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Note 6 - Fair Value (Tables)
3 Months Ended
Mar. 31, 2023
Notes Tables  
Fair Value, Assets Measured on Recurring Basis [Table Text Block]
  

March 31, 2023

 
  

Level 1

  

Level 2

  

Level 3

  

Total

 
  

(In thousands)

 

Debt investments

 $  $  $684,554  $684,554 

Warrant investments

     1,020   24,638   25,658 

Other investments

        1,300   1,300 

Equity investments

  885      2,915   3,800 

Total investments

 $885  $1,020  $713,407  $715,312 
  

December 31, 2022

 
  

Level 1

  

Level 2

  

Level 3

  

Total

 
  

(In thousands)

 

Debt investments

 $  $  $686,458  $686,458 

Warrant investments

     3,567   26,145   29,712 

Other investments

        1,300   1,300 

Equity investments

  140      2,416   2,556 

Total investments

 $140  $3,567  $716,319  $720,026 
Fair Value Measurement Inputs and Valuation Techniques [Table Text Block]

March 31, 2023

 
  

Fair

 

Valuation Techniques/

 

Unobservable

   

Weighted

 

Investment Type

 

Value

 

Methodologies

 

Input

 

Range

 

Average(1)

 
     

(Dollars in thousands, except per share data)

      

Debt investments

 $644,854 

Discounted Expected Future Cash Flows

 

Hypothetical Market Yield

 

11% – 20%

  14%
              
   39,700 

Multiple Probability Weighted Cash Flow Model

 

Probability Weighting

 

10% - 100%

  43%
              

Warrant investments

  24,638 

Black-Scholes Valuation Model

 

Price Per Share

 

0.100 –1,89999

 $62.82 
       

Average Industry Volatility

 

28%

  28%
       

Marketability Discount

 

20%

  20%
       

Estimated Time to Exit (in years)

 1 to 5  3 
              

Other investments

  1,300 

Multiple Probability Weighted Cash Flow Model

 

Discount Rate

 

25%

  25%
       

Probability Weighting

 

100%

  100%
              

Equity investments

  2,915 

Last Equity Financing

 

Price Per Share

 

$1.00– $215.03

 $40.27 
              

Total Level 3 investments

 $713,407          

December 31, 2022

 
  

Fair

 

Valuation Techniques/

 

Unobservable

   

Weighted

 

Investment Type

 

Value

 

Methodologies

 

Input

 

Range

 

Average(1)

 
     

(Dollars in thousands, except per share data)

      

Debt investments

 $669,617 

Discounted Expected Future Cash Flows

 

Hypothetical Market Yield

 3% – 22%  14%
              
   16,545 

Multiple Probability Weighted Cash Flow Model

 

Probability Weighting

 10% - 75%  31%
              
   296 

Convertible Note Analysis

 

Price Per Share

 $168.93 $168.93 
              

Warrant investments

  26,145 

Black-Scholes Valuation Model

 

Price Per Share

 

0.000 –1.89999

 $58.52 
       

Average Industry Volatility

 28%  28%
       

Marketability Discount

 20%  20%
       

Estimated Time to Exit (in years)

 1 to 5  3 
              

Other investments

  1,300 

Multiple Probability Weighted Cash Flow Model

 

Discount Rate

 25%  25%
       

Probability Weighting

 100%  100%
              

Equity investments

  2,416 

Last Equity Financing

 

Price Per Share

 

$1.00– $215.03

 $26.93 
              

Total Level 3 investments

 $716,319          
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block]
  

Three months ended March 31, 2023

 
  

Debt

  

Warrant

  

Equity

  

Other

     
  

Investments

  

Investments

  

Investments

  

Investments

  

Total

 
  

(In thousands)

 

Level 3 assets, beginning of period

 $686,458  $26,145  $2,416  $1,300  $716,319 

Purchase of investments

  46,998      10      47,008 

Warrants received and classified as Level 3

     141         141 

Principal payments received on investments

  (39,756)           (39,756)

Payment-in-kind interest on investments

  1,204            1,204 

Proceeds from sale of investments

  (6,508)  (12)        (6,520)

Net realized gain (loss) on investments

  7   (141)        (134)

Unrealized (depreciation) appreciation included in earnings

  (4,566)  (1,490)  189      (5,867)

Transfer out of debt investments

  (295)  (5)  300       

Other

  1,012            1,012 

Level 3 assets, end of period

 $684,554  $24,638  $2,915  $1,300  $713,407 
  

Three months ended March 31, 2022

 
  

Debt

  

Warrant

  

Equity

  

Other

     
  

Investments

  

Investments

  

Investments

  

Investments

  

Total

 
  

(In thousands)

 

Level 3 assets, beginning of period

 $437,317  $19,837  $203  $200  $457,557 

Purchase of investments

  94,485            94,485 

Warrants received and classified as Level 3

     808         808 

Principal payments received on investments

  (14,095)        (50)  (14,145)

Proceeds from sale of investments

  (21,250)  (30)        (21,280)

Net realized gain on investments

     30         30 

Unrealized (depreciation) appreciation included in earnings

  (3,170)  1,000      50   (2,120)

Other

  (1,093)           (1,093)

Level 3 assets, end of period

 $492,194  $21,645  $203  $200  $514,242