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Investments
3 Months Ended
Mar. 31, 2024
Schedule of Investments [Abstract]  
Investments Investments
At March 31, 2024, the Company's investments consisted of the following:
Investment Cost and Fair Value by Type
 CostFair Value
First lien$1,767,246 $1,756,997 
Second lien457,473 414,958 
Subordinated104,581 95,231 
Equity and other764,886 802,796 
Total investments$3,094,186 $3,069,982 

Investment Cost and Fair Value by Industry
 CostFair Value
Software$869,441 $868,248 
Business Services557,071 544,635 
Healthcare515,624 472,543 
Investment Funds (includes investments in joint ventures)252,400 252,400 
Education199,074 198,620 
Consumer Services175,150 174,980 
Net Lease95,783 122,847 
Distribution & Logistics112,800 116,710 
Financial Services105,938 107,697 
Energy63,179 67,241 
Packaging70,605 61,947 
Food & Beverage24,533 27,608 
Business Products22,529 22,521 
Consumer Products20,764 19,330 
Specialty Chemicals & Materials9,295 12,655 
Total investments$3,094,186 $3,069,982 
At December 31, 2023, the Company’s investments consisted of the following:
Investment Cost and Fair Value by Type
 CostFair Value
First lien$1,709,247 $1,683,952 
Second lien472,930 424,513 
Subordinated100,236 90,948 
Equity and other755,795 811,909 
Total investments$3,038,208 $3,011,322 

Investment Cost and Fair Value by Industry
 CostFair Value
Software$815,065 $809,401 
Business Services561,492 539,926 
Healthcare516,086 477,854 
Investment Funds (includes investments in joint ventures)252,400 252,400 
Education188,851 211,550 
Consumer Services192,796 192,501 
Net Lease95,782 118,407 
Distribution & Logistics118,212 110,721 
Financial Services104,330 105,138 
Energy61,108 65,170 
Packaging43,181 36,007 
Specialty Chemicals & Materials25,329 28,452 
Business Products22,630 22,628 
Food & Beverage20,370 22,055 
Consumer Products20,576 19,112 
Total investments$3,038,208 $3,011,322 
During the second quarter of 2022, the Company placed its second lien position in National HME, Inc. ("National HME") on non-accrual status. As of March 31, 2024, the Company's second lien position in National HME had an aggregate cost basis of $7,872, an aggregate fair value of $3,000 and total unearned interest income of $498, for the three months then ended.
As of March 31, 2024, the Company's aggregate principal amount of its subordinated position and first lien term loans in American Achievement Corporation ("AAC") was $5,230 and $31,406, respectively. During the first quarter of 2021, the Company placed an aggregate principal amount of $5,230 of its subordinated position on non-accrual status. During the third quarter of 2021, the Company placed an initial aggregate principal amount of $13,479 of its first lien term loans on non-accrual status. During the third quarter of 2023, the Company placed the remaining aggregate principal amount of $17,927 of its first lien term loans on non-accrual status. As of March 31, 2024, the Company's positions in AAC on non-accrual status had an aggregate cost basis of $31,369, an aggregate fair value of $20,446 and total unearned interest income of $1,176, for the three months then ended.
During the first quarter of 2020, the Company placed its junior preferred shares in UniTek Global Services, Inc. ("UniTek") on non-accrual status. As of March 31, 2024, the Company's junior preferred shares in UniTek had an aggregate cost basis of $34,393, an aggregate fair value of $0 and total unearned dividend income of $2,078, for the three months then ended. During the third quarter of 2021, the Company placed an aggregate amount of $19,795 of its investment in the senior preferred shares of UniTek on non-accrual status. As of March 31, 2024, the Company's senior preferred shares in UniTek had an aggregate cost basis of $19,795, an aggregate fair value of approximately $3,298 and total unearned dividend income of approximately $1,572, for the three months then ended.
During the fourth quarter of 2023, the Company placed its second lien term loan in Transcendia Holdings, Inc. ("Transcendia") on non-accrual status. As of March 31, 2024, the Company's second lien term loan in Transcendia had an
aggregate cost basis of $14,445, an aggregate fair value of $5,610 and total unearned interest income of $503 for the three months then ended.
During the first quarter of 2024, the Company placed its second lien term loan in New Trojan Parent, Inc. ("Careismatic") on non-accrual status. As of March 31, 2024, the Company's second lien term loan in Careismatic had an aggregate cost basis of $26,778, and aggregate fair value of $450 and total unearned interest income of $972 for the three months then ended.
    As of March 31, 2024, the Company had unfunded commitments on revolving credit facilities and bridge facilities of $119,628 and $0, respectively. As of March 31, 2024, the Company had unfunded commitments in the form of delayed draws or other future funding commitments of $92,525. The unfunded commitments on revolving credit facilities and delayed draws are disclosed on the Company’s Consolidated Schedule of Investments as of March 31, 2024.
As of December 31, 2023, the Company had unfunded commitments on revolving credit facilities and bridge facilities of $112,803 and $0, respectively. As of December 31, 2023, the Company had unfunded commitments in the form of delayed draws or other future funding commitments of $43,948. The unfunded commitments on revolving credit facilities and delayed draws are disclosed on the Company’s Consolidated Schedule of Investments as of December 31, 2023.
PPVA Black Elk (Equity) LLC
On May 3, 2013, the Company entered into a collateralized securities purchase and put agreement (the “SPP Agreement”) with a private hedge fund. Under the SPP Agreement, the Company purchased twenty million Class E Preferred Units of Black Elk Energy Offshore Operations, LLC (“Black Elk”) for $20,000 with a corresponding obligation of the private hedge fund, PPVA Black Elk (Equity) LLC, to repurchase the preferred units for $20,000 plus other amounts due under the SPP Agreement. The majority owner of Black Elk was the private hedge fund. In August 2014, the Company received a payment of $20,540, the full amount due under the SPP Agreement.
In August 2017, a trustee (the “Trustee”) for Black Elk informed the Company that the Trustee intended to assert a fraudulent conveyance claim (the “Claim”) against the Company and one of its affiliates seeking the return of the $20,540 repayment. Black Elk filed a Chapter 11 bankruptcy petition pursuant to the U.S. Bankruptcy Code in August 2015. The Trustee alleged that individuals affiliated with the private hedge fund conspired with Black Elk and others to improperly use proceeds from the sale of certain Black Elk assets to repay, in August 2014, the private hedge fund’s obligation to the Company under the SPP Agreement. The Company was unaware of these claims at the time the repayment was received. The private hedge fund is currently in liquidation under the laws of the Cayman Islands.
On December 22, 2017, the Company settled the Trustee’s $20,540 Claim for $16,000 and filed a claim with the Cayman Islands joint official liquidators of the private hedge fund for $16,000 that is owed to the Company under the SPP Agreement. The SPP Agreement was restored and is in effect since repayment has not been made. The Company continues to exercise its rights under the SPP Agreement and continues to monitor the liquidation process of the private hedge fund. During the year ended December 31, 2018, the Company received a $1,500 payment from its insurance carrier in respect to the settlement. As of March 31, 2024 and December 31, 2023, the SPP Agreement had a cost basis of $14,500 and $14,500, respectively and a fair value of $7,975 and $7,975, respectively, which is reflective of the higher inherent risk in this transaction.
NMFC Senior Loan Program III LLC
NMFC Senior Loan Program III LLC ("SLP III") was formed as a Delaware limited liability company and commenced operations on April 25, 2018. SLP III is structured as a private joint venture investment fund between the Company and SkyKnight Income II, LLC (“SkyKnight II”) and operates under a limited liability company agreement (the "SLP III Agreement"). The purpose of the joint venture is to invest primarily in senior secured loans issued by portfolio companies within the Company's core industry verticals. These investments are typically broadly syndicated first lien loans. All investment decisions must be unanimously approved by the board of managers of SLP III, which has equal representation from the Company and SkyKnight II. SLP III had a five year investment period and will continue in existence until July 8, 2026. The investment period may be extended for up to one year pursuant to certain terms of the SLP III Agreement.
SLP III is capitalized with equity contributions which are called from its members, on a pro-rata basis based on their equity commitments, as transactions are completed. Any decision by SLP III to call down on capital commitments requires approval by the board of managers of SLP III. As of March 31, 2024, the Company and SkyKnight II have committed and contributed $140,000 and $35,000, respectively, of equity to SLP III. The Company’s investment in SLP III is disclosed on the Company’s Consolidated Schedule of Investments as of March 31, 2024 and December 31, 2023.
On May 2, 2018, SLP III entered into its revolving credit facility with Citibank, N.A., which matures on January 8, 2026. Effective July 8, 2021, the reinvestment period was extended to July 8, 2024. As of the amendment on June 23, 2023, during the reinvestment period, the credit facility bears interest at a rate of the Secured Overnight Financing Rate ("SOFR")
plus 1.80%, and after the reinvestment period it will bear interest at a rate of SOFR plus 2.10%. Prior to the amendment on June 23, 2023, the facility bore interest at a rate of London Interbank Offered Rate ("LIBOR") plus 1.60% per annum during the reinvestment period and LIBOR plus 1.90% per annum after the reinvestment period. Effective November 23, 2020, SLP III's revolving credit facility has a maximum borrowing capacity of $525,000. As of March 31, 2024 and December 31, 2023, SLP III had total investments with an aggregate fair value of approximately $653,894 and $636,560, respectively, and debt outstanding under its credit facility of $474,900 and $453,200, respectively. As of March 31, 2024 and December 31, 2023, none of SLP III's investments were on non-accrual. Additionally, as of March 31, 2024 and December 31, 2023, SLP III had unfunded commitments in the form of delayed draws of $1,302 and $1,127, respectively.
Below is a summary of SLP III's portfolio, along with a listing of the individual investments in SLP III's portfolio as of March 31, 2024 and December 31, 2023:
March 31, 2024December 31, 2023
First lien investments (1)$663,438 $657,208 
Weighted average interest rate on first lien investments (2)9.67 %9.79 %
Number of portfolio companies in SLP III88 87 
Largest portfolio company investment (1)$17,836 $17,883 
Total of five largest portfolio company investments (1)$79,243 $79,458 
(1)Reflects principal amount or par value of investment.
(2)Computed as the all in interest rate in effect on accruing investments divided by the total principal amount of investments.
The following table is a listing of the individual investments in SLP III's portfolio as of March 31, 2024:
Portfolio Company and Type of InvestmentIndustryReference SpreadInterest Rate (1)Maturity Date Principal Amount or Par Value CostFair
Value (2)
Funded Investments - First lien
ADMI Corp. (aka Aspen Dental)HealthcareSOFR(M)3.75%9.19%12/2027$2,370 $2,362 $2,294 
AG Parent Holdings, LLCHealthcareSOFR(Q)5.00%10.60%07/20267,275 7,261 7,115 
Aretec Group, Inc. (fka RCS Capital Corporation)Financial ServicesSOFR(M)4.50%9.93%08/20306,610 6,467 6,652 
Ascensus Group Holdings, Inc.Business ServicesSOFR(M)3.50%8.94%08/20282,809 2,799 2,803 
AssuredPartners, IncBusiness ServicesSOFR(M)3.75%9.08%02/20271,970 1,920 1,974 
Aston FinCo S.a r.l.SoftwareSOFR(M)4.25%9.69%10/20265,760 5,736 5,184 
athenahealth Group Inc.HealthcareSOFR(M)3.25%8.58%02/20296,825 6,604 6,769 
Bach Finance LimitedEducationSOFR(Q)3.75%9.07%02/20312,134 2,129 2,142 
Bayou Intermediate II, LLCHealthcareSOFR(Q)4.50%10.08%08/20283,990 3,965 3,970 
BCPE Empire Holdings, Inc.Distribution & LogisticsSOFR(M)4.00%9.33%12/20287,458 7,393 7,478 
Bella Holding Company, LLCHealthcareSOFR(M)3.75%9.18%05/20284,852 4,837 4,851 
BIFM CA Buyer Inc.Business ServicesSOFR(Q)4.25%9.57%05/20283,598 3,551 3,616 
Boxer Parent Company Inc.SoftwareSOFR(M)4.25%9.58%12/202812,352 12,238 12,438 
Bracket Intermediate Holding Corp.HealthcareSOFR(Q)5.00%10.40%05/202814,218 13,853 14,286 
Brown Group Holding, LLCDistribution & LogisticsSOFR(Q)3.00%8.32%07/20292,711 2,661 2,714 
Cardinal Parent, Inc.SoftwareSOFR(Q)4.50%9.95%11/20279,796 9,631 9,184 
CE Intermediate I, LLCSoftwareSOFR(Q)3.50%8.95%11/202810,783 10,729 10,749 
CentralSquare Technologies, LLCSoftwareSOFR(M)3.75%9.18%08/202514,213 14,204 14,212 
Cloudera, Inc.SoftwareSOFR(M)3.75%9.18%10/20287,949 7,805 7,925 
CommerceHub, Inc.SoftwareSOFR(Q)6.25%11.73%12/20273,950 3,559 3,950 
CommerceHub, Inc.SoftwareSOFR(Q)4.00%9.48%12/20276,935 6,864 6,734 
Confluent Health, LLCHealthcareSOFR(M)4.00%9.44%11/20289,770 9,734 9,673 
Confluent Medical Technologies, Inc.HealthcareSOFR(Q)3.75%9.06%02/20296,878 6,852 6,878 
Convey Health Solutions, Inc.HealthcareSOFR(Q)5.25%10.66%09/202612,805 12,550 11,139 
Cornerstone OnDemand, Inc.SoftwareSOFR(M)3.75%9.19%10/20282,579 2,570 2,536 
CRCI Longhorn Holdings, Inc.Business ServicesSOFR(M)3.50%8.93%08/202514,175 14,159 14,195 
CVET Midco 2, L.P.SoftwareSOFR(Q)5.00%10.31%10/20299,881 9,473 9,901 
Dealer Tire Financial, LLCDistribution & LogisticsSOFR(M)3.75%9.08%12/20279,604 9,581 9,688 
DG Investment Intermediate Holdings 2, Inc.Business ServicesSOFR(M)3.75%9.19%03/20287,294 7,275 7,298 
Discovery Purchaser CorporationSpecialty Chemicals & MaterialsSOFR(Q)4.38%9.71%10/20297,510 7,029 7,506 
Dispatch Acquisition Holdings, LLCIndustrial ServicesSOFR(Q)4.25%9.70%03/202815,408 15,083 14,359 
EAB Global, Inc.EducationSOFR(M)3.50%8.94%08/20282,837 2,813 2,844 
Eagle Parent Corp.Business ServicesSOFR(Q)4.25%9.55%04/20297,449 7,332 7,399 
Eisner Advisory Group LLCFinancial ServicesSOFR(M)4.00%9.33%02/20316,709 6,642 6,744 
eResearchTechnology, Inc.HealthcareSOFR(M)4.50%9.94%02/20273,622 3,622 3,637 
Foundational Education Group, Inc.EducationSOFR(Q)3.75%9.32%08/202810,663 10,567 10,663 
Groundworks, LLCBusiness ServicesSOFR(Q)3.50%8.83%03/20315,449 5,394 5,394 
Heartland Dental, LLCHealthcareSOFR(M)5.00%10.33%04/202814,142 13,657 14,186 
Help/Systems Holdings, Inc.SoftwareSOFR(M)4.00%9.43%11/202617,836 17,755 17,287 
Higginbotham Insurance Agency, Inc.Business ServicesSOFR(M)5.50%10.93%11/20288,964 8,917 8,964 
HighTower Holding, LLCFinancial ServicesSOFR(Q)4.00%9.59%04/20284,717 4,687 4,731 
Houghton Mifflin Harcourt CompanyEducationSOFR(M)5.25%10.68%04/20298,131 7,887 8,071 
Hub International LimitedBusiness ServicesSOFR(Q)3.25%8.57%06/20304,326 4,321 4,331 
Idera, Inc.SoftwareSOFR(Q)3.75%9.21%03/202815,591 15,582 15,552 
Inizio Group LimitedHealthcareSOFR(Q)4.25%9.70%08/20284,500 4,464 4,500 
Kestra Advisor Services Holdings A, Inc.Financial ServicesSOFR(Q)4.00%9.30%03/203110,047 10,022 10,072 
LI Group Holdings, Inc.SoftwareSOFR(Q)3.50%9.07%03/20283,737 3,731 3,751 
Portfolio Company and Type of InvestmentIndustryReference SpreadInterest Rate (1)Maturity Date Principal Amount or Par Value CostFair
Value (2)
LSCS Holdings, Inc.HealthcareSOFR(M)4.50%9.94%12/2028$9,175 $9,105 $9,066 
Marcel Bidco LLC (Marcel Bidco GmbH)SoftwareSOFR(M)4.50%9.81%11/20302,837 2,796 2,863 
Maverick Bidco Inc.SoftwareSOFR(Q)4.25%9.82%05/20282,481 2,376 2,478 
Maverick Bidco Inc.SoftwareSOFR(Q)3.75%9.21%05/20283,910 3,898 3,904 
Maverick Bidco Inc.SoftwareSOFR(Q)5.00%10.42%05/20281,980 1,903 1,977 
Mavis Tire Express Services Topco, Corp.RetailSOFR(M)3.75%9.08%05/20284,121 4,108 4,133 
MED ParentCo, LPHealthcareSOFR(M)4.25%9.69%08/202612,426 12,379 12,424 
MH Sub I, LLC (Micro Holding Corp.)Business Services SOFR(M)4.25%9.58%05/20287,130 6,986 7,099 
Netsmart, Inc.HealthcareSOFR(M)3.75%9.19%10/20273,890 3,890 3,903 
Nielsen Consumer Inc.Business ServicesSOFR(M)6.25%11.58%03/202814,888 13,437 14,813 
OMNIA Partners, LLC Business ServicesSOFR(Q)3.75%9.07%07/20306,459 6,398 6,495 
Optiv Parent Inc.Business Services SOFR(Q)5.25%10.57%07/20263,635 3,540 3,531 
Osaic Holdings, Inc.Financial ServicesSOFR(M)4.50%9.83%08/20289,626 9,539 9,675 
Osmosis Buyer LimitedFood & BeverageSOFR(M)3.75%9.07%07/20288,165 8,123 8,183 
Osmosis Buyer LimitedFood & BeverageSOFR(M)4.25%9.58%07/20282,612 2,537 2,624 
Pearls (Netherlands) Bidco B.V.Specialty Chemicals & MaterialsSOFR(Q)3.75%9.06%02/20291,706 1,703 1,706 
Peraton Corp.Federal ServicesSOFR(M)3.75%9.18%02/20284,136 4,123 4,139 
Perforce Software, Inc.SoftwareSOFR(Q)4.75%10.08%03/20315,192 5,166 5,166 
Physician Partners, LLCHealthcareSOFR(Q)4.00%9.46%12/20284,220 4,188 3,176 
Planview Parent, Inc.SoftwareSOFR(Q)4.00%9.56%12/202710,693 10,511 10,669 
Project Alpha Intermediate Holding, Inc.SoftwareSOFR(Q)4.75%10.06%10/203013,745 13,481 13,833 
Project Ruby Ultimate Parent Corp.HealthcareSOFR(M)3.25%8.69%03/20284,296 4,283 4,297 
Quartz Holding CompanySoftwareSOFR(Q)4.00%9.30%10/20289,156 9,110 9,150 
RealPage, Inc.SoftwareSOFR(M)3.00%8.44%04/20284,294 4,287 4,182 
Renaissance Holding Corp.EducationSOFR(M)4.25%9.58%04/20306,596 6,418 6,615 
RLG Holdings, LLCPackagingSOFR(M)4.25%9.69%07/20285,712 5,693 5,661 
RxB Holdings, Inc.HealthcareSOFR(M)5.25%10.58%12/20273,660 3,581 3,679 
RxB Holdings, Inc.HealthcareSOFR(M)4.50%9.94%12/20276,323 6,236 6,346 
Sierra Enterprises, LLCFood & BeverageSOFR(Q)
2.50% + 4.25%/PIK
12.06%05/20272,505 2,504 2,474 
Snap One Holdings Corp.Distribution & LogisticsSOFR(Q)4.50%9.95%12/20286,539 6,491 6,543 
Spring Education Group, Inc.EducationSOFR(Q)4.50%9.81%10/203012,318 12,171 12,392 
Storable, Inc.SoftwareSOFR(M)3.50%8.78%04/20283,775 3,769 3,776 
Symplr Software, Inc.HealthcareSOFR(Q)4.50%9.91%12/202715,520 15,435 14,643 
Syndigo LLCSoftwareSOFR(M)4.50%9.94%12/202714,789 14,724 14,752 
Therapy Brands Holdings LLCHealthcareSOFR(M)4.00%9.44%05/20284,047 4,034 3,784 
Thermostat Purchaser III, Inc.Business ServicesSOFR(Q)4.50%9.99%08/20286,543 6,520 6,470 
TMF Sapphire Bidco B.V.Business ServicesSOFR(Q)4.00%9.33%05/20282,660 2,612 2,672 
TRC Companies LLCBusiness ServicesSOFR(M)3.75%9.19%12/202813,491 13,438 13,481 
UKG Inc.SoftwareSOFR(Q)3.50%8.81%02/20313,841 3,837 3,862 
USI, Inc.Financial ServicesSOFR(Q)3.00%8.30%11/20292,440 2,399 2,444 
Valcour Packaging, LLCPackagingSOFR(M)3.75%9.19%10/20284,448 4,438 3,499 
VSTG Intermediate Holdings, Inc.Business ServicesSOFR(Q)4.75%10.05%07/20294,490 4,468 4,495 
WatchGuard Technologies, Inc.SoftwareSOFR(M)5.25%10.58%07/20295,224 4,941 5,155 
Waystar Technologies, Inc.HealthcareSOFR(M)4.00%9.33%10/20294,983 4,977 5,000 
Wrench Group LLCConsumer ServicesSOFR(Q)4.00%9.57%10/202814,215 14,189 14,283 
Zest Acquisition Corp.HealthcareSOFR(M)5.50%10.83%02/20284,062 3,923 4,047 
Total Funded Investments$662,136 $652,932 $653,898 
Portfolio Company and Type of InvestmentIndustryReference SpreadInterest Rate (1)Maturity Date Principal Amount or Par Value CostFair
Value (2)
Unfunded Investments - First lien
Groundworks, LLCBusiness Services09/2024$1,003 $(5)$(5)
Osmosis Buyer LimitedFood & Beverage07/2028299 — 
Total Unfunded Investments1,302 (5)(4)
Total Investments$663,438 $652,927 $653,894 
(1)All interest is payable in cash unless otherwise indicated. All of the variable rate debt investments bear interest at a rate that may be determined by reference to the Secured Overnight Financing Rate (SOFR). For each investment, the current interest rate provided reflects the rate in effect as of March 31, 2024.
(2)Represents the fair value in accordance with Accounting Standards Codification Topic 820, Fair Value Measurement and Disclosures ("ASC 820"). The Company's board of directors does not determine the fair value of the investments held by SLP III.
The following table is a listing of the individual investments in SLP III's portfolio as of December 31, 2023:
Portfolio Company and Type of InvestmentIndustryReferenceSpreadInterest Rate (1)Maturity DatePrincipal Amount or Par ValueCostFair
Value (2)
Funded Investments - First lien
ADMI Corp. (aka Aspen Dental)HealthcareSOFR(M)3.75%9.22%12/2027$2,376 $2,368 $2,261 
AG Parent Holdings, LLCHealthcareSOFR(Q)5.00%10.65%07/20267,294 7,279 7,174 
Aretec Group, Inc. (fka RCS Capital Corporation)Financial ServicesSOFR(M)4.50%9.96%08/20306,626 6,480 6,634 
Artera Services, LLCDistribution & LogisticsSOFR(Q)3.50%8.95%03/20255,273 5,259 4,968 
Ascensus Group Holdings, Inc.Business ServicesSOFR(M)3.50%8.97%08/20282,817 2,806 2,817 
AssuredPartners, IncInsurance ServicesSOFR(M)3.75%9.22%02/20271,975 1,921 1,986 
Aston FinCo S.a r.l.SoftwareSOFR(M)4.25%9.72%10/20265,775 5,749 4,929 
athenahealth Group Inc.HealthcareSOFR(M)3.25%8.61%02/20296,843 6,612 6,828 
BCPE Empire Holdings, Inc.Distribution & LogisticsSOFR(M)4.75%10.11%12/20287,458 7,390 7,490 
Bella Holding Company, LLCHealthcareSOFR(M)3.75%9.21%05/2028962 955 956 
Boxer Parent Company Inc.SoftwareSOFR(M)4.25%9.60%12/202811,883 11,764 11,992 
Bracket Intermediate Holding Corp.HealthcareSOFR(Q)5.00%10.45%05/202814,253 13,870 14,280 
Brown Group Holding, LLCDistribution & LogisticsSOFR(Q)3.75%9.13%07/20293,989 3,905 4,006 
Cardinal Parent, Inc.SoftwareSOFR(Q)4.50%10.00%11/20279,821 9,646 9,048 
CE Intermediate I, LLCSoftwareSOFR(Q)3.50%9.02%11/202810,810 10,754 10,729 
CentralSquare Technologies, LLCSoftwareSOFR(Q)3.75%9.25%08/202514,250 14,240 13,817 
CHA Holdings, Inc.Business ServicesSOFR(M)4.50%10.15%04/2025947 947 947 
Cloudera, Inc.SoftwareSOFR(M)3.75%9.21%10/20285,692 5,553 5,654 
CommerceHub, Inc.SoftwareSOFR(Q)4.00%9.54%12/20275,658 5,641 5,378 
CommerceHub, Inc.SoftwareSOFR(Q)6.25%11.79%12/20273,960 3,548 3,960 
Confluent Health, LLCHealthcareSOFR(M)4.00%9.47%11/202810,962 10,919 10,771 
Confluent Medical Technologies, Inc.HealthcareSOFR(Q)3.75%9.10%02/20296,878 6,851 6,878 
Convey Health Solutions, Inc.HealthcareSOFR(Q)5.25%10.74%09/202612,838 12,559 11,483 
Cornerstone OnDemand, Inc.SoftwareSOFR(M)3.75%9.22%10/20283,527 3,514 3,432 
Covenant Surgical Partners, Inc.HealthcareSOFR(Q)4.00%9.38%07/20269,583 9,545 7,539 
Covenant Surgical Partners, Inc.HealthcareSOFR(Q)4.00%9.38%07/20262,000 1,989 1,573 
CRCI Longhorn Holdings, Inc.Business ServicesSOFR(M)3.50%8.96%08/202514,213 14,194 14,261 
CVET Midco 2, L.P.SoftwareSOFR(Q)5.00%10.35%10/20299,905 9,483 9,909 
Dealer Tire Financial, LLCDistribution & LogisticsSOFR(M)4.50%9.86%12/20279,628 9,617 9,680 
DG Investment Intermediate Holdings 2, Inc.Business ServicesSOFR(M)3.75%9.22%03/20287,313 7,293 7,263 
Discovery Purchaser CorporationSpecialty Chemicals & MaterialsSOFR(Q)4.38%9.77%10/20297,029 6,538 6,943 
Dispatch Acquisition Holdings, LLCIndustrial ServicesSOFR(Q)4.25%9.75%03/202815,448 15,105 14,550 
EAB Global, Inc.EducationSOFR(M)3.50%8.97%08/20283,960 3,929 3,958 
Eagle Parent Corp.Business ServicesSOFR(Q)4.25%9.60%04/20297,468 7,346 7,403 
Eisner Advisory Group LLCFinancial ServicesSOFR(M)5.25%10.72%07/20282,190 2,113 2,195 
eResearchTechnology, Inc.HealthcareSOFR(M)4.50%9.96%02/20273,632 3,631 3,632 
EyeCare Partners, LLCHealthcareSOFR(Q)3.75%9.39%02/202712,210 12,202 6,114 
Foundational Education Group, Inc.EducationSOFR(Q)4.25%9.89%08/20289,601 9,508 9,601 
Groundworks, LLCConsumer ServicesSOFR(Q)6.50%11.90%03/20301,432 1,395 1,419 
Heartland Dental, LLCHealthcareSOFR(M)5.00%10.36%04/202814,178 13,668 14,160 
Help/Systems Holdings, Inc.SoftwareSOFR(Q)4.00%9.48%11/202617,883 17,795 17,048 
Higginbotham Insurance Agency, Inc.Business ServicesSOFR(M)5.50%10.96%11/20288,987 8,938 8,987 
HighTower Holding, LLCFinancial ServicesSOFR(Q)4.00%9.64%04/20284,729 4,697 4,720 
Houghton Mifflin Harcourt CompanyEducationSOFR(M)5.25%10.71%04/20298,151 7,898 8,009 
Hub International LimitedInsurance ServicesSOFR(Q)4.25%9.66%06/20306,426 6,363 6,463 
Hunter Holdco 3 LimitedHealthcareSOFR(Q)4.25%9.70%08/20283,000 2,978 2,998 
Idera, Inc.SoftwareSOFR(Q)3.75%9.28%03/202815,642 15,633 15,584 
Portfolio Company and Type of InvestmentIndustryReferenceSpreadInterest Rate (1)Maturity DatePrincipal Amount or Par ValueCostFair
Value (2)
Kestra Advisor Services Holdings A, Inc.Financial ServicesSOFR(Q)4.25%9.70%06/2026$11,811 $11,778 $11,841 
LI Group Holdings, Inc.SoftwareSOFR(M)3.50%8.97%03/20283,749 3,743 3,763 
LSCS Holdings, Inc.HealthcareSOFR(M)4.50%9.97%12/20287,491 7,462 7,407 
Marcel Bidco LLC (Marcel Bidco GmbH)SoftwareSOFR(M)4.50%9.13%11/20302,837 2,795 2,856 
Maverick Bidco Inc.SoftwareSOFR(Q)3.75%9.28%05/20283,920 3,907 3,875 
Maverick Bidco Inc.SoftwareSOFR(Q)4.25%9.89%05/20282,488 2,377 2,463 
Maverick Bidco Inc.SoftwareSOFR(Q)5.00%10.47%05/20281,985 1,904 1,962 
Mavis Tire Express Services Topco Corp.RetailSOFR(M)4.00%9.47%05/20284,131 4,118 4,144 
MED ParentCo, LPHealthcareSOFR(M)4.25%9.72%08/202612,458 12,407 12,361 
MH Sub I, LLC (Micro Holding Corp.)Business Services SOFR(M)4.25%9.61%05/20283,558 3,479 3,505 
Netsmart, Inc.HealthcareSOFR(M)3.75%9.22%10/20273,900 3,900 3,913 
Nielsen Consumer Inc.Business ServicesSOFR(M)6.25%11.61%03/202814,925 13,402 14,639 
OMNIA Partners, LLC Business ServicesSOFR(Q)4.25%9.63%07/20305,919 5,862 5,960 
Optiv Parent Inc.Business ServicesSOFR(Q)5.25%10.63%07/20266,585 6,396 6,308 
Osaic Holdings, Inc.Financial ServicesSOFR(M)4.50%9.86%08/20289,650 9,559 9,693 
Osmosis Buyer LimitedFood & BeverageSOFR(M)3.75%9.09%07/20282,494 2,457 2,499 
Osmosis Buyer LimitedFood & BeverageSOFR(M)4.25%9.60%07/20282,405 2,333 2,418 
Pearls (Netherlands) Bidco B.V.Specialty Chemicals & MaterialsSOFR(Q)3.75%9.13%02/20291,710 1,707 1,698 
Peraton Corp.Federal ServicesSOFR(M)3.75%9.21%02/20284,147 4,133 4,161 
Physician Partners, LLCHealthcareSOFR(Q)4.00%9.53%12/20284,231 4,197 4,010 
Planview Parent, Inc.SoftwareSOFR(Q)4.00%9.61%12/202710,721 10,528 10,669 
Premise Health Holding Corp.HealthcareSOFR(Q)3.75%9.25%07/20257,328 7,319 7,200 
Project Alpha Intermediate Holding, Inc.SoftwareSOFR(M)4.75%10.11%10/203013,745 13,474 13,859 
Project Ruby Ultimate Parent Corp.HealthcareSOFR(M)5.75%11.22%03/20284,938 4,817 5,018 
Project Ruby Ultimate Parent Corp.HealthcareSOFR(M)3.25%8.72%03/20284,308 4,293 4,310 
RealPage, Inc.SoftwareSOFR(M)3.00%8.47%04/20284,305 4,298 4,288 
Renaissance Holding Corp.EducationSOFR(M)4.75%10.11%04/20306,612 6,429 6,644 
RLG Holdings, LLCPackagingSOFR(M)4.25%9.72%07/20285,727 5,707 5,403 
RxB Holdings, Inc.HealthcareSOFR(M)4.50%9.97%12/20276,339 6,247 6,327 
RxB Holdings, Inc.HealthcareSOFR(M)5.25%10.61%12/20273,669 3,586 3,669 
Sierra Enterprises, LLCFood & BeverageSOFR(Q)
2.50% + 4.25% PIK
12.13%05/20272,484 2,483 2,304 
Snap One Holdings Corp.Distribution & LogisticsSOFR(Q)4.50%10.00%12/20286,556 6,506 6,425 
Spring Education Group, Inc.EducationSOFR(Q)4.50%9.85%10/203012,349 12,198 12,390 
Storable, Inc.SoftwareSOFR(M)3.50%8.86%04/20283,785 3,779 3,782 
Symplr Software, Inc.HealthcareSOFR(Q)4.50%9.98%12/202715,560 15,470 13,978 
Syndigo LLCSoftwareSOFR(M)4.50%9.97%12/202714,588 14,519 14,588 
Therapy Brands Holdings LLCSoftwareSOFR(M)4.00%9.47%05/20284,058 4,043 3,763 
Thermostat Purchaser III, Inc.Business ServicesSOFR(Q)4.50%10.04%08/20286,560 6,535 6,475 
TMF Sapphire Bidco B.V.Business ServicesSOFR(Q)5.00%10.41%05/20282,667 2,616 2,685 
TRC Companies LLCBusiness ServicesSOFR(M)3.75%9.22%12/202813,525 13,470 13,548 
UKG Inc.SoftwareSOFR(Q)4.50%9.99%05/20264,975 4,880 5,004 
USI, Inc.Financial ServicesSOFR(Q)3.00%8.35%11/20292,446 2,403 2,456 
Valcour Packaging, LLCPackagingSOFR(M)3.75%9.21%10/20284,459 4,449 3,552 
WatchGuard Technologies, Inc.SoftwareSOFR(M)5.25%10.60%07/20295,237 4,944 5,045 
Waystar Technologies, Inc.HealthcareSOFR(M)4.00%9.47%10/20263,983 3,978 4,003 
Portfolio Company and Type of InvestmentIndustryReferenceSpreadInterest Rate (1)Maturity DatePrincipal Amount or Par ValueCostFair
Value (2)
Wrench Group LLCConsumer ServicesSOFR(Q)4.00%9.61%04/2026$7,743 $7,732 $7,772 
Wrench Group LLCConsumer ServicesSOFR(Q)4.50%9.95%04/20265,473 5,386 5,495 
Zest Acquisition Corp.HealthcareSOFR(M)5.50%10.86%02/20284,072 3,926 3,999 
Total Funded Investments$656,081 $646,319 $636,554 
Unfunded Investments - First lien
Groundworks, LLCConsumer Services09/2024$65 $(1)$(1)
OMNIA Partners, LLC Business Services01/2024556 (3)
Osmosis Buyer LimitedFood & Beverage07/2028506 — 
Total Unfunded Investments$1,127 $(4)$6 
Total Investments$657,208 $646,315 $636,560 
(1)All interest is payable in cash unless otherwise indicated. All of the variable rate debt investments bear interest at a rate that may be determined by reference to the Secured Overnight Financing Rate (SOFR). For each investment, the current interest rate provided reflects the rate in effect as of December 31, 2023.
(2)Represents the fair value in accordance with Accounting Standards Codification Topic 820, Fair Value Measurement and Disclosures ("ASC 820"). The Company's board of directors does not determine the fair value of the investments held by SLP III.
Below is certain summarized financial information for SLP III as of March 31, 2024 and December 31, 2023 and for the three months ended March 31, 2024 and March 31, 2023:
Selected Balance Sheet Information:March 31, 2024December 31, 2023
Investments at fair value (cost of $652,927 and $646,315)
$653,894 $636,560 
Cash and other assets33,317 21,443 
Receivable from unsettled securities sold4,511 — 
Total assets$691,722 $658,003 
Credit facility$474,900 $453,200 
Deferred financing costs (net of accumulated amortization of $5,766 and $5,650, respectively)
(827)(943)
Payable for unsettled securities purchased29,930 23,881 
Distribution payable7,328 6,672 
Other liabilities7,549 7,862 
Total liabilities518,880 490,672 
Members' capital$172,842 $167,331 
Total liabilities and members' capital$691,722 $658,003 
Selected Statement of Operations Information:Three Months Ended
March 31, 2024March 31, 2023
Interest income$16,789 $15,086 
Other income27 91 
Total investment income16,816 15,177 
Interest and other financing expenses8,790 8,406 
Other expenses241 243 
Total expenses9,031 8,649 
Net investment income7,785 6,528 
Net realized losses on investments(5,669)(1,867)
Net change in unrealized appreciation of investments10,723 9,039 
Net increase in members' capital$12,839 $13,700 
For the three months ended March 31, 2024 and March 31, 2023, the Company earned approximately $5,863 and $4,462, respectively, of dividend income related to SLP III, which is included in dividend income. As of March 31, 2024 and December 31, 2023, approximately $5,863 and $5,338, respectively, of dividend income related to SLP III was included in interest and dividend receivable.
The Company has determined that SLP III is an investment company under ASC 946; however, in accordance with such guidance the Company will generally not consolidate its investment in a company other than a wholly-owned investment company subsidiary. Furthermore, ASC 810 concludes that in a joint venture where both members have equal decision making authority, it is not appropriate for one member to consolidate the joint venture since neither has control. Accordingly, the Company does not consolidate SLP III.
NMFC Senior Loan Program IV LLC
NMFC Senior Loan Program IV LLC ("SLP IV") was formed as a Delaware limited liability company on April 6, 2021, and commenced operations on May 5, 2021. SLP IV is structured as a private joint venture investment fund between the Company and SkyKnight Income Alpha, LLC ("SkyKnight Alpha") and operates under the First Amended and Restated Limited Liability Company Agreement of NMFC Senior Loan Program IV LLC, dated May 5, 2021 (the "SLP IV Agreement"). Upon the effectiveness of the SLP IV Agreement, the members contributed their respective membership interests in NMFC Senior Loan Program I LLC ("SLP I") and NMFC Senior Loan Program II LLC ("SLP II") to SLP IV. Immediately following the contribution of their membership interests, SLP I and SLP II became wholly-owned subsidiaries of SLP IV. The purpose of the joint venture is to invest primarily in senior secured loans issued by portfolio companies within the Company's core industry verticals. These investments are typically broadly syndicated first lien loans. All investment decisions must be unanimously approved by the board of managers of SLP IV, which has equal representation from the Company and SkyKnight Alpha. SLP IV had a five year investment period and will continue in existence until May 5, 2029. On March 15, 2024, the investment period was extended until May 5, 2027 pursuant to the terms of the SLP IV Agreement.
SLP IV is capitalized with equity contributions which were transferred and contributed from its members. As of March 31, 2024, the Company and SkyKnight Alpha have transferred and contributed $112,400 and $30,600, respectively, of their membership interests in SLP I and SLP II to SLP IV. The Company’s investment in SLP IV is disclosed on the Company’s Consolidated Schedule of Investments as of March 31, 2024 and December 31, 2023.
On May 5, 2021, SLP IV entered into a $370,000 revolving credit facility with Wells Fargo Bank, National Association which matures on March 27, 2029. As of the amendment on March 27, 2024, the facility bears interest at a rate of SOFR plus 1.90%. From April 28, 2023 to March 27, 2024, the facility bore interest at a rate of SOFR plus 1.70%. Prior to the amendment on April 28, 2023, the facility bore interest at a rate of LIBOR plus 1.60% per annum. As of March 31, 2024 and December 31, 2023, SLP IV had total investments with an aggregate fair value of approximately $480,185 and $467,886, respectively, and debt outstanding under its credit facility of $336,237 and $306,537, respectively. As of March 31, 2024 and December 31, 2023, none of SLP IV’s investments were on non-accrual. Additionally, as of March 31, 2024 and December 31, 2023, SLP IV had unfunded commitments in the form of delayed draws of $973 and $792, respectively.
Below is a summary of SLP IV's consolidated portfolio, along with a listing of the individual investments in SLP IV's consolidated portfolio as of March 31, 2024 and December 31, 2023:
March 31, 2024December 31, 2023
First lien investments (1)$488,285 $482,776 
Weighted average interest rate on first lien investments (2)9.68 %9.81 %
Number of portfolio companies in SLP IV80 78 
Largest portfolio company investment (1)$17,532 $17,400 
Total of five largest portfolio company investments (1)$65,751 $67,838 
(1)Reflects principal amount or par value of investment.
(2)Computed as the all in interest rate in effect on accruing investments divided by the total principal amount of investments.
The following table is a listing of the individual investments in SLP IV's consolidated portfolio as of March 31, 2024:
Portfolio Company and Type of InvestmentIndustryReference SpreadInterest Rate (1)Maturity Date Principal Amount or Par Value CostFair
Value (2)
Funded Investments - First lien
ADG, LLCHealthcareSOFR(S)
1.00% + 3.00%/ PIK
9.43%09/2026$17,532 $17,526 $15,300 
ADMI Corp. (aka Aspen Dental)HealthcareSOFR(M)3.75%9.19%12/20271,828 1,822 1,770 
Aretec Group, Inc. (fka RCS Capital Corporation)Financial ServicesSOFR(M)4.50%9.93%08/20304,792 4,691 4,823 
Ascensus Group Holdings, Inc.Business ServicesSOFR(M)3.50%8.94%08/20284,160 4,146 4,150 
athenahealth Group Inc.HealthcareSOFR(M)3.25%8.58%02/20292,367 2,358 2,348 
Bach Finance LimitedEducationSOFR(Q)3.75%9.07%02/20311,615 1,611 1,621 
Barracuda Parent, LLCSoftwareSOFR(Q)4.50%9.81%08/20294,938 4,816 4,917 
Bayou Intermediate II, LLCHealthcareSOFR(Q)4.50%10.08%08/20288,917 8,878 8,873 
BCPE Empire Holdings, Inc.Distribution & LogisticsSOFR(M)4.00%9.33%12/20285,325 5,285 5,339 
Bella Holding Company, LLCHealthcareSOFR(M)3.75%9.18%05/2028751 749 750 
BIFM CA Buyer Inc.Business ServicesSOFR(Q)4.25%9.57%05/20282,723 2,687 2,737 
Bleriot US Bidco Inc.Federal ServicesSOFR(Q)4.00%9.57%10/20283,890 3,873 3,910 
Boxer Parent Company Inc.SoftwareSOFR(M)4.25%9.58%12/20289,463 9,377 9,529 
Bracket Intermediate Holding Corp.HealthcareSOFR(Q)5.00%10.40%05/20284,383 4,270 4,404 
Brown Group Holding, LLCDistribution & LogisticsSOFR(Q)3.00%8.32%07/20293,648 3,581 3,653 
CE Intermediate I, LLCSoftwareSOFR(Q)3.50%8.95%11/20288,075 8,033 8,049 
CentralSquare Technologies, LLCSoftwareSOFR(M)3.75%9.18%08/202514,212 14,204 14,213 
Cloudera, Inc.SoftwareSOFR(M)3.75%9.18%10/20286,016 5,906 5,998 
CommerceHub, Inc.SoftwareSOFR(Q)4.00%9.48%12/20274,099 3,926 3,980 
Confluent Health, LLCHealthcareSOFR(M)4.00%9.44%11/20286,540 6,516 6,475 
Confluent Medical Technologies, Inc.HealthcareSOFR(Q)3.75%9.06%02/20296,878 6,852 6,877 
Convey Health Solutions, Inc.HealthcareSOFR(Q)5.25%10.66%09/20264,925 4,827 4,284 
Cornerstone OnDemand, Inc.SoftwareSOFR(M)3.75%9.19%10/20281,842 1,836 1,811 
CVET Midco 2, L.P.SoftwareSOFR(Q)5.00%10.31%10/20296,640 6,474 6,653 
Dealer Tire Financial, LLCDistribution & LogisticsSOFR(M)3.75%9.08%12/202710,533 10,508 10,625 
Discovery Purchaser CorporationSpecialty Chemicals & MaterialsSOFR(Q)4.38%9.71%10/20295,832 5,463 5,828 
Dispatch Acquisition Holdings, LLCIndustrial ServicesSOFR(Q)4.25%9.70%03/20289,749 9,665 9,085 
EAB Global, Inc.EducationSOFR(M)3.50%8.94%08/20282,478 2,460 2,484 
Eagle Parent Corp.Business ServicesSOFR(Q)4.25%9.55%04/20297,462 7,355 7,412 
Eisner Advisory Group LLCFinancial ServicesSOFR(M)4.00%9.33%02/20315,077 5,026 5,104 
eResearchTechnology, Inc.HealthcareSOFR(M)4.50%9.94%02/20272,184 2,174 2,193 
Foundational Education Group, Inc.EducationSOFR(Q)3.75%9.32%08/20288,431 8,328 8,431 
Geo Parent CorporationBusiness ServicesSOFR(S)5.25%10.50%12/20289,634 9,485 9,634 
Groundworks, LLCBusiness ServicesSOFR(Q)3.50%8.83%03/20314,123 4,082 4,082 
Heartland Dental, LLCHealthcareSOFR(M)5.00%10.33%04/20287,586 7,326 7,609 
Help/Systems Holdings, Inc.SoftwareSOFR(M)4.00%9.43%11/20269,682 9,664 9,384 
Houghton Mifflin Harcourt CompanyEducationSOFR(M)5.25%10.68%04/20296,294 6,107 6,248 
Hub International LimitedBusiness ServicesSOFR(Q)3.25%8.57%06/20301,854 1,852 1,856 
Idera, Inc.SoftwareSOFR(Q)3.75%9.21%03/20289,107 9,058 9,084 
Inizio Group LimitedHealthcareSOFR(Q)4.25%9.70%08/20283,949 3,922 3,949 
Kestra Advisor Services Holdings A, Inc.Financial ServicesSOFR(Q)4.00%9.30%03/20314,571 4,560 4,583 
LSCS Holdings, Inc.HealthcareSOFR(M)4.50%9.94%12/20289,849 9,788 9,732 
Mandolin Technology Intermediate Holdings, Inc.SoftwareSOFR(Q)3.75%9.20%07/20289,775 9,742 8,920 
Marcel Bidco LLC (Marcel Bidco GmbH)SoftwareSOFR(M)4.50%9.81%11/20302,039 2,010 2,058 
Maverick Bidco Inc.SoftwareSOFR(Q)5.00%10.42%05/20281,980 1,903 1,977 
Maverick Bidco Inc.SoftwareSOFR(Q)3.75%9.21%05/20287,821 7,795 7,808 
Portfolio Company and Type of InvestmentIndustryReference SpreadInterest Rate (1)Maturity Date Principal Amount or Par Value CostFair
Value (2)
Mavis Tire Express Services Topco, Corp.RetailSOFR(M)3.75%9.08%05/2028$8,242 $8,216 $8,266 
MH Sub I, LLC (Micro Holding Corp.)Business Services SOFR(M)4.25%9.58%05/20286,126 5,999 6,099 
Netsmart, Inc.HealthcareSOFR(M)3.75%9.19%10/20276,807 6,807 6,830 
Nielsen Consumer Inc.Business ServicesSOFR(M)6.25%11.58%03/20289,925 8,966 9,875 
OEConnection LLCSoftwareSOFR(M)4.00%9.43%09/20264,029 4,012 4,031 
OMNIA Partners, LLC Business ServicesSOFR(Q)3.75%9.07%07/20304,983 4,936 5,011 
Optiv Parent Inc.Business Services SOFR(Q)5.25%10.57%07/20262,804 2,731 2,724 
Osaic Holdings, Inc.Financial ServicesSOFR(M)4.50%9.83%08/202811,489 11,386 11,548 
Osmosis Buyer LimitedFood & BeverageSOFR(M)3.75%9.07%07/20286,570 6,744 6,782 
Osmosis Buyer LimitedFood & BeverageSOFR(M)4.25%9.58%07/20282,089 1,820 1,883 
Pearls (Netherlands) Bidco B.V.Specialty Chemicals & MaterialsSOFR(Q)3.75%9.06%02/20291,316 1,313 1,316 
Perforce Software, Inc.SoftwareSOFR(Q)4.75%10.08%03/20313,831 3,812 3,812 
Physician Partners, LLCHealthcareSOFR(Q)4.00%9.46%12/20283,189 3,166 2,400 
Project Alpha Intermediate Holding, Inc.SoftwareSOFR(Q)4.75%10.06%10/20309,880 9,689 9,943 
Project Ruby Ultimate Parent Corp.HealthcareSOFR(M)3.50%8.94%03/20285,000 4,976 5,013 
Quartz Holding CompanySoftwareSOFR(Q)4.00%9.30%10/20286,929 6,894 6,924 
RealPage, Inc.SoftwareSOFR(M)3.00%8.44%04/20281,368 1,364 1,332 
Renaissance Holding Corp.EducationSOFR(M)4.25%9.58%04/20305,088 4,951 5,103 
RxB Holdings, Inc.HealthcareSOFR(M)4.50%9.94%12/20277,344 7,320 7,371 
Sierra Enterprises, LLCFood & BeverageSOFR(Q)
2.50% + 4.25%/ PIK
12.06%05/20274,388 4,382 4,334 
Snap One Holdings Corp.Distribution & LogisticsSOFR(Q)4.50%9.95%12/20288,476 8,414 8,482 
Spring Education Group, Inc.EducationSOFR(Q)4.50%9.81%10/20309,502 9,388 9,559 
STATS Intermediate Holdings, LLCBusiness ServicesSOFR(Q)7.25%12.83%07/20262,266 2,203 2,266 
Storable, Inc.SoftwareSOFR(M)3.50%8.78%04/20283,910 3,894 3,911 
Symplr Software, Inc.HealthcareSOFR(Q)4.50%9.91%12/20273,717 3,710 3,507 
Syndigo LLCSoftwareSOFR(M)4.50%9.94%12/20279,874 9,862 9,850 
Therapy Brands Holdings LLCHealthcareSOFR(M)4.00%9.44%05/20285,953 5,933 5,566 
Thermostat Purchaser III, Inc.Business ServicesSOFR(Q)4.50%9.99%08/20284,674 4,657 4,621 
TRC Companies LLCBusiness ServicesSOFR(M)3.75%9.19%12/20289,550 9,513 9,543 
Valcour Packaging, LLCPackagingSOFR(M)3.75%9.19%10/20283,235 3,228 2,545 
VSTG Intermediate Holdings, Inc.Business ServicesSOFR(Q)4.75%10.05%07/20293,398 3,381 3,402 
VT Topco, Inc.Business ServicesSOFR(M)4.25%9.58%08/20307,271 7,202 7,296 
WatchGuard Technologies, Inc.SoftwareSOFR(M)5.25%10.58%07/20294,030 3,812 3,977 
Wrench Group LLCConsumer ServicesSOFR(Q)4.00%9.57%10/20289,371 9,339 9,416 
Zest Acquisition Corp.HealthcareSOFR(M)5.50%10.83%02/20283,134 3,041 3,122 
Zone Climate Services, Inc.Business ServicesSOFR(Q)5.25%10.71%03/20289,825 9,685 9,806 
Zone Climate Services, Inc.Business ServicesSOFR(Q)5.25%10.71%03/20282,160 2,129 2,156 
Total Funded Investments$487,312 $481,392 $480,172 
Unfunded Investments - First lien
Groundworks, LLCBusiness Services09/2024$759 $(4)$(4)
Osmosis Buyer LimitedFood & Beverage07/2028214 — 17 
Total Unfunded Investments$973 $(4)$13 
Total Investments$488,285 $481,388 $480,185 
(1)All interest is payable in cash unless otherwise indicated. All of the variable rate debt investments bear interest at a rate that may be determined by reference to the Secured Overnight Financing Rate (SOFR). For each investment, the current interest rate provided reflects the rate in effect as of March 31, 2024.
(2)Represents the fair value in accordance with ASC 820. The Company's board of directors does not determine the fair value of the investments held by SLP IV.
The following table is a listing of the individual investments in SLP IV's consolidated portfolio as of December 31, 2023:
Portfolio Company and Type of InvestmentIndustryReferenceSpreadInterest Rate (1)Maturity Date Principal Amount or Par Value CostFair
Value (2)
Funded Investments - First lien
ADG, LLCHealthcareSOFR(Q)
1.00% + 3.00%/PIK
9.54%09/2026$17,400 $17,394 $14,967 
ADMI Corp. (aka Aspen Dental)HealthcareSOFR(M)3.75%9.22%12/20271,833 1,827 1,744 
Aretec Group, Inc. (fka RCS Capital Corporation)Financial ServicesSOFR(M)4.50%9.96%08/20304,804 4,700 4,810 
Artera Services, LLCDistribution & LogisticsSOFR(Q)3.50%8.95%03/20254,068 4,057 3,832 
Ascensus Group Holdings, Inc.Business ServicesSOFR(M)3.50%8.97%08/20284,171 4,156 4,171 
athenahealth Group Inc.HealthcareSOFR(M)3.25%8.61%02/20292,373 2,364 2,368 
Barracuda Parent, LLCSoftwareSOFR(Q)4.50%9.88%08/20294,950 4,824 4,851 
Bayou Intermediate II, LLCHealthcareSOFR(Q)4.50%10.15%08/20288,940 8,899 8,549 
BCPE Empire Holdings, Inc.Distribution & LogisticsSOFR(M)4.75%10.11%12/20284,353 4,313 4,371 
Bella Holding Company, LLCHealthcareSOFR(M)3.75%9.21%05/2028753 751 748 
Bleriot US Bidco Inc.Federal ServicesSOFR(Q)4.00%9.61%10/20283,900 3,882 3,921 
Boxer Parent Company Inc.SoftwareSOFR(M)4.25%9.60%12/20288,987 8,897 9,070 
Bracket Intermediate Holding Corp.HealthcareSOFR(Q)5.00%10.45%05/20284,394 4,275 4,402 
Brown Group Holding, LLCDistribution & LogisticsSOFR(Q)3.75%9.13%07/20295,370 5,255 5,393 
CE Intermediate I, LLCSoftwareSOFR(Q)3.50%9.02%11/20288,095 8,052 8,035 
CentralSquare Technologies, LLCSoftwareSOFR(Q)3.75%9.25%08/202514,250 14,240 13,817 
CHA Holdings, Inc.Business ServicesSOFR(M)4.50%10.15%04/202510,692 10,682 10,692 
CHA Holdings, Inc.Business ServicesSOFR(M)4.50%9.97%04/20251,963 1,961 1,963 
Cloudera, Inc.SoftwareSOFR(M)3.75%9.21%10/20284,308 4,202 4,279 
Confluent Health, LLCHealthcareSOFR(M)4.00%9.47%11/20287,338 7,309 7,210 
Confluent Medical Technologies, Inc.HealthcareSOFR(Q)3.75%9.10%02/20296,878 6,851 6,877 
Convey Health Solutions, Inc.HealthcareSOFR(Q)5.25%10.74%09/20264,938 4,830 4,417 
Cornerstone OnDemand, Inc.SoftwareSOFR(M)3.75%9.22%10/20282,519 2,510 2,452 
CVET Midco 2, L.P.SoftwareSOFR(Q)5.00%10.35%10/20296,656 6,481 6,659 
Dealer Tire Financial, LLCDistribution & LogisticsSOFR(M)4.50%9.86%12/202710,559 10,538 10,617 
Discovery Purchaser CorporationSpecialty Chemicals & MaterialsSOFR(Q)4.38%9.77%10/20295,346 4,972 5,280 
Dispatch Acquisition Holdings, LLCIndustrial ServicesSOFR(Q)4.25%9.75%03/20289,774 9,686 9,206 
EAB Global, Inc.EducationSOFR(M)3.50%8.97%08/20284,369 4,340 4,367 
Eagle Parent Corp.Business ServicesSOFR(Q)4.25%9.60%04/20297,481 7,369 7,415 
Eisner Advisory Group LLCFinancial ServicesSOFR(M)5.25%10.72%07/20281,689 1,630 1,694 
eResearchTechnology, Inc.HealthcareSOFR(M)4.50%9.96%02/20272,190 2,179 2,190 
EyeCare Partners, LLCHealthcareSOFR(Q)3.75%9.39%11/20289,825 9,807 4,932 
Foundational Education Group, Inc.EducationSOFR(Q)4.25%9.89%08/20288,453 8,344 8,453 
Geo Parent CorporationBusiness ServicesSOFR(S)5.25%10.80%12/20289,634 9,479 9,634 
Heartland Dental, LLCHealthcareSOFR(M)5.00%10.36%04/20287,605 7,332 7,596 
Help/Systems Holdings, Inc.SoftwareSOFR(Q)4.00%9.48%11/20269,707 9,687 9,254 
Houghton Mifflin Harcourt CompanyEducationSOFR(M)5.25%10.71%04/20296,310 6,116 6,200 
Hub International LimitedInsurance ServicesSOFR(Q)4.25%9.66%06/20302,754 2,728 2,770 
Hunter Holdco 3 LimitedHealthcareSOFR(Q)4.25%9.70%08/20283,949 3,921 3,947 
Idera, Inc.SoftwareSOFR(Q)3.75%9.28%03/20289,130 9,079 9,096 
Kestra Advisor Services Holdings A, Inc.Financial ServicesSOFR(Q)4.25%9.70%06/20265,374 5,344 5,387 
LSCS Holdings, Inc.HealthcareSOFR(M)4.50%9.97%12/20288,582 8,551 8,485 
Mandolin Technology Intermediate Holdings, Inc.SoftwareSOFR(Q)3.75%9.25%07/20289,800 9,765 8,942 
Marcel Bidco LLC (Marcel Bidco GmbH)SoftwareSOFR(M)4.50%9.13%11/20302,039 2,009 2,053 
Maverick Bidco Inc.SoftwareSOFR(Q)3.75%9.28%05/20287,841 7,814 7,750 
Portfolio Company and Type of InvestmentIndustryReferenceSpreadInterest Rate (1)Maturity Date Principal Amount or Par Value CostFair
Value (2)
Maverick Bidco Inc.SoftwareSOFR(Q)5.00%10.47%05/2028$1,985 $1,904 $1,962 
Mavis Tire Express Services Topco Corp.RetailSOFR(M)4.00%9.47%05/20288,263 8,235 8,288 
MH Sub I, LLC (Micro Holding Corp.)Business ServicesSOFR(M)4.25%9.61%05/20284,783 4,677 4,711 
Netsmart, Inc.HealthcareSOFR(M)3.75%9.22%10/20276,825 6,825 6,848 
Nielsen Consumer Inc.Business ServicesSOFR(M)6.25%11.61%03/20289,950 8,943 9,759 
OEConnection LLCSoftwareSOFR(M)4.00%9.46%09/20264,039 4,020 4,037 
OMNIA Partners, LLC Business ServicesSOFR(Q)4.25%9.63%07/20304,566 4,523 4,598 
Optiv Parent Inc.Business ServicesSOFR(Q)5.25%10.63%07/20265,080 4,934 4,866 
Osaic Holdings, Inc.Financial ServicesSOFR(M)4.50%9.86%08/202811,518 11,410 11,569 
Osmosis Buyer LimitedFood & BeverageSOFR(M)3.75%9.09%07/20282,494 2,457 2,499 
Osmosis Buyer LimitedFood & BeverageSOFR(M)4.25%9.60%07/20281,726 1,674 1,735 
Pearls (Netherlands) Bidco B.V.Specialty Chemicals & MaterialsSOFR(Q)3.75%9.13%02/20291,319 1,317 1,310 
Physician Partners, LLCHealthcareSOFR(Q)4.00%9.53%12/20283,197 3,173 3,031 
Premise Health Holding Corp.HealthcareSOFR(Q)3.75%9.25%07/20251,926 1,923 1,892 
Project Alpha Intermediate Holding, Inc.SoftwareSOFR(M)4.75%10.11%10/20309,880 9,684 9,962 
RealPage, Inc.SoftwareSOFR(M)3.00%8.47%04/20281,371 1,368 1,366 
Renaissance Holding Corp.EducationSOFR(M)4.75%10.11%04/20305,101 4,959 5,126 
RxB Holdings, Inc.HealthcareSOFR(M)4.50%9.97%12/20277,363 7,338 7,349 
Sierra Enterprises, LLCFood & BeverageSOFR(Q)
2.50% + 4.25%/PIK
12.13%05/20274,352 4,345 4,036 
Snap One Holdings Corp.Distribution & LogisticsSOFR(Q)4.50%10.00%12/20288,498 8,433 8,328 
Spring Education Group, Inc.EducationSOFR(Q)4.50%9.85%10/20309,526 9,408 9,558 
STATS Intermediate Holdings, LLCBusiness ServicesSOFR(Q)7.25%12.88%07/20262,271 2,203 2,271 
Storable, Inc.SoftwareSOFR(M)3.50%8.86%04/20283,920 3,904 3,918 
Symplr Software, Inc.HealthcareSOFR(Q)4.50%9.98%12/20273,726 3,719 3,347 
Syndigo LLCSoftwareSOFR(M)4.50%9.97%12/20279,660 9,648 9,660 
Therapy Brands Holdings LLCSoftwareSOFR(M)4.00%9.47%05/20285,969 5,947 5,536 
Thermostat Purchaser III, Inc.Business ServicesSOFR(Q)4.50%10.04%08/20284,686 4,668 4,625 
TRC Companies LLCBusiness ServicesSOFR(M)3.75%9.22%12/20289,574 9,536 9,590 
USIC Holdings, Inc.Business ServicesSOFR(Q)3.50%9.11%05/20282,971 2,963 2,952 
Valcour Packaging, LLCPackagingSOFR(M)3.75%9.21%10/20283,244 3,236 2,584 
VT Topco, Inc.Business ServicesSOFR(M)4.25%9.61%08/20307,289 7,218 7,335 
WatchGuard Technologies, Inc.SoftwareSOFR(M)5.25%10.60%07/20294,040 3,814 3,892 
Wrench Group LLCConsumer ServicesSOFR(Q)4.00%9.61%04/20269,371 9,337 9,406 
Zest Acquisition Corp.HealthcareSOFR(M)5.50%10.86%02/20283,142 3,039 3,085 
Zone Climate Services, Inc.Business ServicesSOFR(Q)5.25%10.80%03/20289,850 9,702 9,824 
Zone Climate Services, Inc.Business ServicesSOFR(Q)5.25%10.80%03/20282,165 2,133 2,160 
Total Funded Investments$481,984 $476,019 $467,881 
Unfunded Investments - First lien
OMNIA Partners, LLC Business Services— 01/2024$429 $(2)$
Osmosis Buyer LimitedFood & Beverage— 07/2028363 — 
Total Unfunded Investments$792 $(2)$5 
Total Investments$482,776 $476,017 $467,886 
(1)All interest is payable in cash unless otherwise indicated. All of the variable rate debt investments bear interest at a rate that may be determined by reference to the Secured Overnight Financing Rate (SOFR). For each investment, the current interest rate provided reflects the rate in effect as of December 31, 2023.
(2)Represents the fair value in accordance with ASC 820. The Company's board of directors does not determine the fair value of the investments held by SLP IV.
Below is certain summarized consolidated financial information for SLP IV as of March 31, 2024 and December 31, 2023 and for the three months ended March 31, 2024 and March 31, 2023:
Selected Consolidated Balance Sheet Information:March 31, 2024December 31, 2023
Investments at fair value (cost of $481,388 and $476,017, respectively)
$480,185 $467,886 
Receivable from unsettled securities sold4,509 1,445 
Cash and other assets18,634 16,227 
Total assets$503,328 $485,558 
Credit facility$336,237 $306,537 
Deferred financing costs (net of accumulated amortization of $1,757 and $1,599, respectively)
(3,948)(1,414)
Payable for unsettled securities purchased19,586 31,322 
Distribution payable5,541 5,220 
Other liabilities6,347 6,676 
Total liabilities363,763 348,341 
Members' capital$139,565 $137,217 
Total liabilities and members' capital$503,328 $485,558 

Selected Consolidated Statement of Operations Information:Three Months Ended
March 31, 2024March 31, 2023
Interest income$11,962 $11,258 
Other income21 116 
Total investment income11,983 11,374 
Interest and other financing expenses6,100 5,832 
Other expenses224 205 
Total expenses6,324 6,037 
Net investment income5,659 5,337 
Net realized losses on investments(4,698)(1,669)
Net change in unrealized appreciation of investments6,928 5,478 
Net increase in members' capital$7,889 $9,146 
For the three months ended March 31, 2024 and March 31, 2023, the Company earned approximately $4,356 and $3,583, respectively, of dividend income related to SLP IV, which is included in dividend income. As of March 31, 2024 and December 31, 2023, approximately $4,356 and $4,103, respectively, of dividend income related to SLP IV was included in interest and dividend receivable.
The Company has determined that SLP IV is an investment company under ASC 946; in accordance with such guidance the Company will generally not consolidate its investment in a company other than a wholly-owned investment company subsidiary. Furthermore, ASC 810 concludes that in a joint venture where both members have equal decision making authority, it is not appropriate for one member to consolidate the joint venture since neither has control. Accordingly, the Company does not consolidate SLP IV.
Unconsolidated Significant Subsidiaries
In accordance with Regulation S-X Rule 10-01(b)(1), the Company evaluates its unconsolidated controlled portfolio companies to determine if any are as “significant subsidiaries.” This determination is made based upon an analysis performed under Rules 3-09 and 4-08(g) of Regulation S-X, pursuant to which the Company must determine if any of its portfolio companies are considered a “significant subsidiary" as defined by Rule 1-02(w) of Regulation S-X under this rule. As of March 31, 2024, the Company did not have any portfolio companies that were deemed to be a "significant subsidiary."
Investment Risk Factors
First and second lien debt that the Company invests in is almost entirely rated below investment grade or may be unrated. Debt investments rated below investment grade are often referred to as "leveraged loans", "high yield" or "junk" debt investments, and may be considered "high risk" compared to debt investments that are rated investment grade. These debt investments are considered speculative because of the credit risk of the issuers. Such issuers are considered more likely than investment grade issuers to default on their payments of interest and principal, and such risk of default could reduce the net asset value and income distributions of the Company. In addition, some of the Company's debt investments will not fully amortize during their lifetime, which could result in a loss or a substantial amount of unpaid principal and interest due upon maturity. First and second lien debt may also lose significant market value before a default occurs. Furthermore, an active trading market may not exist for these first and second lien debt investments. This illiquidity may make it more difficult to value the debt.
Subordinated debt is generally subject to similar risks as those associated with first and second lien debt, except that such debt is subordinated in payment and/or lower in lien priority. Subordinated debt is subject to the additional risk that the cash flow of the borrower and the property securing the debt, if any, may be insufficient to meet scheduled payments after giving effect to the senior secured and unsecured obligations of the borrower.
The Company may directly invest in the equity of private companies or, in some cases, equity investments could be made in connection with a debt investment. Equity investments may or may not fluctuate in value, resulting in recognized realized gains or losses upon disposition.