 2.00% [32],[46],[47] 2.00% [35],[36],[39],[45] 2.00% [32],[46],[47] 2.00% [32],[46],[47]   2.00% [35],[36],[39],[45]      
Interest Rate 10.76% [32],[41],[47] 8.50% [35],[36],[39],[45] 10.76% [32],[41],[47] 10.76% [32],[41],[47]   8.50% [35],[36],[39],[45]      
Principal Amount, Par Value $ 3,949 [32],[34],[47] $ 9,363 [35],[36],[37]              
Cost 3,855 [32],[47] 8,628 [35],[36]              
Fair Value 3,949 [32],[47] $ 9,363 [35],[36]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., First lien 3                  
Spread [35],[39],[45],[48]   5.50%       5.50%      
PIK [35],[39],[45],[48]   2.00%       2.00%      
Interest Rate [35],[39],[45],[48]   8.50%       8.50%      
Principal Amount, Par Value [35],[37],[48]   $ 2,528              
Cost [35],[48]   2,528              
Fair Value [35],[48]   $ 2,528              
Investment, Identifier [Axis]: UniTek Global Services, Inc., First lien 4                  
Spread [35],[36],[39],[45]   5.50%       5.50%      
PIK [35],[36],[39],[45]   2.00%       2.00%      
Interest Rate [35],[36],[39],[45]   8.50%       8.50%      
Principal Amount, Par Value [35],[36],[37]   $ 1,354              
Cost [35],[36]   1,208              
Fair Value [35],[36]   $ 1,354              
Investment, Identifier [Axis]: UniTek Global Services, Inc., Junior preferred shares, Non-accrual status                  
Cost 34,393                
Fair Value $ 0                
Investment, Identifier [Axis]: UniTek Global Services, Inc., Ordinary shares 1                  
Principal Amount, Shares (in shares) | shares 2,096,477 [32],[34],[47] 2,096,477 [35],[37],[48] 2,096,477 [32],[34],[47] 2,096,477 [32],[34],[47]   2,096,477 [35],[37],[48]      
Cost $ 1,926 [32],[47] $ 1,925 [35],[48]              
Fair Value $ 0 [32],[47] $ 0 [35],[48]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., Ordinary shares 2                  
Principal Amount, Shares (in shares) | shares 1,993,749 [32],[33],[34] 1,993,749 [35],[36],[37] 1,993,749 [32],[33],[34] 1,993,749 [32],[33],[34]   1,993,749 [35],[36],[37]      
Cost $ 533 [32],[33] $ 532 [35],[36]              
Fair Value $ 0 [32],[33] $ 0 [35],[36]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., Preferred shares 1                  
Principal Amount, Shares (in shares) | shares 15,434,113 [32],[33],[34],[85] 12,697,683 [35],[36],[37],[86] 15,434,113 [32],[33],[34],[85] 15,434,113 [32],[33],[34],[85]   12,697,683 [35],[36],[37],[86]      
Cost $ 15,434 [32],[33],[85] $ 12,698 [35],[36],[86]              
Fair Value $ 11,626 [32],[33],[85] $ 11,085 [35],[36],[86]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., Preferred shares 2                  
Principal Amount, Shares (in shares) | shares 9,173,217 [32],[33],[34],[85] 7,546,829 [35],[36],[37],[86] 9,173,217 [32],[33],[34],[85] 9,173,217 [32],[33],[34],[85]   7,546,829 [35],[36],[37],[86]      
Cost $ 9,173 [32],[33],[85] $ 7,547 [35],[36],[86]              
Fair Value $ 7,670 [32],[33],[85] $ 7,215 [35],[36],[86]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., Preferred shares 3                  
Principal Amount, Shares (in shares) | shares 19,795,435 [32],[33],[34],[50],[87] 19,795,435 [35],[36],[37],[74],[88] 19,795,435 [32],[33],[34],[50],[87] 19,795,435 [32],[33],[34],[50],[87]   19,795,435 [35],[36],[37],[74],[88]      
Cost $ 19,795 [32],[33],[50],[87] $ 19,795 [35],[36],[74],[88]              
Fair Value $ 6,491 [32],[33],[50],[87] $ 396 [35],[36],[74],[88]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., Preferred shares 4                  
Principal Amount, Shares (in shares) | shares 29,326,545 [32],[34],[47],[50],[89] 29,326,545 [35],[37],[48],[74],[90] 29,326,545 [32],[34],[47],[50],[89] 29,326,545 [32],[34],[47],[50],[89]   29,326,545 [35],[37],[48],[74],[90]      
Cost $ 26,946 [32],[47],[50],[89] $ 26,946 [35],[48],[74],[90]              
Fair Value $ 0 [32],[47],[50],[89] $ 0 [35],[48],[74],[90]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., Preferred shares 5                  
Principal Amount, Shares (in shares) | shares 8,104,462 [32],[33],[34],[50],[89] 8,104,462 [35],[36],[37],[74],[90] 8,104,462 [32],[33],[34],[50],[89] 8,104,462 [32],[33],[34],[50],[89]   8,104,462 [35],[36],[37],[74],[90]      
Cost $ 7,447 [32],[33],[50],[89] $ 7,447 [35],[36],[74],[90]              
Fair Value $ 0 [32],[33],[50],[89] $ 0 [35],[36],[74],[90]              
Investment, Identifier [Axis]: UniTek Global Services, Inc., Second lien                  
Interest Rate [35],[36],[39],[45]   15.00%       15.00%      
Principal Amount, Par Value [35],[36],[37]   $ 9,970              
Cost [35],[36]   9,970              
Fair Value [35],[36]   $ 9,970              
Investment, Identifier [Axis]: UniTek Global Services, Inc., Second lien 1                  
PIK [32],[33],[46] 15.00%   15.00% 15.00%          
Interest Rate [32],[33],[41] 15.00%   15.00% 15.00%          
Principal Amount, Par Value [32],[33],[34] $ 11,575                
Cost [32],[33] 11,574                
Fair Value [32],[33] $ 10,384                
Investment, Identifier [Axis]: UniTek Global Services, Inc., Second lien 2                  
PIK [32],[33],[46] 15.00%   15.00% 15.00%          
Interest Rate [32],[33],[41] 15.00%   15.00% 15.00%          
Principal Amount, Par Value [32],[33],[34] $ 5,131                
Cost [32],[33] 5,131                
Fair Value [32],[33] 4,603                
Investment, Identifier [Axis]: UniTek Global Services, Inc., Senior preferred shares, Non-accrual status                  
Principal Amount, Par Value             $ 19,795    
Cost 19,795                
Fair Value $ 6,491                
Investment, Identifier [Axis]: UniTek Global Services, Inc., Warrants                  
Principal Amount, Shares (in shares) | shares 13,305 [32],[33],[34] 8,523 [35],[36],[37] 13,305 [32],[33],[34] 13,305 [32],[33],[34]   8,523 [35],[36],[37]      
Cost $ 0 [32],[33] $ 0 [35],[36]              
Fair Value $ 36,680 [32],[33] $ 13,081 [35],[36]              
Percent of Net Assets 2.77% 0.97% 2.77% 2.77%   0.97%      
Investment, Identifier [Axis]: VT Topco, Inc., Second lien 1                  
Spread 6.75% [32],[47] 6.75% [39],[48] 6.75% [32],[47] 6.75% [32],[47]   6.75% [39],[48]      
Interest Rate 11.13% [32],[41],[47] 7.50% [39],[48] 11.13% [32],[41],[47] 11.13% [32],[41],[47]   7.50% [39],[48]      
Principal Amount, Par Value $ 16,183 [32],[34],[47] $ 16,183 [37],[48]              
Cost 16,137 [32],[47] 16,127 [48]              
Fair Value $ 15,711 [32],[47] $ 16,224 [48]              
Investment, Identifier [Axis]: VT Topco, Inc., Second lien 2                  
Spread 6.75% [32],[42] 6.75% [39],[49] 6.75% [32],[42] 6.75% [32],[42]   6.75% [39],[49]      
Interest Rate 11.13% [32],[41],[42] 6.85% [39],[49] 11.13% [32],[41],[42] 11.13% [32],[41],[42]   6.85% [39],[49]      
Principal Amount, Par Value $ 10,000 [32],[34],[42] $ 10,000 [37],[49]              
Cost 9,987 [32],[42] 9,984 [49]              
Fair Value $ 9,708 [32],[42] $ 10,025 [49]              
Investment, Identifier [Axis]: Vectra Co., Second lien                  
Spread 7.25% [32],[44] 7.25% [38],[39] 7.25% [32],[44] 7.25% [32],[44]   7.25% [38],[39]      
Interest Rate 11.63% [32],[41],[44] 7.35% [38],[39] 11.63% [32],[41],[44] 11.63% [32],[41],[44]   7.35% [38],[39]      
Principal Amount, Par Value $ 10,788 [32],[34],[44] $ 10,788 [37],[38]              
Cost 10,769 [32],[44] 10,764 [38]              
Fair Value $ 7,004 [32],[44] $ 10,586 [38]              
Percent of Net Assets 0.53% 0.79% 0.53% 0.53%   0.79%      
Investment, Identifier [Axis]: Virtusa Corporation, Subordinated                  
Spread [33] 7.13%   7.13% 7.13%          
Interest Rate [33],[41] 7.13%   7.13% 7.13%          
Principal Amount, Par Value [33],[34] $ 5,000                
Cost [33] 3,824                
Fair Value [33] $ 3,817                
Percent of Net Assets 0.29%   0.29% 0.29%          
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien - Drawn                  
Spread [32],[33],[40] 6.00%   6.00% 6.00%          
Interest Rate [32],[33],[40],[41] 10.31%   10.31% 10.31%          
Principal Amount, Par Value [32],[33],[34],[40] $ 7,478                
Cost [32],[33],[40] 7,481                
Fair Value [32],[33],[40] 7,430                
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien - Drawn 1                  
Spread [35],[36],[39],[43]   5.75%       5.75%      
Interest Rate [35],[36],[39],[43]   6.75%       6.75%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 9,390              
Cost [35],[36],[43]   9,367              
Fair Value [35],[36],[43]   $ 9,390              
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien - Drawn 2                  
Spread [35],[36],[39],[43]   5.75%       5.75%      
Interest Rate [35],[36],[39],[43]   6.75%       6.75%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 425              
Cost [35],[36],[43]   424              
Fair Value [35],[36],[43]   425              
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien - Undrawn 1                  
Principal Amount, Par Value 2,040 [32],[33],[34],[40] 678 [35],[36],[37],[43]              
Cost (6) [32],[33],[40] (2) [35],[36],[43]              
Fair Value (13) [32],[33],[40] 0 [35],[36],[43]              
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien - Undrawn 2                  
Principal Amount, Par Value 8,327 [32],[33],[34],[40] 8,257 [35],[36],[37],[43]              
Cost (21) [32],[33],[40] 0 [35],[36],[43]              
Fair Value $ (53) [32],[33],[40] $ 0 [35],[36],[43]              
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien 1                  
Spread [32],[47] 6.00%   6.00% 6.00%          
Interest Rate [32],[41],[47] 10.00%   10.00% 10.00%          
Principal Amount, Par Value [32],[34],[47] $ 18,949                
Cost [32],[47] 18,896                
Fair Value [32],[47] $ 18,827                
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien 2                  
Spread [32],[47] 6.00%   6.00% 6.00%          
Interest Rate [32],[41],[47] 9.41%   9.41% 9.41%          
Principal Amount, Par Value [32],[34],[47] $ 1,254                
Cost [32],[47] 1,243                
Fair Value [32],[47] $ 1,246                
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien 3                  
Spread [32],[47] 6.00%   6.00% 6.00%          
Interest Rate [32],[41],[47] 10.46%   10.46% 10.46%          
Principal Amount, Par Value [32],[34],[47] $ 841                
Cost [32],[47] 833                
Fair Value [32],[47] $ 835                
Investment, Identifier [Axis]: Xactly Corporation, First lien                  
Spread 7.25% [32],[42] 7.25% [35],[39],[49] 7.25% [32],[42] 7.25% [32],[42]   7.25% [35],[39],[49]      
Interest Rate 11.99% [32],[41],[42] 8.25% [35],[39],[49] 11.99% [32],[41],[42] 11.99% [32],[41],[42]   8.25% [35],[39],[49]      
Principal Amount, Par Value $ 19,047 [32],[34],[42] $ 19,047 [35],[37],[49]              
Cost 19,030 [32],[42] 19,005 [35],[49]              
Fair Value $ 19,047 [32],[42] $ 19,047 [35],[49]              
Percent of Net Assets   1.42%       1.42%      
Investment, Identifier [Axis]: Xactly Corporation, First lien - Drawn                  
Spread [32],[33],[40] 7.25%   7.25% 7.25%          
Interest Rate [32],[33],[40],[41] 11.59%   11.59% 11.59%          
Principal Amount, Par Value [32],[33],[34],[40] $ 992                
Cost [32],[33],[40] 982                
Fair Value [32],[33],[40] $ 992                
Investment, Identifier [Axis]: Xactly Corporation, First lien - Undrawn                  
Principal Amount, Par Value [35],[36],[37],[43]   $ 992              
Cost [35],[36],[43]   (10)              
Fair Value [35],[36],[43]   $ 0              
Percent of Net Assets   0.00%       0.00%      
Investment, Identifier [Axis]: YLG Holdings, Inc., First lien - Drawn                  
Spread [32],[33],[40] 5.00%   5.00% 5.00%          
Interest Rate [32],[33],[40],[41] 9.90%   9.90% 9.90%          
Principal Amount, Par Value [32],[33],[34],[40] $ 495                
Cost [32],[33],[40] 506                
Fair Value [32],[33],[40] 482                
Investment, Identifier [Axis]: YLG Holdings, Inc., First lien - Undrawn                  
Principal Amount, Par Value [34] 1,584                
Cost (16)                
Fair Value $ (41)                
Investment, Identifier [Axis]: YLG Holdings, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value [35],[37],[43],[58]   $ 2,078              
Cost [35],[43],[58]   0              
Fair Value [35],[43],[58]   0              
Investment, Identifier [Axis]: YLG Holdings, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value [35],[36],[37],[43]   3,968              
Cost [35],[36],[43]   (20)              
Fair Value [35],[36],[43]   $ 0              
Investment, Identifier [Axis]: YLG Holdings, Inc., First lien 1                  
Spread 5.00% [32],[57] 5.25% [35],[39],[58] 5.00% [32],[57] 5.00% [32],[57]   5.25% [35],[39],[58]      
Interest Rate 9.93% [32],[41],[57] 6.25% [35],[39],[58] 9.93% [32],[41],[57] 9.93% [32],[41],[57]   6.25% [35],[39],[58]      
Principal Amount, Par Value $ 17,861 [32],[34],[57] $ 18,045 [35],[37],[58]              
Cost 17,815 [32],[57] 17,983 [35],[58]              
Fair Value $ 17,393 [32],[57] $ 18,045 [35],[58]              
Investment, Identifier [Axis]: YLG Holdings, Inc., First lien 2                  
Spread 5.00% [32],[57] 5.25% [35],[39],[58] 5.00% [32],[57] 5.00% [32],[57]   5.25% [35],[39],[58]      
Interest Rate 9.93% [32],[41],[57] 6.25% [35],[39],[58] 9.93% [32],[41],[57] 9.93% [32],[41],[57]   6.25% [35],[39],[58]      
Principal Amount, Par Value $ 2,326 [32],[34],[57] $ 2,350 [35],[37],[58]              
Cost 2,319 [32],[57] 2,341 [35],[58]              
Fair Value 2,265 [32],[57] $ 2,350 [35],[58]              
Investment, Identifier [Axis]: YLG Holdings, Inc., First lien) - Undrawn                  
Principal Amount, Par Value [32],[33],[34],[40] 3,968                
Cost [32],[33],[40] (20)                
Fair Value [32],[33],[40] (104)                
Investment, Identifier [Axis]: iCIMS, Inc., First lien - Drawn                  
Spread [35],[36],[39],[43]   6.50%       6.50%      
Interest Rate [35],[36],[39],[43]   7.50%       7.50%      
Principal Amount, Par Value [35],[36],[37],[43]   $ 2,915              
Cost [35],[36],[43]   2,886              
Fair Value [35],[36],[43]   $ 2,915              
Investment, Identifier [Axis]: iCIMS, Inc., First lien - Undrawn 1                  
Principal Amount, Par Value [32],[34],[40],[44] 11,763                
Cost [32],[40],[44] 0                
Fair Value [32],[40],[44] 0                
Investment, Identifier [Axis]: iCIMS, Inc., First lien - Undrawn 2                  
Principal Amount, Par Value [32],[33],[34],[40] 4,218                
Cost [32],[33],[40] (37)                
Fair Value [32],[33],[40] $ (37)                
Investment, Identifier [Axis]: iCIMS, Inc., First lien 1                  
Spread 3.38% [32],[44],[46] 6.50% [35],[38],[39] 3.38% [32],[44],[46] 3.38% [32],[44],[46]   6.50% [35],[38],[39]      
PIK [32],[44],[46] 3.88%   3.88% 3.88%          
Interest Rate 11.52% [32],[41],[44] 7.50% [35],[38],[39] 11.52% [32],[41],[44] 11.52% [32],[41],[44]   7.50% [35],[38],[39]      
Principal Amount, Par Value $ 44,287 [32],[34],[44] $ 41,636 [35],[37],[38]              
Cost 43,917 [32],[44] 41,413 [35],[38]              
Fair Value $ 43,901 [32],[44] $ 41,636 [35],[38]              
Investment, Identifier [Axis]: iCIMS, Inc., First lien 2                  
Spread 7.25% [32],[47] 6.50% [35],[38],[39] 7.25% [32],[47] 7.25% [32],[47]   6.50% [35],[38],[39]      
Interest Rate 11.52% [32],[41],[47] 7.50% [35],[38],[39] 11.52% [32],[41],[47] 11.52% [32],[41],[47]   7.50% [35],[38],[39]      
Principal Amount, Par Value $ 7,366 [32],[34],[47] $ 8,667 [35],[37],[38]              
Cost 7,303 [32],[47] 8,618 [35],[38]              
Fair Value $ 7,311 [32],[47] $ 8,666 [35],[38]              
[1] New Mountain Finance Corporation (the "Company") generally acquires its investments in private transactions exempt from registration under the Securities Act of 1933, as amended (the "Securities Act"). These investments are generally subject to certain limitations on resale, and may be deemed to be "restricted securities" under the Securities Act.
[2] New Mountain Finance Corporation (the "Company") generally acquires its investments in private transactions exempt from registration under the Securities Act of 1933, as amended (the "Securities Act"). These investments are generally subject to certain limitations on resale, and may be deemed to be "restricted securities" under the Securities Act.
[3] Denotes investments in which the Company is an “Affiliated Person”, as defined in the Investment Company Act of 1940, as amended (the "1940 Act"), due to owning or holding the power to vote 5.0% or more of the outstanding voting securities of the investment but not controlling the company. Fair value as of December 31, 2022 and December 31, 2021 along with transactions during the year ended December 31, 2022 in which the issuer was a non-controlled/affiliated investment is as follows:
Portfolio CompanyFair Value at December 31, 2021Gross
Additions (A)
Gross
Redemptions
(B)
Net Change In Unrealized Appreciation (Depreciation)Fair Value at December 31, 2022Net Realized Gains (Losses)Interest
Income
Dividend
Income
Other
Income
Permian Holdco 3, Inc. / Permian Trust$— $— $— $— $— $— $— $— $— 
Sierra Hamilton Holdings Corporation4,000 — — — 4,000 — — — — 
TVG-Edmentum Holdings, LLC / Edmentum Ultimate Holdings, LLC130,775 5,168 — (9,156)126,787 — 2,105 4,109 250 
Total Non-Controlled/Affiliated Investments$134,775 $5,168 $ $(9,156)$130,787 $ $2,105 $4,109 $250 
(A)Gross additions include increases in the cost basis of investments resulting from new portfolio investments, payment-in-kind (“PIK”) interest or dividends, the amortization of discounts, reorganizations or restructurings and the movement at fair value of an existing portfolio company into this category from a different category.
(B)Gross reductions include decreases in the cost basis of investments resulting from principal collections related to investment repayments or sales, reorganizations or restructurings and the movement of an existing portfolio company out of this category into a different category.
[4] Denotes investments in which the Company is an “Affiliated Person”, as defined in the Investment Company Act of 1940, as amended (the "1940 Act"), due to owning or holding the power to vote 5.0% or more of the outstanding voting securities of the investment but not controlling the company. Fair value as of December 31, 2021 and December 31, 2020 along with transactions during the year ended December 31, 2021 in which the issuer was a non-controlled/affiliated investment is as follows:
Portfolio CompanyFair Value at December 31, 2020Gross
Additions (A)
Gross
Redemptions
(B)
Net
Realized
Gains
(Losses)
Net Change In
Unrealized
Appreciation
(Depreciation)
Fair Value at December 31, 2021Interest
Income
Dividend
Income
Other
Income
Permian Holdco 1, Inc. / Permian Holdco 2, Inc. / Permian Holdco 3, Inc. / Permian Trust$— $225 $(12,438)$(12,213)$12,213 $— $— $— $— 
Sierra Hamilton Holdings Corporation4,776 11 (828)41 4,000 188 — 24 
TVG-Edmentum Holdings, LLC / Edmentum Ultimate Holdings, LLC98,236 5,575 (27,287)20,549 54,251 130,775 1,825 5,123 321 
Total Non-Controlled/Affiliated Investments$103,012 $5,811 $(40,553)$8,338 $66,505 $134,775 $2,013 $5,123 $345 
(A)Gross additions include increases in the cost basis of investments resulting from new portfolio investments, payment-in-kind (“PIK”) interest or dividends, the amortization of discounts, reorganizations or restructurings and the movement at fair value of an existing portfolio company into this category from a different category.
(B)Gross reductions include decreases in the cost basis of investments resulting from principal collections related to investment repayments or sales, reorganizations or restructurings and the movement of an existing portfolio company out of this category into a different category.
[5] Denotes investments in which the Company is in “Control”, as defined in the 1940 Act, due to owning or holding the power to vote more than 25.0% of the outstanding voting securities of the investment. Fair value as of December 31, 2022 and December 31, 2021 along with transactions during the year ended December 31, 2022 in which the issuer was a controlled investment, is as follows:
Portfolio CompanyFair Value at December 31, 2021Gross
Additions
(A)
Gross
Redemptions
(B)
Net Change In
Unrealized
Appreciation
(Depreciation)
Fair Value at December 31, 2022Net Realized Gains (Losses)Interest
Income
Dividend
Income
Other
Income
Edmentum Inc.$— $— $— $— $— $54 $— $— $— 
National HME, Inc./NHME Holdings Corp.27,347 (8,161)— (13,805)5,381 — (9,661)— (1,500)
New Benevis Topco, LLC / New Benevis Holdco, Inc.109,595 5,914 — (1,363)114,146 — 8,057 — 1,500 
New Permian Holdco, Inc. / New Permian Holdco, L.L.C.34,759 7,805 — 15,000 57,564 — 4,504 — 511 
NM APP CANADA CORP9,422 — (7,345)(2,077)— 4,212 — 620 713 
NM APP US LLC14,891 — (5,080)(9,811)— 4,489 — 255 483 
NM CLFX LP24,676 — — (8,504)16,172 — — 1,596 — 
NM DRVT LLC7,984 — (5,152)(2,832)— 3,439 — 173 475 
NM JRA LLC3,996 — (2,043)(1,953)— 2,049 — 72 188 
NM GLCR LP50,687 — (14,750)(35,937)— 35,713 — 400 2,150 
NM KRLN LLC244 97 (9,319)8,978 — (9,318)— — — 
NM NL Holdings, L.P.107,870 53 (10,885)(2,733)94,305 — — 8,453 — 
NM GP Holdco, LLC1,197 (138)(32)1,028 — — 94 — 
NM YI LLC8,286 — — 1,195 9,481 — — 828 — 
NMFC Senior Loan Program III LLC140,000 — — — 140,000 — — 17,485 — 
NMFC Senior Loan Program IV LLC112,400 — — — 112,400 — — 13,173 — 
Haven Midstream LLC / Haven Midstream Holdings LLC / QID TRH Holdings LLC 34,821 3,865 (38,685)35,787 35,788 12,802 6,316 — 1,902 
UniTek Global Services, Inc.67,635 13,378 (1,549)24,306 103,770 — 4,738 4,363 724 
Total Controlled Investments$755,810 $22,952 $(94,946)$6,219 $690,035 $53,440 $13,954 $47,512 $7,146 
(A)Gross additions include increases in the cost basis of investments resulting from new portfolio investments, PIK interest or dividends, the amortization of discounts, reorganizations or restructurings and the movement of an existing portfolio company into this category from a different category.
(B)Gross redemptions include decreases in the cost basis of investments resulting from principal collections related to investment repayments or sales, reorganizations or restructurings and the movement of an existing portfolio company out of this category into a different category.
[6] Denotes investments in which the Company is in “Control”, as defined in the 1940 Act, due to owning or holding the power to vote more than 25.0% of the outstanding voting securities of the investment. Fair value as of December 31, 2021 and December 31, 2020 along with transactions during the year ended December 31, 2021 in which the issuer was a controlled investment, is as follows:
Portfolio CompanyFair Value at December 31, 2020Gross
Additions
(A)
Gross
Redemptions
(B)
Net 
Realized
Gains
(Losses)
Net Change In
Unrealized
Appreciation
(Depreciation)
Fair Value at December 31, 2021Interest
Income
Dividend
Income
Other
Income
Edmentum Inc.$— $— $— $2,207 $— $— $— $— $1,200 
National HME, Inc./NHME Holdings Corp.27,530 8,094 — — (8,277)27,347 4,594 — 500 
New Benevis Topco, LLC / New Benevis Holdco, Inc.98,442 5,417 — — 5,736 109,595 6,956 — 1,500 
New Permian Holdco, Inc. / New Permian Holdco, L.L.C.29,336 5,423 — — — 34,759 3,522 — 634 
NM APP CANADA CORP12,302 — — — (2,880)9,422 — 978 — 
NM APP US LLC7,410 — — — 7,481 14,891 — 561 — 
NM CLFX LP14,885 — — — 9,791 24,676 — 1,521 — 
NM DRVT LLC7,084 — — — 900 7,984 — 466 — 
NM JRA LLC3,830 — — — 166 3,996 — 268 — 
NM GLCR LP29,130 — — — 21,557 50,687 — 1,892 — 
NM KRLN LLC1,501 641 — — (1,898)244 — — — 
NM NL Holdings, L.P.67,132 32,757 — — 7,981 107,870 — 7,414 — 
NM GP Holdco, LLC703 415 — — 79 1,197 — 52 — 
NM YI LLC6,852 — — — 1,434 8,286 — 877 — 
NMFC Senior Loan Program I LLC23,000 10,000 (33,000)— — — — 741 — 
NMFC Senior Loan Program II LLC79,400 — (79,400)— — — — 2,410 — 
NMFC Senior Loan Program III LLC120,000 20,000 — — — 140,000 — 16,712 — 
NMFC Senior Loan Program IV LLC— 112,400 — — — 112,400 — 7,767 — 
Tenawa Resource Management LLC / Tenawa Resource Holdings LLC / QID TRH Holdings LLC (C)— 64,776 (45,892)(11,243)15,937 34,821 845 — 
UniTek Global Services, Inc.72,338 6,669 (2,712)(8,660)67,635 3,880 4,497 738 
Total Controlled Investments$600,875 $266,592 $(161,004)$(9,035)$49,347 $755,810 $19,797 $46,156 $4,580 
(A)Gross additions include increases in the cost basis of investments resulting from new portfolio investments, PIK interest or dividends, the amortization of discounts, reorganizations or restructurings and the movement of an existing portfolio company into this category from a different category.
(B)Gross redemptions include decreases in the cost basis of investments resulting from principal collections related to investment repayments or sales, reorganizations or restructurings and the movement of an existing portfolio company out of this category into a different category.
(C)Portfolio company moved into the controlled category from the non-controlled/non-affiliated investment category.
[7] Indicates assets that the Company deems to be “non-qualifying assets” under Section 55(a) of the 1940 Act. Qualifying assets must represent at least 70.0% of the Company’s total assets at the time of acquisition of any additional non-qualifying assets. As of December 31, 2021, 18.0% of the Company’s total assets are represented by investments at fair value that are considered non-qualifying assets.
[8] The Company holds preferred equity in OEC Holdco, LLC, and two second lien term loans in OEConnection LLC, a wholly-owned subsidiary of OEC Holdco, LLC. The preferred equity is entitled to receive prefenential dividends of 11.00% per annum.
[9] The Company holds preferred equity in OEC Holdco, LLC, and two second lien term loans in OEConnection LLC, a wholly-owned subsidiary of OEC Holdco, LLC. The preferred equity is entitled to receive prefenential dividends of 11.00% per annum.
[10] The Company holds investments in two wholly-owned subsidiary of Diamond Parent Holdings Corp. The Company holds three first lien term loans and a first lien revolver in Diligent Corporation and preferred equity in Diligent Preferred Issuer Inc. The preferred equity in Diligent Preferred Issuer Inc. is entitled to receive cumulative preferential dividends at a rate 10.50% per annum.
[11] The Company holds investments in two wholly-owned subsidiary of Diamond Parent Holdings Corp. The Company holds three first lien term loans and a first lien revolver in Diligent Corporation and preferred equity in Diligent Preferred Issuer Inc. The preferred equity in Diligent Preferred Issuer Inc. is entitled to receive cumulative preferential dividends at a rate 10.50% per annum.
[12] The Company holds ordinary shares in OA Topco, L.P., and a first lien term loan and a first lien revolver in OA Buyer, Inc., a wholly-owned subsidiary of OA Topco, L.P.
[13] The Company holds investments in ACI Parent Inc. and a wholly-owned subsidiary of ACI Parent Inc. The Company holds a first lien term loan, a first lien delayed draw and a first lien revolver in ACI Group Holdings, Inc. and preferred equity in ACI Parent Inc. The preferred equity in ACI Parent Inc. is entitled to receive cumulative preferential dividends at a rate of 11.75% per annum.
[14] The Company holds investments in ACI Parent Inc. and a wholly-owned subsidiary of ACI Parent Inc. The Company holds a first lien term loan, a first lien delayed draw and a first lien revolver in ACI Group Holdings, Inc. and preferred equity in ACI Parent Inc. The preferred equity in ACI Parent Inc. is entitled to receive cumulative preferential dividends at a rate of 11.75% per annum
[15] The Company holds ordinary shares in AAC Lender Holdings, LLC and a first lien term loan, first lien revolver and subordinated notes in American Achievement Corporation, a partially-owned subsidiary of AAC Lender Holdings, LLC.
[16] The Company holds ordinary shares in AAC Lender Holdings, LLC and a first lien term loan, first lien revolver and subordinated notes in American Achievement Corporation, a partially-owned subsidiary of AAC Lender Holdings, LLC.
[17] The Company holds ordinary shares in FS WhiteWater Holdings, LLC, and a first lien term loan, a first lien revolver, and two first lien delayed draws in FS WhiteWater Borrwer, LLC, a partially-owned subsidiary of FS WhiteWater Holdings, LLC.
[18] The Company holds ordinary shares in FS WhiteWater Holdings, LLC, and a first lien term loan, a first lien revolver, and two first lien delayed draws in FS WhiteWater Borrwer, LLC, a partially-owned subsidiary of FS WhiteWater Holdings, LLC.
[19] The Company holds ordinary shares in Pioneer Topco I, L.P., and a first lien term loan and a first lien revolver in Pioneer Buyer I, LLC, a wholly-owned subsidiary of Pioneer Topco I, L.P.
[20] The Company holds investments in Education Management Corporation and one related entity of Education Management Corporation. The Company holds series A-1 convertible preferred stock and common stock in Education Management Corporation and holds tranche A first lien term loans and a tranche B first lien term loan in Education Management II LLC, which is an indirect subsidiary of Education Management Corporation.
[21] The Company holds investments in Education Management Corporation and one related entity of Education Management Corporation. The Company holds series A-1 convertible preferred stock and common stock in Education Management Corporation and holds tranche A first lien term loans and a tranche B first lien term loan in Education Management II LLC, which is an indirect subsidiary of Education Management Corporation.
[22] Indicates assets that the Company deems to be “non-qualifying assets” under Section 55(a) of the 1940 Act. Qualifying assets must represent at least 70.0% of the Company’s total assets at the time of acquisition of any additional non-qualifying assets. As of December 31, 2022, 15.3% of the Company’s total assets are represented by investments at fair value that are considered non-qualifying assets.
[23] The Company holds preferred equity in Symplr Software Intermediate Holdings, Inc. that is entitled to receive cumulative preferential dividends at a rate of L + 10.50% per annum.
[24] The Company holds preferred equity in Symplr Software Intermediate Holdings, Inc. that is entitled to receive cumulative preferential dividends at a rate of L + 10.50% per annum.
[25] The Company holds preferred equity in Knockout Intermediate Holdings I Inc. and a first lien term loan, a first lien revolver and a first lien delayed draw in Kaseya, Inc., a wholly-owned subsidiary of Knockout Intermediate Holdings I Inc. The preferred equity is entitled to received cumulative preferential dividends at a rate of 11.75% per annum.
[26] The Company holds ordinary shares in New Benevis Topco, LLC, and holds first lien last out term loans and subordinated notes in New Benevis Holdco Inc., a wholly-owned subsidiary of New Benevis Topco, LLC.
[27] The Company holds ordinary shares in New Benevis Topco, LLC, and holds first lien last out term loans and subordinated notes in New Benevis Holdco Inc., a wholly-owned subsidiary of New Benevis Topco, LLC.
[28] The Company holds ordinary shares and warrants in NHME Holdings Corp., as well as a Tranche A Term Loan and Tranche B Term Loan in National HME, Inc., a whollyowned subsidiary of NHME Holdings Corp.
[29] The Company holds ordinary shares and warrants in NHME Holdings Corp., as well as second lien term loans in National HME, Inc., a wholly-owned subsidiary of NHME Holdings Corp.
[30] The Company holds investments in multiple entities of Haven Midstream Holdings LLC. The Company holds 4.6% of the Class B profits interest in QID NGL, LLC (which at closing represented 97% of the ownership in the class B units in QID TRH Holdings, LLC), class A common units of Haven Midstream Holdings LLC., and holds a first lien revolver in Haven Midstream Holdings LLC.
[31] The Company holds investments in multiple entities of Tenawa Resource Holdings LLC. The Company holds 4.6% of the Class B profits interest in QID NGL, LLC (which at closing represented 97% of the ownership in the class B units in QID TRH Holdings, LLC), class A common units of Tenawa Resource Holdings LLC, and holds a tranche A first lien term loan, a tranche B first lien term loan and a first lien revolver in Tenawa Resource Management LLC.
[32] The fair value of the Company's investment is determined using unobservable inputs that are significant to the overall fair value measurement. See Note 4. Fair Value, for details.
[33] Investment is pledged as collateral for the NMFC Credit Facility, a revolving credit facility among the Company as the Borrower and Goldman Sachs Bank USA as the Administrative Agent and the Collateral Agent and Goldman Sachs Bank USA, Morgan Stanley Bank, N.A., Stifel Bank & Trust and MUFG Union Bank, N.A. as Lenders. See Note 7. Borrowings, for details.
[34] Par amount is denominated in United States Dollar unless otherwise noted, British Pound ("£") and/or Euro ("€").
[35] The fair value of the Company's investment is determined using unobservable inputs that are significant to the overall fair value measurement. See Note 4. Fair Value, for details.
[36] Investment is pledged as collateral for the NMFC Credit Facility, a revolving credit facility among the Company as the Borrower and Goldman Sachs Bank USA as the Administrative Agent and the Collateral Agent and Goldman Sachs Bank USA, Morgan Stanley Bank, N.A., Stifel Bank & Trust and MUFG Union Bank, N.A. as Lenders. See Note 7. Borrowings, for details.
[37] Par amount is denominated in United States Dollar unless otherwise noted, British Pound ("£").
[38] Investment is pledged as collateral for the DB Credit Facility, a revolving credit facility among New Mountain Finance DB, L.L.C as the Borrower and Deutsche Bank AG, New York Branch as the Facility Agent. See Note 7. Borrowings, for details.
[39] All interest is payable in cash unless otherwise indicated. A majority of the variable rate debt investments bear interest at a rate that may be determined by reference to the London Interbank Offered Rate (L), the Prime Rate (P), the Sterling Overnight Interbank Average Rate (Sonia), and the alternative base rate (Base) and which resets daily (D), weekly (W), monthly (M), quarterly (Q), semi-annually (S) or annually (A). For each investment the current interest rate provided reflects the rate in effect as of December 31, 2021.
[40] Par value amounts represent the drawn or undrawn (as indicated in type of investment) portion of revolving credit facilities or delayed draws. Cost amounts represent the cash received at settlement date net of the impact of paydowns and cash paid for drawn revolvers or delayed draws.
[41] All interest is payable in cash unless otherwise indicated. A majority of the variable rate debt investments bear interest at a rate that may be determined by reference to the London Interbank Offered Rate (L), the Prime Rate (P), the Sterling Overnight Interbank Average Rate (SONIA), Secured Overnight Financing Rate (SOFR), Euro Interbank Offered Rate (EURIBOR) and the alternative base rate (Base) and which resets daily (D), weekly (W), monthly (M), quarterly (Q), semi-annually (S) or annually (A). For each investment the current interest rate provided reflects the rate in effect as of December 31, 2022.
[42] Investment is held in New Mountain Finance SBIC, L.P.
[43] Par value amounts represent the drawn or undrawn (as indicated in type of investment) portion of revolving credit facilities or delayed draws. Cost amounts represent the cash received at settlement date net of the impact of paydowns and cash paid for drawn revolvers or delayed draws.
[44] Investment is pledged as collateral for the DB Credit Facility, a revolving credit facility among New Mountain Finance DB, L.L.C as the Borrower and Deutsche Bank AG, New York Branch as the Facility Agent. See Note 7. Borrowings, for details.
[45] All or a portion of interest contains PIK interest.
[46] All or a portion of interest contains PIK interest.
[47] Investment is pledged as collateral for the Holdings Credit Facility, a revolving credit facility among the Company, as the Collateral Manager, New Mountain Finance Holdings, L.L.C. ("NMF Holdings") as the Borrower, Wells Fargo Securities, LLC, as the Administrative Agent and Wells Fargo Bank, National Association, as the Lender and Collateral Custodian. See Note 7. Borrowings, for details.
[48] Investment is pledged as collateral for the Holdings Credit Facility, a revolving credit facility among the Company, as the Collateral Manager, New Mountain Finance Holdings, L.L.C. ("NMF Holdings") as the Borrower and Wells Fargo Bank, National Association as the Administrative Agent and Collateral Custodian. See Note 7. Borrowings, for details.
[49] Investment is held in New Mountain Finance SBIC, L.P.
[50] Investment or a portion of the investment is on non-accrual status. See Note 3. Investments, for details.
[51] Investment is held in NMF Ancora Holdings, Inc.
[52] The Company holds one security purchased under a collateralized agreement to resell on its Consolidated Statement of Assets and Liabilities with a cost basis of $30,000 and a fair value of $21,422 as of December 31, 2021. See Note 2. Summary of Significant Accounting Policies, for details.
[53] The Company holds investments in two wholly-owned subsidiaries of Appriss Health Holdings, Inc. The Company holds a first lien term loan and a first lien revolver in Appriss Health, LLC, and preferred equity in Appriss Health Intermediate Holdings, Inc. The preferred equity is entitled to receive preferential dividends at a rate of 11.00% per annum.
[54] The Company holds investments in two wholly-owned subsidiaries of Appriss Health Holdings, Inc. The company holds a first lien term loan and a first lien revolver in Appriss Health, LLC, and preferred equity in Appriss Health Intermediate Holdings, Inc. The preferred equity is entitled to receive preferential dividends at a rate of 11.00% per annum.
[55] The Company holds preferred equity in Bach Special Limited (Bach Preference Limited) that is entitled to receive cumulative preferential dividends at a rate of 12.25% per annum payable in additional shares.
[56] The Company holds preferred equity in Bach Special Limited (Bach Preference Limited) that is entitled to receive cumulative preferential dividends at a rate of 12.25% per annum payable in additional shares.
[57] Investment is held in New Mountain Finance SBIC II, L.P.
[58] Investment is held in New Mountain Finance SBIC II, L.P.
[59] The Company holds preferred equity in Dealer Tire Holdings, LLC that is entitled to receive cumulative preferential dividends at a rate of 7.00% per annum.
[60] The Company holds preferred equity in Dealer Tire Holdings, LLC that is entitled to receive cumulative preferential dividends at a rate of 7.00% per annum.
[61] The Company holds ordinary shares in TVG-Edmentum Holdings, LLC, and subordinated notes in Edmentum Ultimate Holdings, LLC, a wholly-owned subsidiary of TVG-Edmentum Holdings, LLC. The ordinary shares are entitled to receive cumulative preferential dividends at a rate of 12.0% per annum.
[62] Investment is held in NMF HB, Inc.
[63] The Company holds preferred equity in HB Wealth Management, LLC that is entitled to receive cumulative preferential dividends at a rate of 4.00% per annum.
[64] Investment is held in NMF HB, Inc
[65] The Company holds preferred equity in HB Wealth Management, LLC that is entitled to receive cumulative preferential dividends at a rate of 4.00% per annum.
[66] Investment is held in NMF TRM, LLC.
[67] Investment is held in NMF QID NGL Holdings, Inc.
[68] Investment is held in New Mountain Net Lease Corporation.
[69] Investment is held in New Mountain Net Lease Corporation.
[70] The Company holds ordinary shares in OA Topco, L.P., and a first lien term loan and a first lien revolver in OA Buyer, Inc., a wholly-owned subsidary of OA Topco, L.P.
[71] Investment is held in NMF OEC, Inc.
[72] Investment is held in NMF OEC, Inc.
[73] The Company holds one security purchased under a collateralized agreement to resell on its Consolidated Statement of Assets and Liabilities with a cost basis of $30,000 and a fair value of $16,539 as of December 31, 2022. See Note 2. Summary of Significant Accounting Policies, for details.
[74] Investment or a portion of the investment is on non-accrual status. See Note 3. Investments, for details.
[75] Investment is held in NMF Permian Holdings, LLC.
[76] Investment is held in NMF Permian Holdings, LLC
[77] The Company holds ordinary shares in Pioneer Topco I, L.P., and a first lien term loan and a first lien revolver in Pioneer Buyer I, LLC, a wholly-owned subsidiary of Pioneer Topco I, L.P.
[78] Investment is held in NMF Pioneer, Inc.
[79] The Company holds preferred equity in Project Essential Super Parent, LLC that is entitled to receive cumulative preferential dividends at a rate of L + 9.50% per annum.
[80] The Company holds preferred equity in Project Essential Super Parent, LLC that is entitled to receive cumulative preferential dividends at a rate of L + 9.50% per annum.
[81] Investment is held in NMF TRM, LLC.
[82] Investment is held in NMF QID NGL Holdings, Inc.
[83] Investment is denominated in foreign currency and is translated into U.S. dollars as of the valuation date. As of December 31, 2021, the par value U.S. dollar equivalent of the first lien term loan, drawn first lien term loan and the undrawn first lien term loan is $17,428, $5,103 and $12,884, respectively. See Note 2. Summary of Significant Accounting Policies, for details
[84] Investment is denominated in foreign currency and is translated into U.S. dollars as of the valuation date. As of December 31, 2022, the par value U.S. dollar equivalent of the first lien term loan, and drawn first lien term loan is $15,562 and $13,941, respectively. See Note 2. Summary of Significant Accounting Policies, for details.
[85] The Company holds preferred equity in UniTek Global Services, Inc. that is entitled to received cumulative preferential dividends at a rate of 20.0% per annum payable in additional shares.
[86] The Company holds preferred equity in UniTek Global Services, Inc. that is entitled to received cumulative preferential dividends at a rate of 20.0% per annum payable in additional shares.
[87] The Company holds preferred equity in UniTek Global Services, Inc. that is entitled to receive cumulative preferential dividends at a rate of 19.0% per annum payable in additional shares.
[88] The Company holds preferred equity in UniTek Global Services, Inc. that is entitled to receive cumulative preferential dividends at a rate of 19.0% per annum payable in additional shares.
[89] The Company holds preferred equity in UniTek Global Services, Inc. that is entitled to receive cumulative preferential dividends at a rate of 13.5% per annum payable in additional shares.
[90] The Company holds preferred equity in UniTek Global Services, Inc. that is entitled to receive cumulative preferential dividends at a rate of 13.5% per annum payable in additional shares.