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Portfolio Company Investments - Schedule of Portfolio Composition by Geographic Region at Fair Value and Cost and as Percentage of Total Investments (Details) - USD ($)
$ in Thousands
9 Months Ended 12 Months Ended
Sep. 30, 2025
Dec. 31, 2024
Summary of Investment Holdings [Line Items]    
Investments at Fair Value $ 1,192,748 [1],[2],[3],[4] $ 1,090,506 [5],[6],[7],[8]
Percentage of Fair Value 100.00% 100.00%
Investments at cost $ 1,169,390 [1],[2],[3] $ 1,075,157 [5],[6],[7]
Percentage of Cost 100.00% 100.00%
United States Midwest    
Summary of Investment Holdings [Line Items]    
Investments at Fair Value $ 139,446 $ 120,537
Percentage of Fair Value 11.70% 11.10%
Investments at cost $ 92,054 $ 73,636
Percentage of Cost 7.90% 6.80%
United States Southeast    
Summary of Investment Holdings [Line Items]    
Investments at Fair Value $ 334,454 $ 339,683
Percentage of Fair Value 28.00% 31.20%
Investments at cost $ 334,415 $ 337,762
Percentage of Cost 28.60% 31.40%
United States Northeast    
Summary of Investment Holdings [Line Items]    
Investments at Fair Value $ 239,347 $ 211,758
Percentage of Fair Value 20.10% 19.40%
Investments at cost $ 237,901 $ 202,206
Percentage of Cost 20.30% 18.80%
United States West    
Summary of Investment Holdings [Line Items]    
Investments at Fair Value $ 201,160 $ 194,568
Percentage of Fair Value 16.90% 17.80%
Investments at cost $ 219,615 $ 232,262
Percentage of Cost 18.80% 21.60%
United States Southwest    
Summary of Investment Holdings [Line Items]    
Investments at Fair Value $ 249,785 $ 211,431
Percentage of Fair Value 20.90% 19.40%
Investments at cost $ 257,092 $ 216,802
Percentage of Cost 22.00% 20.20%
Canada    
Summary of Investment Holdings [Line Items]    
Investments at Fair Value $ 28,556 $ 12,529
Percentage of Fair Value 2.40% 1.10%
Investments at cost $ 28,313 $ 12,489
Percentage of Cost 2.40% 1.20%
[1]

(a) See Note 3 to the consolidated financial statements for portfolio composition by geographic location.

[2]

(b) Equity ownership may be held in shares or units of companies related to the portfolio companies. The Company’s investments are generally classified as “restricted securities”, unless otherwise noted, as such term is defined under Regulation S-X Rule 6-03(f) or Securities Act Rule 144. As of September 30, 2025, the Company held restricted securities with an aggregate fair value of $1,192,748, or 168% of the Company's net assets.

[3]

(c) All debt investments are income producing, unless otherwise indicated. Equity investments are non-income producing unless otherwise noted.

[4]

(g) Except as otherwise noted, the Company’s investment portfolio is comprised of debt and equity securities of privately held companies for which quoted prices falling within the categories of Level 1 and Level 2 inputs are not available. Therefore, the Company values all of its portfolio investments at fair value, as determined in good faith by the board of directors, using significant unobservable Level 3 inputs.

[5]

(a) See Note 3 to the consolidated financial statements for portfolio composition by geographic location.

[6]

(b) Equity ownership may be held in shares or units of companies related to the portfolio companies.

[7]

(c) All debt investments are income producing, unless otherwise indicated.

Equity investments are non-income producing unless otherwise noted.

[8]

(g) Except as otherwise noted, the Company’s investment portfolio is comprised of debt and equity securities of privately held companies for which quoted prices falling within the categories of Level 1 and Level 2 inputs are not available. Therefore, the Company values all of its portfolio investments at fair value, as determined in good faith by the board of directors, using significant unobservable Level 3 inputs.